United States v. Tucker, Kenneth , 409 F.3d 325 ( 2005 )


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  •                                 RECOMMENDED FOR FULL-TEXT PUBLICATION
    Pursuant to Sixth Circuit Rule 206
    File Name: 05a0230p.06
    UNITED STATES COURT OF APPEALS
    FOR THE SIXTH CIRCUIT
    _________________
    X
    Plaintiff-Appellee/ -
    UNITED STATES OF AMERICA,
    Cross-Appellant, -
    -
    -
    Nos. 03-6592/6593/6594/6595;
    ,
    04-5031/5033/5034/5035/5036/
    v.                                           > 5037
    -
    -
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    BOBBY GIBSON (03-6592/6595; 04-5031), ANDREW
    -
    S. HICKERSON (03-6595; 04-5037), WILLIAM R.
    -
    MALLICOAT (03-6593/6595; 04-5033), KENNETH
    -
    TUCKER (03-6595; 04-5035/5036), and
    -
    KENAMERICAN RESOURCES, INC. (03-6594/6595;
    04-5034),                                             -
    Defendants-Appellants/ -
    Cross-Appellees. -
    -
    N
    Appeal from the United States District Court
    for the Western District of Kentucky at Owensboro.
    No. 02-00018—Joseph H. McKinley, Jr., District Judge.
    Argued: April 20, 2005
    Decided and Filed: May 24, 2005
    Before: SUHRHEINRICH and GILMAN, Circuit Judges; ACKERMAN, District Judge.*
    _________________
    COUNSEL
    ARGUED: R. Kent Westberry, LANDRUM & SHOUSE, Louisville, Kentucky, Allen W.
    Holbrook, SULLIVAN, MOUNTJOY, STAINBACK & MILLER, Owensboro, Kentucky, R.
    Kenyon Meyer, DINSMORE & SHOHL, Louisville, Kentucky, Charles E. Ricketts, Jr., RICKETTS
    & PLATT, Louisville, Kentucky, for Defendants. Terry M. Cushing, ASSISTANT UNITED
    STATES ATTORNEY, Louisville, Kentucky, for Plaintiff. ON BRIEF: R. Kent Westberry,
    Caroline P. Clark, LANDRUM & SHOUSE, Louisville, Kentucky, Allen W. Holbrook,
    SULLIVAN, MOUNTJOY, STAINBACK & MILLER, Owensboro, Kentucky, R. Kenyon Meyer,
    DINSMORE & SHOHL, Louisville, Kentucky, Charles E. Ricketts, Jr., RICKETTS & PLATT,
    Louisville, Kentucky, John E. Jevicky, DINSMORE & SHOHL, Cincinnati, Ohio, for Defendants.
    *
    The Honorable Harold A. Ackerman, United States District Judge for the District of New Jersey, sitting by
    designation.
    1
    Nos. 03-6592/6593/6594/6595;               United States v. Gibson et al.                     Page 2
    04-5031/5033/5034/5035/5036/5037
    Terry M. Cushing, Randy W. Ream, ASSISTANT UNITED STATES ATTORNEYS, Louisville,
    Kentucky, for Plaintiff.
    _________________
    OPINION
    _________________
    RONALD LEE GILMAN, Circuit Judge. KenAmerican Resources, Inc. (the operator of a
    Kentucky coal mine), mine superintendents Bobby Gibson and William Mallicoat, and mine
    foremen Andrew Hickerson and Kenneth Tucker were indicted for conspiracy, making false
    statements to a federal agency, concealing material facts from a federal agency, and violating the
    Mine Safety and Health Act (MSHA), 30 U.S.C. §§ 801-25. After they were convicted by a jury,
    the district court imposed varying sentences on the five defendants. It also granted the defendants’
    motions to arrest judgment and for judgment of acquittal on Count 28 and part of Count 1, but
    rejected a number of other challenges to both the convictions and the sentences. For the reasons set
    forth below, we AFFIRM the judgment of the district court.
    I. BACKGROUND
    In May of 2002, a grand jury returned a 28-count indictment against KenAmerican for
    improper ventilation practices and the illegal use of two continuous mining machines (CMMs) at
    its Paradise No. 9 coal mine in Muhlenberg County, Kentucky. The indictment also named mine
    superintendents Gibson and Mallicoat, as well as mine foremen Hickerson and Tucker. Specifically,
    the indictment charged the defendants with conspiracy, making false statements to a federal agency,
    concealing material facts from a federal agency, and violating the MSHA.
    A jury convicted the defendants on all counts relevant to this appeal. After trial, the
    defendants filed motions to arrest judgment, for a new trial, and for a judgment of acquittal. The
    district court granted the defendants’ motions to arrest judgment and for acquittal on Count 28,
    which charged the defendants with concealing “the existence of willful violations of the MSHA.”
    It also granted the defendants’ motions for a judgment of acquittal on “that portion of Count 1 which
    charges Defendants with conspiracy to commit the crime of concealing a material fact by trick,
    scheme, or device.”
    At sentencing, the government requested a number of upward adjustments for each of the
    defendants. First, it asked the district court to increase KenAmerican’s culpability score and
    Gibson’s offense level because the crime involved “the conscious or reckless risk of death or serious
    bodily injury.” United States Sentencing Commission, Guidelines Manual (USSG), § 2B1.1(b)(11).
    The court, however, refused to do so, reasoning that the defendants had not intended to place the
    miners at risk of death or serious bodily injury.
    Second, the government requested an upward adjustment of Hickerson’s, Mallicoat’s, and
    Tucker’s offense levels based on their role in the crimes. Again the district court refused the
    enhancement. The court determined that increasing the sentences for the individual defendants’
    aggravating roles in the offense would constitute double counting. It explained that, because only
    “operators” can be charged with violating mine safety laws, the base offense level already reflected
    the leadership roles of the individual defendants.
    Third, the government requested that the district court increase Gibson’s offense level
    because Gibson had lied to the MSHA inspectors about the status of one of the CMMs. The court
    refused to do so, noting that Gibson’s statements did not “significantly obstruct[] or impede[] the
    official investigation or prosecution of the instant offense.”
    Nos. 03-6592/6593/6594/6595;                United States v. Gibson et al.                      Page 3
    04-5031/5033/5034/5035/5036/5037
    In the end, the district court sentenced Gibson and Mallicoat to two years’ probation with
    a special condition of six months of home detention, imposed a $5,000 fine, and required them to
    pay the costs of electronic monitoring. Gibson was also ordered to pay the cost of the first year of
    supervision. The court sentenced Hickerson and Tucker to two years’ probation with a special
    condition of four months’ home detention, imposed a $3,000 fine, and required them to pay the costs
    of electronic monitoring.
    KenAmerican was ordered to a pay fine of $306,000. Against the wishes of the government,
    the district court decided not to base the amount of the fine on a calculation of KenAmerican’s
    pecuniary gain resulting from its illegal conduct. The court determined that, even though
