United States v. Balter , 91 F.3d 427 ( 1996 )


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  •                                                                                                                            Opinions of the United
    1996 Decisions                                                                                                             States Court of Appeals
    for the Third Circuit
    7-29-1996
    United States v. Balter
    Precedential or Non-Precedential:
    Docket 94-5593,94-5625,94-5626
    Follow this and additional works at: http://digitalcommons.law.villanova.edu/thirdcircuit_1996
    Recommended Citation
    "United States v. Balter" (1996). 1996 Decisions. Paper 130.
    http://digitalcommons.law.villanova.edu/thirdcircuit_1996/130
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    UNITED STATES COURT OF APPEALS
    FOR THE THIRD CIRCUIT
    ____________
    Nos. 94-5593, 94-5625, 94-5626
    ____________
    UNITED STATES OF AMERICA
    v.
    RICHARD BALTER
    Appellant No. 94-5593
    UNITED STATES OF AMERICA
    v.
    KENNETH CUTLER
    Appellant No. 94-5625
    UNITED STATES OF AMERICA
    v.
    CHRIS OSCAR DEJESUS
    Appellant No. 94-5626
    ____________________
    ON APPEAL FROM THE UNITED STATES DISTRICT COURT
    FOR THE DISTRICT OF NEW JERSEY
    (D.C. Criminal Nos. 93-00536-1, 93-00536-2 and 93-00536-4)
    ____________________
    Argued: March 6, 1996
    Before:   MANSMANN, ALITO, and LEWIS, Circuit Judges
    (Opinion Filed: July 29, 1996)
    ____________________
    Faith S. Hochberg
    United States Attorney
    Kevin McNulty (Argued)
    Chief, Appeals Division
    Renee M. Bumb
    Assistant United States Attorney
    970 Broad Street
    Newark, New Jersey 07102
    Counsel for Appellee
    Paul B. Brickfield, P.C. (Argued)
    70 Grand Avenue
    River Edge, New Jersey 07661
    Richard E. Mischel, Esq.
    Kenneth Cutler, Esq.
    233 Broadway, Suite 3507
    New York, New York 10279
    Salvatore C. Adamo, Esq.
    412 Liggett Boulevard
    Phillipsburg, New Jersey 08865-4016
    Counsel for Appellant
    OPINION OF THE COURT
    ALITO, Circuit Judge:
    This case comes before us as a consolidated appeal from judgments
    of sentence
    imposed upon Richard Balter, Kenneth Cutler, and Chris Oscar DeJesus.
    After a joint trial,
    Balter, Cutler, and DeJesus were convicted for the murder-for-hire of
    Richard Cohen, in
    violation of 18 U.S.C.    1958 and 2, and Balter and Cutler were also
    convicted on related
    counts of mail fraud, in violation of 18 U.S.C.    1341, 1342. Although
    numerous
    allegations of error are raised, one issue -- whether New Jersey Rule of
    Professional Conduct
    4.2 which prohibits an attorney from contacting a represented party
    applies to federal
    prosecutors acting in the course of a pre-indictment investigation -- is a
    question of first
    impression for our court. We affirm.
    I.
    Richard Balter was the president and sole shareholder of
    Northeastern Poly
    Products, Inc. ("NPP") of Fairfield, New Jersey. NPP sold and distributed
    plastic bag
    products. Balter met Kenneth Cutler in the mid-1980's when Cutler was
    working for one of
    NPP's customers. Balter and Cutler had an arrangement under which Balter
    paid cash
    kickbacks to Cutler in exchange for the purchase of NPP's products. The
    cash for these
    kickbacks was generated by issuing checks to the fictitious payee "Robert
    Katz." In 1992,
    Balter hired Cutler to work at NPP, and shortly after Cutler arrived,
    Balter and Cutler formed
    another plastic bag product company, International Syndication of America
    ("ISA").
    Robert Cohen owned and operated Uneeda Manufacturing Corporation
    ("Uneeda") in the Bronx, New York. Uneeda was an NPP customer that
    manufactured
    garbage cans and distributed plastic garbage bags. Uneeda was NPP's most
    delinquent
    account. By the early 1990's, Uneeda's outstanding balance had grown to
    approximately
    $600,000.     Balter initially tried to collect this debt by calling
    Cohen, and Cutler became
    involved with these collection efforts soon after joining NPP. Cutler had
    known Cohen for
    many years prior to his involvement with Balter. In fact, Cutler had been
    Cohen's best man at
    his wedding. Trial tr. at 3393. Cutler believed that NPP could not
    withstand the "financial
    blow" if Uneeda defaulted. At one point, Cutler commented to an NPP
    employee that
    "something had to be done" and that "he was going [to] take care of the
    Uneeda problem."
    SA. 354.
    Cohen began to worry that his business relationship with NPP had
    deteriorated
    to such a point that Balter would refuse to supply him with products.
    Fearing that this would
    thwart Uneeda's ability to make sales and generate income to pay its
    debts, Cohen discussed
    this problem with his long-time insurance agent, Jefferey Liederman, at
    New York Life
    Insurance Company ("New York Life"). Liederman suggested that Cohen take
    out a life
    insurance policy and that he name Balter as the beneficiary as a sign of
    good faith to convince
    Balter not to cut off Uneeda's product supply. Cohen agreed.
    Balter and Cutler were also Liederman's clients, and Liederman
    discussed the
    Uneeda account deficit with them over lunch on several occasions. After
    Cohen agreed to take
    out the life insurance policy, Liederman reviewed with Balter the tax
    advantages that he would
    gain as the owner and beneficiary of that policy.
    In February 1992, New York Life received an application for a
    $600,000 life
    insurance policy designating Cohen as the owner of the policy and his
    estate as the beneficiary.
    The application was accepted. About a month later, New York Life received
    a change of
    beneficiary form changing the ownership of the policy to Richard Balter
    and designating
    "Richard Balter-Creditor" as the new beneficiary. Balter paid the first
    month's premium on
    the policy and each monthly payment thereafter.
    In September 1992, Cutler contacted Gustavo Gil, a former co-
    worker. Cutler
    and Gil had worked together at the Chrysler Corporation beginning in 1979,
    but they had not
    spoken in several years. Cutler told Gil that he wanted to introduce him
    to a friend, but would
    not explain the reason for the introduction.
    Gil met Cutler and Balter at a diner in Secaucus, New Jersey.
    After
    introductions, Balter told Gil that "there was a person who owed him a lot
    of money and who
    ha[d] insulted him and he wanted this man shot and killed." SA. 21.
    Balter described the
    victim as a businessman in the Bronx, but he did not name him. Balter
    asked Gil if he knew
    anyone who could do the killing, and Gil indicated that he did. Balter
    explained that he was
    willing to pay "ten thousand dollars or more if necessary" for the murder.
    SA. 22. Cutler
    instructed Gil to call them when he located someone to commit the murder.
    Balter and Cutler
    also offered to set Gil up in NPP's warehouse so that Gil could start his
    own business.
