United States v. Jermaine Chapman ( 2017 )


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  •                         REVISED April 11, 2017
    IN THE UNITED STATES COURT OF APPEALS
    FOR THE FIFTH CIRCUIT
    United States Court of Appeals
    Fifth Circuit
    No. 15-30538                         FILED
    March 10, 2017
    Lyle W. Cayce
    UNITED STATES OF AMERICA,
    Clerk
    Plaintiff - Appellee Cross-Appellant
    v.
    JERMAINE J. CHAPMAN, also known as Dump Truck, CHARLES BOYER,
    also known as Slim,
    Defendants - Appellants
    JEFFERY D. PERRY,
    Defendant - Appellant Cross-Appellee
    Appeals from the United States District Court
    for the Middle District of Louisiana
    Before STEWART, Chief Judge, and KING and DENNIS, Circuit Judges.
    KING, Circuit Judge:
    Defendants Jeffery Perry, Jermaine Chapman, and Charles Boyer
    appeal their convictions for various offenses related to their participation in a
    drug trafficking conspiracy. The Government cross-appeals Perry’s sentence
    as to his dual firearms convictions under 
    18 U.S.C. § 924
    (c), arguing that the
    district court erred in failing to apply the 25-year mandatory minimum
    No. 15-30538
    sentence for second or subsequent § 924(c) convictions to one of Perry’s
    convictions. Finding error only on the latter issue, we AFFIRM in part and
    VACATE and REMAND in part.
    I. FACTUAL AND PROCEDURAL BACKGROUND
    A. Facts
    This case centers on a cocaine and crack dealing organization operated
    by Defendant Jeffery Perry and based in Baton Rouge, Louisiana. Perry’s
    organization consisted of many operatives, including Defendants Jermaine
    Chapman (aka “Dump Truck”) and Charles Boyer (aka “Slim”), who assisted
    Perry by purchasing drug-making supplies, weighing and bagging the drugs,
    retrieving drugs from storage locations, interacting with customers who were
    buying drugs, and disposing of kilogram wrappers. Over the years, Perry used
    various houses, referred to as “click houses,” in South Baton Rouge, which were
    largely owned by his family, as distribution centers and headquarters for the
    organization. Chapman and Boyer at various times resided in the click houses,
    along with other operatives in Perry’s organization. Perry regularly used the
    kitchens of the click houses to cook crack. Customers who came to the click
    houses to purchase drugs sometimes used a gun as payment, and Perry stored
    some of the bartered guns in at least one of the click houses, 221 Evergreen
    Street. Perry had secret compartments for storing drugs installed over a
    doorway and under the kitchen sink of the Evergreen Street click house.
    Chapman knew about and used the secret compartments.
    Perry and his associates had several encounters with the Baton Rouge
    Police Department (BRPD) and Drug Enforcement Administration (DEA) over
    the years, including selling drugs to DEA confidential informants. BRPD also
    conducted periodic surveillance and executed multiple search warrants at the
    click houses, in sum seizing crack, cocaine, drug paraphernalia, large
    quantities of cash, and guns.    In addition to selling drugs, Perry and his
    2
    No. 15-30538
    operatives also engaged in robbery, carjacking, and unlawful possession of
    guns. In September 2011, after a multi-year investigation by the DEA and the
    BRPD, Perry and Chapman were arrested while driving from Houston to Baton
    Rouge in two separate vehicles with two kilograms of cocaine in Chapman’s
    vehicle. Boyer was later arrested in California and extradited to Louisiana for
    trial.
    B. Trial
    In July 2013, the grand jury returned a 19-count second superseding
    indictment against Perry, Chapman, Boyer, and five other associates. 1 They
    were charged with conspiracy to distribute and possess with intent to
    distribute 280 grams or more of cocaine base and 5 kilograms or more of
    cocaine, in violation of 
    21 U.S.C. § 846
    (a)(1). Perry and Boyer were charged
    with carjacking and use of a firearm in commission thereof.                       Perry and
    Chapman were each also charged with other drug possession and distribution
    crimes, along with several gun-related crimes. In relevant part, Count 6 of the
    indictment charged Perry with knowingly discharging a firearm during and in
    relation to drug trafficking activity—namely, the drug conspiracy (charged in
    Count 1) and a carjacking incident (charged in Count 5), in violation of 
    18 U.S.C. § 924
    (c)(1)(A)(iii) and § 924(c)(2).          And Count 10 of the indictment
    charged Perry and Chapman each with knowingly possessing a firearm in
    furtherance of drug trafficking activity—namely, the drug conspiracy (charged
    in Count 1) and possession with intent to distribute cocaine and 28 grams or
    more of cocaine base (charged in Count 9)—in violation of 
    18 U.S.C. § 924
    (c)(1)(A) and § 924(c)(2).
    Seventeen of the counts charged Perry, Chapman, or Boyer, one of which was
    1
    dismissed during the trial. Only one of the five other associates originally charged was tried;
    the other four reached plea agreements with the Government and, pursuant to those plea
    agreements, testified at trial for the Government.
    3
    No. 15-30538
    Prior to trial, Boyer moved to sever his trial from that of his co-
    defendants. Boyer noted that he was charged with only three counts of the
    indictment, was mentioned in only four of the 36 paragraphs supporting the
    conspiracy charge, and did not participate in the conspiracy for its duration
    because he moved to California and left the conspiracy in 2010, the year before
    the indictment was returned. Given his relatively minor role, Boyer argued
    that he would be unfairly prejudiced by being jointly tried alongside the other
    defendants. The district court denied the motion, noting the “well-recognized
    preference . . . for joint trials of defendants who are indicted together.” The
    district court concluded that any possible prejudice to Boyer would be
    sufficiently mitigated through jury instructions and the court’s continued
    monitoring of the case as it progressed to trial.
    The trial commenced in September 2014. After five days of trial, the
    presiding district judge became ill, and Judge Shelly Dick replaced him as the
    judge presiding over the trial after certifying that she was familiar with the
    record. See Fed. R. Crim. P. 25(a)(2). After testimony from over 40 witnesses,
    including testimony from six co-defendants who had pleaded guilty pursuant
    to plea agreements, and the introduction of voluminous amounts of evidence,
    the trial concluded on September 22, 2014. 2 The district judge instructed the
    jury to separately consider each defendant and count, as well as the evidence
    as it pertained to each defendant and count. The judge also instructed the jury
    on Pinkerton liability, see Pinkerton v. United States, 
    328 U.S. 640
     (1946),
    explaining: “A conspirator is responsible for offenses committed by other
    conspirators if the conspirator was a member of the conspiracy when the
    offense was committed, and if the offense was committed in furtherance of, or
    2 After the Government rested, and again at the close of evidence, all defendants
    moved for judgment of acquittal, and the motions were denied each time.
