United States v. Discala ( 2023 )


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  •    22-675
    United States v. Discala
    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 TO 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 22nd day of June, two thousand twenty-three.
    PRESENT:
    ROSEMARY S. POOLER,
    RICHARD J. SULLIVAN,
    BETH ROBINSON,
    Circuit Judges.
    _____________________________________
    UNITED STATES OF AMERICA,
    Appellee,
    v.                                                  No. 22-675
    ABRAXAS J. DISCALA, a.k.a. AJ DISCALA,
    Defendant-Appellant. *
    _____________________________________
    *   The Clerk of Court is respectfully directed to amend the official case caption as set forth above.
    For Defendant-Appellant:                       HARRY SANDICK (Bonita Robinson,
    on the brief), Patterson Belknap
    Webb & Tyler LLP, New York, NY.
    For Appellee:                                  SHANNON C. JONES (David C.
    James, on the brief), Assistant United
    States Attorneys, for Breon Peace,
    United States Attorney for the
    Eastern District of New York,
    Brooklyn, NY.
    Appeal from a judgment of the United States District Court for the Eastern
    District of New York (Eric N. Vitaliano, Judge).
    UPON      DUE     CONSIDERATION,             IT   IS   HEREBY    ORDERED,
    ADJUDGED, AND DECREED that the judgment of the district court is
    AFFIRMED.
    Abraxas J. Discala appeals following a jury trial in which he was convicted
    of securities fraud, wire fraud, conspiracy to commit securities fraud, and
    conspiracy to commit mail and wire fraud. The district court thereafter sentenced
    Discala to a term of 138 months’ imprisonment and ordered Discala to pay
    $16,346,023 in restitution. On appeal, Discala raises a litany of challenges to his
    conviction and to the restitution order, which we address in turn. We assume the
    parties’ familiarity with the underlying facts, procedural history, and issues on
    appeal.
    2
    I.    Motion to Suppress Wiretap Evidence
    Discala argues that the district court erred in denying his motion to suppress
    evidence obtained from a wiretap of Discala’s phone, and at the very least should
    have granted his request for a hearing pursuant to Franks v. Delaware, 
    438 U.S. 154
    (1978).   Discala asserts that the affidavit supporting the wiretap application
    contained numerous misrepresentations and omissions suggesting that the affiant
    – Special Agent Michael Braconi – acted, at a minimum, recklessly in making the
    submission. Discala further claims that these misrepresentations and omissions
    were central to the probable-cause determination and that, had such
    misrepresentations and omissions been corrected, the wiretap application would
    no longer support a finding of probable cause. Because the admission of wiretap
    evidence prejudiced him at trial, Discala claims that vacatur or reversal of his
    conviction is warranted.
    To demonstrate entitlement to a Franks hearing, a defendant must (1) make
    a “substantial preliminary showing” that an affiant included in the affidavit “a
    false statement knowingly and intentionally, or with reckless disregard for the
    truth,” and (2) show that “the allegedly false statement is necessary to the finding
    3
    of probable cause.” Franks, 
    438 U.S. at
    155–56; see also United States v. Rajaratnam,
    
    719 F.3d 139
    , 146 (2d Cir. 2013).
    In reviewing a district court’s denial of a Franks hearing, we review
    conclusions of law de novo and factual conclusions for clear error. See United
    States v. McKenzie, 
    13 F.4th 223
    , 236 (2d Cir. 2021). 1 Whether an affiant acted
    intentionally or recklessly is a factual question subject to clear error review. 
    Id. at 237
    . By contrast, whether a false statement is material to the probable cause
    determination is a mixed question of law and fact that we review de novo. 
    Id.
    Contrary to Discala’s contention, we see no clear factual error nor any legal
    error in the district court’s decision to deny his request for a Franks hearing.
    Although it is true that an affiant’s recklessness can be inferred from
    circumstantial evidence, see Rajaratnam, 
    719 F.3d at
    154–55, applying the above
    standards, we discern no error in the district court’s determination that Discala
    1 We recognized in McKenzie that there is some confusion “regarding the standard of review for
    denial of a Franks hearing in the Circuit.” McKenzie, 13 F.4th at 236. But, as in McKenzie, the
    aforementioned mixed standard of review “is workable in this case, and we need not reconcile
    the conflicting authorities on this subject.” Id. at 237; see also United States v. Sandalo, No. 21-708-
    CR, 
    2023 WL 3880789
    , at *7 (2d Cir. June 8, 2023) (acknowledging the mixed authority and circuit
    split on the appropriate standard of review for denial of a Franks hearing, but explaining that we
    “review [a] district court’s factual findings of falsity and knowledge for clear error and its
    determinations of materiality de novo”).