    KenAmerican had profited from its illegal activity, determining the precise amount of the gain
    would unduly complicate and prolong the sentencing process. Instead, the court imposed a fine
    derived from the Offense Level Fine Table promulgated in Sentencing Guidelines § 8C2.4.
    The government also requested that KenAmerican’s culpability score be increased on the
    ground that KenAmerican had acted intentionally and obstructed justice. Although the district court
    declined to impose an increase on this basis, it did depart upward pursuant to Sentencing Guidelines
    § 8C4.2 because of KenAmerican’s reckless conduct in disregarding mandatory health and safety
    standards. It determined that, with an offense level of 14 and a culpability score of 9, the appropriate
    fine was between $153,000 and $306,000. The court then sentenced KenAmerican to pay the
    maximum fine of $306,000.
    On appeal, the government argues that the district court erred in granting the defendants’
    motions to arrest judgment and for judgment of acquittal on Counts 28 and part of Count 1. It also
    raises a number of issues related to the defendants’ sentences. The defendants cross-appeal, arguing
    that the district court erred in not granting their motions for judgment of acquittal and/or to dismiss
    on many of the remaining counts. None of the defendants, however, contest their sentences in the
    event that we sustain the counts on which they were convicted.
    II. ANALYSIS
    A.     The district court did not err in determining that Count 28 failed to allege an offense
    The district court granted KenAmerican’s, Gibson’s, and Mallicoat’s motions to arrest
    judgment on the grounds that Count 28 of the indictment did not allege an offense. Count 28 alleges
    that the defendants
    did knowingly and willfully conceal, and cover up a material fact by trick, scheme,
    and device in a matter within the jurisdiction of the Executive Branch of the United
    States, that is, MSHA, in that the defendants alerted mine personnel on the working
    face of Paradise #9 mine that MSHA inspectors had entered mine property and
    would be inspecting the mine face and that the defendants did thereby conceal and
    cover up from MSHA the existence of willful violations of the Act.
    1.      Standard of review
    The sufficiency of an indictment is reviewed de novo. United States v. Gatewood, 
    173 F.3d 983
    , 986 (6th Cir. 1999). We must arrest judgment if the indictment does not charge an offense.
    Fed. R. Crim. P. 34(a). When a challenge to an indictment is brought for the first time after the
    defendant has been convicted, the indictment is “construed liberally in favor of its sufficiency.”
    United States v. Gibson, 
    513 F.2d 978
    , 979 (6th Cir. 1975).
    Nos. 03-6592/6593/6594/6595;                United States v. Gibson et al.                         Page 4
    04-5031/5033/5034/5035/5036/5037
    2.      Allegation of an offense
    Pursuant to 18 U.S.C. § 1001(a),
    whoever, in any matter within the jurisdiction of the executive, legislative, or judicial
    branch of the Government of the United States, knowingly and willfully—
    (1) falsifies, conceals, or covers up by any trick, scheme, or device a material fact;
    (2) makes any materially false, fictitious, or fraudulent statement or representation;
    or
    (3) makes or uses any false writing or document knowing the same to contain any
    materially false, fictitious, or fraudulent statement or entry [shall be fined,
    imprisoned, or both.]
    The district court held in this case that Count 28 did not charge an offense under § 1001 because the
    defendants’ duty to disclose material facts does not apply to the disclosure of willful violations of
    the Act. Instead, it applies only to the disclosure of hazardous conditions. See 30 C.F.R.
    § 75.363(b) (“A record shall be made of any hazardous condition found. This record shall be kept
    in a book maintained for this purpose on the surface at the mine. . . . This record shall not be
    required for shifts when no hazardous conditions are found . . . .”). Because the indictment charged
    that the defendants had concealed the existence of violations of the Act rather than of hazardous
    conditions, the district court granted the defendants’ motion to arrest judgment.
    We find no merit in the government’s argument that the indictment was read too narrowly
    by the district court. An essential element of a violation of 18 U.S.C. § 1001 is that the defendants
    had a duty to disclose the particular information allegedly concealed from the government. United
    States v. Zalman, 
    870 F.2d 1047
    , 1055 (6th Cir. 1989) (holding that the duty to disclose under
    § 1001 is a matter of law for the judge, rather than the jury, to decide). As the district court
    instructed the jury in the present case, “[t]he law does not require the reporting of violations, nor
    does it require the reporting of violations which might become hazardous conditions. The law
    requires only the reporting of current hazardous conditions.” See Nat’l Mining Ass’n v. Mine Safety
    & Health Admin., 
    116 F.3d 520
    , 539 (D.C. Cir. 1997) (noting that “[t]he Secretary properly
    emphasizes that[,] because the purpose of the examination is to identify current hazardous
    conditions, requiring reporting of all instances of noncompliance with safety and health standards
    could distract examiners from the primary focus of their task, and lessen the efficiency of
    examinations”). Because the indictment does not distinguish between hazardous conditions and
    willful violations—and in fact does not even mention the disclosure of hazardous conditions—it
    does not charge an offense under § 1001. The district court therefore did not err in arresting
    judgment on Count 28.
    B.     The district court did not err in granting the defendants’ motion for a judgment of
    acquittal on Count 28 and part of Count 1
    In addition to their motions to arrest judgment, the defendants also moved for a judgment
    of acquittal on Count 28, as well as on the portion of Count 1 that alleges a conspiracy to conceal
    a material fact. These motions were granted by the district court.
    1.      Standard of review
    The standard for determining whether a motion for a judgment of acquittal should be granted
    is “whether, after viewing the evidence in the light most favorable to the prosecution, any rational
    trier of fact could have found the essential elements of the crime beyond a reasonable doubt.”
    Nos. 03-6592/6593/6594/6595;                 United States v. Gibson et al.                       Page 5
    04-5031/5033/5034/5035/5036/5037
    United States v. Landham, 
    251 F.3d 1072
    , 1083 (6th Cir. 2001) (quoting Jackson v. Virginia, 
    443 U.S. 307
    , 319 (1979)) (emphasis in original).
    2.      Motions for acquittal
