Nelson Quinteros v. Attorney General United States ( 2019 )


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  •                                  PRECEDENTIAL
    UNITED STATES COURT OF APPEALS
    FOR THE THIRD CIRCUIT
    ____________
    No. 18-3750
    ____________
    NELSON QUINTEROS,
    Petitioner
    v.
    ATTORNEY GENERAL OF THE
    UNITED STATES OF AMERICA,
    Respondent
    On Petition for Review of an Order of the
    Board of Immigration Appeals
    (Agency No. A079-029-001)
    Immigration Judge: John P. Ellington
    Argued on September 24, 2019
    Before: MCKEE, AMBRO and ROTH, Circuit Judges
    (Opinion filed: December 17, 2019)
    Damon C. Andrews         (ARGUED)
    Kirkland & Ellis
    1301 Pennsylvania Avenue, N.W.
    Washington, DC 20004
    Alexa M. Siegel
    P.O. Box 65
    Baldwin, MD 21013
    Nathanael P. Kibler
    Baker Donelson Bearman Caldwell & Berkowitz
    265 Brookview Centre Way
    Suite 600
    Knoxville, TN 37828
    Counsel for Petitioner
    Rachel L. Browning
    Virginia M. Lum, Esq.      (ARGUED)
    United States Department of Justice
    Office of Immigration Litigation
    P.O. Box 878
    Ben Franklin Station
    Washington, DC 20044
    Counsel for Respondent
    OPINION
    2
    ROTH, Circuit Judge:
    This is a petition for review of a final order of removal.
    The Board of Immigration Appeals found that Nelson
    Quinteros committed an aggravated felony and failed to show
    entitlement to relief under the Convention Against Torture
    (CAT). Quinteros argues that the Board committed two errors:
    First, the Board erred in finding that his conviction for
    conspiracy to commit assault with a dangerous weapon was an
    aggravated felony under the Immigration and Nationality Act
    (INA); second, the Board erred in applying our precedent on
    the Convention Against Torture. For the reasons that follow,
    we will vacate the Board’s decision and remand for further
    proceedings consistent with this opinion.
    I.
    Nelson Quinteros and his mother came to the United
    States from El Salvador in 2001, when he was eight-years-old.
    They settled in New York. When he was thirteen, Quinteros
    joined the gang MS-13. He has a New York Yankees tattoo
    that he asserts symbolizes that his particular gang is based in
    New York.
    In 2011, Quinteros was indicted for conspiracy to
    commit assault with a dangerous weapon under 18 U.S.C. §
    1959(a)(6). Quinteros and other gang members discussed over
    the phone that they would assault members of Surenos, a rival
    gang. Quinteros drove other gang members to a Surenos
    location, but the Surenos “backed down.” 1 No assault took
    1
    AR 1057–58.
    3
    place. Quinteros later pled guilty to conspiracy to commit
    assault with a dangerous weapon. He was sentenced to thirty
    months’ imprisonment.
    In prison, Quinteros left MS-13 to follow Christianity.
    When he told other MS-13 members in prison that he was no
    longer in the gang, they would reply with statements like,
    “Well, when you get deported and you go back to El Salvador,
    things are going to change. There’s no getting out over there.” 2
    When Quinteros’s sentence ended, the Department of
    Homeland Security (DHS) initiated removal proceedings.
    DHS placed Quinteros in expedited proceedings after it
    determined that Quinteros had been convicted of an aggravated
    felony under the Immigration and Nationality Act (INA). In
    2014, Quinteros was issued a Form I-851 Notice of Intent to
    Issue a Final Administrative Removal Order. The Form I-851
    charged Quinteros as removable for having committed an
    aggravated felony under 8 U.S.C. § 1101(a)(43)(F), (U), and
    (J) and allowed Quinteros to contest his removability. He
    checked the box to contest his deportability and indicated he
    would attach documents supporting his request. He failed to
    follow up with additional documentation.
    Quinteros then sought withholding of removal. An
    asylum officer determined that Quinteros demonstrated a
    reasonable fear that he would be tortured in El Salvador. The
    officer referred Quinteros to an Immigration Judge (IJ).
    Before the IJ, Quinteros attempted to show that he
    would be tortured in El Salvador. He also sought to show that
    2
    
    Id. at 560
    l. 20–21.
    4
    the police would, at the very least, be unlikely to protect him
    and, at worst, would directly perpetrate violence against him.
    Quinteros testified on his own behalf and presented the
    testimony of Dr. Thomas Boerman, a country conditions
    expert. Quinteros also relied on several studies and reports.
    Most relevant for this appeal, Quinteros submitted a study from
    the Harvard Law School International Human Rights Clinic
    (Harvard study) that discussed the perception and treatment of
    individuals with tattoos in El Salvador.
    A. Quinteros’s Testimony
    Quinteros gave several reasons why he would be
    recognizable as a gang member in El Salvador. He
    “anticipate[d] that he would be readily identified as a deportee
    because of his distinct accent and his ‘NY Yankees’ tattoo.” 3
    He testified that he knows seventy other gang members, who
    have been deported to El Salvador, and has cousins in MS-13.
    Quinteros also offered anecdotal evidence that other
    former gang members, deported to El Salvador, had been
    harassed or killed. Quinteros did not believe that the police
    would protect him. He testified that other MS-13 members in
    New York had sent money to the police in El Salvador to
    secure protection for the gang there. He thought that the police
    would not get involved in gang-on-gang violence because the
    police would have little to gain.
    B. Dr. Boerman’s Testimony
    Dr. Boerman testified as an expert on conditions in El
    3
    
    Id. at 461.
    5
    Salvador and corroborated much of Quinteros’s testimony. He
    detailed several iterations of largely ineffectual Salvadoran
    government policies to combat gang violence. First, he
    described a set of 2003 laws that criminalized gang
    membership, resulting in the arrest of 20,000 people.
    Ultimately, however, few people were charged for gang
    offenses. These laws remain on the books, but at the time of
    Dr. Boerman’s testimony in 2015, he testified that most arrests
    of suspected gang members resulted in a short period of
    detention and no charges. When charges are filed, gang
    members are usually acquitted “because of the effect of witness
    intimidation, terrorization, and murder.” 4
    Then came a gang truce from 2012 to 2014 that
    appeared to have decreased homicides. But this truce was
    discredited after authorities discovered a substantial “increase
    in the use of clandestine cemeteries.” 5 Some researchers
    believe that the supposed truce actually strengthened the gangs
    and increased violence.
    In 2014, a new president attempted to implement a new
    anti-gang policy. That plan also stalled. Although the
    government has labeled the gangs, including MS-13, “terrorist
    groups,” 6 and has authorized the use of El Salvador’s anti-
    terrorism laws to combat them, it is not clear whether the
    government has implemented these laws.
    Dr. Boerman also described a “‘disconnect’ between
    4
    
    Id. at 674.
    5
    
    Id. at 666.
    6
    
    Id. at 670.
    6
    official policy and actual practice.” 7 For example, although
    trained on human rights, some “officers have sought
    permission to form groups that carry out assassinations as an
    official state function.” 8 According to Dr. Boerman, the
    Salvadoran government no longer investigates police killings
    of gang members.
    Dr. Boerman detailed a special risk of harm for former
    gang members. When the U.S. deports an individual, it
    provides the country to which the deportee is returning with the
    deportee’s gang affiliation and information about his tattoos.
    Dr. Boerman provided anecdotal evidence that immigration
    officers, police, and military in El Salvador have subjected
    suspected gang members to physical violence during the
    customs process. Gang members and police easily identify
    newcomers to a community and take great pains to determine
    their background, including stripping them down to check for
    tattoos. Dr. Boerman also stated that a New York Yankees
    tattoo is “commonly recognized as gang affiliated from the
    United States, in the east coast.” 9 The police or a gang would
    interpret that tattoo “as gang related.” 10 Efforts to remove the
    tattoo would result in scarring that would likewise raise
    suspicions of gang affiliation.
    C. Agency Proceedings
    After conducting hearings, the IJ denied Quinteros’s
    7
    