    4
    failed to make the requisite showing that the wiretap affiant acted with reckless
    disregard for the truth of his statements under the first prong of Franks.
    With regard to the purported misrepresentations regarding Discala’s
    trading history, the district court did not err in finding that Discala had failed to
    demonstrate that Braconi acted intentionally or recklessly, rather than making a
    reasonable mistake of fact in reliance on the records available to him when
    authoring the affidavit.
    Discala also makes much of Braconi’s characterizations of an SEC bulletin
    regarding reverse mergers and certain SEC filings made by companies involved
    in the scheme. Again, the district court did not clearly err in concluding that, in
    context, these purported misrepresentations and omissions are insufficient to give
    rise to an inference of recklessness. With regard to the SEC bulletin, the wiretap
    affidavit twice explicitly stated that reverse mergers are not per se unlawful, and
    specifically explained why the reverse merger at issue had the trappings of
    illegality.   The fact that the wiretap affidavit may have omitted a piece of
    cautionary language when discussing a July 2013 filing does not support an
    inference of recklessness – particularly given that this cautionary language was
    not directly related to Braconi’s main point regarding the significance of this filing.
    5
    See United States v. Awadallah, 
    349 F.3d 42
    , 67–68 (2d Cir. 2003) (noting that “[a]n
    affiant cannot be expected to include in an affidavit every piece of information
    gathered in the course of an investigation” (internal quotation marks omitted)).
    Nor can Discala claim that the affidavit’s discussion of a 2014 Form 8-K indicated
    recklessness on the part of Braconi; indeed, as the district court noted, Braconi’s
    assertions regarding the 2014 Form 8-K were made in reliance on the
    representations of SEC staff and attorneys as to the appropriate interpretation of
    the SEC regulations, thereby undercutting any claim that such assertions
    demonstrate recklessness.
    As to Discala’s contention that a Franks hearing was warranted because the
    wiretap affiant failed to disclose that a confidential source was Discala’s former
    attorney, we note that Discala did not raise this argument in his motion to suppress
    before the district court. It is well-settled that “the failure to assert a particular
    ground in a pre-trial suppression motion” will typically preclude a “challenge [to]
    the subsequent admission of evidence on that ground,” unless good cause for the
    oversight is shown.     United States v. Klump, 
    536 F.3d 113
    , 120 (2d Cir. 2008)
    (internal quotation marks omitted). But even on the merits, Discala’s argument
    is unpersuasive. Discala’s brief fails to identify any privileged information that
    6
    was revealed by the confidential source, any specific statements by the source that
    would have put Braconi on notice of a potential violation of Discala’s rights, or
    even that Braconi was aware that the confidential source was Discala’s former
    attorney when drafting the affidavit. As such, we conclude that this purported
    omission – whether considered individually or collectively with the other
    challenged representations and omissions in the affidavit – fails to provide a basis
    for inferring recklessness, let alone intent. We therefore decline to disturb the
    district court’s denial of the request for a Franks hearing.
    But even assuming that Discala had made a sufficient showing of
    recklessness under the first prong of Franks, he still would not be entitled to a
    hearing because he has failed to demonstrate that “the allegedly false statement[s]
    [were] necessary to the finding of probable cause,” as required under Franks’
    second prong.     
    438 U.S. at 156
    .     In determining whether misstatements or
    omissions in a wiretap application are material, we set aside any falsehoods in the
    application and determine whether the untainted portions of the application are
    sufficient to support a finding of probable cause. Rajaratnam, 
    719 F.3d at 146
    .