    Because we agree that Count 28 failed to charge an offense, we need not reach the merits of
    the defendants’ motions for a judgment of acquittal on that count. But even if the district court erred
    in arresting judgment, it properly granted the motions for a judgment of acquittal on Count 28 and
    part of Count 1. Conviction on a 28 U.S.C. § 1001 concealment charge requires a showing that the
    “defendant had a legal duty to disclose the facts at the time he was alleged to have concealed them.”
    United States v. Curran, 
    20 F.3d 560
    , 566 (3d Cir. 1994). Pursuant to the mining regulations, the
    defendants here had a duty to disclose hazardous conditions on written reports at certain times
    during a shift, not to orally communicate the existence of hazardous conditions to MSHA inspectors
    upon their arrival at the mine. See 30 C.F.R. § 75.360(f) (establishing a duty to record the results
    of each pre-shift examination, including the existence of hazardous conditions and their locations);
    30 C.F.R. § 75.363 (establishing a duty to post notices and keep records of hazardous conditions).
    The government’s proof that the defendants had committed a violation of 18 U.S.C. § 1001
    consisted of evidence that the defendants had notified the miners working below ground of the
    MSHA inspectors’ arrival at the mine, thereby allowing the miners time to rectify any potentially
    hazardous conditions prior to inspection. But the regulations are limited to requiring those
    individual miners who are certified to conduct investigations to report hazardous conditions in
    periodic written reports. The purpose of the pre-shift and on-shift reports is to facilitate
    communication among employees who are beginning and ending their shifts regarding hazardous
    conditions in the mine. See Nat’l Mining Ass’n v. Mine Safety & Health Admin., 
    116 F.3d 520
    , 539-
    40 (D.C. Cir. 1997). They are not intended to be a mechanism to report “violations of mandatory
    standards.” 
    Id. at 539.
    The government failed to establish that the defendants found but did not
    disclose hazardous conditions during their pre-shift and on-shift examinations. Rather, it essentially
    alleged that, by preventing the safety inspectors from observing the actual working conditions in the
    mine, the defendants failed to disclose willful violations of the MSHA (or, more precisely, the
    defendants failed to allow the safety inspectors to discover the violations on their own). Such
    “disclosure,” however, is not required by the regulations.
    The government argues that the district court’s reliance on Curran is misplaced. In Curran,
    the Third Circuit reversed the defendant’s conviction for failing to disclose facts pertaining to
    political donations because the defendant, a coal company executive who had solicited employees
    to make illegal campaign contributions, had no duty to disclose to federal authorities the names of
    the 
    contributors. 20 F.3d at 567
    . The government’s contention is unpersuasive. Although Curran
    is distinguishable on its specific facts, it stands for the legal proposition that 18 U.S.C. § 1001 is not
    violated unless there is a duty to disclose the concealed facts. 
    Id. As a
    final point on the issue of the defendants’ duty under the Act, we note that the
    defendants were convicted on Count 27 of the indictment. Count 27 charged them with giving
    “advance notice of inspections to be conducted by MSHA at Paradise #9 mine” in violation of
    30 U.S.C. § 820(e). According to the indictment, Gibson, Mallicoat, and Tucker “alerted mine
    personnel on the working face of Paradise #9 mine that MSHA inspectors had entered mine property
    and would be inspecting the underground working face, so that corrections in working conditions
    could be effected.” The alleged violations by the defendants of their duty to report hazardous
    conditions in pre-shift and on-shift written reports, charged in Counts 1 and 28, are entirely independent
    of the violations charged in Count 27. By stretching the duty to report hazardous conditions to
    include a duty to refrain from providing advance notice of impending inspections, the government
    is attempting to punish the defendants again for conduct for which they have already been convicted.
    Nos. 03-6592/6593/6594/6595;                   United States v. Gibson et al.                        Page 6
    04-5031/5033/5034/5035/5036/5037
    C.      The district court properly concluded that the reference to “hazardous conditions” was
    not unconstitutionally vague
    KenAmerican also argues that the term “hazardous conditions” found in 30 C.F.R.
    § 75.360(a) is unconstitutionally vague because it does not “incorporate[] a high level of
    definiteness.” Belle Maer Harbor v. Charter Township of Harrison, 
    170 F.3d 553
    , 557 (6th Cir.
    1999). Because the regulation does not define “hazardous conditions,” KenAmerican challenges
    its conviction under the portion of Count 1 that charged it with making false statements in a matter
    within the jurisdiction of the MSHA.
    KenAmerican correctly notes that, to be facially valid, a criminal standard must “define the
    proscribed behavior with sufficient particularity to provide a person of ordinary intelligence with
    reasonable notice of prohibited conduct and to encourage non-arbitrary enforcement of the
    provision.” 
    Id. at 556;
    see also M. Kraus & Bros. v. United States, 
    327 U.S. 614
    , 626 (1946) (“[A]
    criminal conviction ought not to rest upon an interpretation reached by the use of policy judgments
    rather than by the inexorable command of relevant language.”).
    But KenAmerican was convicted of violating 18 U.S.C. § 1001(a), not 30 C.F.R. § 75.360.
    The criminal statute provides that “whoever, in any matter within the jurisdiction of the executive,
    legislative, or judicial branch of the Government of the United States, knowingly and
    willfully . . . makes any materially false, fictitious, or fraudulent statement or representation . . . shall
    be fined under this title, imprisoned not more than 5 years or . . . both.” 18 U.S.C. § 1001(a). Such
    language is not so indefinite as to be void for vagueness.
    Moreover, the appropriate standard for determining whether 30 C.F.R. § 75.360 is
    unconstitutionally vague is whether it is understandable to an experienced company mine examiner
    for whom the regulations were written. See Grayned v. City of Rockford, 
    408 U.S. 104
    , 108, 112
    (1972) (holding that a city’s antinoise ordinance that proscribed “the making of any noise or
    diversion which disturbs or tends to disturb the peace or good order of such school session or class
    thereof” was not unconstitutionally vague because, given its “particular context,” the ordinance gave
    “fair notice to those to whom (it) [was] directed”) (quoting Am. Communications Ass’n v. Douds,
    