    Over the course of the next month, Balter and Cutler pressed Gil
    to find
    someone to commit the murder. NPP's bankers were threatening to withdraw
    NPP's line of
    credit due to concern about the Uneeda account. Balter gave Gil an office
    in the NPP
    warehouse and other assistance to start his own business reconditioning
    automotive engines.
    During this period, Gil learned that Cohen was the intended victim. On
    one occasion, he
    travelled with Balter's driver to Uneeda at Balter's behest. Gil met
    Cohen at Uneeda and
    engaged him in conversation for approximately five minutes.
    In December 1992, Gil contacted Manuel Garcia at a video store in
    Brooklyn,
    New York, to help him find someone to kill Cohen. Garcia had worked for
    Gil in 1989, and
    Garcia had often talked about the people he knew in a gang called the
    "Tigres." Garcia had
    told Gil that the "Tigres" were involved in drug sales, murders, and other
    violent crimes. SA.
    13-14.
    Gil told Garcia that the people he represented would pay $10,000
    to have Cohen
    killed. Garcia expressed interest and said that he had "just the guy" to
    carry out the murder.
    SA. 51. Garcia immediately introduced Gil to DeJesus. DeJesus
    acknowledged that he had
    done this type of work in the past, but stated that he had not done it
    recently. However, he
    admitted that he needed the money and therefore agreed to commit the
    murder. DeJesus
    demanded half of the money in advance. Gil then drove DeJesus to Uneeda
    and explained to
    him the details of the plan to kill Cohen.
    Gil went to Balter that same day and informed him that DeJesus
    would do the
    job for $10,000, if half was paid up front. Balter gave Gil $5,000 in
    cash that he had
    generated by writing checks for fictitious expenses. Gil delivered the
    $5,000 to DeJesus the
    following day.
    Meanwhile, Balter and Cutler were planning the details of the
    murder. On
    January 8, 1993, they drove to Cohen's home near Peekskill, New York.
    They considered
    ambushing Cohen in his own neighborhood but concluded that Cohen's
    business in the Bronx
    would be a better location for the killing. While Balter and Cutler were
    near Cohen's house,
    his housekeeper spotted them and became suspicious. She told Cohen what
    she had seen and
    described Balter's car to him. Cohen became concerned and contacted
    Liederman. He told
    Liederman that he believed that Balter meant to harm him and indicated
    that he wanted Balter
    removed as the beneficiary of the insurance policy. Liederman explained
    that Balter owned
    the policy and that Cohen therefore could no longer change the
    beneficiary.
    Gil and DeJesus drove to Uneeda on the morning of January 19,
    1993. Garcia
    was originally supposed to drive DeJesus, but the two had had a
    disagreement, and Gil had
    assented that morning to drive DeJesus to the murder scene. Cohen arrived
    late for work. By
    the time he arrived, the street was too busy to attempt the shooting. Gil
    and DeJesus left
    Uneeda and went directly to Balter's office at NPP to tell him of the
    aborted attempt. They
    agreed to try again the next morning.       Balter stressed to DeJesus
    that he wanted Cohen
    dead, not injured. He told DeJesus to shoot Cohen in the head and to drop
    a bag of cocaine
    by the body to give the appearance of a drug-related killing. DeJesus
    assured Balter that he
    knew what to do and that he had done this before. Balter also told
    DeJesus that "if there are
    other people there when [Cohen's] there . . . shoot them all." SA. 94.
    Gil and DeJesus drove to Uneeda the next morning, January 20,
    1993. When
    Cohen arrived, DeJesus engaged him in a short conversation and then shot
    him at least three
    times in the chest with a pistol. An eyewitness to the shooting described
    the shooter as a light-
    skinned Hispanic man, between 21-27 years old, approximately 5'6," of
    medium build, with
    straight black bangs and a moustache.
    After the murder, Gil and DeJesus drove back to NPP. Balter gave
    DeJesus
    more money and told him that he would give him additional money "in a
    couple of months."
    SA. 111. Cohen remained unconscious until he died on March 5, 1993.
    Balter and Cutler
    then submitted a claim form requesting payment on the life insurance
    policy.
    In the meantime, federal law enforcement agents began
    investigating the
    murder. Shortly after the investigation commenced, Gil admitted his role
    in the killing and
    secretly began cooperating with federal officers. He surreptitiously
    recorded numerous live
    and telephone conversations with each of his co-conspirators. The taped
    conversations include
    discussions about the murder, the cover-up, and payments made to DeJesus
    for committing the
    murder. They largely corroborate Gil's extensive testimony identifying
    the different roles
    each of the defendants had in the murder scheme.
    On November 9, 1993, a federal grand jury in the District of New
    Jersey
    returned an indictment against Balter, Cutler, DeJesus, and Garcia, and
    all of the defendants
    were arrested the following day. DeJesus was arrested in Aberdeen, North
    Carolina. After
    signing a written waiver-of-rights form and answering some brief
    biographical questions, he
    was given a copy of the indictment against him and was taken for an
    initial appearance. He
    made no further statements until two days later when he called the
    arresting postal inspector in
    an attempt to make a deal.
    The defendants were jointly tried in the United States District
    Court for the
    District of New Jersey beginning in late May 1994. At the end of the
    government's case, the
    defendants moved for judgment of acquittal on all counts, and the
    government moved for the
    voluntary dismissal of three counts of mail fraud and aiding and abetting
    against Balter and
    Cutler. The district court granted the government's motion and denied the
    defendants' motion
    to dismiss the remaining counts.
    Balter presented no defense. Cutler testified on his own behalf,
    but presented
    no other witnesses. DeJesus presented one witness. The jury found the
    defendants guilty of
    all the remaining counts on June 27, 1994. The district court imposed
    sentences of life
    imprisonment on all of the defendants, and they then appealed.
    II.
    On appeal, Balter argues that the district court erred by: (1)
    denying his
    repeated motions for a severance; (2) refusing to suppress his taped
    statements on the ground
    that they were made in violation of New Jersey Rule of Professional
    Conduct 4.2; and (3)
    admitting certain evidence under Federal Rule of Evidence 404(b). Cutler
    appeals solely on
    the issue of severance. DeJesus contends: (1) that the district court
    erred by improperly
    admitting Rule 404(b) evidence against him; (2) that the government
    impermissibly commented
    on his post-arrest silence in its summation in violation of Doyle v. Ohio,
    
