United States v. Parasconda , 69 F. App'x 74 ( 2003 )


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  •                                                                                                                            Opinions of the United
    2003 Decisions                                                                                                             States Court of Appeals
    for the Third Circuit
    6-13-2003
    USA v. Parasconda
    Precedential or Non-Precedential: Non-Precedential
    Docket No. 03-1059
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    Recommended Citation
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    http://digitalcommons.law.villanova.edu/thirdcircuit_2003/458
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    NOT PRECEDENTIAL
    UNITED STATES COURT OF APPEALS
    FOR THE THIRD CIRCUIT
    __________
    Case No: 03-1059
    ____________
    UNITED STATES OF AMERICA
    v.
    DEAN PARASCONDA,
    Appellant
    _____
    On Appeal From the United States District Court
    For the Middle District of Pennsylvania
    No. 01-CR-223
    District Judge: The Honorable Sylvia H. Rambo
    __________
    Submitted Under Third Circuit LAR 34.1(a)
    April 3, 2003
    __________
    Before: McKEE, SMITH, Circuit Judges, and HOCHBERG*, District Judge
    (Filed June 13, 2003)
    ____________
    OPINION
    ____________
    *Honorable Faith S. Hochberg, United States District Judge for the District of New
    Jersey, sitting by designation.
    SMITH, Circuit Judge
    I.   FACTS AND PROCEDURAL POSTURE
    From July 1996 through March 1998, appellant Dean Parasconda was part of a
    criminal conspiracy to sell vehicles with falsified Certificates of Title. The members of
    the conspiracy purchased high-milage vehicles, rolled back the odometers, forged false
    ownership and milage information on the Certificates of Title, transported the titles to the
    Pennsylvania Department of Transportation (“Penn DOT”), “washed” the titles through
    Penn DOT and sold the vehicles. Parasconda purchased 35 of the 408 vehicles involved
    in the conspiracy while using a fictitious name, created receipts for these purchases and
    transported the paperwork from Pennsylvania to New York to be falsified, and returned
    the paperwork to Pennsylvania.
    On October 24, 2001, Parasconda pleaded guilty to a two-count information
    charging him with aiding and abetting in the transport in interstate commerce of falsified
    Certificates of Title for motor vehicles in violation of 
    18 U.S.C. §§ 2
     and 2314, and
    conspiracy to commit the same in violation of 
    18 U.S.C. § 371
    . In his plea agreement,
    Parasconda acknowledged causing a loss of no more than $120,000, but reserved the right
    to show that the loss was as low as $30,000. He also agreed to make full restitution
    according to a schedule to be determined by the Court.
    A sentencing hearing was conducted on December 17, 2002. The Court found that
    the total amount of loss caused by Parasconda with respect to the 35 cars was $44,507. As
    1
    a result, Parasconda’s base offense level of 6 under U.S. Sentencing Guidelines Manual
    (“U.S.S.G.” or “Sentencing Guidelines”) § 2F1.1 (1997)1 was increased 5 levels. A two
    level increase was imposed under § 2F1.1(b)(2)(A) and (B) because the offense involved
    more than one victim and more than minimal planning. This adjustment was offset by a
    two level reduction for acceptance of responsibility under § 3E1.1(a). The Court
    therefore calculated a total offense level of 11 and a criminal history category of I, with a
    sentencing range of eight to fourteen months and a fine range of $2,000 to $20,000. The
    District Court then sentenced Parasconda to eight months imprisonment on each count, to
    be served concurrently, a fine of $10,000 on each of the two counts, a special assessment
    of $100 on each count and a term of supervised release of two years. The Court ordered
    payment of the fine in an installment of $5,000 to be paid within six months, followed by
    minimum monthly installments of $100 during the term of supervised release. The Court
    declined to order restitution.
    II. JURISDICTION
    The District Court had jurisdiction over the criminal case pursuant to 
    18 U.S.C. § 3231
    . We have jurisdiction over the appeal from sentencing pursuant to 
    28 U.S.C. § 1291
    and 
    18 U.S.C. § 3742
    (a).
    III. STANDARD OF REVIEW
    1
    Because use of the 2002 Sentencing Guidelines at sentencing would have created an
    ex post facto issue, the District Court used the 1997 manual. All references to the
    Sentencing Guidelines are to that manual.