    Id. at 466.
    8
    
    Id. 9 Id.
    at 683.
    10
    
    Id. at 683–84.
    7
    request for relief under the Convention Against Torture (CAT).
    The IJ found that Quinteros “ha[d] shown a clear likelihood
    that he would be killed or tortured by members of MS-13 and
    [rival] gangs” 11 but had not shown that the Salvadoran police
    would be willfully blind to that torture. The IJ found that the
    “escalating violence” in El Salvador, although “alarming,” was
    “stemming from war-like conditions” and did “not necessarily
    mean that the government is abdicating its responsibility to
    protect the public.” 12
    The IJ also determined that Quinteros’s crime was an
    aggravated felony. The IJ applied the modified categorical
    approach and found that Quinteros’s crime was a crime of
    violence, as defined in 18 U.S.C. § 16(b), and that conspiracy
    did not require an overt act. 13
    Quinteros appealed the IJ’s CAT findings, making no
    mention of the aggravated felony finding. The BIA affirmed.
    Quinteros appealed. We granted the government’s request to
    remand, in light of our decision in Myrie v. Attorney General, 14
    in order to determine if the Salvadoran government, more
    likely than not, would acquiesce in Quinteros’s torture by gang
    members
    On remand, both Quinteros and the government offered
    11
    
    Id. at 477.
    12
    
    Id. at 479.
    13
    A crime of violence is an aggravated felony under 8 U.S.C.
    § 1101(a)(43)(F), and a conspiracy to commit a crime of
    violence is an aggravated felony under 8 U.S.C. §
    1101(a)(43)(U).
    14
    
    855 F.3d 509
    (3d Cir. 2017).
    8
    additional, updated evidence on conditions in El Salvador.
    Because the effect of Quinteros’s evidence was essentially the
    same, the second IJ adopted the first IJ’s finding that Quinteros
    had shown a likelihood of being killed or tortured by gangs and
    similarly found that the Salvadoran officials’ likely response
    would not constitute acquiescence. The IJ noted that he had
    reviewed Quinteros’s prior and current testimony, Dr.
    Boerman’s prior testimony and written declaration, and all
    other supporting materials in conjunction with United States
    Department of State country condition reports. 15 The IJ rested
    his findings on the new efforts El Salvador was taking to
    combat gang violence and the lack of evidence that a Yankees
    tattoo was a gang symbol.
    Quinteros appealed to the Board. While his appeal was
    pending, the Supreme Court in Sessions v. Dimaya 16
    invalidated 18 U.S.C. § 16(b), as unconstitutionally vague.
    Quinteros moved to remand based on Dimaya. The Board then
    determined that, because Quinteros was in expedited removal
    proceedings, he could not challenge his status as an aggravated
    felon. 17 In a footnote, the Board noted that Quinteros was
    subject to expedited removal proceedings because he
    committed an aggravated felony under 8 U.S.C. §
    1101(a)(43)(F), (U), and (J). 18 To accept such logic would
    15
    AR 130.
    16
    
    138 S. Ct. 1204
    (2018).
    17
    AR 8.
    18
    Section 1101(a)(43)(J) classifies certain racketeering
    offenses as aggravated felonies. Although the DHS Notice of
    Intent listed subsections (F), (U), and (J) as the basis for its
    aggravated felony finding, the first IJ found Quinteros
    removable only under (F) and (U).
    9
    render it impossible for anyone in such a situation to challenge
    their status before the BIA.
    The Board affirmed the denial of Quinteros’s CAT
    claim. In doing so, the Board reversed the IJ’s finding on the
    likelihood of torture as clearly erroneous, questioning whether
    Quinteros would even be recognized as a current or former
    gang member. The Board also noted that Quinteros had not
    shown that his tattoo was visible or that it would signify to
    others that he was a current or former gang member. The
    Board agreed with the IJ that Quinteros failed to show
    acquiescence by state actors, noting the new “extraordinary
    measures” El Salvador was taking “to combat gang
    violence.” 19
    Quinteros petitioned this Court for review of the finding
    that his conviction is an aggravated felony and, in light of
    Dimaya, of the Board’s denial of his motion to remand.
    Quinteros also alleges that the Board committed legal error in
    denying CAT relief.
    II.
    We have jurisdiction over final orders of removal under
    8 U.S.C. § 1252(a)(1). The government argues that where, as
    here, the agency has found that an alien committed an
    aggravated felony, we have no jurisdiction under 8 U.S.C. §
    1252(a)(2)(C) to review the removal order. Nevertheless, we
    retain jurisdiction over “constitutional claims or questions of
    19
    AR 6.
    10
    law.” 20 If “the BIA issues a decision on the merits and not
    simply a summary affirmance, we review the BIA’s, and not
    the IJ’s, decision.” 21 We also review those portions of the IJ
    decision that the Board adopts or defers to. 22
    III.
    A. This Court has jurisdiction to consider whether
    Quinteros was convicted of an aggravated felony.
    The first question we must answer is whether we have
    jurisdiction to hear Quinteros’s challenge to the aggravated
    felony finding. The government argues that Quinteros failed
    to exhaust his administrative remedies because he did not
    challenge the aggravated felony finding in response to the
    initial notice of intent to issue a final administrative removal
    order. Quinteros argues that he did all that was required: He
    checked the box on the BIA form that indicated he disagreed
    with the finding of removability. 23 Although generally an alien
    20
    8 U.S.C. § 1252(a)(2)(C), (D).
    21
    Chavarria v. Gonzalez, 
    446 F.3d 508
    , 515 (3d Cir. 2006).
    22
    
    Id. See also
    Voci v. Gonzales, 
    409 F.3d 607
    , 612 (3d Cir.
    2005).
    23
    The parties’ arguments highlight a circuit split over what an
    alien must do on appeal to have properly preserved a challenge
    to DHS’s aggravated felony finding. The Eleventh Circuit held
    that failure to contest one’s classification as an aggravated
    felon in response to a final administrative removal order
    deprives the reviewing court of jurisdiction because the alien
    has not exhausted administrative remedies. Malu v. United
    States Att’y Gen., 
    764 F.3d 1282
    , 1289 (11th Cir. 2014). The
    11
    is required to exhaust his administrative remedies—a
    jurisdictional requirement 24—an agency revives an alien’s
    unexhausted claim when it sua sponte considers an issue. 25
    Here, the first IJ sua sponte determined that Quinteros’s
    conviction was for an aggravated felony under §
    1101(a)(43)(F) and (U).
    Although Quinteros did not challenge on appeal the IJ’s
    aggravated felony finding, he did file a motion to remand to the
    IJ, challenging his removability as an aggravated felon. The
    Board considered this motion to remand and concluded that
    Quinteros could not challenge the aggravated felon
    determination in expedited removal proceedings. Because the
    Board had the opportunity to consider Quinteros’s challenge to
    his removability as an aggravated felon and declined to do so
    Fourth Circuit held that an alien in expedited removal
    proceedings can raise only factual challenges in administrative
    proceedings and so the reviewing court has jurisdiction over
    legal challenges to removability “in the first instance on
    appeal.” Etienne v. Lynch, 
    813 F.3d 135
    , 138 (4th Cir. 2015).
    The Fifth and Seventh Circuits have held similarly. Valdiviez-
    Hernandez v. Holder, 
    739 F.3d 184
    , 187 (5th Cir. 2013);
    Victoria-Faustino v. Sessions, 
    865 F.3d 869
    , 873 (7th Cir.
    2017). We need not wade into this circuit split because here,
    the agency took up Quinteros’s challenge sua sponte.
    24
    Popal v. Gonzales, 
    416 F.3d 249
    , 252 (3d Cir. 2005). A
    court cannot hear a claim unless “an alien has exhausted all
    administrative remedies available to the alien as of right.” 8
    U.S.C. § 1252(d)(1).
    25
    Lin v. Att’y Gen. of United States, 
    543 F.3d 114
    , 123–25 (3d
    Cir. 2008).
    12
    on the merits, the aggravated felony issue is exhausted for
    purposes of appeal. 26
    Moreover, we always retain jurisdiction to determine
    our own jurisdiction. 27 As we have said before, this principle
    extends to “jurisdiction to address [the] jurisdictional
    prerequisite . . . of . . . ‘whether an alien was convicted of a
    non-reviewable aggravated felony.’” 28 We will therefore first
    determine whether Quinteros was convicted of an aggravated
    felony. Our review of this issue is “de novo as it implicates a
    purely legal question.” 29
    B. Quinteros did not commit an aggravated felony.
    DHS charged Quinteros as deportable for being
    convicted of an aggravated felony under 2 U.S.C.
    1101(a)(43)(F), (J), and (U). Subsection (F) applies to a crime
    of violence using the definition in 18 U.S.C. § 16. 30 Subsection
    26
    We have previously found jurisdiction where a party
    includes an issue in the Notice of Appeal to the BIA but fails
    to include the issue in the brief to the BIA and the BIA does
    not address the issue. See Hoxha v. Holder, 
    559 F.3d 157
    , 158,
    161 (3d Cir. 2009).
    27
    Restrepo v. Att’y Gen. of United States, 
    617 F.3d 787
    , 790
    (3d Cir. 2010) (quoting Stubbs v. Att’y Gen., 
    452 F.3d 251
    , 253
    n.4 (3d Cir. 2006)).
    28
    