    426 U.S. 610
     (1975);
    (3) that the government improperly shifted the burden of proof to him
    during its summation;
    (4) that the government retreated from its theory of the case during its
    closing and created a
    variance from the indictment; (5) that the district court erroneously
    admitted his high school
    yearbook photograph; and (6) that the cumulative effect of these alleged
    errors requires the
    reversal of his conviction. We will address each of these arguments
    seriatim.
    III.
    A. Balter and Cutler claim that they had "mutually antagonistic
    defenses" at
    trial and that the district court therefore erred in failing to grant
    their repeated motions for a
    severance. We reject this argument.
    As the Supreme Court observed in United States v. Zafiro, 
    506 U.S. 534
    , 537
    (1993) (quoting Richardson v. Marsh, 
    481 U.S. 200
    , 209 (1987)), "[t]here
    is a preference in
    the federal system for joint trials of defendants who are indicted
    together," because joint trials
    "promote efficiency and `serve the interests of justice by avoiding the
    scandal and inequity of
    inconsistent verdicts.'" In Zafiro, as in this case, the defendants
    argued that they had been
    prejudiced because they had "mutually antagonistic" or "irreconcilable"
    defenses, and they
    urged the Court to adopt "a bright-line rule, mandating severance whenever
    codefendants have
    conflicting defenses."    Id. at 538. The Court, however, explicitly
    declined to adopt such a
    rule. Id. at 538. Rather, the Court instructed that trial courts should
    grant a severance under
    Fed. R. Crim. P. 14 "only if there is a serious risk that a joint trial
    would compromise a
    specific trial right of one of the defendants, or prevent the jury from
    making a reliable
    judgment about guilt or innocence." Zafiro, 
    506 U.S. at 538-39
    . "Such a
    risk might occur,"
    the Court observed, "when evidence that the jury should not consider
    against a defendant and
    that would not be admissible if a defendant were tried alone is admitted
    against a
    codefendant." 
    Id. at 539
    . The Court cited three specific examples in
    which this might take
    place: (1) "a complex case" involving "many defendants" with "markedly
    different degrees of
    culpability," (2) a case such as Bruton v. United States, 
    391 U.S. 123
    (1968), where evidence
    that is probative of one defendant's guilt is technically admissible only
    against a co-defendant,
    and (3) a case where evidence that exculpates one defendant is unavailable
    in a joint trial.
    Zafiro, 
    506 U.S. at 539
    .
    Since Zafiro, claims based on mutually antagonistic defenses
    have usually been
    found insufficient to warrant severance without a strong showing that such
    specific rights were
    impaired. See, e.g., United States v. Voight, ___ F.3d ___, ___ (3d Cir.
    1996); United
    States v. Frost, 
    61 F.3d 1518
    , 1526 (11th Cir. 1995); United States v.
    Quintero, 
    38 F.3d 1317
    , 1341-42 (3d Cir. 1994), cert. denied, 
    115 S.Ct. 1263
     (1995); United
    States v. Linn, 
    31 F.3d 987
    , 992 (10th Cir. 1994); United States v. Dimas, 
    3 F.3d 1015
    , 1020
    (7th Cir. 1993).
    A denial of a motion for severance may be reversed only if the
    district court
    abused its discretion. Zafiro, 
    506 U.S. at 541
    ; United States v.
    Thornton, 
    1 F.3d 149
    , 152
    (3d Cir.), cert. denied, 114 S.Ct 483 (1993). Defendants seeking to
    overturn a district court's
    discretionary decision to deny a motion for severance "must demonstrate
    clear and substantial
    prejudice resulting in a manifestly unfair trial." United States v.
    Voight, ___ F.3d at ___;
    United States v. Eufrasio, 
    935 F.2d 553
    , 568 (3d Cir. 1991), cert. denied
    
    502 U.S. 925
    (1991). "`Prejudice should not be found in a joint trial just because all
    evidence adduced is
    not germane to all counts against each defendant' or some evidence adduced
    is `more
    damaging to one defendant than others.'" United States v. Console, 
    13 F.3d 641
    , 655 (3d Cir.
    1993), cert. denied, 
    114 S. Ct. 1660
     (1994) (citing Eufrasio, 
    935 F.2d at 568
    ).
    In this case, although Balter and Cutler maintain that they had
    mutually
    antagonistic defenses at trial, they have not identified any specific
    trial rights that were
    compromised by the joint trial; nor have they demonstrated that the joint
    trial impeded the jury
    from making a reliable judgment about guilt or innocence. Accordingly, we
    find no abuse of
    discretion on the part of the trial judge in denying their severance
    requests.
    B. Balter claimed complete innocence and alleged that Cutler,
    Gil, Garcia, and
    DeJesus murdered Cohen and then sought to extort Balter by threatening to
    frame him with the
    murder. Balter alleges generally that the joint trial was unreliable and
    that he was "repeatedly
    denied the opportunity to present his defense and adequately cross-examine
    witnesses testifying
    against him." Balter Br. at 15. Balter's most specific allegations of
    prejudice are (a) that he
    was denied the right to cross-examine Gil "on numerous occasions" and (b)
    that the court
    refused to admit evidence that he proffered to show that he had sought to
    disassociate himself
    from DeJesus and to show that Garcia had a history of murder and other
    violent conduct. This
    latter evidence, Balter argues, would have supported his defense that he
    succumbed to the
    others' extortion after the murder because he feared Garcia.
    Balter's arguments are inconsistent with the record. Although he
    claims that his
    attorney was unduly restricted in his cross-examination of Gil, this
    cross-examination was
    detailed and extensive, JA. 491-869, and Balter has not cited any
    specific information that
    would have been helpful to his defense and that he was not permitted to
    elicit from Gil. Nor
    has he cited any evidence that was admitted against him that would have
    been inadmissible had
    he been tried separately.
    Furthermore, neither of the two rather routine evidentiary
    rulings of which
    Balter complains resulted in prejudice that approached a level that would
    have warranted a
    severance. First, Balter sought to introduce a portion of transcript
    containing his statement
    that he did not want to be associated with DeJesus because DeJesus had a
    criminal record.
    Balter wanted to introduce this portion of the transcript to corroborate
    his claim that he feared
    DeJesus. However, DeJesus, although he might have been involved in past
    criminal conduct,
    did not have a criminal record. Consequently, the court permitted Balter
    to introduce a
    redacted version of the transcript that included Balter's statement that
    he did not wish to be
    associated with anyone but that omitted the portion of the statement
    reflecting Balter's
    erroneous belief that DeJesus had a criminal record. SA. 243. The court
    further ruled that
    Balter's attorney, in cross-examining Gil, could ask him if he had told
    Balter that DeJesus had
    a criminal record but that if Balter's attorney asked this question the
    court would instruct the
    jury that DeJesus did not have a record. Balter's attorney then elected
    not to pursue this
    matter in cross-examining Gil. The district court's handling of this
    issue was fair and sensitive
    to the needs of Balter's defense, and the likelihood that the redaction of
    the transcript had any
    detrimental effect on Balter seems quite low.
    Second, Balter challenges the district court's exclusion of Gil's
    proposed
    testimony that Garcia had told him that he had recently committed another
    murder in order to
    convince Gil that he was qualified for the present job. The court ruled
    that the prejudicial
    effect of this statement on co-defendant Garcia outweighed the probative
    value for Balter to
    establish fear. Nevertheless, the court permitted Balter to elicit
    testimony about Garcia's
    involvement with a violent drug gang that was involved in "[d]rug sales,
    violent acts, [and]
    murder." JA. 1310-11. This was adequate to support Balter's claim of
    fear.
    We conclude that Balter cannot show prejudice from the joint
    trial and that the
    district court did not abuse its discretion in denying his motions for a
    severance.
    C. Cutler maintained that he did not participate in the murder
    and merely
    helped to cover up Balter's involvement after the fact. Cutler argues
    that the trial court's
    failure to grant his severance motions prejudiced him by creating the
    incentive for Balter's
    counsel to become a "second prosecutor." There are pre-Zafiro cases that
    advanced the
    "second prosecutor" theory as a ground for requiring severance. See
    United States v. Tootick,
    