    4
    No. 15-30538
    as a foreseeable consequence of, the conspiracy.” The jury returned its verdict
    on September 23. In relevant part, the jury found Perry, Chapman, and Boyer
    each guilty of conspiracy (Count 1), found Perry guilty of two firearms offenses
    (Counts 6 and 10, which both charged violations of 
    18 U.S.C. § 924
    (c)), and
    found Chapman guilty of one firearms offense (Count 10). 3 And Boyer was
    found not guilty of the other two counts with which he was charged, both
    related to carjacking.
    C. Motions for New Trials
    On October 7, Boyer moved for a post-trial judgment of acquittal or, in
    the alternative, a new trial. He argued that the evidence did not support his
    conviction for conspiracy and that he was unfairly prejudiced by being tried
    alongside his more culpable co-defendants.              The district court denied the
    motion, concluding that substantial evidence supported Boyer’s conspiracy
    conviction and there were “no extraordinary circumstances” that would justify
    a new trial.
    On March 10, 2015, Perry filed a “Motion for Evidentiary Hearing and
    New Trial.” Perry claimed that, after the trial concluded, he discovered new
    evidence related to one of the counts under which he was convicted—Count
    10—for possession of two firearms in furtherance of drug trafficking activity.
    This charge related to guns found in 2010 in the secret compartment under the
    kitchen sink of the Evergreen Street click house. In support of his motion,
    Perry attached an undated declaration by his counsel stating that a man
    arrested at the click house at the time the police discovered the guns, John
    West, had revealed to counsel that he owned the guns and stored them at the
    Evergreen click house “without . . . Perry’s knowledge” and with the intent to
    3 The jury found the only other remaining co-defendant not guilty of conspiracy (Count
    1), the only count with which he was charged.
    5
    No. 15-30538
    sell them.    Based on this allegedly new evidence, Perry requested an
    evidentiary hearing and a new trial. Chapman, who was also convicted on
    Count 10, successfully moved to adopt Perry’s motion as filed on his own behalf.
    The district court denied the joint motion without a hearing, concluding that
    the allegedly new evidence was not likely to result in either defendant’s
    acquittal on Count 10. The court found that, contrary to indicating Perry’s and
    Chapman’s innocence, this evidence “strongly support[ed] the notion that West
    was a co-conspirator . . . [i]n which case, even if Perry and Chapman did not
    own the gun and were ignorant of its presence, they would still be criminally
    liable under the Pinkerton doctrine.”
    D. Sentencing
    Perry’s sentencing was held on August 19, 2015. At issue, in relevant
    part, were the sentences for his dual firearms convictions in violation of 
    18 U.S.C. § 924
    (c)—Count 6 (discharge of a firearm during and in relation to the
    drug conspiracy and a carjacking incident) and Count 10 (knowingly
    possessing a firearm in furtherance of the drug conspiracy and possession with
    intent to distribute).   The pre-sentence report stated that the mandatory
    minimum terms for these convictions were ten and five years, respectively.
    The Government objected, arguing that Count 10 constituted a second
    conviction under 
    18 U.S.C. § 924
    (c) and therefore the mandatory minimum for
    Count 10 should be 25 years. See 
    18 U.S.C. § 924
    (c)(1)(C)(i) (“In the case of a
    second or subsequent conviction under [
    18 U.S.C. § 924
    ], the person
    shall . . . be sentenced to a term of imprisonment of not less than 25
    years . . . .”); Deal v. United States, 
    508 U.S. 129
    , 131–33 (1993) (holding that
    § 924(c)’s enhanced penalty for a second or subsequent conviction applies when
    the defendant is convicted of multiple § 924(c) counts in a single proceeding).
    The probation officer agreed with these objections. The district court, however,
    declined to impose the 25-year mandatory minimum sentence on Count 10,
    6
    No. 15-30538
    instead imposing the five-year sentence originally recommended in the pre-
    sentence report (plus the ten-year sentence on Count 6). The court reasoned
    that it could not impose the 25-year mandatory minimum because it was
    unable to determine “which [§ 924(c)] conviction the jury concluded first
    because of the secrecy of the jury deliberations,” and thus the court did not
    know to which conviction, Count 6 or Count 10, the 25-year mandatory
    minimum should be applied.              Perry was ultimately sentenced to life
    imprisonment plus 15 years. Chapman was sentenced to a 45-year term of
    imprisonment and Boyer to a 10-year term of imprisonment.
    II. PERRY’S SENTENCE UNDER 
    18 U.S.C. § 924
    (c)
    The Government cross-appeals the district court’s calculation of the
    mandatory minimum sentence on one of Perry’s two convictions under 
    18 U.S.C. § 924
    (c), arguing that the district court erred in failing to impose the
    25-year mandatory minimum. We review the district court’s interpretation
    and application of § 924(c) de novo. United States v. Kaluza, 
    780 F.3d 647
    , 653
    (5th Cir. 2015).
    Perry was convicted of two counts under 
    18 U.S.C. § 924
    (c). Section
    924(c) provides additional penalties for “any person who, during and in relation
    to any crime of violence or drug trafficking crime . . . uses or carries a firearm,
    or who, in furtherance of any such crime, possesses a firearm.” 
    18 U.S.C. § 924
    (c)(1)(A).    Ordinarily, the mandatory minimum sentence for a first
    conviction under § 924(c) is five years. 4 Id. § 924(c)(1)(A)(i). The mandatory
    minimum for a “second or subsequent conviction” under § 924(c) is 25 years. 5
    Id. § 924(c)(1)(C)(i). The Supreme Court, in Deal v. United States, held that
    4  If the firearm was brandished, the mandatory minimum is seven years; if it was
    discharged, the mandatory minimum is ten years. 
    18 U.S.C. § 924
    (c)(1)(A)(ii)–(iii).
    5 Any sentence under § 924(c) must be consecutive to any other sentence a defendant
    receives. 
    18 U.S.C. § 924
    (c)(1)(D)(ii).
    7
    No. 15-30538
    this 25-year mandatory minimum applies when a defendant is convicted of
    multiple § 924(c) counts in a single proceeding.      
    508 U.S. at
    131–33.      It
    explained that “conviction” as used in § 924(c)(1) means “the finding of guilt by
    a judge or jury” rather than “the entry of a final judgment on that finding.” Id.
    at 131–32. If “conviction” had this latter meaning, it would render the statute
    incoherent because a judgment of conviction necessarily includes an already
    imposed sentence, and an already imposed sentence cannot be enhanced. Id.
    at 132. The Court further reasoned that “findings of guilt on several counts
    are necessarily arrived at successively in time,” and thus, the 25-year
    enhanced penalty could be applied to a second § 924(c) conviction within the
    same proceeding. Id. at 132–33 & n.1.