    2
    We review objections that were not made contemporaneously at sentencing for
    plain error. See United States v. Olano, 
    507 U.S. 725
    , 732 (1993). Otherwise, we review
    the District Court’s legal conclusions on the Sentencing Guidelines de novo, and review
    factual findings under the clearly erroneous standard. See United States v. Isaza-Zapata,
    
    148 F.3d 236
    , 237 (3d Cir. 1998); United States v. Seale, 
    20 F.3d 1279
    , 1284 (3d Cir.
    1994).
    IV.   LEGAL ANALYSIS
    A. The Imposition of a $20,000 Fine
    Section 5E1.2(a) of the U.S. Sentencing Guidelines Manual states: “The court shall
    impose a fine in all cases, except where the defendant establishes that he is unable to pay
    and is not likely to become able to pay any fine.” Section 5E1.2(d)(1)-(7) requires that in
    determining the amount of the fine the court consider factors such as the need for
    punishment and deterrence, the defendant’s ability to pay, the burden the fine places on
    the defendant and his dependants, any restitution or reparation by the defendant, collateral
    consequence of conviction, whether the defendant has previously been fined for similar
    offenses, the expected costs to the government of probation and incarceration and any
    other equitable considerations. Similarly, 
    18 U.S.C. § 3572
    (a) also requires the court to
    consider “the defendant’s income, earning capacity, and financial resources,” “the burden
    the fine will impose upon the defendant, any person who is financially dependent on the
    defendant, or any other person (including the government) that would be responsible for
    3
    the welfare of any person financially dependent on the defendant,” the pecuniary loss
    inflicted on others as a result of the offense and whether restitution has been ordered or
    made. 
    18 U.S.C. § 3572
    (a)(1)-(4).
    A district court must make a finding on the defendant’s ability to pay the fine.
    United States v. Electrodyne Sys. Corp., 
    147 F.3d 250
    , 252 (3d Cir. 1998); United States
    v. Seale, 
    20 F.3d 1279
    , 1284 (3d Cir. 1994). But “[w]here the court has created enough
    of a factual record that it is clear that it considered a defendant’s ability to pay, its
    findings may be deemed adequate.” Electrodyne, 
    147 F.3d at 255
    ; Seale, 
    20 F.3d at 1284
    . We have plenary review over the sufficiency of a district court’s findings, and we
    review the determination that defendant was able to pay a fine and the amount of the fine
    for clear error. Seale, 
    20 F.3d at 1284
    . However, since the appellant did not object to the
    District Court’s finding as to his ability to pay or the amount of the fine at the sentencing
    hearing, we must review for plain error. See Fed. R. Crim. P. 52(b) (“plain errors or
    defects affecting substantial rights may be noticed although they were not brought to the
    attention of the court.”); Olano, 
    507 U.S. at 732
    .2 In a plain error analysis, the decision
    to correct the forfeited error is “within the sound discretion of the court of appeals, and
    2
    An objection to the amount of the fine would have been timely at the sentencing
    hearing after the amount of the fine was announced. See United States v. Fox, 
    140 F.3d 1384
     (11th Cir. 1998); United States v. Monem, 
    104 F.3d 905
    , 911 (7 th Cir. 1997)
    (reviewing fine amount for plain error where defendant “did not object to the imposition
    of the fine at sentencing”). Parasconda did write a letter to the Court requesting a hearing
    on his ability to pay the fine, but this letter was not entered into the docket until
    December 19, and the judgm ent order was entered two days earlier - on December 17.
    4
    the court should not exercise that discretion unless the error ‘seriously affect[s] the
    fairness, integrity or public reputation of judicial proceedings.’” 
    Id.
     (quoting United
    States v. Young, 
    470 U.S. 1
    , 15 (1985)). Improperly imposing a fine or restitution can
    constitute an illegal sentence which affects a substantial right and amounts to plain error.
    See United States v. Diaz, 
    245 F.3d 294
    , 312 (3d Cir. 2001); United States v. Coates, 
    178 F.3d 681
    , 684 (3d Cir. 1999).