    952 F.2d 1078
    , 1082 (9th Cir. 1991); United States v. Romanello, 
    726 F.2d 173
    , 179 (5th
    Cir. 1984). Justice Stevens also noted it as a potential problem in his
    concurrence in Zafiro.
    
    Id.
     
    506 U.S. at 544
    . Cutler, however, cites no post-Zafiro cases
    reversing a trial judge's
    denial of a severance on the basis of this theory, and we are not aware of
    any such cases. In
    fact, Cutler concedes that Tootick, one of the leading cases embracing
    this theory and one of
    the cases on which he relies most heavily, was subsequently limited to its
    facts by the Ninth
    Circuit after Zafiro. United States v. Buena-Lopez,
    987 F.2d 657
    , 660-61
    (9th Cir. 1993).
    The court observed in Buena-Lopez that the relevant inquiry after Zafiro
    focuses on specific
    and significant prejudice to the defendant, not on a more general "second
    prosecutor" theory.
    
    Id.
    Cutler's only specific claim of prejudice is that the district
    court refused to
    permit him to introduce hundreds of checks made out to the fictitious
    payee "Robert Katz."
    After the government introduced five such checks in order to show the
    method by which Balter
    generated cash to pay for the murder, Cutler sought to introduce all of
    the "Robert Katz"
    checks to show that Balter had used such checks to pay Cutler for other
    services and that
    therefore that the five checks introduced by the government were not
    necessarily related to the
    murder. The court excluded the hundreds of checks that Cutler sought to
    introduce because
    the court thought that they would confuse the jury, but the court allowed
    another witness to
    testify about all of the checks. JA. 1071. Indeed, Cutler agreed on the
    record to this
    approach. 
    Id.
    In view of Cutler's acceptance of this approach, we would not
    find that the
    district court erred even if Cutler could show that he was prejudiced by
    not being permitted to
    introduce the actual checks. See United States v. Olano, 
    113 S.Ct. 1770
    ,
    1777 (1993). But in
    any event, Cutler has not shown that he suffered prejudice. We therefore
    hold that the district
    court did not abuse its discretion in denying his motions for a severance.
    IV.
    Balter also contends that the district court erroneously
    admitted taped
    telephone conversations between himself and Gil. Balter argues that these
    tapes were made in
    violation of New Jersey Rule of Professional Conduct 4.2, which prohibits
    a lawyer from
    contacting a represented party. Balter maintains that, even before he was
    indicted, Rule 4.2
    prohibited the government from using Gil as its agent to contact him
    because he had already
    retained counsel. According to Balter, the required remedy for these
    alleged violations of
    Rule 4.2 is the suppression of these statements.
    Local Rule 6(A) of the United States District Court for the
    District of New
    Jersey provides that the Rules of Professional Conduct of the American Bar
    Association as
    revised by the New Jersey Supreme Court shall apply to attorneys
    practicing before the
    District Court, "subject to such modifications as may be required or
    permitted by federal
    statute, regulation, court rule or decision of law." D.N.J.R. 6(A). Rule
    4.2 of the New
    Jersey Rules of Professional Conduct ("Rule 4.2" or "the Rule") provides:
    In representing a client, a lawyer shall not communicate about
    the
    subject of the representation with a party the lawyer knows to be
    represented by another lawyer in the matter, unless authorized by
    law to do so.
    N.J.R.P.C. 4.2. The New Jersey Supreme Court has not considered the
    applicability of this
    Rule to prosecutors acting in the course of a pre-indictment
    investigation. "Where there is no
    definitive state court decision interpreting the rules as promulgated by
    the [New Jersey]
    Supreme Court, the federal Court will proceed to reach its own conclusion
    as to the
    appropriate application of the Rules of Professional Conduct." D.N.J.R.
    6, Comment. In this
    case, the district court rejected Balter's argument on the theory that
    federal prosecutors are
    "authorized by law" to conduct pre-indictment investigations and that
    contact with a
    represented party in the course of such an investigation if therefore
    permitted under Rule 4.2.
    Whether Rule 4.2 applies to government attorneys who communicate
    with a
    suspect as part of a pre-indictment criminal investigation is a question
    of first impression for
    this court, but we have no doubt that the district court's decision was
    correct. The language
    of Rule 4.2 and the opinions of the Appellate Division of the New Jersey
    Superior Court
    construing that rule support the view that the Rule is inapplicable to
    cases such as the one
    before us. Moreover, the overwhelming majority of circuits to have
    addressed this issue have
    also concluded that Model Rule of Professional Conduct 4.2, upon which New
    Jersey Rule 4.2
    is based, is not applicable in such circumstances.
    By its terms, Rule 4.2 applies to a "party" represented in a
    "matter." A "party"
    is necessarily a "party" to something. The Appellate Division of the New
    Jersey Superior
    Court has held that a criminal suspect is not a "party" until "after
    formal legal or adversarial
    proceedings are commenced." State of New Jersey v. Ciba-Geigy Corp., 
    589 A.2d 180
    , 183
    (App. Div. 1991), appeal dismissed, 
    617 A.2d 1213
     (N.J. 1992). The court
    in Ciba-Geigyexplained that in the criminal context adversarial
    proceedings commence "by complaint or
    indictment after investigation." Id. at 185 (emphasis added). We agree.
    Moreover, even if a criminal suspect were a "party" within the
    meaning of the
    Rule, pre-indictment investigation by prosecutors is precisely the type of
    contact exempted
    from the Rule as "authorized by law." New Jersey case law has explicitly
    exempted ordinary
    pre-indictment investigation as within the "authorized by law" exception
    to the Rule. State v.
    Porter, 
    510 A.2d 49
    , 54 (App. Div. 1986). Prohibiting prosecutors from
    investigating an
    unindicted suspect who has retained counsel would serve only to insulate
    certain classes of
    suspects from ordinary pre-indictment investigation. Furthermore, such a
    rule would
    significantly hamper legitimate law enforcement operations by making it
    very difficult to
    investigate certain individuals. Thus, even assuming that Gil contacted
    Balter at the direction
    and under the supervision of government attorneys, the conduct of these
    attorneys was clearly
    in the course of a legitimate pre-indictment investigation and was
    therefore "authorized by
    law" under New Jersey Rule 4.2.
    This conclusion is supported by the decisions of many other
    courts of appeals.
    Indeed, with the exception of the Second Circuit, every court of appeals
    that has considered a
    similar case has held, for substantially the same reasons as those noted
    above, that rules such
    as New Jersey Rule 4.2 do not apply to pre-indictment criminal
    investigations by government
    attorneys. See, e.g., United States v. Powe, 
    9 F.3d 68
     (9th Cir. 1993);
    United States v.
    Ryans, 
    903 F.2d 731
     (10th Cir.), cert. denied, 
    498 U.S. 855
     (1990); United
    States v. Sutton,
    