    Restrepo, 617 F.3d at 790
    .
    29
    
    Id. 30 Section
    16 defines crime of violence as: “(a) on offense that
    has as an element the use, attempted use, or threatened use of
    physical force against the person or property of another, or (b)
    13
    (J) applies to several racketeering offenses. Subsection (U)
    applies to an “attempt or conspiracy to commit” an aggravated
    felony.
    When determining whether a particular offense is an
    aggravated felony, we apply the categorical approach. 31 Under
    the strict categorical approach, we compare the state statute of
    conviction with “the federal statute enumerating categories of
    crimes” without regard to “the underlying facts.” 32 In applying
    the categorical approach, we are to “presume that the
    conviction ‘rested upon [nothing] more than the least of th[e]
    acts’ criminalized, and then determine whether even those acts
    are encompassed by the generic federal offense.” 33
    Quinteros was convicted under 18 U.S.C. § 1959(a)(6).
    That section states:
    (a) Whoever, as consideration for the
    receipt of, or as consideration for a
    promise or agreement to pay,
    any other offense that is a felony and that, by its nature,
    involves a substantial risk that physical force against the person
    or property of another may be used in the course of committing
    the offense.”
    31
    See Moncrieffe v. Holder, 
    569 U.S. 184
    , 188 (2013); United
    States v. Dahl, 
    833 F.3d 345
    , 349 (3d Cir. 2016) (discussing
    categorical approach as applying to both federal and state
    convictions).
    32
    Singh v. Ashcroft, 
    383 F.3d 144
    , 161 (3d Cir. 2004).
    33
    
    Moncrieffe, 569 U.S. at 191
    (2013) (quoting Johnson v.
    United States, 
    559 U.S. 133
    , 137 (2010)) (alterations in
    original).
    14
    anything of pecuniary value from
    an     enterprise    engaged      in
    racketeering activity, or for the
    purpose of gaining entrance to or
    maintaining or increasing position
    in an enterprise engaged in
    racketeering activity, murders,
    kidnaps, maims, assaults with a
    dangerous weapon, commits
    assault resulting in serious bodily
    injury upon, or threatens to
    commit a crime of violence against
    any individual in violation of the
    laws of any State or the United
    States, or attempts or conspires so
    to do, shall be punished—
    ...
    (6) for attempting or conspiring to
    commit a crime involving
    maiming, assault with a dangerous
    weapon, or assault resulting in
    serious bodily injury . . . .” 34
    Because Quinteros’s statute of conviction is “an
    alternatively phrased statute,” we must first “determine
    whether its listed items are elements or means.” 35 If the
    alternatives are elements, some of which would qualify as an
    aggravated felony and some of which would not, then the
    modified categorical approach applies, and we can look to
    34
    18 U.S.C. § 1959(a)(6).
    35
    Mathis v. United States, 
    136 S. Ct. 2243
    , 2256 (2016).
    15
    documents, related to the crime as committed, to determine
    “which of the enumerated alternatives played a part in the
    [petitioner’s] prior conviction, and then compare that element
    (along with all others) to those of the generic crime.” 36
    1. Quinteros’s conviction was not a crime of violence
    under § 1101(a)(43)(F).
    Section 1101(a)(43)(F) employs the crime of violence
    definition from 18 U.S.C. § 16. The first IJ found that §
    1959(a)(6) constituted a crime of violence as defined in
    § 16(b). Because the Supreme Court found that § 16(b) was
    unconstitutionally vague, the IJ’s aggravated felony finding
    based on § 16(b) cannot stand. 37
    Neither could Quinteros’s conviction be a crime of
    violence under § 16(a), a ground the first IJ did not consider.
    Section 16(a) defines a crime of violence as “an offense that
    has as an element the use, attempted use, or threatened use of
    physical force against the person or property of another.” 38
    Looking at the least culpable conduct, an individual could be
    convicted of conspiracy under 18 U.S.C. § 1959(a)(6) without
    the use, attempted use, or threatened use of physical force.
    36
    
    Id. 37 Because
    we hold that the IJ’s aggravated felony finding
    under § 16(b) was in error after Sessions v. Dimaya, 
    138 S. Ct. 1204
    , we need not address whether the Board’s denial of
    Quinteros’s motion to remand was error.
    38
    18 U.S.C. § 16(a).
    16
    2. Quinteros’s conviction was not a conspiracy or
    attempt to commit a crime of violence under §
    1101(a)(43)(U).
    Next, we determine if Quinteros was convicted of an
    aggravated felony under      § 1101(a)(43)(U) for “an attempt
    or conspiracy to commit” a crime of violence. 39 Using the
    categorical approach, we compare the statute of conviction,
    § 1959(a)(6), with generic conspiracy as used in the INA, §
    1101(a)(43)(U). A conviction under § 1959(a)(6) does not
    require an overt act in furtherance of the conspiracy. 40 We
    must determine whether the INA’s generic definition of
    conspiracy requires an overt act. We hold that it does.
    39
    8 U.S.C. § 1101(a)(43)(U).
    40
    Generally, where the statutory text “does not expressly make
    the commission of an overt act an element of the conspiracy
    offense, the government need not prove an overt act to obtain
    a conviction.” Whitfield v. United States, 
    543 U.S. 209
    , 214
    (2005). See also United States v. Salahuddin, 
    765 F.3d 329
    ,
    339 (3d Cir. 2014) (declining to find an overt act requirement
    for Hobbs Act conspiracy where the statute “makes no mention
    of a required act”). Other Circuits examining § 1959(a)(6), or
    similar subsections, have generally not required an overt act.
    See, e.g., United States v. McCollum, 
    885 F.3d 300
    , 309 (4th
    Cir. 2018) (finding that 18 U.S.C. § 1959(a)(5) does not require
    an overt act); United States v. Diaz, 
    176 F.3d 52
    (2d Cir. 1999)
    (finding no overt act required for § 1959(a)(6)). Only in an
    unpublished Ninth Circuit opinion did a panel note that the jury
    had to be unanimous on an overt act for a conviction under §
    1959(a)(6). See United States v. Franco, 745 F. App’x 285,
    287 (9th Cir. 2018).
    17
    The government argues that the BIA’s interpretation of
    § 1101(a)(43)(U) is entitled to deference. 41 Generally,
    Chevron principles apply “to an agency’s consistent
    interpretation of the statute it administers,” 42 including the
    INA. 43 “[T]he issue of Chevron deference to the BIA’s
    evaluation of criminal statutes in light of the INA has generated
    some controversy and confusion.” 44 We defer to the agency’s
    reasonable interpretation of a statute only if the text of the
    statute is “unclear” and we cannot “discern congressional
    intent by utilizing various tools of statutory construction.”45
    We find no reason to defer to the BIA here because the
    meaning of “conspiracy” in § 1101(a)(43)(U) of the INA is
    unambiguous when employing the ordinary tools of statutory
    construction.
    41
    The government relies primarily on Matter of Richardson,
    25 I&N Dec. 226 (BIA 2010).
    42
    Matter of Seidman, 
    37 F.3d 911
    , 924 (3d Cir. 1994).
    43
    See Drakes v. Zimski, 
    240 F.3d 246
    , 250 (3d Cir. 2001).
    “[U]npublished, single-member BIA decisions are not entitled
    to Chevron deference.” Mahn v. Att’y Gen. of United States,
    
    767 F.3d 170
    , 173 (3d Cir. 2014). But, here, the IJ relied on
    Matter of Richardson, 25 I&N Dec. 226 (BIA 2010), a
    published decision of a panel of the Board that held that
    conspiracy under § 1101(a)(43)(U) does not require an overt
    act.
    44
    Lewin v. Att’y Gen. of United States, 
    885 F.3d 165
    , 169 (3d
    Cir. 2018). At least once, we unhesitatingly applied Chevron
    and deferred to the BIA’s reasonable interpretation of the INA.
    