    We agree with the district court that – even were the alleged misstatements to be
    removed and the allegedly omitted information to be added – the wiretap
    7
    application still would support a finding of probable cause. Here, the wiretap
    application relied on a detailed 111-page affidavit that drew on a wide variety of
    uncontested sources – including stock prices, text messages, telephone records,
    victim reports, public filings, and other informants.    These sources provided
    ample support for the conclusion that a crime was underway. For example, the
    affidavit detailed a number of text messages sent and received by Discala that
    corroborate the existence of a fraudulent scheme. See, e.g., J. App’x at 154 (text
    messages suggesting that Discala was coordinating with brokerage firm to create
    appearance that there was market for company’s stock), 157–59 (Discala describing
    a co-conspirator as “really dangerous” because he was “using stupid words” and
    referenced “shares [they] control”), 164 (a co-conspirator urgently informing
    Discala that other co-conspirators were “about to [mess] up” by asking for $2,000
    per share). The affidavit also relied upon information gathered from a second
    confidential informant, who corroborated Discala’s involvement in stock-
    manipulation activities.   See 
    id.
     at 137–38 (describing conversations with a
    confidential informant who stated “in sum and substance that Discala was
    planning to manipulate the share price” of a company). When viewed in the
    context of the application as a whole, the challenged representations and
    8
    omissions were clearly not material. The district court therefore did not err in
    denying Discala’s motion to suppress wiretap evidence without first holding a
    Franks hearing.
    II.   Motion to Suppress Search Warrant Evidence
    Discala also asserts that the district court erred in denying his motion to
    suppress the fruits of the warrant authorizing a search of the offices of Discala’s
    business, OmniView Capital Advisors LLC (“OmniView”).               According to
    Discala, the warrant failed to satisfy the Fourth Amendment’s particularity
    requirement. In order to satisfy the particularity requirement, a warrant must
    (1) “identify the specific offense for which the police have established probable
    cause”; (2) “describe the place to be searched”; and (3) “specify the items to be
    seized by their relation to designated crimes.” United States v. Purcell, 
    967 F.3d 159
    , 178 (2d Cir. 2020) (internal quotation marks omitted). Discala contends that
    the OmniView warrant failed to meet the first and third particularity
    requirements. Specifically, Discala asserts that the warrant identified only broad,
    “catchall” statutory provisions that failed to provide readily ascertainable
    guidelines for the executing law enforcement officers, and that it authorized the
    seizure of practically every document on the OmniView premises without
    9
    tethering the list of items to be seized to the offenses for which probable cause had
    been established. We disagree.
    Here, the warrant specifically identified the offenses for which probable
    cause had been established, described the place to be searched, and included an
    illustrative list of items to be seized in relation to the designated crimes. This
    illustrative list – which was subject to a temporal limitation and which specifically
    identified the companies at the core of the government’s investigation, other
    individuals suspected of being involved in the scheme, and several specific
    categories of relevant documents – provided meaningful guidance for the officers
    executing the search as to render the warrant sufficiently “particularized.” United
    States v. Riley, 
    906 F.2d 841
    , 844–45 (2d Cir. 1990); see also United States v. Young,
    
    745 F.2d 733
    , 759–60 (2d Cir. 1984).
    III.   Lay-Opinion Testimony
    Discala next contends that the district court erred in permitting certain
    witnesses to offer lay-opinion testimony that failed to satisfy the requirements set
    forth in Federal Rule of Evidence 701.        In particular, Discala asserts that the
    district court improperly permitted a cooperating witness, Matthew Bell, to
    repeatedly use the terms “illegal” and “manipulation” – statements that Discala
    10
    claims embody legal conclusions – in describing the conduct at issue. Discala Br.
    at 90–91. Discala also argues that the district court improperly allowed Special
    Agent Constantine Voulgaris to provide testimony that was based on his
    specialized knowledge – not his personal perceptions – and that such testimony
    improperly influenced the jury.
    “We review a district court’s decision to admit evidence, including
    lay[-]opinion testimony, for abuse of discretion.” United States v. Tsekhanovich,
    
    507 F.3d 127
    , 129 (2d Cir. 2007) (internal quotation marks omitted). A district
    court abuses its discretion when “its decision rests on an error of law . . . or a
    clearly erroneous factual finding,” or “its decision – though not necessarily the
    product of a legal error or a clearly erroneous factual f[i]nding – cannot be located
    within the range of permissible decisions.” United States v. Kaplan, 
    490 F.3d 110
    ,
    118 (2d Cir. 2007) (internal quotation marks omitted).           If a district court
    erroneously admits evidence and a timely objection is raised, we will conduct
    harmless error review. See Fed. R. Crim. P. 52(a). The admission of evidence
    will be considered harmless when we “can conclude with fair assurance that the
    evidence did not substantially influence the jury.” United States v. Al-Moayad, 
    545 F.3d 139
    , 164 (2d Cir. 2008) (internal quotation marks omitted). In conducting
    11
    harmless-error review, we consider: “(1) the overall strength of the prosecution’s
    case; (2) the prosecutor’s conduct with respect to the improperly admitted
    evidence; (3) the importance of the wrongly admitted evidence; and (4) whether
    such evidence was cumulative of other properly admitted evidence.” 