    801 F.2d 1346
     (D.C. Cir. 1986); United States v. Dobbs, 
    711 F.2d 84
     (8th
    Cir. 1983); United
    States v. Weiss, 
    599 F.2d 730
     (5th Cir. 1979); But see United States v.
    Hammad, 
    858 F.2d 834
     (2d Cir. 1988), cert. denied, 
    498 U.S. 871
     (1990). And even the
    Second Circuit has held
    that ordinary pre-indictment investigation, such as that involved in this
    case, falls within the
    "authorized by law" exception to the Rule absent some independent
    misconduct by the
    prosecutors. Hammad, 
    858 F.2d at 840
    .
    We hold that New Jersey Rule 4.2 is inapplicable to contacts made
    by
    prosecutors or their agents with criminal suspects in the course of a pre-
    indictment
    investigation. The district court therefore did not abuse its discretion
    in refusing to suppress
    the taped statements at issue here.
    V.
    A. Balter and DeJesus also contend that the district court
    violated Federal Rule
    of Evidence 404(b) by admitting certain of their statements that show, in
    their view, nothing
    more than a propensity to commit crimes. Trial court rulings under Rule
    404(b) are reviewed
    for an abuse of discretion and may be reversed only when they are "clearly
    contrary to reason
    and not justified by the evidence." United States v. Bethancourt, 
    65 F.3d 1074
    , 1079 (3d Cir.
    1995), cert. denied, 
    116 S.Ct. 1032
     (1996) (citation omitted). This
    stringent standard has not
    been met here.
    B. Balter objects to the admission of a statement that he made
    to Gil in a taped
    conversation that took place after the murder. After Gil mentioned to
    Balter that DeJesus
    wanted more money, Balter responded that if DeJesus "just disappears, then
    we'll have no f----
    -- problems." Balter added, however, that "then we'll be involved with
    someone else again."
    SA. 234.      Balter asserts that there was no proper basis for admitting
    this statement under
    Rule 404(b) and that it was admitted merely to show criminal propensity.
    He maintains that
    the statement has "no probative value," Balter Br. at 30 (emphasis in
    original), and is highly
    prejudicial. We disagree.
    Under Rule 404(b), evidence of "other crimes, wrongs, or acts"
    may be
    admissible to show, among other things, "preparation, plan, and
    knowledge."   The statement
    in question here is clearly relevant to show Balter's knowledge of the
    original plan and his
    involvement in the plan to cover up the murder. It casts significant
    doubt on his defense that
    he had nothing to do with the planning of the murder but was merely
    extorted to make
    payments after the fact by the other parties. Consequently, the district
    court's admission of
    this statement did not violate Rule 404(b).
    C. DeJesus objects to the admission of testimony that he had
    boasted of
    previous experience as a murderer for hire. Gil was questioned about the
    conversation he had
    with DeJesus when he first asked DeJesus if he would be interested in
    committing the murder
    for payment, and Gil testified that DeJesus acknowledged that he was
    interested. Gil added
    that DeJesus had "told [him] that he had done this type of thing before,
    . . . that he had not
    been doing it, but would do it because he needed the money," and "that he
    knew what he had
    to do, he had done it before and he knew what he had to do to kill [the
    victim]." SA. 81, 99.
    DeJesus asserts that these statements had no probative value and
    were highly
    prejudicial. Again, however, we see no basis for reversing the trial
    judge's ruling. DeJesus's
    defense was that he was present at the murder scene but that he did not
    commit the murder.
    These statements were relevant to show, among other things, that he had a
    financial motive to
    commit the murder and the intent to do so. They also show preparation.
    DeJesus was trying
    to sell himself to Gil as a seasoned professional. His motive for getting
    involved and his intent
    in going to the scene are central to the charge of traveling interstate
    with the intent to commit
    murder for hire. Thus, the district court had a sound basis for
    concluding that these
    statements were admissible under Rule 404(b).
    VI.
    DeJesus contends that one of the prosecutors violated the rule of
    Doyle v. Ohio,
    