    339 U.S. 382
    , 412 (1950)). Whether the regulation in question here is understandable to the average
    person is not the issue. As the district court pointed out, although the regulations do not define
    “hazardous conditions,” they do give certified mine examiners sufficient guidance to prevent the
    reference to hazardous conditions from being unconstitutionally vague.
    D.      The district court did not err in concluding that there was sufficient evidence to
    support the convictions on Counts 1-4, 7, and 10 of the indictment
    The defendants also challenge their convictions on the remaining counts at issue in this
    appeal, arguing that there was insufficient evidence to support a guilty verdict. They therefore claim
    that the district court should have granted their motions for a judgment of acquittal and/or for
    dismissal on these claims.
    1.      Standard of review
    In evaluating a claim that the evidence presented at trial was insufficient to support a
    conviction, we must “view the evidence in the light most favorable to the government.” United
    States v. Stonefish, 
    402 F.3d 691
    , 695 (6th Cir. 2005) (quoting United States v. Morrow, 
    977 F.2d 222
    , 230 (6th Cir. 1992)). We “will affirm the jury’s verdict unless no rational trier of fact could
    have found, beyond a reasonable doubt, that [the defendants] committed the offenses charged.” 
    Id. Nos. 03-6592/6593/6594/6595;
                   United States v. Gibson et al.                     Page 7
    04-5031/5033/5034/5035/5036/5037
    2.      Count 1
    Count 1 alleges a conspiracy to commit three separate crimes. First, as discussed in Part
    II.B.2. above, it alleges a conspiracy to conceal a material fact by trick, scheme, or device. The
    second crime alleged is a conspiracy to knowingly authorize, order, or carry out the willful violation
    of mandatory health and safety standards. Finally, Count 1 alleges a conspiracy to make false
    statements in a matter within the jurisdiction of the government.
    Mallicoat argues that there was insufficient proof to establish that he committed an overt act
    for the purpose of advancing this alleged conspiracy. The jury, however, found that Mallicoat
    committed alleged overt act #6 in furtherance of the conspiracy; namely, that he and the other
    defendants
    were present on the working face of Paradise #9 mine and observed that the
    ventilation curtains were not present within ten feet of the bumper of the continuous
    mining machine while coal was being extracted and were not being used to provide
    ventilation to the working face, and failed to cease production and correct or direct
    the correction of these violations.
    At trial, witnesses testified to the fact that curtains were down throughout the mine and therefore
    were not within ten feet of the bumper of the CMM. They also testified as to the fact that there was
    insufficient ventilation in the mine. As a result, the jury’s finding that Mallicoat committed an overt
    act in furtherance of the conspiracy was supported by sufficient evidence.
    KenAmerican and Gibson also argue that there was insufficient evidence for a jury to
    convict them of making false statements as alleged in Count 1. The jury, however, heard testimony
    that Gibson told employees not to mention in their pre-shift and on-shift reports that the ventilation
    curtains were down. Other witnesses testified that, even though hazardous conditions were
    frequently observed at the mine, these conditions were rarely included in the reports. This evidence
    was sufficient for the jury to conclude that KenAmerican and Gibson were guilty of a conspiracy
    to make false statements as charged in Count 1.
    KenAmerican further argues that a judgment of acquittal on Count 1 is appropriate because
    the jury’s conviction might have been based on an act undertaken outside of the statute of
    limitations, which is five years. See United States v. Craft, 
    105 F.3d 1123
    , 1127 (6th Cir. 1997)
    (“The statute of limitations period for section 371 is five years, which period runs from the date of
    the commission of the last overt act in furtherance of the conspiracy.”). To convict KenAmerican,
    the jury was required to find that the corporation committed an overt act on or after May 8, 1997,
    five years before the government issued its indictment. Although the jury did not specify the acts
    upon which it convicted KenAmerican, there was ample evidence that the defendants violated the
    MSHA well beyond May 8, 1997. The failure to instruct the jury that it must find that an overt act
    was committed within the statute of limitations period therefore had no “substantial and injurious
    effect or influence on the verdict.” Hardaway v. Withrow, 
    305 F.3d 558
    , 565 (6th Cir. 2002). Any
    error on the part of the district court was thus harmless.
    3.      Counts 2-4, 7, and 10
    Finally, Mallicoat argues that he should have been granted a judgment of acquittal on Counts
    2, 3, and 4, which charged the defendants with authorizing, ordering, and carrying out violations of
    mandatory health and safety standards. Mallicoat contends that there was insufficient evidence to
    support a conviction on these counts. Similarly, KenAmerican, Hickerson, and Tucker argue that
    the district court should have granted their motion to dismiss Counts 4, 7, and 10, which charge them
    Nos. 03-6592/6593/6594/6595;                 United States v. Gibson et al.                       Page 8
    04-5031/5033/5034/5035/5036/5037
    with authorizing, ordering, and carrying out the violation of the mining regulation that requires the
    mine operator to adopt and follow a ventilation plan. KenAmerican contends that there was no proof
    of such a violation or that any of the defendants authorized the same.
    These arguments are all without merit. The testimony of Paul Griffin, properly introduced
    as an admission of a party-opponent, see Part II.E. below, supports Mallicoat’s conviction on
    Count 2. With respect to the other contested counts, mine superintendents or foremen can be said
    to have knowingly authorized, ordered, or carried out violations of the MSHA when they enter
    mines and observe violations but do nothing to stop or correct them. See Allied Prods. Co. v. Fed.
    Mine Safety & Health Review Comm’n, 
    666 F.2d 890
    , 893 (5th Cir. Unit B 1982) (affirming civil
    penalties against a mining company for violating the MSHA and explaining that “it is a common
    regulatory practice to impose a kind of strict liability on the employer as an incentive for him to take
    all practicable measures to ensure the workers’ safety”). KenAmerican argues that “observation of
    a violation does not equal authorization,” but the Fifth Circuit in Allied Products has held that “[i]f
    the act or its regulations are violated, it is irrelevant whose act precipitated the violation . . . ; the
    operator is liable.” 
    Id. at 894.
    We agree. The district court therefore did not err in sustaining the
    convictions under Counts 2-4, 7, and 10.
    E.      The district court did not err in admitting testimony that was allegedly double hearsay
    During the trial, the district court admitted testimony by the government’s witness, Paul
    Griffin, regarding conversations that he claimed to have had with Gibson. According to Griffin’s