    At Perry’s sentencing, the district court recognized Deal’s holding, but
    explained that Deal “did not address whether . . . when there are two
    convictions in the same charging instrument[,] how the court is to consider
    which conviction came first and which conviction came second.” This issue was
    relevant for Perry’s sentencing because one of his § 924(c) convictions (Count
    10) carried a mandatory minimum of five years since it was for mere possession
    of a firearm, while his other § 924(c) conviction (Count 6) carried a mandatory
    minimum of ten years since it was for discharge of a firearm. The district court
    explained that, due to the secrecy of jury deliberations, it had no way of
    determining which of the two convictions the jury arrived at first, and thus, it
    could not determine to which of these convictions the 25-year enhanced penalty
    should apply. Accordingly, the district court applied the rule of lenity and
    “decline[d]” to apply the enhanced penalty to either of Perry’s two § 924(c)
    convictions.
    The district court erred in declining to apply the 25-year enhanced
    penalty to Perry’s second conviction under § 924(c). Under Deal’s reasoning,
    Perry’s two convictions under § 924(c) necessarily included a first § 924(c)
    8
    No. 15-30538
    conviction and a second § 924(c) conviction. See Deal, 
    508 U.S. at
    133 n.1
    (“[F]indings of guilt on several counts are necessarily arrived at successively
    in time.”). It is true that § 924(c) is silent on how multiple convictions should
    be sequenced for sentencing purposes, and it is not possible for the court to
    know the sequence in which the jury reached the convictions.
    To resolve this ambiguity, we employ a well-known interpretive tool: the
    rule of lenity. “The rule of lenity requires ambiguous criminal laws to be
    interpreted in favor of the defendants subjected to them.” Kaluza, 780 F.3d at
    669 (quoting United States v. Santos, 
    553 U.S. 507
    , 514 (2008) (plurality
    opinion)). The application of the rule of lenity in this context is a matter of
    first impression for this court.         But all of our sister circuits that have
    considered this issue have held that the rule of lenity requires that the
    conviction with the lowest mandatory minimum sentence be considered the
    first conviction for the purposes of applying the 25-year enhanced penalty. See
    United States v. Pierce, 
    785 F.3d 832
    , 846–47 (2nd Cir. 2015); United States v.
    Washington, 
    714 F.3d 962
    , 970–71 (6th Cir. 2013); United States v. Major, 
    676 F.3d 803
    , 814–15 (9th Cir. 2012). In this way, the defendant’s aggregate
    statutory minimum sentence is minimized and the rule of lenity is satisfied.
    We agree with this approach. Applied here, this means that Count 10 should
    be considered Perry’s first § 924(c) conviction (carrying five years) and Count
    6 should be the second § 924(c) conviction (carrying 25 years due to the
    enhanced penalty), for a total statutory minimum sentence on the § 924(c)
    counts of 30 years. 6
    In declining to apply the 25-year enhanced penalty, the district court
    stated that, lacking any precedent from this circuit, it was “persuaded by the
    As opposed to Count 6 being considered the first conviction (carrying 10 years) and
    6
    Count 10 the second (carrying 25 years), for a total statutory minimum sentence of 35 years.
    9
    No. 15-30538
    analysis” from the Ninth Circuit in United States v. Major. But the Ninth
    Circuit in Major did not entirely decline to apply the 25-year enhanced penalty.
    To the contrary, the Ninth Circuit applied the enhanced penalty by concluding
    that, “when the district court does not have sufficient information to determine
    the order in which the jury made determinations of guilt during jury
    deliberations on multiple counts under section 924(c),” the rule of lenity
    required the district court to “order the convictions so that the mandatory
    minimum sentence is minimized.” Major, 
    676 F.3d at 815
    . In that case, the
    rule of lenity required that “one of the [§ 924(c)] brandishing counts, rather
    than a [§ 924(c)] discharging count . . . be the first conviction” because the
    former carried a lower mandatory minimum sentence. Id. Thus, Major does
    not lend support to the district court’s decision not to apply the 25-year
    enhanced penalty at all. Rather, Major supports our conclusion that, for the
    purposes of the enhanced penalty, the § 924(c) count with the lowest
    mandatory minimum sentence should be considered the first conviction.
    On appeal, Perry does not dispute that § 924(c)’s 25-year enhanced
    penalty should be interpreted and applied in this manner. Rather, he argues
    that the district court’s failure to impose the penalty is excused by the fact that,
    in light of United States v. Johnson, 
    135 S. Ct. 2551
     (2015), § 924(c)(3)(B)’s
    definition of “crime of violence” (“the risk of force definition”) is
    unconstitutionally vague, see 
    18 U.S.C. § 924
    (c)(1)(A) (providing enhanced
    penalties for anyone who, “in relation to any crime of violence or drug
    trafficking crime . . . uses or carries a firearm, or who, in furtherance of any
    such crime, possesses a firearm” (emphasis added)); 
    id.
     § 924(c)(3)(B) (defining
    “crime of violence” as any felony “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”).       According to Perry, because this
    10
    No. 15-30538
    definition is “conceivably unconstitutional,” the district court did not err by
    failing to use it to enhance Perry’s sentence.
    Perry’s argument is unavailing for several reasons.                  First, as Perry
    concedes, he has not challenged his § 924(c) convictions or sentences on appeal.
    Rather than use this vagueness argument as a basis for appealing his § 924(c)
    convictions, Perry raises it only in response to the Government’s cross-appeal
    of his § 924(c) sentences. Second, Perry’s argument regarding the vagueness
    of the risk of force definition is counter to United States v. Gonzalez–Longoria,
    in which we recently held that an identical definition of crime of violence in 
    18 U.S.C. § 16
    (b) was not unconstitutionally vague. 7 
    831 F.3d 670
    , 672 (5th Cir.
    2016) (en banc). Third and finally, Perry’s § 924(c) convictions are not affected
    by any alleged infirmity in the risk of force definition of crime of violence
    because the convictions’ predicate offenses are not based on his having
    committed a crime of violence. Rather, they are based on his having committed
    drug trafficking crimes. See 
    18 U.S.C. § 924
    (c)(1)(A) (providing for increased
    penalties for “any person who, during and in relation to any crime of violence
    or drug trafficking crime . . . uses or carries a firearm, or who, in furtherance
    of any such crime, possesses a firearm” (emphasis added)). Drug trafficking
    crimes are the predicate offenses for both of Perry’s § 924 counts: Count 10
    charged possession of firearms in furtherance of drug trafficking crimes—
    7 Perry argues that a forthcoming Supreme Court decision may affect this holding.
    See Lynch v. Dimaya, No. 15-1498, 
    137 S. Ct. 31
    , 
    2016 WL 3232911
     (Sept. 29, 2016) (granting
    certiorari on the question of whether § 16(b)’s definition of crime of violence, as incorporated
    in the Immigration and Nationality Act, is unconstitutionally vague); see also Dimaya v.