    426 U.S. 610
     (1976), during her summation by commenting on his post-arrest
    silence for the
    purpose of impeaching a subsequent exculpatory statement. We are troubled
    by the
    prosecutor's comments, but we are convinced that even if they were
    improper they constituted
    harmless error.
    A. DeJesus was arrested in Aberdeen, North Carolina, by Postal
    Inspector
    William Johnson. Upon his arrest, DeJesus was read his Miranda rights,
    and he signed a
    written waiver of those rights. He then disclosed information about his
    identity and personal
    history, but he did not comment on the offenses for which he had been
    arrested. JA. 1455-57.
    He was taken to court in Winston-Salem for his initial appearance. JA.
    1459-60. Upon
    arrival, he was given a copy of his indictment. After having the
    opportunity to read the
    indictment for approximately 25 minutes, DeJesus was brought before a
    magistrate judge.
    Although the record of the initial appearance has not been made a part of
    the record of this
    case, the district court and the parties have all proceeded on the
    assumption that the initial
    appearance was conducted in conformity with Rule 5(c) of the Federal Rules
    of Criminal
    Procedure and that the magistrate judge therefore informed DeJesus that he
    was "not required
    to make a statement and that any statement made by [him could] be used
    against [him]." Fed.
    R. Crim. P. 5(c). See JA. 1575.
    After the initial appearance, DeJesus was incarcerated, and two
    days later, he
    telephoned Inspector Johnson and tried to make a deal. JA. 1461. DeJesus
    said that he was
    afraid of Gil. He admitted that he drove with Gil to the homicide, but he
    maintained that Gil
    had actually done the shooting. He explained that he had testified in
    other similar cases and
    offered to help in any way he could. JA. 1462.
    DeJesus complains specifically of two comments that the
    prosecutor made in
    summation. The prosecutor remarked:
    If DeJesus is totally innocent and in his mind all he did was he
    drove there and he was totally innocent, okay, then why didn't he
    as he's reading the indictment pop up and say wait a minute, wait
    a minute, they're saying I was the hit man here, I wasn't the hit
    man here, I just drove there. And if in his own mind he's
    totally
    innocent and he just drove there then why doesn't he just pop
    right up and say whoa, he knew what it meant to talk? But he
    waits two days, he waits two days to concocted [sic] his story. .
    .
    . He's trying to cut himself a break because he thinks that the
    Government doesn't know about Gus Gil because his name's not
    in [the indictment]. So he's saying to himself, he's sitting
    there
    pondering for two days well, I'll tell them, I'll blame it on Gus
    Gil,and I'll tell them I just drove then as the Government
    probably doesn't know about Gus Gil so let me, let me tell him
    and I'll cut myself a break.
    JA 1543-44. The prosecutor also commented: "If [DeJesus] just drove and
    he's totally
    innocent, then why didn't he tell Inspector Johnson immediately? Why wait
    two days?" JA.
    1557.
    DeJesus's counsel immediately moved for a mistrial based on these
    comments.
    The court denied this motion but gave a limiting instruction that
    admonished the jury not to
    consider the portion of the prosecutor's argument that focused on
    DeJesus's silence at his
    preliminary hearing. Nonetheless, the court explained that the jury could
    consider the
    chronology of events, so long as it did not consider DeJesus's silence.
    At the conclusion of
    the trial, DeJesus's counsel made a second motion for a mistrial, but this
    motion was also
    denied.
    B. In Doyle v. Ohio, 
    supra,
     the Supreme Court held that "the use
    for
    impeachment purposes of [a defendant's] silence, at the time of arrest and
    after receiving
    Miranda warnings, violate[s] the Due Process Clause."   The Court
    reasoned:
    The warnings mandated by [Miranda], as a prophylactic means of
    safeguarding Fifth Amendment rights, . . .   require that a
    person taken into custody be advised    immediately that he
    has the right to remain silent, that anything he says may be used
    against him, and that he has a right to retained or appointed
    counsel before      submitting to interrogation. Silence in the
    wake of these warnings may be nothing more than the arrestee's
    exercise of these Miranda rights. Thus, every post-arrest
    silence
    is insolubly ambiguous because of what the State is required to
    advise the person arrested. . . . Moreover, while it is true
    that
    the Miranda warnings contain no express assurance that silence
    will carry no penalty, such assurance is implicit to any person
    who receives the warnings. In such circumstances, it would be
    fundamentally unfair and a deprivation of due process to allow
    the arrested person's silence to be used to impeach an
    explanation
    subsequently offered at trial.
    
    426 U.S. at 617-18
     (citations and footnote omitted).
    In attempting to defend the prosecutor's comments, the government
    points out
    that the present case differs from Doyle in that Doyle concerned a
    defendant's silence
    immediately after the administration of Miranda warnings whereas this case
    concerns
    DeJesus's silence during the two days following the (presumed)
    administration of warnings at
    his initial appearance. The government then notes that the Supreme Court
    has repeatedly
    declined to extend the rule of Doyle beyond its original scope. See
    Jenkins v. Anderson, 
    447 U.S. 231
     (1979) (pre-arrest silence may be used to impeach exculpatory
    testimony at trial);
    Anderson v. Charles, 
    447 U.S. 404
     (1979) (inconsistent statement given
    after arrest and
    Miranda warnings may be used to impeach exculpatory trial testimony);
    Fletcher v. Weir, 
    455 U.S. 603
     (1981) (post-arrest silence may be used to impeach exculpatory
    testimony at trial
    where no Miranda warnings were ever given). Furthermore, the Court has
    held that there is
    no Doyle violation where the trial court gives a curative instruction
    informing the jury that the
    defendant's post-arrest silence is not evidence and cannot be used to
    infer guilt. Greer v.
    Miller, 
    483 U.S. 756
     (1986).
    We are not convinced that the government's suggested distinction
    is valid. It
    may be that a defendant's silence immediately after receiving Miranda
    warnings is more likely
    to represent the exercise of Miranda rights than is a defendant's silence
    for an extended period
    after the receipt of warnings, but the amount of time that elapsed in this
    case between the
    (presumed) administration of warnings at the initial appearance and the
    defendant's telephone
    call to Inspector Johnson -- two days -- was not great. A defendant might
    well remain silent
    for such a period in reliance on the belief, engendered by the warnings,
    that his silence could
    not in any way be used against him.
    The government also argues that this case is distinguishable from
    Doyle because
    the prosecutor commented, not on DeJesus's silence, but on the timing of
    his call to Inspector
    Johnson. The government insists that the prosecutor merely noted that
    DeJesus had a two-day
    opportunity to construct an alibi based on the indictment he had read.
    However, we question
    whether this argument can be distinguished from an argument that was
    expressly rejected in
    Doyle. There, the prosecution maintained that "the discrepancy between an
    exculpatory story
    at trial and silence at the time of arrest gives rise to an inference that
    the story was fabricated
    somewhere along the way, perhaps to fit within the seams of the state's
    case as it was
    developed[.]" Doyle 
    426 U.S. at 616
    . But the Court refused to accept
    that argument. 
    Id. at 617-18
    .
    C. While we are doubtful that the present case can be
    distinguished from
    Doyle, we find it unnecessary to decide this question, with respect to
    which there is apparently
    no precedent that is directly on point. Assuming that the prosecutor's
    imprudent comments
    violated DeJesus's rights under Doyle, and assuming that they were not
    cured by the district
    court's limiting instruction, any error was harmless beyond a reasonable
    doubt in light of the
    overwhelming evidence admitted against DeJesus at trial.
    The Supreme Court has held that "Doyle error fits squarely into
    the category of
    constitutional violations which [it] ha[s] characterized as `trial
    error.'" Brecht v.
    Abrahamson, 
    507 U.S. 619
    , 629 (1993)(quoting Arizona v. Fulminante, 
    499 U.S. 279
    , 307
    (1991)). Such constitutional errors are subject to harmless error
    analysis under the "harmless-
    beyond-a-reasonable-doubt standard." Brecht, 
    507 U.S. at
    630 (citing
    Chapman v. California,
    