    testimony, Mallicoat had told Gibson that KenAmerican was going to simultaneously operate two
    CMMs at the Paradise No. 9 mine, and Gibson repeated this to Griffin. Such an operation would
    be in violation of 30 C.F.R. §75.332(a)(2), which prohibits two CMMs from “simultaneously . . .
    cutting, mining, or loading coal or rock from working places within the same working section”
    unless each CMM is “on a separate split of intake air.”
    The district court allowed Griffin’s testimony as an admission by a party-opponent. See Fed.
    R. Evid. 801(d)(2). Despite the defendant’s objection that the testimony constituted inadmissible
    double hearsay, the court reasoned that both Gibson’s and Mallicoat’s statements were those of
    party-opponents and were therefore admissible. KenAmerican, Griffin, and Mallicoat now argue
    that the admission of Griffin’s testimony violated both the hearsay rule and their rights under the
    Confrontation Clause of the Sixth Amendment.
    1.      Standard of review
    We review evidentiary rulings by the district court, including alleged violations of the
    hearsay rule, under the abuse-of-discretion standard. Trepel v. Roadway Express, Inc., 
    194 F.3d 708
    , 716 (6th Cir. 1999) (citing Gen. Elec. Co. v. Joiner, 522 U.S.136, 141 (1997)). But see Field
    v. Trigg County Hosp., Inc., 
    386 F.3d 729
    , 735 (6th Cir. 2004) (“[W]e review de novo a district
    court’s conclusions of law, such as in this case, whether evidence offered at trial constituted hearsay
    within the meaning of the Federal Rules of Evidence.”) (citing Hancock v. Dodson, 
    958 F.2d 1367
    ,
    1371 (6th Cir. 1992)). But where the evidentiary issues relate to a claimed violation of the Sixth
    Amendment, we review rulings of the district court de novo. United States v. Robinson, 
    389 F.3d 582
    , 592 (6th Cir. 2004).
    2.      Hearsay
    With regard to any violation of the hearsay rule, the district court properly concluded that
    the statements were admissible as statements by a party-opponent. This court held in Estate of
    Shafer v. Commissioner, 
    749 F.2d 1216
    , 1220 (6th Cir. 1984), that, in order for double-hearsay
    Nos. 03-6592/6593/6594/6595;                United States v. Gibson et al.                    Page 9
    04-5031/5033/5034/5035/5036/5037
    statements to be admissible, both statements must be excluded from the hearsay definition. See Fed.
    R. Evid. 805 (“Hearsay included within hearsay is not excluded under the hearsay rule if each part
    of the combined statements conforms with an exception to the hearsay rule provided in these
    rules.”). As in Estate of Shafer, both statements here were deemed party admissions within the
    scope of Rule 801(d)(2)(A) and were therefore admissible.
    3.      Sixth Amendment
    With regard to the alleged Sixth Amendment violation, the defendants argue for the first time
    on appeal that the admission of Griffin’s testimony violated their rights under the Confrontation
    Clause. This court has held that Confrontation Clause arguments not first presented to the district
    court will typically not be heard on appeal. See United States v. Bingham, 
    81 F.3d 617
    , 630 (6th Cir.
    1996) (declining to consider a Confrontation Clause argument because, among other reasons, it was
    not raised in the district court). We recognize, however, that “this general rule is one of prudence
    rather than a limitation on this court’s jurisdiction.” United States v. Hayes, 
    218 F.3d 615
    , 621 (6th
    Cir. 2000). As a matter within our discretion, we will review the merits of the defendants’ argument
    because the potential impact of the Supreme Court’s recent decision in Crawford v. Washington, 
    541 U.S. 36
    (2004), bears examination.
    The Supreme Court has held that the admission of statements by a nontestifying codefendant
    that implicate the accused are presumptively unreliable and thus in violation of the Confrontation
    Clause. Bruton v. United States, 
    391 U.S. 123
    , 126 (1968) (holding that the admission of a
    codefendant’s confession that implicated the defendant at their joint trial constituted prejudicial
    error); see also Bulls v. Jones, 
    274 F.3d 329
    , 334 (6th Cir. 2001) (holding that the admission of
    statements by a nontestifying codefendant violated the Confrontation Clause). But hearsay
    statements may be constitutionally admissible despite a defendant’s inability to confront the
    declarant at trial where “(1) the evidence falls within a firmly rooted hearsay exception or (2) it
    contains particularized guarantees of trustworthiness such that adversarial testing would be expected
    to add little, if anything, to the statements’ reliability.” Lilly v. Virginia, 
    527 U.S. 116
    , 124-25
    (1999) (quotation marks omitted). At least one other circuit has explicitly held that admissions by
    a party-opponent are not firmly rooted exceptions to the hearsay rule. See Gonzales v. Fairman, 49
    Fed. Appx. 97, 99 (9th Cir. 2002) (unpublished) (citing 
    Lilly, 527 U.S. at 126-30
    ); see also United
    States v. Chappell, 
    698 F.2d 308
    , 312 (7th Cir. 1983) (“The exclusion of party admissions from the
    definition of hearsay, unlike most hearsay exceptions, is not grounded on a probability of
    trustworthiness but rather on the idea that a party cannot object to his failure to cross-examine
    himself.”).
    Here, however, Griffin’s testimony was admissible because it bore “particularized guarantees
    of trustworthiness.” 
    Lilly, 527 U.S. at 125
    . Gibson’s statements were not made to the police or in
    the course of an official investigation. Nor was Gibson attempting to curry favor or shift the blame
    from himself to Mallicoat. See Latine v. Mann, 
    25 F.3d 1162
    , 1167 (2d Cir. 1994) (“The admission
    of such a statement may not violate the Confrontation Clause, however, if the declarant makes the
    statement to someone he believes is an ally, and if the circumstances surrounding the portion of the
    statement that inculpates the defendant provide no reason to suspect that [the] inculpatory portion
    is any less trustworthy than the part of the statement that directly incriminates the declarant.”)
    (quotation marks omitted).
    The defendants also cite Crawford v. Washington, 
    541 U.S. 36
    , 61 (2004), as support for
    their contention that “[a]dmitting statements deemed reliable by a judge is fundamentally at odds
    with the right of confrontation.” In Crawford, the Supreme Court held that admitting out-of-court
    testimonial statements in a criminal trial violates the Confrontation Clause. 
    Id. But Crawford
    dealt
    only with testimonial statements and did not disturb the rule that nontestimonial statements are
    Nos. 03-6592/6593/6594/6595;                United States v. Gibson et al.                    Page 10
    04-5031/5033/5034/5035/5036/5037
    constitutionally admissible if they bear independent guarantees of trustworthiness. See 
    id. at 51
    (distinguishing between testimonial statements, such as the formal statements made by an accuser
    to a government officer, and nontestimonial statements, such as a casual remark made to an
    acquaintance). We therefore conclude that the admission of Griffin’s testimony did not violate the
    defendants’ rights under the Confrontation Clause.