    Here, the District Court did not discuss Parasconda’s finances and merely stated
    that it “adopts the factual findings in the guideline application in the pre-sentence report”
    and “finds that the defendant has the ability to pay a fine.” Parasconda suggests that the
    factual findings in the Pre-Sentence Report (“PSR”) do not support a conclusion that he is
    able to pay a fine in the amount of $20,000, and points out that the PSR only recommends
    a “minimal” fine.
    The government argues that since Parasconda admitted in his plea agreement to
    causing a loss of approximately $30,000 3 and agreed to “make full restitution in
    accordance with a schedule to be determined by the court” he implicitly admitted his
    ability to pay a fine of $20,000 and the District Court did not have to make any factual
    findings on ability to pay or consider the other factors in U.S.S.G. § 5E1.2(d) and 
    18 U.S.C. § 3572
     relevant to deciding the amount of a fine. In Electrodyne, the parties
    3
    Specifically, the agreement stated that the amount of loss attributable to the defendant
    “is no more than $120,000" and defendant reserved the right to “demonstrate that the
    amount of loss is approximately $30,000."
    5
    stipulated in the plea agreement that $140,000 was an appropriate fine, but the district
    court imposed a one-million dollar fine. This Court stated: “[i]f the judge accepts the
    negotiated fine, no detailed finding of ability to pay is necessary because the defendant
    has implicitly acknowledged its ability by virtue of the agreement.” 
    Id. at 254-55
    .
    On its face, this situation is distinguishable from Electrodyne since Parasconda did not
    agree to pay a stipulated fine amount but merely agreed to make “full” restitution.
    However since the District Court declined to impose any restitution 4 , but only imposed a
    fine, appellant’s promise to make full restitution for a loss that was larger than the amount
    of the fine constitutes an admission of ability to pay and no factual finding was necessary.
    Thus, the court did not commit plain error.
    B. Minor Participant
    Section 3B1.2 of the Sentencing Guidelines provides for a two-level reduction in
    offense level if the defendant was a “minor participant” in the criminal activity and a four
    level reduction in offense level if the defendant was a “minimal participant” in the
    criminal activity. See U.S.S.G. § 3B1.2.      The guideline application notes state that “a
    minor participant means any participant who is less culpable than most other participants
    but whose role could not be described as minimal.” U.S.S.G. § 3B1.2, Application Note
    4
    The District Court declined to impose mandatory restitution because “determining
    complex issues of fact related to the cause or amount of the victim’s losses would
    complicate or prolong the sentencing process to a degree that the need to provide
    restitution to any victim is outweighed by the burden on the sentencing process.” 18
    U.S.C. § 3663A(c)(3)(B).
    6
    3.
    A minor role adjustment is only available to a defendant involved in concerted
    criminal activity with other participants, whose role is minor in comparison to those other
    participants. See Isaza-Zapata, 
    148 F.3d at 238
    . In assessing eligibility for a minor role
    adjustment, this Court has recommended that district courts apply the following three
    factors to determine the defendant’s relative culpability:
    1) the nature of the defendant’s relationship to the other participants;
    2) the importance of the defendant’s actions to the success of the venture; and
    3) the defendant’s awareness of the nature and scope of the criminal enterprise.
    United States v. Headley, 
    923 F.2d 1079
     (3d Cir. 1991). It is defendant’s burden to prove
    that he is entitled to the adjustment. See Isaza-Zapata, 
    148 F.3d at 240
    .
    In addition, this Court has noted that
    the mere fact that a defendant was less culpable than his co-defendants does
    not entitle the defendant to “minor participation” status as a matter of law . .
    . If this were the case, then the least culpable member of any conspiracy
    would be a minor participant, regardless of the extent of that member’s
    participation. We reject this approach because there are varying degrees of
    culpability present in virtually every criminal conspiracy.
    United States v. Brown, 
    250 F.3d 811
    , 819 (3d Cir. 2001) (internal citations omitted).
    Because the District Court’s determination that Parasconda did not play a minor
    role was prim arily factual in nature, we review it for clear error. See, e.g., United States
    v. Perez, 
    280 F.3d 318
    , 351 (3d Cir. 2002). “A decision is clearly erroneous if the
    reviewing court is left with the definite and firm conviction based on all the evidence that
    the trial court made a mistake.” 
    Id.