    386 U.S. 18
     (1967)). Moreover, this court has previously recognized that
    Doyle violations are
    harmless beyond a reasonable doubt where the evidence against the
    defendant is
    "overwhelming." United States v. Dunbar, 
    767 F.2d 72
    , 76 (1985).
    The evidence against DeJesus in this case, like the evidence
    against the
    defendant in Dunbar, was "overwhelming." DeJesus was charged with
    knowingly and
    willfully travelling in interstate commerce and using and causing another
    to use a facility in
    interstate commerce with intent that a murder be committed. JA 78, 84.
    He admitted that he
    drove with Gil to Uneeda on the morning that Cohen was murdered. JA. 419,
    1585.
    Therefore, the only remaining element the prosecution needed to prove was
    the requisite
    intent, and the evidence of this intent was enormous.
    There was abundant evidence that DeJesus agreed to participate in
    the murder
    prior to its commission and that he took part in the planning and the
    prior unsuccessful attempt
    to kill Cohen. Gil testified to every aspect of DeJesus's involvement.
    He explained that
    Garcia had introduced them and that Gil had explained the job to DeJesus.
    Gil testified that
    DeJesus was immediately interested because he said that he needed the
    money. SA. 81. Gil
    recounted that he and DeJesus drove from that initial meeting to Uneeda so
    that he could show
    DeJesus where and how the murder was to take place. SA. 59-62. Gil
    described the failed
    attempt to kill Cohen at Uneeda on January 19, 1993, and the subsequent
    meeting with
    DeJesus and Balter at NPP where Balter told DeJesus that he wanted to make
    sure Cohen was
    dead and that it should look like a drug-related killing. SA. 85-96.
    Portions of taped
    conversations among Gil, Balter, Cutler, Garcia, and DeJesus corroborated
    much of Gil's
    testimony. See e.g., SA. 232 (DeJesus "did this for [Balter] and now
    [Balter's] turning his
    back on me"); SA. 269 (Garcia found DeJesus for Gil); 
    Id.
     (DeJesus "did
    it"); SA. 282-83
    (DeJesus was looking for more money and had given some to Garcia "after
    the job"); SA. 234
    (Gil had brought DeJesus to NPP). It is also noteworthy that the
    prosecutor's challenged
    comments did not focus directly on the question whether DeJesus had the
    "intent that a murder
    be committed," as required by 18 U.S.C.   1958, but rather on the question
    whether DeJesus
    was the person who actually did the shooting, an element that was not
    required for conviction
    under that provision.
    In light of overwhelming evidence that DeJesus travelled in
    interstate commerce
    with the intent that the murder of Cohen be committed, we hold that if the
    prosecutor's
    comments violated the rule of Doyle v. Ohio, 
    supra,
     the error was harmless
    beyond a
    reasonable doubt.
    VII.
    DeJesus argues that the government improperly shifted the burden
    of proof in
    its closing argument by commenting on defense counsel's failure to explain
    why DeJesus was
    at the scene of the crime at all if he was not the person who actually did
    the shooting. The
    prosecutor stated: "Now what Mr. Brickfield [counsel for DeJesus] never
    tells you and he is
    the master of the uncompleted thought here. What he never tells you is
    why he was there.
    What was he doing there[?]" JA 1645. If this issue had been preserved,
    DeJesus would have
    to show that any error affected the jury's ability to judge the evidence
    fairly. United States v.
    Young, 
    470 U.S. 1
    , 12 (1985). However, DeJesus's attorney did not object
    to this comment
    at trial, and therefore DeJesus must show that the trial judge committed
    plain error in failing
    to strike this comment sua sponte. We find no plain error.
    DeJesus correctly points out that the prosecution may not comment
    on a
    defendant's failure to testify or to produce evidence. See United States
    v. Drake, 
    885 F.2d 323
     (6th Cir. 1989), cert. denied, sub nom. Clark v. United States, 
    495 U.S. 1033
    , and cert.
    denied, 
    493 U.S. 1049
     (1990). But the prosecutor did not do that; he
    commented on the
    failure of DeJesus's attorney to point to any evidence in the record
    supporting his theory of
    what occurred. Such a comment does not implicate any of the burden-
    shifting concerns that
    are raised when a prosecutor points to a defendant's failure to testify or
    to produce evidence
    tending to show his innocence. See United States v. Gotchis, 
    803 F.2d 74
    ,
    81 (2d Cir. 1986)
    (noting without reaching the issue that a court "would place especially
    undesirable constraints
    on the government by precluding . . . comments [on the absence of evidence
    to rebut its case]
    where defense counsel himself has suggested the alternative theory that
    the prosecutor then
    undertakes to debunk").
    The prosecutor's comment attempted to focus the jury's attention
    on holes in
    the defense's theory. Permitting this comment did not constitute plain
    error.
    VIII.
    DeJesus argues that the government retreated from the theory
    contained in the
    indictment, i.e., that DeJesus was the person who actually did the
    shooting, and thereby
    created a prejudicial variance. According to DeJesus, this occurred when
    the prosecutor
    stated, in rebuttal summation, that "whether or not he [DeJesus] was the
    shooter is not an issue
    here." JA 1646. DeJesus argues that he was substantially prejudiced
    because the timing of
    this alleged change in the government's strategy -- after the close of
    evidence and just before
    the case was given to the jury -- made it impossible for him to mold his
    defense strategy
    properly.
    To prevail on this issue, DeJesus must show (1) that there was a
    variance
    between the indictment and the proof adduced at trial and (2) that the
    variance prejudiced some
    substantial right. United States v. Adams, 
    759 F.2d 1099
    , 1109 (3d Cir.),
    cert. denied, sub
    nom. Mustacchio v. United States, 
    474 U.S. 906
    , and cert. denied, sub nom.
    Alongi v. United
    States, 
    474 U.S. 906
    , and cert. denied, 474 U.S 971 (1985). A variance
    occurs when "the
    charging terms are unchanged, but the evidence at trial proves facts
    materially different from
    those alleged in the indictment." United States v. Castro, 
    776 F.2d 1118
    ,
    1121 (3d Cir.),
    cert. denied, 
    475 U.S. 1029
     (1985). To show prejudice, a defendant must
    generally show that
    the indictment either did not sufficiently inform him of the charges
    against him so that he
    could prepare his defense and not be misled or surprised at trial or that
    the variance created a
    danger that the defendant could be prosecuted a second time for the same
    offense. Id. at 1123.
    We are convinced that there was no prejudicial variance in this
    case. In order
    to show that DeJesus committed the violation of 18 U.S.C.    1958 and 2
    that was charged in
    count I of the superseding indictment, the government was not obligated to
    show that DeJesus
    actually did the shooting, and accordingly the charging paragraph of this
    count did not tie the
    prosecution to this theory. Instead, it merely alleged that DeJesus --
    and the other defendants -
    - "knowingly and willfully travelled in and caused another to travel in
    interstate commerce and
    used and caused another to use a facility in interstate commerce with
    intent that a murder be
    committed." J.A. 84. Although a later paragraph of this count did allege
    that "DeJesus
    attempted to kill Robert cohen by shooting him several times with a
    pistol," J.A. 88, DeJesus
    and his attorney undoubtedly understood that the charge set out in count I
    did not require proof
    that DeJesus did the shooting, and thus we see no basis for concluding
    that the alleged switch
    in the government's theory caused them to be surprised, misled, or
    prejudiced in the
    preparation of DeJesus's defense.
    In any event, the record does not support DeJesus's argument that
    the
    prosecution abandoned its theory that DeJesus did the shooting. Instead,
    the prosecutor's
    statement was merely a correction of defense counsel's misstatement of the
    law, i.e., that "the
    only issue with respect to [DeJesus] was he was the shooter as charged?
    Was he the shooter as
    Gus Gil has testified[?]" JA 1613. The prosecutor responded by stating:
    The point being whether or not he was the shooter, we don't
    concede for a
    minute that DeJesus was not the shooter, whether or not he was
    the shooter is
    not an issue here, the issue is did he travel in interstate
    commerce with the
    intent that a murder be committed?
    JA 1646. Although the district court found this to be a "fair response"
    to defense counsel's
    misstatement of the law, the court allowed defense counsel an extra two
    minutes to address the
    jury. In surrebuttal, the government restated its contention that the
    evidence was sufficient to
    prove, beyond a reasonable doubt, that DeJesus was the shooter. JA 1658-
    59. Under these
    circumstances, any variance between the facts alleged in the superseding
    indictment and those
    proved at trial was not prejudicial to DeJesus.
    IX.
    DeJesus contends that the district court should have excluded a
    high school
    yearbook photograph of him under Federal Rule of Evidence 403. A district
    court has broad
    discretion to determine the admissibility of relevant evidence in response
    to an objection under
    Rule 403. United States v. Pelullo, 
    14 F.3d 881
    , 888 (3d Cir. 1994). "If
    judicial restraint is
    ever desirable, it is when a Rule 403 analysis of a trial court is
    reviewed by an appellate
    tribunal." United States v. Scarfo, 
    850 F.2d 1015
    , 1019 (3d Cir.), cert.
    denied, 
    488 U.S. 910
    (1988).
    The prosecution offered the yearbook photo to corroborate the
    testimony of an
    eyewitness, Lisa Allen, who described the shooter as having straight black
    bangs and a
    moustache. When he was arrested, DeJesus had a moustache, but at the time
    of trial, he had
    neither a moustache nor straight black bangs. In the yearbook photo,
    which had been taken
    six years earlier when DeJesus was 16, he had both straight black bangs
    and a moustache.
    DeJesus suggests that the photograph had little probative value
    for the purpose
    of establishing his appearance at the time of the shooting, six years
    after the picture was taken,
    and he argues that the photo created an undue danger of unfair prejudice
    because it was old
    and depicted him when he was "a mere adolescent." DeJesus Br. at 43.
    We hold that the district court did not abuse its discretion in
    concluding that the
    probative value of the photo outweighed the potential unfair prejudice. A
    trial judge could
    reasonably conclude that a jury was well capable of assessing the
    likelihood that the six-year-
    old photo accurately depicted DeJesus's appearance at the time of the
    shooting.
    X.
    Finally, DeJesus argues that the cumulative effect of errors
    allegedly committed
    at trial require a new trial. United States v. Williams, 
    739 F.2d 297
    (7th Cir. 1984). In light
    of our conclusion that the sole potential error before us was harmless, we
    reject this argument.
    XI.
    For the reasons stated above, we affirm the judgment of the
    district court.
    ____________________
    