    F.     The district court did not err in refusing to increase the defendants’ offense levels
    based upon allegations regarding the conscious or reckless risk of death or serious
    bodily harm
    The government next argues that the district court erred in refusing to adjust the defendants’
    offense levels upward pursuant to Sentencing Guidelines § 2B1.1(b)(11) (now § 2B1.1(b)(12)),
    which allows the court to enhance a sentence if the offense involved “the conscious or reckless risk
    of death or serious bodily injury.”
    1.      Standard of review
    We review de novo a district court’s interpretation of the Sentencing Guidelines. United
    States v. Hazelwood, 
    398 F.3d 792
    , 795, 800-01 (6th Cir. 2005). Once we conclude that the district
    court has properly consulted the Sentencing Guidelines, we review the sentence for reasonableness.
    See United States v. Booker, 
    125 S. Ct. 738
    , 765-67 (2005).
    2.      Hickerson, Mallicoat, and Tucker
    The government’s argument with respect to Hickerson, Mallicoat, and Tucker is based on
    the premise that the district court should have applied the fraud guidelines in § 2B1.1 rather than the
    regulatory guidelines in § 2N2.1. But where a specific Sentencing Guideline does not exist for an
    offense, the district court must choose an analogous Guideline to apply in determining the
    defendant’s sentence. United States v. Gray, 
    982 F.2d 1020
    , 1021 (6th Cir. 1993). “[T]he choice
    of the best analogy is likely to depend in part on the circumstances. Once the circumstances are
    determined, the district court’s choice of an analogy should be upheld if it is reasonable.” United
    States v. Brady 
    168 F.3d 574
    , 577 (1st Cir. 1999) (citations omitted).
    Here, the district court determined that the offenses committed by Hickerson, Mallicoat, and
    Tucker were violations of regulations involving mandatory health and safety standards, and therefore
    were analogous to the violations of statutes and regulations dealing with food and drugs that are
    addressed in Sentencing Guidelines § 2N2.1. It also noted that “[t]his guideline assumes a
    regulatory offense that involved knowing or reckless conduct” (quoting USSG § 2N2.1, comment.
    (n.1)) and concluded that “that at least fits here to a certain extent.” The court explicitly rejected
    the application of Sentencing Guidelines § 2B1.1 because the offenses of these defendants did not
    involve fraud.
    We conclude that the district court’s determination that the applicable Sentencing Guideline
    was § 2N2.1, not § 2B1.1, was reasonable. Because § 2N2.1 makes no provision for an upward
    adjustment based on conscious or reckless risk of death or serious bodily injury, the court did not
    err in refusing to increase the sentences of Hickerson, Mallicoat, and Tucker.
    3.      Gibson and KenAmerican
    With respect to the sentences of Gibson and KenAmerican, who were convicted of a
    conspiracy to make false statements, however, the district court properly applied Sentencing
    Guidelines § 2B1.1, which addresses fraud offenses. The court noted that § 2B1.1(b)(11), unlike
    Sentencing Guidelines § 2N2.1, permits an enhancement based upon the risk of death or serious
    Nos. 03-6592/6593/6594/6595;                United States v. Gibson et al.                    Page 11
    04-5031/5033/5034/5035/5036/5037
    bodily injury. But the district judge refused to impose the enhancement, concluding that “I don’t
    think [the defendants] intended to put the people that worked under them at risk.”
    Section 2X1.1(a) of the Sentencing Guidelines, which deals with conspiracy offenses, states
    that the court should apply adjustments from the substantive Guideline, here § 2B1.1, only “for any
    intended offense conduct that can be established with reasonable certainty.” In our opinion, the
    district court correctly determined that this language required the government to prove that Gibson
    and KenAmerican intended to create the risk of death or serious bodily injury. See United States
    v. Holmes, 
    975 F.2d 275
    , 282 (6th Cir. 1992) (holding that, for an enhancement under § 2X1.1(a),
    the defendant must have intended the conduct).
    The government contends, however, that it is not required to make such a showing. Instead,
    the government claims that it is required to prove only that the defendants intended to commit the
    underlying conduct; namely, running two CMMs simultaneously and failing to adequately ventilate
    the mine face. But it offers no support for this interpretation of § 2X1.1(a). We therefore hold that
    the district court properly refused to apply the adjustment in Sentencing Guidelines § 2B1.1(b)(11).
    G.     The district court did not err in refusing to increase the individual defendants’ offense
    levels based upon their role in the offense
    The government also requested that the district court adjust the individual defendants’
    offense levels to reflect their roles in the offense. Under Sentencing Guidelines § 3B1.1, a four-level
    enhancement is warranted “[i]f the defendant was an organizer or leader of a criminal activity that
    involved five or more participants or was otherwise extensive.” But the court refused to impose
    such an enhancement, reasoning that only “operators” could be convicted of violating the MSHA.
    It determined that imposing an adjustment based on the defendants’ leadership role would therefore
    constitute double counting because the base offense level already reflected the defendants’ roles in
    the offense.
    Double counting occurs where “precisely the same aspect of a defendant’s conduct factors
    into his sentence in two separate ways.” United States v. Farrow, 
    198 F.3d 179
    , 193 (6th Cir. 1999).
    The district court cited United States v. Stevenson, 
    6 F.3d 1262
    (7th Cir. 1993), as support for its
    conclusion that “the crime of conviction already encompasses the leadership role.” See 
    id. at 1270.
    In Stevenson, the Seventh Circuit held that a defendant who was convicted of employing, hiring,
    persuading, or inducing a minor to participate in a crime in an effort to avoid detection of that crime
    had necessarily assumed a “control role” in the offense. The court concluded that imposing a
    sentence “based upon both recruiting a minor and for the appellant’s leadership role [amounted to]
    ‘double counting’” and was therefore impermissible. 
    Id. The government
    argues that double counting was not an issue here because the defendants’
    leadership roles did not factor into their sentences in any other way. According to the government,
    even though the MSHA applies only to operators, the applicable Sentencing Guidelines are not
    limited to operators because neither § 2B1.1 nor § 2N2.1 account for a defendant’s aggravating role
    in the offense. The government attempts to distinguish Stevenson from the present case by arguing
    that the Sentencing Guideline at issue in Stevenson was written expressly for the violation of
    employing a minor in a drug crime, whereas there is no Guideline that expressly deals with the
    MSHA.
    We do not find the government’s arguments persuasive. Instead, we agree with the district
    court that Stevenson is closely analogous to the present case. Had the district court applied an