    Restrepo, 617 F.3d at 796
    .
    45
    
    Restrepo, 617 F.3d at 792
    .
    18
    Where Congress has not specifically defined a word in
    a statute, we presume the common law definition applies. 46
    But the presumption that a term be given its common-law
    meaning does not apply when the common law “meaning is
    obsolete or inconsistent with the statute’s purpose.” 47 In those
    instances, the approach taken “in the criminal codes of most
    states” replaces the common law definition. 48 We have stated
    before that, when determining the elements of the generic
    crime, we look to “the Model Penal Code (MPC), state laws,
    and learned treatises.” 49 But “the most important factor in
    defining the generic version of an offense is the approach of
    the majority of state statutes defining the crime.” 50 We
    therefore contrast the common law definition of conspiracy
    with the majority of states’ definition of conspiracy and hold
    that conspiracy in § 1101(a)(43)(U) requires an overt act.
    At common law, the crime of conspiracy was complete
    46
    See Taylor v. United States, 
    495 U.S. 575
    , 592 (1990) (citing
    Morissette v. United States, 
    342 U.S. 246
    , 263 (1952)).
    47
    
    Taylor, 495 U.S. at 594
    .
    48
    
    Id. at 598.
    The Supreme Court in Taylor applied this
    approach to interpreting 18 U.S.C. § 924(e) for purposes of
    sentencing enhancement. Later, the Supreme Court applied
    this same principle to interpreting “theft offense” under the
    INA. See Gonzales v. Duenas-Alvarez, 
    549 U.S. 183
    , 190
    (2007).
    49
    United States v. Graves, 
    877 F.3d 494
    , 502 (3d Cir. 2017)
    (interpreting the career offender provisions of the Sentencing
    Guidelines).
    50
    
    Id. at 504.
    19
    upon the making of an agreement. 51 But now, the large
    majority of states also require an overt act. 52 So does the
    MPC. 53 Although some courts have continued to apply the
    common law definition, 54 the meaning of conspiracy has
    changed. The overt act requirement was an attempt to rein in
    expansive conspiracy liability, 55 “guarding against the
    punishment of evil intent alone, and . . . assur[ing] that a
    criminal agreement actually existed.” 56 We think this change
    significant and apply the modern overt act requirement
    reflected in the statutes of a majority of states and the MPC.
    Because Quinteros’s conviction under 18 U.S.C. § 1959(a)(6)
    does not require an overt act, his conviction is not a categorical
    match for conspiracy under the INA. Thus he is not an
    aggravated felon under Subsection U.
    3. Quinteros’s conviction was not a racketeering offense
    under § 1101(a)(43)(J).
    The government has argued that we need not reach the
    51
    United States v. Shabani, 
    513 U.S. 10
    , 13–14 (1994)
    (quoting Nash v. United States, 
    229 U.S. 373
    , 378 (1913)).
    52
    United States v. Garcia-Santana, 
    774 F.3d 528
    , 534–35 (9th
    Cir. 2014) (“A survey of state conspiracy statutes reveals that
    the vast majority demand an overt act to sustain conviction.”).
    53
    See Model Penal Code § 5.03(5) (Am. Law Inst. 1985)
    (requiring overt acts for all crimes “other than a felony of the
    first or second degree”).
    54
    
    Etienne, 813 F.3d at 145
    .
    55
    
    Garcia-Santana, 774 F.3d at 536
    –37.
    56
    
    Id. at 537.
    20
    question of whether Quinteros was convicted of an aggravated
    felony for purposes of § 1101(a)(43)(J). The Board noted in a
    footnote, without explaining its reasoning, that Quinteros’s
    conviction was an aggravated felony under § 1101(a)(43)(J).
    Although DHS had included this charge in the Form I-851, this
    was not a ground that either the IJ or the BIA had previously
    addressed in the proceedings. Generally, “[w]hen deficiencies
    in the BIA’s decision make it impossible for us to meaningfully
    review its decision, we must vacate that decision and remand
    so that the BIA can further explain its reasoning.” 57 But where,
    as here, the BIA has failed to conduct the categorical approach
    and the BIA’s application of the categorical approach would
    not be accorded deference, we have considered the question de
    novo. 58 So too here.
    Quinteros’s conviction for conspiracy to commit assault
    with a dangerous weapon is not an aggravated felony as
    defined in § 1101(a)(43)(J). Subsection J makes an aggravated
    felony any offense described in 18 U.S.C. §§ 1084, 1955, or
    1962. Sections 1084 and 1955 deal only with gambling-related
    offenses—for which Quinteros’s conviction cannot be a
    categorical match. This leaves offenses described in 18 U.S.C.
    § 1962, which fall under the general category of racketeering
    offenses. Although Quinteros’s statute of conviction for
    conspiracy to commit assault with a dangerous weapon bears
    the title of “violent crimes in aid of racketeering activity,” §
    57
    Kayembe v. Ashcroft, 
    334 F.3d 231
    , 238 (3d Cir. 2003). See
    also Cruz v. Att’y Gen. of United States, 
    452 F.3d 240
    , 249 (3d
    Cir. 2006) (“Where a BIA opinion leaves the scope of our
    jurisdiction in question, we will remand the case to the BIA for
    further consideration.”).
    58
    See Singh v. Ashcroft, 
    383 F.3d 144
    at 152.
    21
    1959(a)(6) has little in common with the offenses in § 1962.
    Section 1962 has four subsections. Subsection (a)
    relates to receiving and investing money from a racketeering
    enterprise. Quinteros’s conviction does not have as an element
    the investing of money. Subsections (b) and (c) require “a
    pattern of racketeering activity or collection of unlawful
    debt.” 59 Racketeering activity is defined as “any act or threat
    involving murder, kidnapping, gambling, arson, robbery,
    bribery, extortion, dealing in obscene matter, or dealing in a
    controlled substance or listed chemical” 60 or any of a number
    of offenses defined in other statutes—of which § 1959 is not
    one. Nor does Quinteros’s conviction under § 1959(a)(6) have
    as an element conduct that would meet the more general
    descriptions of racketeering activity. Lastly, subsection (d)
    criminalizes a conspiracy to violate the foregoing provisions of
    § 1962, but because Quinteros’s conviction does not meet the
    requirements of subsections (a) through (c), he likewise could
    not have been convicted under § 1962(d). Thus, Quinteros’s
    conviction is not a categorical match for any of the statutory
    offenses listed in § 1101(a)(43)(J) and is not an aggravated
    felony.
    C. The BIA erred in its CAT finding.
    Having determined that Quinteros did not commit an
    aggravated felony, we will remand this case to the Board.
    However, before remanding, we need to discuss the standard
    to be applied by the Board in determining state acquiescence.
    59
    18 U.S.C. § 1962(b), (c).
    60
    18 U.S.C. § 1961(1).
    22
    Quinteros argues that the Board erred in applying the standard
    we enunciated in Myrie 61 because the Board failed to make the
    required findings and applied the wrong legal standard for state
    acquiescence. Quinteros’s argument that the Board applied the
    wrong legal standard for acquiescence is a legal challenge that
    we review de novo, 62 as is our review of the sufficiency of the
    Board’s findings under the standard we enunciated in Myrie. 63
    Quinteros also argues that the Board erred by ignoring
    evidence relevant to the Myrie analysis. Generally, an agency
    is required to consider “all evidence relevant to the possibility
    of future torture,” 64 but “the IJ and BIA need not ‘discuss every
    piece of evidence mentioned by an asylum applicant.’” 65
    Although it is usually sufficient to say, as the IJ did here, that
    “[a]ll evidence and testimony has been considered, even if not
    specifically addressed in the decision below,” 66 the agency
    “may not ignore evidence favorable to the alien.” 67 And “[i]f
    [evidence] is to be disregarded, we need to know why.” 68 We
    will examine whether the IJ ignored evidence under each prong
    61
    