Document Info

Docket Number: 94-5593,94-5625,94-5626

Citation Numbers: 91 F.3d 427

Filed Date: 7/29/1996

Precedential Status: Precedential

Modified Date: 1/12/2023

Authorities (32)

United States v. Theodore Linn, United States of America v. ... , 31 F.3d 987 ( 1994 )

United States v. Frost , 61 F.3d 1518 ( 1995 )

United States v. Leonard A. Pelullo , 14 F.3d 881 ( 1994 )

United States v. Eid Hammad, A/K/A Eddie Hammad, and ... , 858 F.2d 834 ( 1988 )

united-states-v-mario-eufrasio-aka-murph-united-states-of-america-v , 935 F.2d 553 ( 1991 )

United States v. George Gotchis , 803 F.2d 74 ( 1986 )

United States v. Keith Drake (88-2175), Reginald Clark (88-... , 885 F.2d 323 ( 1989 )

United States v. Russell Weiss , 599 F.2d 730 ( 1979 )

United States v. Anthony John Romanello, Victor Antonio ... , 726 F.2d 173 ( 1984 )

united-states-v-bryan-thornton-aka-moochie-dc-criminal-no , 1 F.3d 149 ( 1993 )

United States v. Rodolfo Bethancourt , 65 F.3d 1074 ( 1995 )

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

United States v. Dunbar, Marty , 767 F.2d 72 ( 1985 )

united-states-v-melba-quintero-in-93-1377-maria-rodriguez-in-93-1386 , 38 F.3d 1317 ( 1994 )

United States v. Eddie Lee Williams , 739 F.2d 297 ( 1984 )

United States v. Jose Luis Buena-Lopez, AKA Jose Luis ... , 987 F.2d 657 ( 1993 )

United States v. Moses Tootick, United States of America v. ... , 952 F.2d 1078 ( 1991 )

United States v. Peter S. Dimas and Ramon Roman , 3 F.3d 1015 ( 1993 )

United States v. Tyrone Powe, United States of America v. ... , 9 F.3d 68 ( 1993 )

United States v. Donald Dennis Dobbs , 711 F.2d 84 ( 1983 )

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