    Lynch, 
    803 F.3d 1110
    , 1120 (9th Cir. 2015). But we cannot deviate from our precedent based
    on “a mere ‘hint’ of how the [Supreme] Court might rule in the future.” United States v.
    Alcantar, 
    733 F.3d 143
    , 146 (5th Cir. 2013) (citing In re Tex. Grand Prairie Hotel Realty,
    L.L.C., 
    710 F.3d 324
    , 331 (5th Cir. 2013)). Rather, only an “unequivocal” intervening change
    in the law, 
    id.,
     “such as by statutory amendment, or the Supreme Court, or [the] en banc
    court” would permit us to decline to follow our precedent, Jacobs v. Nat’l Drug Intelligence
    Ctr., 
    548 F.3d 375
    , 378 (5th Cir. 2008). Accordingly, Perry’s arguments assailing the
    constitutionality of the risk of force definition are foreclosed by Gonzalez–Longoria.
    11
    No. 15-30538
    namely, the drug conspiracy (charged in Count 1) and possession with intent
    to distribute cocaine and 28 grams or more of cocaine base (charged in Count
    9). And Count 6 charged discharge of a firearm in furtherance of a drug
    trafficking crime—namely, the drug conspiracy (charged in Count 1). 8 These
    drug trafficking crimes qualify as predicate offenses for the purposes of
    § 924(c)’s enhanced penalty without reference to the risk of force definition.
    See 
    18 U.S.C. § 924
    (c)(1)(A).
    Accordingly, we conclude that the district court erred in declining to
    apply the 25-year mandatory minimum sentence required by § 924(c)(1)(C) to
    one of Perry’s § 924(c) convictions. We vacate Perry’s sentence with regard to
    these convictions and remand with instructions that the district court
    recalculate his sentence on Counts 6 and 10 as set forth above.
    8 Count 6 also charged discharge of a firearm in furtherance of a carjacking incident
    (charged in Count 5). The Government argues that carjacking qualifies as a crime of violence
    under the other definition of “crime of violence” in § 924(c) (“the force definition”), see 
    18 U.S.C. § 924
    (c)(3)(A) (defining “crime of violence” as any felony “that has as an element the
    use, attempted use, or threatened use of physical force against the person or property of
    another”), not the risk of force definition, which is the definition Perry challenges as
    unconstitutionally vague on appeal. But even were carjacking to fall under the risk of force
    definition, this would not affect Perry’s § 924(c) conviction under Count 6 because it also
    included the predicate offense of a drug trafficking crime, namely the drug conspiracy (Count
    1). See United States v. Privette, 
    947 F.2d 1259
    , 1262 (5th Cir. 1991) (stating that “[a]
    conspiracy and its target crimes are separate offenses” for the purposes of § 924(c) and thus
    “could each support a separate § 924(c) conviction and sentence”).
    12
    No. 15-30538
    III. SUFFICIENCY OF THE EVIDENCE
    Perry 9 and Boyer 10 challenge the sufficiency of the evidence to support
    their convictions for conspiracy to distribute and possess with intent to
    distribute 280 grams or more of cocaine base and 5 kilograms or more of
    cocaine, in violation of 
    21 U.S.C. § 846
    . We review challenges to the sufficiency
    of the evidence de novo, applying the same standard as applied by the district
    court: could a rational jury find that all elements of the crime were proved
    beyond a reasonable doubt? United States v. Wise, 
    221 F.3d 140
    , 147, 154 (5th
    Cir. 2000). Though de novo, this review “is nevertheless ‘highly deferential to
    the verdict.’” United States v. Bowen, 
    818 F.3d 179
    , 186 (5th Cir. 2016) (per
    curiam) (quoting United States v. Beacham, 
    774 F.3d 267
    , 272 (5th Cir. 2014)).
    We “search the record for evidence . . . support[ing] the convictions beyond a
    reasonable doubt,” United States v. Mulderig, 
    120 F.3d 534
    , 546 (5th Cir. 1997),
    and review the evidence “in the light most favorable to the verdict, accepting
    all credibility choices and reasonable inferences made by the jury,” Wise, 221
    9  Although Perry’s statement of the case states that “Perry appeals his conviction and
    sentence on all counts of the indictment,” his issue statement and arguments relate only to
    his conviction on the conspiracy count. While some of the other counts are predicated on the
    conspiracy count, Perry does not identify which counts should fail if the conspiracy count
    were to fail. Because Perry has not addressed these other counts on appeal, he has waived
    any argument as to the sufficiency of the evidence on them. See Fed. R. App. P. 28(a)(8)(A);
    see also United States v. Reagan, 
    596 F.3d 251
    , 254–55 (5th Cir. 2010) (holding that appellant
    who merely “list[ed] . . . points of error” without “further argument or explanation” had
    waived those issues for failure to brief).
    10 Boyer also separately appeals the district court’s denial of his motions for judgment
    of acquittal under Federal Rule of Criminal Procedure 29, filed both at the close of the
    Government’s case and at the conclusion of the trial. But a motion for judgment of acquittal
    under Rule 29 merely “challenges the sufficiency of the evidence to convict.” United States v.
    Hope, 
    487 F.3d 224
    , 227 (5th Cir. 2007) (quoting United States v. Lucio, 
    428 F.3d 519
    , 522
    (5th Cir. 2005)); see also Fed. R. Crim. P. 29(a) (“After the government closes its evidence or
    after the close of all the evidence, the court on the defendant’s motion must enter a judgment
    of acquittal of any offense for which the evidence is insufficient to sustain a conviction.”). And
    an appeal of the denial of a motion for judgment of acquittal is reviewed de novo, just as a
    challenge to the sufficiency of the evidence is. See United States v. Wise, 
    221 F.3d 140
    , 147,
    154 (5th Cir. 2000). Accordingly, we treat Boyer’s appeal of the motion for a judgment of
    acquittal as a challenge to the sufficiency of the evidence and do not separately address it.
    13
    No. 15-30538
    F.3d at 147. In other words, “a defendant seeking reversal on the basis of
    insufficient evidence swims upstream.” Mulderig, 
    120 F.3d at 546
    .
    To convict a defendant of conspiracy to possess and distribute drugs
    under 
    21 U.S.C. § 846
    , the Government “must prove beyond a reasonable
    doubt: 1) the existence of an agreement between two or more persons to violate
    narcotics laws, 2) knowledge of the conspiracy and intent to join it and
    3) voluntary participation in the conspiracy.” United States v. White, 
    219 F.3d 442
    , 445 (5th Cir. 2000). The agreement between co-conspirators need not be
    express or explicit; tacit agreement is sufficient. United States v. Shoemaker,
    
    746 F.3d 614
    , 623 (5th Cir. 2014). And the agreement can be proved “with only
    circumstantial evidence” or “inferred from concert of action.” 