    upward departure, the defendants’ roles as operators would have factored into their sentences in two
    ways. Their operator status would first have been relevant in establishing their base offense level.
    Nos. 03-6592/6593/6594/6595;                United States v. Gibson et al.                    Page 12
    04-5031/5033/5034/5035/5036/5037
    Because only operators can be convicted of violating the MSHA, the base offense level does in fact
    take into account their leadership roles. Second, their operator status would have factored into their
    sentences by applying the enhancement. An upward departure would therefore have resulted in the
    defendants’ sentences being enhanced based on the same elements that resulted in their offense of
    conviction. See 
    Stevenson, 6 F.3d at 1270
    .
    We agree with the Seventh Circuit that “[s]uch a result defeats the purpose of adjustments:
    providing for increased responsibility beyond that reflected in the offense of conviction.” 
    Id. See also
    Farrow, 198 F.3d at 193-94 
    (“If a single aspect of the defendant’s conduct both determines his
    offense level and triggers an enhancement, this defendant’s final offense level will be the same as
    that of a defendant who engages in two forms of conduct deemed punishable under the Sentencing
    Guidelines. Such an assignment of equal offense levels for conduct of differing severities
    undermines the Guidelines’ goal of proportionality in sentencing.”) (emphasis in original) (footnote
    omitted). The district court therefore did not err in refusing to apply the enhancement.
    H.     The district court did not err in refusing to adjust Gibson’s offense level or
    KenAmerican’s culpability score to reflect their alleged obstruction of justice
    The Sentencing Guidelines allow for a two-level increase in a defendant’s offense level if
    the defendant “willfully obstructed or impeded . . . the administration of justice during the course
    of the investigation, prosecution, or sentencing of the instant offense of conviction.” USSG § 3C1.1.
    Moreover, the Sentencing Guidelines provide the following enhancement of a corporation’s
    culpability score based on an obstruction of justice:
    If the organization willfully obstructed or impeded . . . justice during the
    investigation, prosecution, or sentencing of the instant offense, or, with knowledge
    thereof, failed to take reasonable steps to prevent such obstruction[,] . . . add 3
    points.
    USSG § 8C2.5(e).
    At sentencing, the government argued that the district court should apply this adjustment to
    reflect the fact that KenAmerican had warned its miners of the inspections and falsified its pre-shift
    and on-shift reports. It also requested that the district court increase Gibson’s offense level because
    he had lied to MSHA inspectors about the status of one of the CMMs. But the court refused to apply
    the adjustment, reasoning that neither Gibson’s nor KenAmerican’s obstructive conduct occurred
    during “the investigation of the instant offense.”
    1.      Standard of review
    The district court’s factual findings in refusing to adjust a culpability score for obstruction
    of justice will not be set aside unless they are clearly erroneous. See United States v. Burke, 
    345 F.3d 416
    , 428 (6th Cir. 2003). We review de novo the district court’s legal conclusions regarding
    any such adjustment. 
    Id. 2. Obstruction
    of justice
    The district court’s conclusion that Gibson’s and KenAmerican’s obstructive conduct did
    not occur during “the investigation of the instant offense” is erroneous, because this court has
    applied the obstruction adjustment when the defendant’s “action was intended to impede the same
    government investigation that eventually resulted in [the defendant’s] conviction.” 
    Burke, 345 F.3d at 430
    . Despite this error, however, the district court’s refusal to apply the enhancement was proper
    because Application Note 5 to Sentencing Guidelines § 3C1.1 states that conduct such as avoiding
    Nos. 03-6592/6593/6594/6595;                United States v. Gibson et al.                     Page 13
    04-5031/5033/5034/5035/5036/5037
    arrest, providing incomplete or misleading information, or even making false statements to federal
    officers does not warrant application of the adjustment. Application Note 4, on the other hand,
    details the type of conduct that is contemplated by the enhancement. The examples provided include
    threatening a co-defendant, juror, or witness; committing perjury; destroying material evidence; and
    escaping from custody. This suggests that the adjustment is meant to address more egregious
    behavior than that at issue here. We therefore conclude that the district court did not err in failing
    to increase Gibson’s or KenAmerican’s sentences based upon obstruction of justice.
    I.     The district court did not err in refusing to consider KenAmenican’s pecuniary gain
    resulting from the company’s illegal conduct in determining the sentence
    The Criminal Justice Act of 1984 provides that “[i]f any person derives pecuniary gain from
    the offense, . . . the defendant may be fined not more than the greater of twice the gross gain or twice
    the gross loss, unless imposition of a fine under this subsection would unduly complicate or prolong
    the sentencing process.” 18 U.S.C. § 3571(d) (emphasis added). Despite the fact that the
    government attempted to introduce evidence regarding KenAmerican’s pecuniary gain, the district
    court refused to hear the proffered testimony, explaining that “[m]y feeling right now is that the
    corporation probably realized some gain. The real difficulty is how much.” The district court
    agreed with the recommendation of the probation department that “there’s no defensible
    methodology to use in calculating the gain with any reasonable certainty.” Instead, the court used
    the Offense Level Fine Table found in the Sentencing Guidelines and considered KenAmerican’s
    indeterminate profits as a result of its activities in departing upward from the base fine.
    1.      Standard of review
    We review the district court’s imposition of fines under the Criminal Justice Act under the
    abuse-of-discretion standard. See United States v. Monus, 
    128 F.3d 376
    , 398 (6th Cir. 1998).
    2.      Pecuniary gain
    The government contends that the district court erred in refusing to hear the testimony of
    seven witnesses regarding KenAmerican’s pecuniary gain before imposing the sentence. But the
    district court did recognize that KenAmerican had profited to some extent and took this gain into
    account in deciding whether to depart upward from the base fine. Moreover, it articulated a
    legitimate reason for its refusal to hear the government’s proffered witnesses: “I might be here for
    a long time and still have lots of questions about the amount, and I’d been engaging in speculation
    and guesswork, . . . and certainly I think it’s going to complicate matters, and it’s going to prolong
    this sentencing.” We therefore conclude that the district court’s refusal to hear the testimony, a
    decision supported by the Presentence Report prepared by the probation office, was not an abuse of
    its discretion.
    III. CONCLUSION
    For all of the reasons set forth above, we AFFIRM the judgment of the district court.
    