    7
    Here, the District Court had the following discussion with respect to a two-point
    increase under Section 2F1.1(b)(2), which is given if the offense involved “more than
    minimal planning or a scheme to defraud more than one victim.”
    With regard to the request that you not be assessed two points under
    guideline 2F1.1 because you allege his involvement was limited to simply
    purchasing the vehicles, he did purchase them, but it was necessary in this
    whole scheme of things that without his involvement the whole thing could
    not have come about.
    Also I would point out that you took the titles to New York to be
    altered after you bought them in Pennsylvania and then they were delivered
    to other conspirators, the washing through PennDOT. Also, there was more
    than one victim involved, and this was over a period of time.
    So I think that the two points, as well as your objection number three
    – excuse me – the two points are properly supported by the fact that there
    were acts over a period of time, you defrauded more than one victim, and it
    was necessary under the scheme of things that your participation was
    essential.
    I would point out in a case similar to this, that I decided in United
    States v. Johnson5 which was decided October 18, 2002, it is a
    nonprecedential opinion but the very same argument made by this
    defendant concerning his role in the offense, this Court was upheld by
    adding the two points for role in the offense.6
    The District Court did not separately address the minor participant claim under U.S.S.G.
    § 3B1.2, but the following exchange took place between the government and defense
    attorney: “Mr. Cecchi: Judge, in connection with the 2F1.1 adjustment for more than
    minimal planning, we have resolved the issue of minor participant as well? The Court:
    5
    This refers to the case against appellant’s coconspirator, W esley C. Johnson.
    6
    Actually, this is a misstatement. This court did not uphold a two-point enhancement,
    but rather upheld the district court’s refusal to award a two-point downward adjustment
    for being a “minor participant.”
    8
    Yes.”
    Parasconda argues that the District Court erred in confusing Sections 2F1.1(b)(2)
    and 3B1.2, and in failing to assess his level of culpability with respect to the other co-
    conspirators, or his knowledge of the scope of the conspiracy. Parasconda alleges that he
    was a minor participant because he was “unaware of the exact logistics of the scheme,”
    lacked “knowledge and understanding of the overall enterprise,” and his level of
    culpability was much less than the other co-conspirators because he only purchased 35
    cars, and the other conspirators actually altered the titles, rolled back the odometers,
    washed the titles and sold the vehicles.
    Even though the District Court combined its discussion of the minimal participant
    and minimal planning standards, reversal is not warranted since a district court does not
    commit clear error by failing to explicitly address all the factors laid out in Headley. See
    United States v. Carr, 
    25 F.3d 1194
    , 1208 (3d Cir. 1994). The District Court still found
    that Parasconda’s actions were critical to the success of the venture and recognized that
    he had some knowledge of the scope of the activities, since he brought the titles from
    Pennsylvania to New York to be altered and then back to Pennsylvania to be “washed.”
    While a defendant whose actions are necessary for the success of a conspiracy can
    still be a “minor participant”, the necessity of defendant’s actions combined with a
    knowledge of the scope of the conspiracy generally precludes minor participant status.
    Compare Zapata, 
    148 F.3d at 238
     (holding that a legal interpretation of the guidelines
    9
    which denies minor role adjustments to all drug couriers because they are “essential”
    would be erroneous), with United States v. Perez, 
    280 F.3d 318
    , 352 (3d Cir. 2002) (no
    clear error in denying a minor role reduction to defendants who knew of scope of
    conspiracy and performed a different role than other co-conspirators but without which
    “the conspiracy could not have succeeded”). In addition the fact that a defendant played a
    smaller role than other co-conspirators does not prove that he is less culpable if he is
    aware of the scope of the conspiracy. See Perez, 
    280 F.3d at 323-25, 352
     (a defendant
    who only housed a drug courier but was present at kingpin’s house when significant drug
    transactions were taking place was not a minor participant because he was no less
    culpable than other conspirators).
    Here, the fact that Parasconda was involved with only 9% of the cars and only
    purchased those cars, rather than altering the titles or rolling back the odometers, does not
    make his culpability so small in comparison to the other co-conspirators that he is clearly
    entitled to “minor participant” status. Moreover, there is evidence suggesting that
    Parasconda’s role was necessary to the conspiracy and that he had some knowledge of the
    scope of the conspiracy. Therefore, because the evidence in this case does not leave us
    with a definite and firm conviction that Parasconda was a minor participant, the District
    Court’s conclusion was not clearly erroneous.