    Id.
     (quoting
    United States v. Virgen–Moreno, 
    265 F.3d 276
    , 284–85 (5th Cir. 2001)). “[M]ere
    presence at the scene or association with co-conspirators” is insufficient to
    support a conviction, but “they are factors that may be considered” in finding
    a conspiracy. United States v. Thomas, 
    690 F.3d 358
    , 366 (5th Cir. 2012).
    Further, a valid conviction can be based “on uncorroborated testimony of an
    accomplice or of someone making a plea bargain with the government, provided
    that the testimony is not incredible or otherwise insubstantial on its face.”
    Shoemaker, 746 F.3d at 623 (quoting United States v. Osum, 
    943 F.2d 1394
    ,
    1405 (5th Cir. 1991)). Testimony is not incredible as a matter of law “unless it
    pertains to matters ‘that the witness physically could not have observed or
    events that could not have occurred under the laws of nature.’” 
    Id.
     (quoting
    Osum, 
    943 F.2d at 1405
    ). We now turn to the sufficiency of the evidence
    supporting Perry’s and Boyer’s convictions.
    A. Perry
    Viewing the evidence in the light most favorable to the jury’s verdict,
    there was sufficient evidence to support Perry’s conspiracy conviction. Perry’s
    primary argument on appeal is that the Government’s evidence at trial “merely
    14
    No. 15-30538
    established a buyer-seller relationship between Perry and a number of buyers”;
    it did not establish that Perry entered into an agreement with others with the
    joint objective of possessing and distributing cocaine, as is required for a
    conspiracy conviction.    In other words, Perry admits that he sold large
    quantities of drugs in individual transactions to individual buyers, but
    maintains that the evidence indicates that he did so alone, not in concert with
    others.
    It is true that simple drug transactions between a buyer and seller alone
    do not amount to a drug conspiracy. United States v. Delgado, 
    672 F.3d 320
    ,
    333 (5th Cir. 2012) (en banc). And “[m]ere . . . association alone . . . [is] not
    sufficient to prove participation in a conspiracy.” United States v. Turner, 
    319 F.3d 716
    , 721 (5th Cir. 2003). But the Government’s evidence showed more
    than Perry simply engaging in individual drug sales and showed guilt by more
    than mere association; it showed him repeatedly working in concert with many
    others to possess and distribute crack and cocaine.       Numerous witnesses
    testified that many individuals retrieved the drugs (from hiding spots and click
    houses) that Perry sold to customers and handled drug sales on Perry’s behalf
    when he was absent. And several co-conspirators testified that they and others
    accompanied Perry on trips to Houston to replenish their drug supply. Another
    co-conspirator admitted to committing two robberies in furtherance of Perry’s
    drug operation and also explained the supporting roles of other co-conspirators
    in the robberies. There was also testimony that Perry sold drugs on credit,
    which is “‘strong evidence’ of membership in a conspiracy because it indicates
    a strong level of trust and an ongoing, mutually dependent relationship.”
    Thomas, 690 F.3d at 366 (quoting United States v. Posada–Rios, 
    158 F.3d 832
    ,
    860 (5th Cir. 1998)). In addition to the testimony of alleged co-conspirators,
    undercover video of controlled buys, security video footage, dash cam footage,
    15
    No. 15-30538
    and police testimony were introduced into evidence, all of which demonstrated
    that Perry worked with others.
    Perry counters that his relationships with his alleged co-conspirators
    “spanned different periods of time, . . . involved different people, different
    prices, different locations, and different methods of payment and delivery.”
    But “[p]ersonnel changes do not defeat a finding of a single conspiracy.” United
    States v. DeLeon, 
    641 F.2d 330
    , 334 (5th Cir. 1981). Nor is it necessary “for all
    co-conspirators to know each other or to work together on every transaction.”
    
    Id.
     Based on the extensive evidence of “concert of action” amongst Perry and
    others, the jury could reasonably infer an agreement, as well as Perry’s
    knowledge, intent, and voluntary participation. United States v. Romans, 
    823 F.3d 299
    , 311 (5th Cir. 2016) (quoting United States v. Landry, 
    903 F.2d 334
    ,
    338 (5th Cir. 1990)).
    Finally, Perry challenges the credibility of the witnesses who testified
    against him, noting that most of the witnesses against him were testifying for
    the Government pursuant to plea agreements. However, in a challenge to the
    sufficiency of the evidence, this argument is inapposite. Rather, “the jury is
    the ultimate arbiter of the credibility of a witness,” and we accept all credibility
    determinations by the jury, with few exceptions that Perry does not allege
    apply here. Shoemaker, 746 F.3d at 623 (quoting Osum, 
    943 F.2d at 1405
    );
    Wise, 
    221 F.3d at 147
    .        Further, the “uncorroborated testimony of an
    accomplice or of someone making a plea bargain with the government” can
    support a conviction. Shoemaker, 746 F.3d at 623 (quoting Osum, 
    943 F.2d at 1405
    ).
    We conclude that sufficient evidence supports Perry’s conspiracy
    conviction.
    16
    No. 15-30538
    B. Boyer
    Viewing the evidence in the light most favorable to the jury’s verdict,
    there was sufficient evidence to support Boyer’s conspiracy conviction. The
    jury heard testimony that Boyer lived at one of the click houses and was
    “always” there, retrieved and weighed drugs for Perry’s customers, conducted
    drug sales on Perry’s behalf when Perry was absent, stored guns in hidden
    locations in the click houses, pointed a gun at a man that Perry was robbing,
    and provided another associate of Perry’s with the gun used in a carjacking.
    This is more than sufficient evidence from which the jury could reasonably find
    that Boyer participated in the conspiracy.
    Boyer seemingly concedes that he participated in the conspiracy (albeit
    merely in exchange for drugs) but argues that his participation was limited to
    a minor “errand boy” role. He claims that his duties were limited to cleaning
    crack residue from the kitchen, running occasional errands for Perry, and
    buying and selling drugs on his own. But co-conspirator liability is not limited
    to those who play a major role; rather liability can attach to those who play a
    “minor role” as long as they “knowingly participate[] in some fashion in the
    larger objectives of the conspiracy.” United States v. Brown, 
    727 F.3d 329
    , 339
    (5th Cir. 2013) (quoting United States v. Westbrook, 
    119 F.3d 1176
    , 1189 (5th
    Cir. 1997)); see also Salinas v. United States, 
    522 U.S. 52
    , 64 (1997) (“[T]he
    supporters [of a conspiracy] are as guilty as the perpetrators.”); United States
    v. McKinney, 
    53 F.3d 664
    , 672 (5th Cir. 1995) (“A defendant need only have
    had a minor role in the conspiracy, once it is shown that he voluntarily agreed
    to participate.”). An individual “need not know all the details of the unlawful
    enterprise or . . . the exact number or identity of all the co-conspirators” in
    order to be liable as a co-conspirator.         Brown, 727 F.3d at 339 (quoting
    Westbrook, 
    119 F.3d at 1189
    ). Nor does “[t]he fact that a conspirator is not
    present   at,   or   does   not   participate    in,   all   of   the   conspiratorial
    17
    No. 15-30538
    activities . . . exonerate him.” United States v. Ashley, 
    555 F.2d 462
    , 467 (5th
    Cir. 1977).   Accordingly, even assuming, arguendo, that Boyer played a
    relatively minor role in the conspiracy, he is not shielded from liability.