Document Info

Docket Number: 04-5036

Citation Numbers: 409 F.3d 325

Filed Date: 5/24/2005

Precedential Status: Precedential

Modified Date: 1/12/2023

Authorities (36)

United States v. Brady , 168 F.3d 574 ( 1999 )

Malaki Shakur Latine, A/K/A Gregory Latine v. Louis F. Mann,... , 25 F.3d 1162 ( 1994 )

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Allied Products Company v. Federal Mine Safety and Health ... , 666 F.2d 890 ( 1982 )

United States v. Chalmer C. Hayes, Also Known as Chuck ... , 218 F.3d 615 ( 2000 )

United States v. James J. Curran, Jr. , 20 F.3d 560 ( 1994 )

United States v. Randall Gray , 982 F.2d 1020 ( 1993 )

United States v. Bruce Zalman (87-6183), and Mohammad ... , 870 F.2d 1047 ( 1989 )

United States v. Christopher Robinson , 389 F.3d 582 ( 2004 )

United States v. Patrick Michael Stonefish , 402 F.3d 691 ( 2005 )

Dion Hardaway, Petitioner-Appellee/cross-Appellant v. ... , 305 F.3d 558 ( 2002 )

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joan-p-hancock-individually-and-as-guardian-and-conservator-of-the-estate , 958 F.2d 1367 ( 1992 )

Dr. Martin TREPEL, Plaintiff-Appellant-Cross-Appellee, v. ... , 194 F.3d 708 ( 1999 )

United States v. James Ronald Hazelwood , 398 F.3d 792 ( 2005 )

United States v. William M. Landham , 251 F.3d 1072 ( 2001 )

United States v. James Gibson , 513 F.2d 978 ( 1975 )

Estate of Arthur Chase Shafer, Deceased, Chase Shafer, Co-... , 749 F.2d 1216 ( 1984 )

United States v. Michael I. Monus , 128 F.3d 376 ( 1998 )

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