    855 F.3d 509
    .
    62
    Pieschacon-Villegas v. Att’y Gen. of United States, 
    671 F.3d 303
    (3d Cir. 2011).
    63
    See Green v. Att’y Gen. of United States, 
    694 F.3d 503
    (3d
    Cir. 2012).
    64
    
    Green, 694 F.3d at 508
    (quoting 8 C.F.R. § 1208.16(c)(3)).
    65
    
    Green, 694 F.3d at 509
    (quoting Huang v. Att’y Gen. of the
    United States, 
    620 F.3d 372
    , 388 (3d Cir. 2010)).
    66
    AR 127. See 
    Green, 694 F.3d at 509
    .
    67
    
    Huang, 620 F.3d at 388
    (citing Espinosa-Cortez v. Att’y
    Gen., 
    607 F.3d 101
    , 107 (3d Cir. 2010)).
    68
    
    Myrie, 855 F.3d at 518
    .
    23
    of Myrie.
    Myrie set forth two prongs that the Board must answer
    when evaluating a CAT claim. First, the agency must
    determine “whether an applicant has met the burden of
    establishing that it is more likely than not [the alien] would be
    tortured if removed.” 69 Second, the agency asks whether
    public officials will acquiesce in the likely treatment. 70 We
    will examine the errors under each prong of Myrie in turn.
    1. Errors under Myrie Prong 1
    Quinteros argues that the Board failed to determine
    what would likely happen to him upon his return to El Salvador
    and whether what would likely happen would constitute
    torture. Under prong one, the agency determines whether an
    alien would likely be “tortured if removed.” 71 Answering that
    question requires two steps: (1) the agency must examine
    “what is likely to happen to the petitioner if removed” and (2)
    the agency must decide whether “what is likely to happen
    amount[s] to the legal definition of torture.” 72
    69
    
    Myrie, 855 F.3d at 516
    .
    70
    Id.
    71
    
    Myrie, 855 F.3d at 516
    .
    72
    
    Id. “For an
    act to constitute torture under the [CAT] and the
    implementing regulations, it must be: (1) an act causing severe
    physical or mental pain or suffering; (2) intentionally inflicted;
    (3) for an illicit or proscribed purpose; (4) by or at the
    instigation of or with the consent or acquiescence of a public
    official who has custody or physical control of the victim; and
    (5) not arising from lawful sanctions.” Auguste v. Ridge, 395
    24
    Quinteros argues that the Board erred in ignoring
    numerous pieces of evidence in evaluating his CAT claim. In
    reversing the IJ’s finding that Quinteros would likely be
    tortured or killed in El Salvador, the Board made three
    findings. First, the Board concluded that Quinteros had not
    shown that he was likely to “be identified either as a current or
    former gang member.” 73 Second, the Board found that his
    tattoo was not likely to be discovered because it can be covered
    while in public. And third, the Board concluded that there was
    insufficient evidence that a New York Yankees tattoo was a
    recognized gang symbol.
    The Board erred in ignoring evidence about Quinteros’s
    tattoo. The Board concluded that gang members would not be
    able to identify Quinteros based on his tattoo because his tattoo
    could be covered by clothing. But the Board made no mention
    of the practice that Quinteros, Dr. Boerman, and the Harvard
    study discussed: Police and gangs force suspected gang
    members to strip down so they can search them for tattoos. The
    Board also erred in ignoring evidence about the significance of
    Quinteros’s tattoo. The Board stated that Quinteros had not
    introduced evidence “[a]part from his own testimony and the
    testimony of his expert witness” regarding the significance of
    his New York Yankees tattoo. 74 Yet the Harvard study spoke
    at length about the significance of tattoos. 75 That is grounds
    F.3d 123, 151 (3d Cir. 2005) (citing Matter of J–E–, 23 I. & N.
    Dec. 291, 297 (BIA 2002)).
    73
    AR 5.
    74
    AR 6.
    75
    Although the Harvard study did not address the significance
    of a New York Yankees tattoo specifically, it discussed the
    25
    for a remand. 76
    Quinteros’s argument that the Board failed to determine
    what would likely happen to him upon return to El Salvador
    and whether that would constitute torture is not quite as clear-
    cut. Quinteros’s theory of why he would be harmed upon
    returning to El Salvador was premised on state and nonstate
    actors recognizing his gang affiliation and acting, or failing to
    act, based on it. But even though the Board found that others
    were not likely to recognize Quinteros as a gang member, the
    Board was required to determine whether what was “likely to
    happen” would constitute torture. 77 Because, however, the
    Board failed to consider evidence that would have undermined
    its conclusion that Quinteros was unlikely to be recognized as
    a gang member, the Board must conduct its Myrie analysis
    anew.
    2. Errors under Myrie Prong 2
    Quinteros also argues that neither the Board nor the IJ
    made any factual findings as to how public officials would
    significance of tattoos generally, including that “individuals
    with tattoos, gang-related or not, often fear being targeted for
    arbitrary arrests and detentions in El Salvador.” AR 1265.
    76
    See 
    Green, 694 F.3d at 508
    –09.
    77
    See 
    Myrie, 855 F.3d at 516
    (quoting Kaplun v. Att’y 
    Gen., 602 F.3d at 271
    ) (noting that when the IJ makes a
    determination under the first prong of Myrie, “the IJ must
    address two questions: “(1) what is likely to happen to the
    petitioner if removed; and (2) does what is likely to happen
    amount to the legal definition of torture?”).
    26
    likely respond and that the Board and IJ applied the wrong
    legal standard for acquiescence. In determining whether public
    officials will acquiesce to torture, Myrie requires an analysis of
    “how public officials will likely act in response to the harm the
    petitioner fears” and “whether the likely response from public
    officials qualifies as acquiescence.” 78
    The Board primarily adopted the IJ’s reasoning as to
    how public officials would likely respond. The IJ discussed
    Quinteros’s testimony that the police are corrupt and infiltrated
    by gangs and that Quinteros believed that his tattoo would be
    taken as a gang signal. The Board and IJ discussed some
    positive steps the Salvadoran government was taking to
    combat gang violence. But neither the IJ nor the Board came
    to a decision about how public officials would likely respond
    to the treatment that Quinteros feared. That requires a remand.
    Quinteros also claims that the Board and IJ applied the
    wrong legal standard for acquiescence because they focused on
    the government’s efforts rather than the results of those efforts.
    The IJ determined that the Salvadoran government would not
    acquiesce in Quinteros’s torture because of the government
    had increased its efforts to address gang violence and reduce
    corruption in the police force. Although the IJ noted the
    uncertainty as to the success of these efforts, the IJ nevertheless
    found that these increased efforts showed that the government
    would not acquiesce in Quinteros’s torture. The Board adopted
    this reasoning and again emphasized the Salvadoran
    government’s positive efforts. We have previously made clear
    to the BIA that a government can acquiesce in torture despite
    78
    
    Myrie, 855 F.3d at 516
    .
    27
    opposing the group inflicting the harm. 79 Indeed, although
    “not dispositive of” whether a government acquiesced in
    torture through willful blindness, “an applicant may be able to
    establish governmental acquiescence in some circumstances,
    even where the government is unable to protect its citizens
    from persecution.” 80 The Board was required to consider
    whether the government of El Salvador is capable of
    preventing the harm Quinteros would likely face.
    IV.
    Having concluded that Quinteros’s conviction under 18
    U.S.C. § 1959(a)(6) is not an aggravated felony under 8 U.S.C.
    § 1101(a)(43)(F), (U), or (J), Quinteros is not removable as
    charged. We therefore grant Quinteros’s petition for review
    and vacate the Board’s final removal order, 81 and remand this
    case to the Board for further proceedings consistent with this
    opinion.
    79
    See, e.g., 
    Pieschacon-Villegas, 671 F.3d at 312
    (“[A]n
    applicant can establish governmental acquiescence even if the
    government opposes the paramilitary organization that is
    engaged in torturous acts.”); Gomez-Zuluaga v. Att’y Gen. of
    United States, 
    527 F.3d 330
    , 351 (3d Cir. 2008) (“The mere
    fact that the Colombian government is engaged in a protracted
    civil war with the FARC does not necessarily mean that it
    cannot remain willfully blind to the torturous acts of the
    FARC.”).
    80
    