    Id.
     (internal
    quotation marks and alteration omitted).
    Although the government concedes that the district court erred in allowing
    some of the challenged testimony to be admitted at trial, it contends that any errors
    were harmless and that reversal of Discala’s conviction is not warranted. We
    agree.     The government’s case against Discala was strong.           At trial, the
    government solicited the testimony of five cooperating witnesses, which was
    corroborated by text messages, trading records, various documents, and expert
    testimony.     See, e.g., Gov. App’x at 262–63 (Bell testifying regarding his text
    messages with Discala about coordinating trades and sale prices); 209 (wiretap call
    transcript in which Discala refers to himself as the “brake and the gas” in
    determining the price of stock); 156 (chart prepared by government expert
    demonstrating volume of trading over time). And three cooperating witnesses
    other than Bell testified that they personally engaged in the manipulation scheme
    with Discala.     See J. App’x at 1043 (Sloan testifying that he coordinated with
    12
    Discala to “artificially inflate[] the price of the stocks” and “create[] false volume
    by using wash sales”), 1094 (Wexler testifying that he “planned and manipulated
    stock prices of companies on the open market” with Discala), 1190–91 (Azrak
    testifying that he and Discala “manipulated the price of certain stocks”). In light
    of the wealth of other evidence available, we can fairly conclude that the jury
    would have had little need to rely upon the disputed portions of Bell’s and
    Voulgaris’ testimony.
    Furthermore, the fact that the government did not rely on Voulgaris’
    disputed testimony during summation provides further support for the
    conclusion that this testimony was not central to the government’s case and did
    not provide unique insights as compared to other evidence.2
    In short, we cannot conclude that the admission of the challenged
    lay-opinion testimony prejudiced Discala: the government’s case against Discala
    was strong, the challenged testimony was not central to the government’s case at
    trial, and the wealth of other evidence in the record rendered the challenged
    testimony either unimportant or cumulative. Accordingly, any errors the district
    2We need not decide whether the district court’s unobjected-to limiting instruction that Special
    Agent Voulgaris was not opining on Discala’s culpability negated the impact of any erroneously
    admitted testimony; even without the instruction, in the context of the trial evidence as a whole,
    any error in admitting Special Agent Voulgaris’ testimony was harmless.
    13
    court committed with regard to the challenged lay-opinion testimony were
    harmless and do not warrant reversal of Discala’s conviction.
    IV.   Conscious-Avoidance Instruction
    Discala additionally asserts that a new trial is warranted because the district
    court erroneously gave a conscious-avoidance instruction, over defense counsel’s
    objection. Specifically, Discala argues that the conscious-avoidance charge was
    erroneous and prejudicial because the government failed to establish the requisite
    factual predicate for this charge, as there was no evidence suggesting that Discala
    consciously avoided learning disputed facts.      We review preserved claims of
    error in jury instructions de novo, “reversing only where, viewing the charge as a
    whole, there was a prejudicial error.” United States v. Aina-Marshall, 
    336 F.3d 167
    ,
    170 (2d Cir. 2003).
    “A conscious[-]avoidance instruction permits a jury to find that a defendant
    had culpable knowledge of a fact when the evidence shows that the defendant
    intentionally avoided confirming the fact.” United States v. Ferrarini, 
    219 F.3d 145
    ,
    154 (2d Cir. 2000). A district court may properly give such an instruction only
    “when a defendant asserts the lack of some specific aspect of knowledge required
    for conviction” and “the appropriate factual predicate for the charge exists.”
    14
    Kaplan, 490 F.3d at 127 (internal quotation marks omitted).       An appropriate
    factual predicate exists when “the evidence is such that a rational juror may reach
    the conclusion beyond a reasonable doubt that the defendant was aware of a high
    probability of the fact in dispute and consciously avoided confirming that fact.”
    Id. (internal quotation marks omitted).       That said, an erroneously given
    conscious-avoidance instruction constitutes harmless error when there is
    “overwhelming evidence” of the defendant’s actual knowledge and the jury is
    properly instructed on actual knowledge. Ferrarini, 
    219 F.3d at 157
    .