    C. Downward Departure for Extraordinary Medical Condition
    Section 5H1.4 of the U.S. Sentencing Guidelines Manual provides: “[A]n
    10
    extraordinary physical impairment may be a reason to impose a sentence below the
    applicable guideline range; in the case of a seriously infirm defendant, home detention
    may be as efficient as, and less costly than, imprisonment.” Parasconda argues that the
    District Court erred in its consideration of whether he was entitled to a downward
    departure under Section 5H1.4. Specifically, Parasconda asks that we require the District
    Court to take into account non-medical issues in determ ining whether to grant a 5H1.4
    departure such as: his status as a first time offender who committed a non-violent crime,
    that his family lives on his disability benefits, that his brother is living his final days in
    search of a heart donor, and the fact that he is at risk of being victimized while in prison.
    The PSR stated that Parasconda was injured while working at the Fulton Fish
    Market in 1991. He sustained serious damage to his shoulder, neck, back and knees,
    which disabled him and required multiple surgeries and physical therapy. The Social
    Security Administration awarded him permanent disability benefits based on its
    conclusion that he was totally disabled. Parasconda also had hypertension, reflux disease,
    a bleeding ulcer and suffered from persistent generalized anxiety, post-traumatic stress
    and moderate-to-severe depression. Based on these diseases and injuries, Parasconda
    requested that the court grant a downward departure under Section 5H1.4. The District
    Court denied this request.
    Our jurisdiction to consider Parasconda’s argument that he is entitled to a
    downward departure based on an extraordinary m edical condition depends on the basis
    11
    for the District Court’s ruling. See United States v. Stevens, 
    223 F.3d 239
    , 247 (3d Cir.
    2000); United States v. Denardi, 
    892 F.2d 269
    , 271-72 (3d Cir. 1989); see also United
    States v. Ruiz, 
    122 S.Ct. 2450
    , 2454 (2002) (noting that “[e]very Circuit has held that [
    18 U.S.C. § 3742
    ] does not authorize a defendant to appeal a sentence where the ground for
    appeal consists of a claim that the district court abused its discretion in refusing to
    depart”). Where a district court’s ruling is based on the court’s belief that a departure on
    the grounds proffered by the appellant is legally impermissible, we have jurisdiction “to
    determine whether the district court’s understanding of the law was correct.” Stevens,
    
    223 F.3d at
    247 (citing United States v. Mummert, 
    34 F.3d 201
    , 205 (3d Cir. 1994)). We
    lack jurisdiction to review a refusal to depart downward when the district court, knowing
    it may do so, nonetheless determ ines that departure is not warranted. See United States v.
    Hernandez, 
    218 F.3d 272
    , 281 (3d Cir. 2000); Stevens, 
    223 F.3d at 247
    ; Denardi, 892
    F.2d at 272. “If the district court’s stated reasons are ambiguous, so that the record does
    not reflect whether the court’s denial is based on legal or discretionary grounds – then the
    proper remedy is to ‘vacate the sentence and remand for the district court to clarify the
    basis for its ruling.’” Stevens, 
    223 F.3d at 247
     (quoting Mummert, 
    34 F.3d at 205
    ).
    Here, the defense counsel repeatedly reminded the District Court that it had
    discretion to depart and the Court did not say anything suggesting that it disagreed with
    this statement. In denying the motion for downward departure, the Court stated: “The
    Court has not granted a reduction for medical reasons. The Court believes that the federal
    12
    penal institution can provide adequate care to the defendant. The Court will note in its
    recom mendation to the Bureau of Prisons that special consideration be given to his
    medical needs . . .” This demonstrates that the District Court recognized that it had the
    legal authority to grant a further downward departure for an extraordinary medical
    condition, but decided departure was not warranted. Thus we are without jurisdiction
    to review the Court’s exercise of discretion.
    V.     CONCLUSION
    The District Court’s fine and sentence will be affirmed.
    TO THE CLERK:
    Please file the foregoing Opinion.
    /s/ D. Brooks Smith
    Circuit Judge
    13
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