    Pieschacon-Villegas, 671 F.3d at 311
    .
    81
    See, e.g., Borrome v. Att’y Gen., 
    687 F.3d 150
    , 163 (3d Cir.
    2012) (holding that the petitioner was not convicted of an
    aggravated felony and vacating the removal order).
    28
    McKEE, Circuit Judge, with whom Judges Ambro and Roth
    join, concurring.
    I join my colleagues’ thoughtful opinion in its entirety.
    I write separately because I think it is as necessary as it is
    important to emphasize the manner in which the BIA dismissed
    Quinteros’ claim that he would be tortured (and perhaps killed)
    if sent back to El Salvador. For reasons I will explain below,
    it is difficult for me to read this record and conclude that the
    Board was acting as anything other than an agency focused on
    ensuring Quinteros’ removal rather than as the neutral and fair
    tribunal it is expected to be. That criticism is harsh and I do
    not make it lightly.
    The BIA’s puzzling conclusions concerning Quinteros’
    New York Yankees tattoo, although not the sole cause of my
    concern, illustrate the reasons I feel compelled to write
    separately. I will therefore begin by discussing the BIA’s
    decision-making process concerning this tattoo.
    I.
    As Judge Roth notes, Quinteros testified that his New
    York Yankees tattoo would identify him as a former gang
    member. 1 He also produced corroborating testimony to that
    effect from an expert witness and a study from the Harvard
    Law School International Rights Clinic. The first Immigration
    Judge to consider this evidence—which was apparently
    undisputed by the government—did so carefully and ultimately
    concluded that Quinteros “[h]as shown a clear likelihood that
    he would be killed or tortured by members of MS-13 and 18th
    Street gangs.” 2 This finding was affirmed by the BIA upon its
    first review of Quinteros’ case, 3 and affirmed again by the
    second IJ after we remanded for consideration in light of
    1
    Maj. Op. at 4-5.
    2
    JA125. The IJ also found the expert testimony convincing:
    “Dr. Boerman’s testimony persuasively illustrates how the
    Respondent could be mistaken for a gang member, since most
    gang members have tattoos, and there is a large number of
    MS-13 members in El Salvador . . .” 
    Id. 3 JA130
    (“We adopt and affirm the Immigration Judge’s
    decision.”).
    1
    Myrie. 4 Thus, two IJs and a Board member had previously
    examined and accepted this finding. Yet, for reasons that are
    not at all apparent, the BIA suddenly reversed that conclusion
    upon this fourth review.
    In an explanation that is both baffling and dismaying,
    the BIA now claims: “Apart from his own testimony and the
    testimony of his expert witness, the record is devoid of any
    objective evidence establishing that a person with a New York
    Yankees tattoo without any other gang identifying marks will
    be identified as a . . . gang member and subjected to torture.” 5
    I am at a loss to understand what the BIA is referring to by
    requiring “objective” evidence. The IJ whose order was being
    reviewed had held that Quinteros was credible, stating: “Based
    on a review of the totality of evidence, the Court finds that
    Respondent’s testimony was consistent with the record and he
    was forthright with the Court regarding his past membership in
    MS-13 gang. Thus, the Court finds Respondent credible.” 6
    Moreover, there was nothing to suggest that Quinteros’
    testimony lacked credibility regarding any aspect of his fear of
    MS-13 or how gang members would interpret his tattoo, and
    neither IJ suggested anything to the contrary. 7
    The BIA properly states the applicable standard of
    review of an IJ’s credibility finding is “clear error,” 8 but
    nowhere does it suggest any basis for finding such error in
    either IJs’ determination. I am therefore unable to ascertain
    any justification for the BIA’s sudden reversal after the three
    previous cycles of review all arrived at the opposite
    conclusion. I also remain baffled by the BIA’s usage of
    “objective evidence.” The firsthand testimony of the victim of
    any crime is probative evidence if it is credible 9—the issue is
    4
    JA14.
    5
    JA5 (emphasis added).
    6
    JA12.
    7
    See JA 14 (second IJ’s conclusion that Quinteros was
    credible); JA118 (first IJ’s conclusion that Quinteros was
    credible); see also Pet. Br. 41-42.
    8
    See BIA Opinion at JA2 (citing C.F.R. § 1003.1(d)(3)(i)).
    9
    For example, in statutory rape cases, fully half of the states
    (including Pennsylvania, where Quinteros is being held) have
    abolished their rules requiring corroboration. The victim’s
    2
    the credibility of the witness. Once a witness’s testimony is
    found to be credible, it cannot arbitrarily be rejected merely to
    achieve a particular result. Even more salient, the BIA’s
    rejection of Quinteros’ credible testimony is inconsistent with
    controlling precedent and the regulations governing CAT
    relief. 10 Those regulations state: “[t]he testimony of the
    applicant, if credible, may be sufficient to sustain the burden
    of proof without corroboration.” 11 Thus, it is clear that
    corroborative evidence may not be necessary. In this case,
    where the testimony of the applicant is credible and is not
    questioned in any way, there is no reason to need
    corroboration.
    Accordingly, Quinteros’ testimony should have been
    sufficient proof of any dispute about his tattoo even if he could
    be described as lacking objectivity. Moreover, there was
    nothing offered to suggest that the expert witness or the report
    of the Harvard Clinic was anything less than objective. It is
    impossible to discern from the record why the BIA refused to
    accept that external evidence. Moreover, given its apparent
    disregard for these three distinct, previously accepted pieces of
    evidence, I seriously doubt whether any evidence would have
    been capable of changing the agency’s analysis. Thus, it is the
    BIA’s own objectivity that concerns me here.
    The agency’s discussion of the location of Quinteros’
    tattoo heightens these concerns. First, the BIA expressed
    account, if credible, is sufficient. See 18 PA. CONS. STAT. §
    3106 (2018) (“The testimony of a complainant need not be
    corroborated in prosecutions under [Pennsylvania criminal
    law]. No instructions shall be given cautioning the jury to
    view the complainant's testimony in any other way than that
    in which all complainants' testimony is viewed.”); Vitauts M.
    Gulbis, Annotation, Modern Status of Rule Regarding
    Necessity for Corroboration of Victim's Testimony in
    Prosecution for Sexual Offense, 
    31 A.L.R. 4th 120
    § 4[a]
    (1984).
    10
    See, e.g., Valdiviezo-Galdamez v. Att’y Gen., 
    663 F.3d 582
    , 591 (3d Cir. 2011) (accepting as objective evidence the
    testimony of the petitioner alone); Auguste v. Ridge, 
    395 F.3d 123
    , 134 (3d Cir. 2005) (accepting as “objective” the
    “[e]vidence of past torture inflicted upon the applicant . . .”).
    11
    8 C.F.R. § 208.16.
    3
    skepticism because the record does not contain a photograph
    of the tattoo, “or a description of its size and design.” 12 It
    faulted Quinteros for not establishing that the tattoo is
    “publicly visible,” and stated, “[t]he record simply indicates
    that he has a tattoo on his right arm.” 13 Yet, the Government
    never contested the existence of the tattoo and, as I have
    explained, Quinteros’ testimony about it was accepted as
    credible by the IJ.
    Then the BIA objected that Quinteros never “clearly
    specified the location of his New York Yankees tattoo and his
    expert witness did not know its location.” 14 However, two
    sentences later, the BIA states that “[t]he Record . . . simply
    indicates that he [Quinteros] has a tattoo on his right arm.” 15
    Therefore, not only was there never a dispute about the
    existence of the tattoo, there was also no dispute as to its
    location, and the BIA’s abortive suggestions to the contrary are
    simply inconsistent with a fair and neutral analysis of
    Quinteros’ claim. Finally, even if one sets that all aside, I can
    find no reasonable basis for the BIA to suppose that the specific
    design of the tattoo or testimony about its size was even
    necessary. Whatever its exact appearance, it was uncontested
    that it was a New York Yankees tattoo. And as noted by Judge
    Roth, the record had established that awareness of gang use of
    tattoos is so prevalent in El Salvador that individuals are
    routinely forced by police and rival gangs to remove their
    clothing for inspection of any tattoos that may be present. 16 It
    therefore pains me to conclude that the BIA simply ignored
    evidence in an effort to find that Quinteros’ tattoo would not
    place him in peril as it was underneath his clothing. 17
    II.
    12
    JA5.
    13
    JA5.
    14
    