    Boyer argues that he lacked the specific intent to participate in the
    conspiracy. To be liable as a co-conspirator, an individual must enter the
    agreement with the “specific intent that the underlying crime be committed.”
    Ocasio v. United States, 
    136 S. Ct. 1423
    , 1429 (2016) (emphasis omitted)
    (quoting 2 K. O’Malley, J. Grenig & W. Lee, Federal Jury Practice and
    Instructions: Criminal § 31:03, p. 225 (6th ed. 2008)). But the Government
    need not prove an individual defendant’s subjective intent, United States v.
    Holmes, 
    406 F.3d 337
    , 353 (5th Cir. 2005); rather, the jury may objectively infer
    specific intent based on the fact that the defendant intends the probable
    consequences of his actions, United States v. Stoker, 
    706 F.3d 643
    , 646–47 (5th
    Cir. 2013).   The underlying crimes at issue here are drug possession with
    intent to distribute and drug distribution. There was sufficient evidence to
    infer Boyer’s specific intent to possess and distribute drugs. Copious evidence
    was introduced that Boyer himself distributed drugs to buyers and that he took
    other actions in furtherance of the conspiracy, such as retrieving and weighing
    drugs for Perry’s buyers, and assisting Perry in robbing another drug dealer
    by pointing a gun at the dealer. There was sufficient evidence to allow the jury
    to find that Boyer possessed the requisite specific intent to further the drug
    conspiracy because such an outcome was the probable consequence of his
    actions. Finally, as with Perry’s challenge to the credibility of the witnesses
    against him, Boyer’s suggestion that the witnesses against him were not
    credible because of their plea agreements with the Government and prior drug
    use is not a relevant consideration in assessing the sufficiency of the evidence.
    United States v. Greenwood, 
    974 F.2d 1449
    , 1458 (5th Cir. 1992).
    18
    No. 15-30538
    We conclude that sufficient evidence supports Boyer’s conspiracy
    conviction.
    IV. MOTION TO SEVER
    Boyer appeals the district court’s denial of his pretrial motion to sever
    his trial from that of his co-defendants. We review a denial of a motion to sever
    a trial under the “‘exceedingly deferential’ abuse of discretion standard.”
    United States v. Whitfield, 
    590 F.3d 325
    , 355 (5th Cir. 2009) (quoting United
    States v. Tarango, 
    396 F.3d 666
    , 673 (5th Cir. 2005)). Federal Rule of Criminal
    Procedure 14(a) provides that a court “may . . . sever the defendants’ trials” if
    the joinder “appears to prejudice a defendant or the government.” But “Rule
    14 does not require severance even if prejudice is shown; rather, it leaves the
    tailoring of the relief to be granted, if any, to the district court’s sound
    discretion.” Zafiro v. United States, 
    506 U.S. 534
    , 538–39 (1993). Giving
    limiting instructions to the jury is “generally ‘sufficient to prevent the threat
    of prejudice resulting from unsevered trials.’” Whitfield, 
    590 F.3d at 356
    . In
    short, the federal judicial system has a “preference . . . for joint trials of
    defendants who are indicted together.” Zafiro, 
    506 U.S. at 537
    ; see also United
    States v. Pofahl, 
    990 F.2d 1456
    , 1483 (5th Cir. 1993) (“The rule, rather than
    the exception, is that persons indicted together should be tried together,
    especially in conspiracy cases.”).
    As a result, “[h]istorically, this court has been reluctant to vacate a
    conviction because the district court refused to sever a trial.” United States v.
    Owens, 
    683 F.3d 93
    , 98 (5th Cir. 2012) (quoting United States v. Lewis, 
    476 F.3d 369
    , 384 (5th Cir. 2007)). To warrant vacatur, the defendant must show
    “specific and compelling prejudice” resulting from the joint trial. Id. at 100
    (quoting United States v. Erwin, 
    793 F.2d 656
    , 665–66 (5th Cir. 1986)). In
    other words, “[t]he defendant must ‘isolate events occurring in the course of
    the trial and then . . . demonstrate that such events caused substantial
    19
    No. 15-30538
    prejudice.’” Id. at 98 (quoting Lewis, 
    476 F.3d at 384
    ). “The defendant must
    also show that the district court’s instructions to the jury did not adequately
    protect him . . . from any prejudice resulting from the joint trial.” 
    Id.
     Merely
    alleging a “spillover effect”—whereby the jury imputes the defendant’s guilt
    based on evidence presented against his co-defendants—“is an insufficient
    predicate for a motion to sever.” United States v. Snarr, 
    704 F.3d 368
    , 397 (5th
    Cir. 2013) (quoting United States v. Bieganowski, 
    313 F.3d 264
    , 287 (5th Cir.
    2002)).
    We reject Boyer’s arguments on appeal because they are limited to
    alleging this general spillover effect; he fails to show the specific and
    compelling prejudice necessary to warrant vacatur. Owens, 683 F.3d at 100.
    Boyer merely complains that the sheer volume of evidence relating to his co-
    defendants, compared to the relatively small portion relating to him, confused
    the jurors and impeded their ability to parse out his guilt. He fails to “isolate”
    any specific prejudicial event at trial, let alone demonstrate that such an event
    caused him “substantial prejudice.” Id. (quoting Lewis, 
    476 F.3d at 384
    ). We
    have held that “severance is required on the basis of disparity in the evidence
    only in the most extreme cases.” Id. at 100 (quoting United States v. Rocha,
    
    916 F.2d 219
    , 229 (5th Cir. 1990)). And we have rejected a defendant’s appeal
    of the denial of a motion to sever when the defendant merely “‘complain[ed]
    broadly of the volume of evidence, the disparity of evidence between
    defendants, and a generalized spillover effect,’ but ‘[did not] point[] to any
    specific prejudice resulting from [his] combined trial.’”      United States v.