    We cannot say that the district court’s conscious-avoidance instruction
    warrants reversal in this case. Although the government’s principal argument
    was that Discala had actual knowledge of the disputed facts at issue, this did not
    preclude the government from arguing – or the district court from concluding –
    that this same evidence could support a conscious-avoidance instruction. See,
    e.g., United States v. Svoboda, 
    347 F.3d 471
    , 480 (2d Cir. 2003); United States v.
    Hopkins, 
    53 F.3d 533
    , 542 (2d Cir. 1995).        And, indeed, the record here
    demonstrates that Discala repeatedly asserted a lack of knowledge as to the fraud.
    See J. App’x at 1374 (testifying to his understanding that the escrows were a way
    to protect the company and its investors); id. at 1378 (denying that he controlled
    15
    price of stocks); Gov. App’x at 362–64 (asserting in summation that escrows were
    used for “right and legal thing” and that Discala’s text messages were “not
    conversations about stock manipulation”).        The record also contains evidence
    from which a juror could properly infer that Discala consciously avoided
    confirming facts regarding illegal activity. See Gov. App’x at 166 (explaining that
    he “d[id]n’t know” how aspects of the escrow worked and that the person
    overseeing the escrows “d[id]n’t even like to talk about it”); id. at 220 (stating that
    he was “learning” not to openly discuss “what anyone else [was] doing” and that
    he didn’t “want to have anything to do with” certain activities).
    Moreover, even if the conscious-avoidance instruction was erroneously
    given, any such error was harmless. The district court instructed the jury on
    actual knowledge, and as discussed previously in the context of Discala’s other
    arguments, the record contained ample evidence that Discala had actual
    knowledge of the fraud. See Ferrarini, 
    219 F.3d at 157
    . As such, we find no basis
    to reverse Discala’s conviction on this ground.
    V.    Restitution Order
    Finally, Discala challenges the district court’s order requiring him to pay
    restitution for losses incurred via stock-purchase and participation-purchase
    16
    agreements prior to March 28, 2014. Discala argues that such losses could not
    have been “directly and proximately” caused by the offense conduct because they
    predated the alleged period of market manipulation. Discala Br. at 105–07. We
    review a district court’s order of restitution “deferentially, and we will reverse
    only for abuse of discretion.” United States v. Gushlak, 
    728 F.3d 184
    , 190 (2d Cir.
    2013) (internal quotation marks omitted). “Where a defendant challenges the
    district court’s finding of facts, we review for clear error; where his arguments
    raise questions of law, our review is de novo.” United States v. Goodrich, 
    12 F.4th 219
    , 227–28 (2d Cir. 2021) (internal quotations marks and alteration omitted).
    The district court did not err in concluding that the $908,911 in losses
    incurred prior to March 28, 2014 was properly included in Discala’s restitution
    obligation. When the offense of conviction is conspiracy, the “key question” is
    whether the victim’s losses were “directly and proximately caused” by the offense.
    
    Id. at 231
     (internal quotation marks omitted). As the district court correctly noted,
    Discala was convicted of conspiracies to commit securities fraud, mail fraud, and
    wire fraud that spanned from 2012 to 2014. With respect to those offenses, the
    district court concluded that the evidence adduced at trial clearly demonstrated
    that Discala played a central role in the conspiracy “from day one” and that there
    17
    was “no question” that Discala was aware of the transactions at issue or that the
    resulting losses were reasonably foreseeable to Discala. Sp. App’x at 66–67.
    We agree. In rendering its verdict as to the conspiracy to commit securities
    fraud count, the jury explicitly identified a pre-March 2014 purchase agreement
    signed by Discala as an overt act committed in furtherance of the conspiracy. See
    J. App’x at 1518. And testimony offered at trial demonstrated that Discala was
    integral in facilitating pre-March 2014 private-placement transactions in an effort
    to raise capital and to take the company public.          Because the district court
    reasonably determined that Discala directly and proximately caused the disputed
    $908,911 in losses, we affirm the district court’s restitution order.
    *      *     *
    We have considered Discala’s remaining arguments and find them to be
    without merit. Accordingly, we AFFIRM the judgment of the district court.
    FOR THE COURT:
    Catherine O’Hagan Wolfe, Clerk of Court
    18