    Id. 15 Id.
    16
    Maj. Op. at 22; see also JA61, 90-91, 162. Overlooking so
    obvious an inference of danger—arising from the undisputed
    existence of Quinteros’ tattoo—contradicts our directive that
    “the BIA must provide an indication that it considered such
    evidence, and if the evidence is rejected, an explanation as to
    why . . .” Zhu v. Att’y Gen., 
    744 F.3d 268
    , 272 (3d Cir. 2014).
    17
    JA5.
    4
    As troubling as the mishandling of Quinteros’ evidence
    might be standing alone, the BIA’s errors here are not an
    isolated occurrence. There are numerous examples of its
    failure to apply the binding precedent of this Circuit
    delineating the proper procedure for evaluating CAT appeals. 18
    Indeed, that framework has been mishandled, or simply absent,
    from several BIA opinions in the two years since we explicitly
    emphasized its importance in Myrie. 19
    As Judge Roth explains, Myrie instituted a two-part
    inquiry for evaluating whether a claim qualifies for relief under
    CAT. She describes the steps required and the points which
    must be addressed; 20 we normally accept the BIA’s well-
    reasoned conclusions on each of these points, however,
    “[t]he BIA must substantiate its decisions. We
    will not accord the BIA deference where its
    findings and conclusions are based on inferences
    18
    For our particular decisions on this topic, see Myrie v. Att’y
    Gen., 
    855 F.3d 509
    (3d Cir. 2017); Pieschacon-Villegas v.
    Att’y Gen., 
    671 F.3d 303
    (3d Cir. 2011).
    19
    
    Myrie, 855 F.3d at 516
    (requiring the BIA to follow the
    process we have delineated, as, “[i]n order for us to be able to
    give meaningful review to the BIA’s decision, we must have
    some insight into its reasoning.”) (quoting Awolesi v.
    Ashcroft, 
    341 F.3d 227
    , 232 (3d Cir. 2003)). Among the
    examples of BIA error, see Serrano Vargas v. Att’y Gen., No.
    17-2424, 
    2019 WL 5691807
    , at *2 (3d Cir. Nov. 4, 2019)
    (finding it “unclear” whether the BIA followed our
    precedent); Guzman v. Att’y Gen., 765 F. App’x. 721 (3d Cir.
    2019) (finding ultimately non-determinative an incorrect
    application of the Myrie and Pieschacon-Villegas standards
    which had been summarily affirmed by the BIA); Zheng v.
    Att’y Gen., 759 F. App’x. 127, 130 (3d Cir. 2019) (requiring
    the appeals court to read between the lines of the BIA opinion
    to understand whether the conclusion satisfied the Myrie test);
    Antunez v. Att’y Gen., 729 F. App’x. 216, 223 (3d Cir. 2018)
    (concluding the BIA applied the wrong standard of review
    under Myrie).
    20
    Maj. Op, at 21.
    5
    or presumptions that are not reasonably
    grounded in the record.” 21
    In other words, the BIA cannot act arbitrarily. We
    expect that it will “examine the relevant data and articulate a
    satisfactory explanation for its actions, including a ‘rational
    connection between the facts found and the choice made.’” 22
    Here, as already seen, the BIA’s conclusions fell far short of
    that low bar. According deference would therefore be to
    compound a mistaken application of law.
    The BIA’s misapplication of Myrie here is consistent
    with other examples. Beginning with the first prong of Myrie’s
    first question (what will happen if a petitioner is removed to
    his or her country of origin), the BIA ignored evidence in the
    record. I have already discussed much of its tattoo analysis. 23
    Similarly, the BIA simplistically concluded that because
    Quinteros left El Salvador when he was a boy, he would not be
    recognized by El Salvadorian gangs upon his return. 24 That
    conclusion was clearly contradicted in the record by credible
    and undisputed evidence that Quinteros knows “at least 70”
    current or former gang members in the United States who were
    deported to El Salvador and would recognize him there. 25 The
    BIA was required to at least review the evidence Quinteros
    offered and provide a non-arbitrary reason for rejecting it. 26
    21
    Kang v. Att’y Gen., 
    611 F.3d 157
    , 167 (3d Cir. 2010)
    (quoting Sheriff v. Att'y Gen., 
    587 F.3d 584
    , 589 (3d Cir.
    2009)).
    22
    Motor Vehicle Mfrs. Ass'n of U.S., Inc. v. State Farm Mut.
    Auto. Ins. Co., 
    463 U.S. 29
    , 43 (1983) (quoting Burlington
    Truck Lines v. United States, 
    371 U.S. 156
    , 168 (1962)).
    23
    JA5.
    24
    JA4. The BIA strangely maintains in the face of the
    evidence presented that “[Quinteros] has not clearly
    articulated exactly how anyone in El Salvador will remember
    or recognize him . . .” 
    id. 25 JA63-64.
    26
    
    Huang, 620 F.3d at 388
    (“The BIA simply failed to address
    any evidence that, if credited, would lend support to
    [Petitioner’s case], and thus the decision does not reflect a
    consideration of the record as a whole.”).
    6
    And the errors do not stop there. Because it had not
    substantively addressed the testimony offered above, the BIA
    was left without substantive findings on which to determine
    Question II of the Myrie framework: does what will likely
    happen to a petitioner amount to torture? As Judge Roth makes
    clear, the BIA is required to conduct both steps of the Myrie
    analysis. 27 By declining to reach clear findings of what would
    happen upon removal, the BIA prevented itself from then being
    able to determine whether those results met the legal standard
    for torture. The Myrie framework cannot be so easily evaded.
    Lastly, to briefly reiterate Judge Roth’s important
    observations regarding Myrie’s second prong, 28 a proper
    inquiry must “take[] into account our precedent that an
    applicant can establish governmental acquiescence even if the
    government opposes the [group] engaged in torturous acts.” 29
    This is only logical, as few countries admit to torturing and
    killing their citizens, even when privately condoning such
    conduct. Thus, if we simply took countries at their word, there
    would barely be anywhere on the globe where CAT could
    apply. We have previously made clear that this is the proper
    inquiry to determine acquiescence and have remanded based
    on the BIA’s failure to look past the stated policies of a given
    government. 30 Other Circuit Courts of Appeals have done the
    same. 31 The BIA is thus on notice that results, not press
    27
    Maj. Op, at 23 (citing 
    Myrie, 855 F.3d at 516
    ).
    28
    Maj. Op, at 24-25.
    29
    Pieschacon-Villegas v. Att’y Gen., 
    671 F.3d 303
    , 312
    (2011).
    30
    See, e.g., Guerrero v. Att’y Gen., 672 F. App’x 188, 191
    (3d Cir. 2016) (per curiam); Torres-Escalantes v. Att’y Gen.,
    632 F. App’x 66, 69 (3d Cir. 2015) (per curiam).
    31
    Barajas-Romero v. Lynch, 
    846 F.3d 351
    , 363 (9th Cir.
    2017); Rodriguez-Molinero v. Lynch, 
    808 F.3d 1134
    , 1140
    (7th Cir. 2015) (“[I]t is success rather than effort that bears on
    the likelihood of the petitioner’s being killed or tortured if
    removed”); Madrigal v. Holder, 
    716 F.3d 499
    , 510 (9th Cir.
    2013) (“If public officials at the state and local level in
    Mexico would acquiesce in any torture [petitioner] is likely to
    suffer, this satisfies CAT’s requirement that a public official
    acquiesce in the torture, even if the federal government . . .
    would not similarly acquiescence.”); De La Rosa v. Holder,
    7
    releases or public statements, are what drive the test for
    acquiescence under Myrie.
    III.
    In Quinteros’ case, as has happened before, “[t]he
    BIA’s opinion frustrates our ability to reach any conclusion . .
    .” 32 In Cruz, we stated that “the BIA’s cursory analysis ignored
    the central argument in [Petitioner’s] motion to reopen that he
    was no longer removable for committing a crime of moral
    turpitude.” 33 In Kang, we disapproved when “[t]he BIA
    ignored overwhelming probative evidence . . . its findings were
    not reasonably grounded in the record and thus . . . . [t]he BIA's
    determination was not based on substantial evidence.” 34 In
    Huang, we complained when “[t]he BIA’s analysis [did] little
    more than cherry-pick a few pieces of evidence, state why that
    evidence does not support a well-founded fear of persecution
    and conclude that [petitioner’s] asylum petition therefore lacks
    merit. That is selective rather than plenary review.” 35 There
    are simply too many additional examples of such errors to feel
    confident in an administrative system established for the fair
    and just resolution of immigration disputes. 36 Most disturbing,
    