    Stalnaker, 
    571 F.3d 428
    , 435 (5th Cir. 2009) (first alteration in original)
    (quoting Lewis, 
    476 F.3d at 384
    ).
    Further undercutting Boyer’s argument is the fact that the district court
    instructed the jury to separately consider each defendant and count, as well as
    the evidence as it pertained to each defendant and count.          We generally
    20
    No. 15-30538
    “presume” that juries “follow the instructions given to them by the district
    court.” Owens, 683 F.3d at 100. And here, the jury appears to have followed
    these instructions, as evidenced by the fact that, among other acquittals, they
    acquitted Boyer of the two carjacking-related charges against him, as well as
    the fourth co-defendant of the conspiracy charge. “That suggests that the jury
    did not blindly convict [the defendant] on spillover evidence but instead gave
    each defendant and each count separate consideration.” Stalnaker, 
    571 F.3d at 435
    . Accordingly, we conclude that the district court did not abuse its
    discretion in denying Boyer’s motion to sever because it merely alleged a
    spillover effect and any incidental prejudice was cured through jury
    instructions.
    V. MOTIONS FOR A NEW TRIAL
    Chapman and Boyer appeal the district court’s denial of their motions
    for a new trial. We review a district court’s denial of a motion for a new trial
    for abuse of discretion. United States v. Piazza, 
    647 F.3d 559
    , 564 (5th Cir.
    2011). In reviewing the denial, we are “necessarily deferential to the [district]
    court because [we] ha[ve] only read the record and, unlike the [district] court,
    did not see the impact of witnesses on the jury or observe the demeanor of
    witnesses.” 
    Id. at 565
     (quoting United States v. Wall, 
    389 F.3d 457
    , 465 (5th
    Cir. 2004)). The district court’s refusal to hold an evidentiary hearing on a
    motion for a new trial is also reviewed for abuse of discretion. United States v.
    Mahmood, 
    820 F.3d 177
    , 190 (5th Cir. 2016).
    Federal Rule of Criminal Procedure 33(a) permits the district court to
    grant a new trial on the motion of a defendant “if the interest of justice so
    requires.” A new trial is not required by the interest of justice “unless there
    would be a miscarriage of justice or the weight of evidence preponderates
    against the verdict.” Wall, 
    389 F.3d at 466
    . A new trial may also be warranted
    based on newly discovered evidence, but such motions “are ‘disfavored and
    21
    No. 15-30538
    reviewed with great caution.’” 
    Id. at 467
     (quoting United States v. Erwin, 
    277 F.3d 727
    , 731 (5th Cir. 2001)). Ultimately, “the decision to grant or deny a
    motion for new trial based on the weight of the evidence is within the sound
    discretion of the trial court.” United States v. Robertson, 
    110 F.3d 1113
    , 1118
    (5th Cir. 1997).   We now consider whether the district court abused its
    discretion in denying Chapman’s and Boyer’s motions for a new trial.
    A. Chapman
    Chapman appeals the district court’s denial of a new trial only as to
    Count 10, under which he was convicted of possession of firearms in
    furtherance of drug trafficking activity. Count 10 was based on the guns found
    in the secret compartment in the Evergreen Street click house in July 2010,
    and the drug trafficking activity that these guns were allegedly in furtherance
    of was the drug conspiracy (Count 1) and possession with intent to distribute
    (Count 9). Chapman’s motion was based on the affidavit from Perry’s counsel
    stating that another individual, John West, had revealed to counsel that he
    owned the guns that served as the basis for Count 10, intended to sell them,
    and stored them at the Evergreen Street click house “without . . . Perry’s
    knowledge.” Chapman argues that the district court abused its discretion in
    denying his motion for a new trial on the basis of this allegedly newly
    discovered evidence, and also abused its discretion in failing to hold an
    evidentiary hearing on his motion.
    To obtain a new trial based on newly discovered evidence, the defendant
    must demonstrate: “(1) the evidence is newly discovered and was unknown to
    the defendant at the time of trial; (2) the failure to detect the evidence was not
    due to a lack of diligence by the defendant; (3) the evidence is not merely
    cumulative or impeaching; (4) the evidence is material; and (5) the evidence if
    introduced at a new trial would probably produce an acquittal.” Wall, 
    389 F.3d at 467
    . Failure to demonstrate any one of these five factors is fatal to the
    22
    No. 15-30538
    motion for a new trial. 
    Id.
     The district court assumed without analysis that
    Chapman’s motion satisfied the first four elements but denied the motion
    because it concluded that the new evidence would not “probably” result in
    acquittal, the fifth element.   Even if we disagree with the district court’s
    conclusion on the fifth element, we may affirm its denial “on any basis
    supported by the record.” United States v. Causey, 568 F. App’x 269, 277 (5th
    Cir. 2014) (per curiam).
    Chapman’s motion fails on at least four of the elements and thus did not
    warrant a new trial. First, Chapman did not allege that the evidence was new
    to him and unknown during the trial. He merely adopted Perry’s motion,
    which stated that Perry learned of the information after trial.        And the
    allegedly new evidence itself does not state when West revealed the
    information to Perry’s counsel.    The record is therefore silent on whether
    Chapman knew of this evidence at the time of trial. Second, even if he did not
    know about the evidence during trial, Chapman failed to show he could not
    have learned of it through due diligence.     Neither Chapman’s motion nor
    Perry’s motion, which Chapman adopted, even alleged due diligence. And the
    record indicates that due diligence would likely have led to discovery of West’s
    testimony before trial. Chapman was given the police report on the search of
    the Evergreen Street click house that led to the discovery of the hidden guns
    in May 2013, well over a year before trial. The report identified West as being
    arrested at the scene and described his statements to police upon arrest. Thus
    Chapman was aware of West’s identity and significance to the gun possession
    charge well before trial, and due diligence likely would have revealed West’s
    alleged testimony before trial. Third, Chapman did not establish that the
    evidence was material.     The allegedly new evidence was merely an un-
    notarized written declaration by Perry’s counsel restating what West had
    “revealed” to counsel. Such “representations from defense counsel repeating
    23
    No. 15-30538
    statements that [the witness with the purportedly new testimony] had made
    to counsel” are “inadmissible hearsay” and “a motion for new trial may not be
    based on inadmissible evidence.” Wall, 
    389 F.3d at
    470–71. Accordingly, this
    hearsay evidence is not material because it is not admissible.
    Finally, as the district court concluded, even if Chapmen met the first
    four elements, the new evidence, if it was introduced at trial, would not
    probably result in Chapman being acquitted on Count 10. Count 10 charged
    possession of a firearm in furtherance of the drug trafficking crimes charged
    in Count 1 (drug conspiracy) and Count 9 (possession with intent to distribute
    drugs). To show that possession of a firearm is in furtherance of a drug
    trafficking offense, the government must show that “it furthers, advances, or
    helps forward that offense.” United States v. Walker, 
    828 F.3d 352
    , 354 (5th
    Cir. 2016) (quoting United States v. Palmer, 
    456 F.3d 484
    , 489–90 (5th Cir.