    598 F.3d 103
    , 110 (2d Cir. 2010) (“[I]t is not clear . . . why
    the preventative efforts of some government actors should
    foreclose the possibility of government acquiescence, as a
    matter of law, under the CAT.”).
    32
    Cruz v. Att’y Gen., 
    452 F.3d 240
    , 248 (3d Cir. 2006).
    33
    
    Id. 34 Kang,
    611 F.3d at 167.
    35
    Huang v. Att’y Gen., 
    620 F.3d 372
    , 388 (3d Cir. 2010).
    36
    See, e.g., Huang Bastardo-Vale v. Att’y Gen., 
    934 F.3d 255
    ,
    259 n.1 (3d Cir. 2019) (en banc) (castigating the BIA for its
    “blatant disregard of the binding regional precedent . . .”);
    Mayorga v. Att’y Gen., 
    757 F.3d 126
    , 134-35 (3d Cir. 2014)
    (reversing a BIA decision without remand and observing that
    “[i]deally the BIA would have provided more analysis,
    explaining why it accepted the IJ’s (erroneous) reasoning . .
    .”) (alteration in original); Quao Lin Dong v. Att’y Gen., 
    638 F.3d 223
    , 229 (3d Cir. 2011) (finding the BIA “erred by
    misapplying the law regarding when corroboration is
    necessary . . .”); Gallimore v. Att’y Gen., 
    619 F.3d 216
    , 221
    (3d Cir. 2010) (holding that “[t]he BIA's analysis in all
    likelihood rests on an historically inaccurate premise . . . . the
    8
    these failures gravely affect the rights of petitioners, such as
    Quinteros, who allege that they will face torture or death if
    removed to their country of origin.
    IV.
    Although the BIA is “[n]ot a statutory body . . .” 37 it has
    been described as “[t]he single most important decision-maker
    in the immigration system.” 38 I doubt that any court or any
    other administrative tribunal so regularly addresses claims of
    life-changing significance, often involving consequences of
    life and death. It is therefore particularly important that the
    opinions of the BIA fairly and adequately resolve the legal
    arguments raised by the parties and render decisions based only
    upon the record and the law.
    I understand and appreciate that the BIA’s task is made
    more difficult by the incredible caseload foisted upon it, and
    the fact that BIA members (and IJs for that matter) are
    horrendously overworked. 39 But administrative shortcomings
    BIA's opinion fails adequately to explain its reasoning and, in
    any event, appears incorrect as a matter of law.”). Nor is this
    a concern of recent vintage, the BIA has been on notice for
    well over a decade. See, e.g., Kayembe v. Ashcroft, 
    334 F.3d 231
    , 238 (3d Cir. 2003) (“[T]he BIA in this case has failed
    even to provide us with clues that would indicate why or how
    [petitioner] failed to meet his burden of proof. As a result,
    ‘the BIA’s decision provides us with no way to conduct our . .
    . review.’”) (quoting Abdulai v. Ashcroft, 
    239 F.3d 542
    , 555
    (3d Cir. 2001)); 
    Abdulai, 239 F.3d at 555
    (“[T]he availability
    of judicial review (which is specifically provided in the INA)
    necessarily contemplates something for us to review . . . . the
    BIA's failure of explanation makes [this] impossible . . .”)
    (emphasis in original).
    37
    Anna O. Law, THE IMMIGRATION BATTLE IN AMERICAN
    COURTS 23 (2010) (citing unpublished internal history of the
    BIA).
    38
    Andrew I. Schoenholtz, Refugee Protection in the United
    States Post September 11, 36 COLUM. HUM. RTS. L. REV.
    323, 353 (2005).
    39
    See Am. Bar Ass'n, Comm'n on Immigration, 2019 Update
    Report: Reforming the Immigration System: Proposals to
    Promote Independence, Fairness, Efficiency, and
    9
    can never justify denying the parties a fair and impartial
    hearing, or excuse allowing adjudications to devolve into a
    mere formality before removal.
    I would like to be able to feel comfortable that the
    lopsided outcomes in immigration proceedings 40 reflect the
    merits of the claims for relief raised there rather than the
    proverbial “rush to judgment.” Thus, on remand, I can only
    hope that Quinteros’ claims are heard by more careful and
    judicious ears than he was afforded in this appearance.
    Professionalism in the Adjudication of Removal Cases, Vol.
    1, 20-21 (2019), available at https://www.naij-
    usa.org/images/uploads/newsroom/ABA_2019_reforming_th
    e_immigration_system_volume_1.pdf (noting the continued
    heavy caseload of the BIA, with an increasing number of
    appeals likely in the near future, and a resulting tendency to
    dispose of cases with single-member opinions that address
    only a single issue in the case).
    40
    Jaya Ramji-Nogales, et al., Refugee Roulette: Disparities in
    Asylum Adjudication, 60 STAN. L. REV. 295, 359-61 (2007)
    (reporting that between 2001 and 2005, the BIA’s rate of
    granting asylum fell by up to 84%, with some categories of
    applicants receiving asylum only 5% of the time).
    10
    

Document Info

Docket Number: 18-3750

Filed Date: 12/17/2019

Precedential Status: Precedential

Modified Date: 12/17/2019

Authorities (34)

De La Rosa v. Holder , 598 F.3d 103 ( 2010 )

united-states-v-jose-diaz-also-known-as-jolly-jesse-rodriguez-also-known , 176 F.3d 52 ( 1999 )

Lin v. Attorney General of the United States , 543 F.3d 114 ( 2008 )

Jose Cruz v. Attorney General of the United States , 452 F.3d 240 ( 2006 )

Quao Lin Dong v. Attorney General of the United States , 638 F.3d 223 ( 2011 )

Alket Voci v. Alberto Gonzales , Attorney General of the ... , 409 F.3d 607 ( 2005 )

Khaimraj Singh v. John Ashcroft, Attorney General of the ... , 383 F.3d 144 ( 2004 )

Kang v. Attorney General of US , 611 F.3d 157 ( 2010 )

Sheriff v. Attorney General of the United States , 587 F.3d 584 ( 2009 )

Gomez-Zuluaga v. Attorney General of the United States , 527 F.3d 330 ( 2008 )

Valdiviezo-Galdamez v. Attorney General of the United States , 663 F.3d 582 ( 2011 )

Restrepo v. Attorney General of US , 617 F.3d 787 ( 2010 )

napoleon-bonaparte-auguste-v-thomas-ridge-secretary-united-states , 395 F.3d 123 ( 2005 )

in-the-matter-of-lawrence-b-seidman-and-john-bailey-individually-as , 37 F.3d 911 ( 1994 )

Espinosa-Cortez v. Attorney General of United States , 607 F.3d 101 ( 2010 )

Hoxha v. Holder , 559 F.3d 157 ( 2009 )

Oscar Kayembe v. John Ashcroft, Attorney General of the ... , 334 F.3d 231 ( 2003 )

Celso Chavarria v. Alberto Gonzalez, Attorney General of ... , 446 F.3d 508 ( 2006 )

En Hui Huang v. Attorney General of the United States , 620 F.3d 372 ( 2010 )

Olufemi Yussef Abdulai v. John Ashcroft, Attorney General ... , 239 F.3d 542 ( 2001 )

View All Authorities »