    2006)). Factors relevant in making this determination include:
    [T]he type of drug activity that is being conducted, accessibility of
    the firearm, the type of weapon, whether the weapon was stolen,
    the status of the possession (legitimate or illegal), whether the gun
    is loaded, proximity to the drugs or drug profits, and the time and
    circumstances under which the gun is found.
    
    Id.
     at 354–55 (quoting Palmer, 
    456 F.3d at 490
    ).
    There was ample evidence for the jury to find that the guns at issue—
    recovered from a secret compartment under the kitchen sink in the Evergreen
    Street click house—were possessed in furtherance of a drug conspiracy. There
    was testimony that the Evergreen Street house was frequently used for selling
    and cooking drugs; the secret compartments were used for storing drugs; and
    35 grams of cocaine and 77 grams of crack were recovered from the house at
    the same time the guns were seized, as were other drug paraphernalia. West’s
    statement that he owned the guns, stored them without Perry’s knowledge,
    and intended to sell them would have not disturbed this finding and
    24
    No. 15-30538
    Chapman’s corresponding liability. First, as the district court noted, the jury
    likely would not credit West’s testimony that Perry was unaware of West’s
    storage of the guns in the secret compartment. Second, even if the jury had
    credited West’s testimony, West does not assert that Chapman was unaware
    of West’s storage of the guns, only that Perry was. The jury likely would not
    have inferred from the fact that Perry was unaware of the guns that Chapman
    was also unaware. Indeed, the jury heard testimony that Chapman knew
    about and independently used the hidden compartment under the kitchen sink
    in the Evergreen Street click house in which the guns were found. And it heard
    testimony from another individual who spent time in the click house that he
    had previously seen one of the guns that was ultimately recovered from the
    secret compartment “around . . . the neighborhood, probably at one of the click
    houses.”
    Finally, as the district court noted, even if the jury had credited West’s
    testimony and applied it to Chapman, it implicates rather than exonerates
    Chapman because it shows that West was a member of the same conspiracy
    that Chapman was convicted of, and thus Chapman is liable for West’s
    possession of the guns via Pinkerton liability. See United States v. Pierce, 
    893 F.2d 669
    , 675–76 (5th Cir. 1990) (“Under the theory of Pinkerton, a conspirator
    can be found guilty of a substantive offense committed by a coconspirator and
    in furtherance of the conspiracy, so long as the conspirator’s acts are within
    the reasonably foreseeable scope of the conspiracy.”).     Although Chapman
    argues that there would be insufficient evidence for the jury to conclude that
    West was a co-conspirator, the evidence shows more than West’s mere presence
    and close association with the conspiracy.      As Chapman concedes, West’s
    statements that he hid the guns in a secret compartment known to very few in
    a click house full of drug dealing, drugs, and drug paraphernalia “reasonably
    raise the inference that West was aware of Perry’s activities and that Perry
    25
    No. 15-30538
    trusted West enough to grant him free access to the Evergreen Street [click]
    house.” This is sufficient to connect West to the conspiracy of which Chapman
    was a part. See United States v. Misher, 
    99 F.3d 664
    , 668 (5th Cir. 1996)
    (stating that an individual’s “presence and association with other members of
    the conspiracy, when supported by other evidence, may be used to support the
    finding of a conspiracy”). Therefore, even if the jury believed that only West
    knew about the guns, they had ample evidence that West was a co-conspirator
    of Chapman’s. West’s testimony would not likely have resulted in Chapman’s
    acquittal. Given these shortcomings of Chapman’s motion for a new trial, the
    district court did not abuse its discretion in failing to hold an evidentiary
    hearing on Chapman’s motion. See United States v. Brewer, 
    60 F.3d 1142
    ,
    1145–46 (5th Cir. 1995) (holding defendant not entitled to a hearing on his
    motion for a new trial where he “failed to prove that his ‘new evidence’ . . . was
    in fact newly discovered and that its recent discovery was in no way
    attributable to a previous lack of diligence”).
    B. Boyer
    Boyer argues that the district court abused its discretion in denying his
    motion for a new trial. 11 He asserts two reasons why his motion should have
    11  Boyer seems to suggest that we should afford the district court’s denial of his motion
    less than the usual deference because Judge Dick did not observe the beginning of the trial.
    But he fails to identify any specific testimony or evidence that is relevant for his motion for
    a new trial and that Judge Dick may have been ill positioned to assess. Rather, he merely
    complains that Judge Dick only reviewed the “cold record.” Judge Dick started presiding
    over the trial after four days of testimony and presided over four more days of testimony, plus
    the verdict, post-verdict motions, and sentencing. When she commenced presiding, she
    certified that she was familiar with the record. See Fed. R. Crim. P. 25(a)(2). Indeed, there
    was a delay in the trial to give Judge Dick time to “review testimony, exhibits, and motions
    in th[e] case.” We have recognized that after such a review of the record, a successor judge
    is “capable of assessing the credibility of witnesses and the evidence at trial.” United States
    v. Bourgeois, 
    950 F.2d 980
    , 988 (5th Cir 1992). And successor judges possess the “same
    discretion” as their predecessors, and can even overturn their predecessor’s interlocutory
    orders. Stoffels ex rel. SBC Tel. Concession Plan v. SBC Commc’ns, Inc., 
    677 F.3d 720
    , 728
    26
    No. 15-30538
    been granted: (1) the evidence did not support his conviction for conspiracy,
    and (2) he was unfairly prejudiced by being tried alongside his co-defendants.
    As to the first reason, we concluded above that sufficient evidence supported
    Boyer’s drug conspiracy conviction. For these same reasons, Boyer’s drug
    conspiracy conviction was not against the weight of the evidence, and thus the
    district court did not abuse its discretion in denying a new trial on that basis.
    And as to the second reason, unfair prejudice, this is merely a restatement of
    Boyer’s argument—addressed above—that he was entitled to a severance of
    his trial from that of his co-defendants. Boyer references no specific evidence
    or testimony that prejudiced him. Therefore, this argument is baseless for the
    reasons we discussed in affirming the denial of Boyer’s motion to sever.
    VI. CONCLUSION
    We VACATE Perry’s sentence and REMAND with instructions that the
    district court recalculate his sentence on Counts 6 and 10 in accordance with
    this opinion. Otherwise, we AFFIRM the judgment of the district court with
    respect to Perry, Chapman, and Boyer.
    (5th Cir. 2012). Accordingly, we afford Judge Dick’s determination that Boyer’s verdict was
    not against the great weight of evidence the usual level of deference.
    27