United States v. Kelvin Mize , 814 F.3d 401 ( 2016 )


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    Pursuant to Sixth Circuit I.O.P. 32.1(b)
    File Name: 16a0040p.06
    UNITED STATES COURT OF APPEALS
    FOR THE SIXTH CIRCUIT
    _________________
    UNITED STATES OF AMERICA,                                       ┐
    Plaintiff-Appellee,     │
    │
    │         Nos. 13-6558/6559/6560
    v.                                                   │
    >
    │
    JACKIE MIZE (13-6560); KELVIN MIZE (13-6558);                   │
    JAMES MIZE (13-6559),                                           │
    Defendants-Appellants.                 │
    ┘
    Appeal from the United States District Court
    for the Eastern District of Tennessee at Knoxville.
    No. 3:12-cr-00137—Thomas A. Varlan, Chief District Judge.
    Argued: June 12, 2015
    Decided and Filed: February 18, 2016
    Before: KEITH and CLAY, Circuit Judges; MARBLEY, District Judge.
    _________________
    COUNSEL
    ARGUED: Michael B. Menefee, MENEFEE & BROWN, P.C., Knoxville, Tennessee, for
    Appellant in 13-6558. David C. Jennings, UNITED STATES ATTORNEY’S OFFICE,
    Knoxville, Tennessee, for Appellee. ON BRIEF: Michael B. Menefee, MENEFEE &
    BROWN, P.C., Knoxville, Tennessee, for Appellant in 13-6558. Gary W. Lanker, LAW
    OFFICE OF GARY W. LANKER, Memphis, Tennessee, for Appellant in 13-6559. Russell T.
    Greene, Knoxville, Tennessee, for Appellant in 13-6560. David C. Jennings, UNITED STATES
    ATTORNEY’S OFFICE, Knoxville, Tennessee, for Appellee.
    CLAY, J., delivered the opinion of the court in which MARBLEY, D.J., joined. KEITH,
    J. (pp. 13–19), delivered a separate dissenting opinion.
    
    The Honorable Algenon L. Marbley, United States District Judge for the Southern District of Ohio, sitting
    by designation.
    1
    Nos. 13-6558/6559/6560                    United States v. Mize, et al.                Page 2
    _________________
    OPINION
    _________________
    CLAY, Circuit Judge.               Kelvin Mize, James Mize, and Jackie Mize (collectively
    “Defendants”) were convicted, following a jury trial, of conspiracy to distribute and possession
    with intent to distribute oxycodone in violation of 21 U.S.C. §§ 846, 841(a)(1) and (b)(1)(C), and
    conspiracy to commit money laundering in violation of 18 U.S.C. §§ 1956(a)(1)(A)(i),
    (a)(1)(B)(i), and 1956(h).           Those charges arose from the Defendants’ involvement in a
    prescription pill conspiracy organized by Jackie Mize (the “Mize conspiracy”), the father of
    Kelvin and James. The Mize conspiracy operated similarly to a separate conspiracy organized
    by Kevin Bussell (the “Bussell conspiracy”). Because we find a prejudicial variance between the
    charges in the indictment and the proof offered at trial, we REVERSE and VACATE all three
    convictions and REMAND for a new trial.
    I.
    BACKGROUND
    To explain how the Mize conspiracy began and operated, the government at trial
    presented evidence about the separate Bussell conspiracy. The Bussell conspiracy operated as
    follows: groups of individuals from Tennessee, many of whom were drug addicts, would travel
    to doctors’ offices and pain clinics in Florida, visiting several doctors and pain clinicians at a
    time. Kevin Bussell,1 the conspiracy’s ringleader, paid for their travel expenses, including hotel
    costs, and even provided them with drugs. These “doctor shoppers” would present false reports
    of pain to examining doctors in order to obtain prescription medication pills—mainly opiates and
    oxycodone. They would then bring those pills back to Tennessee, keep half of them, and give
    the other half to Bussell, who would sell his share for a profit.
    The Bussell conspiracy was formed in 2009 when Bussell assembled a group of people to
    travel from Tennessee to Florida and obtain prescription medication pills. Bussell’s first group
    1
    Kevin Bussell was sometimes referred to during trial as “Trent Bussell.”
    Nos. 13-6558/6559/6560             United States v. Mize, et al.                         Page 3
    of shoppers consisted of three people, one of whom was James Mize. But because James had to
    wait six months before he could refill his prescription, he did not accompany Bussell on the
    second trip to Florida. Instead, the trip was made by James’ brother, Kelvin Mize.
    Eventually, Bussell started doctor shopping—i.e., his doctor shoppers would visit
    multiple doctors in order to obtain multiple controlled substance prescriptions. This also allowed
    Bussell’s doctor shoppers to circumvent Florida’s six-month waiting time for filling new
    prescriptions. Because of the doctor shopping scheme, Bussell increased the number of shoppers
    he took on each trip to Florida. At its peak, the Bussell conspiracy sent forty people to Florida at
    a time, each of whom visited anywhere from two to five doctors per trip.
    Both James and Kelvin went to Florida with Bussell as doctor shoppers. Jackie, on the
    other hand, was not one of Bussell’s doctor shoppers. Instead, Jackie asked Bussell to take him
    on a trip to Florida to learn how the operation worked. Jackie accompanied Bussell on his next
    trip and Bussell showed him how the operation worked. But because Jackie was not one of
    Bussell’s doctor shoppers, he paid for his own trip expenses.
    After seeing Bussell and his shoppers in action, Jackie assembled his own group to travel
    to Florida and essentially do the same thing—i.e., obtain prescription pills for opiates and
    oxycodone and return to Tennessee to sell them on the black market. Jackie’s group of doctor
    shoppers included Kelvin and his ex-wife Donna Webb, James, and Jackie’s two other sons,
    Jonathan and Ryan.
    The conspiracy organized by Jackie, the Mize conspiracy, would eventually grow to ten
    doctor shoppers, and did in fact operate just like the Bussell conspiracy. Upon returning from
    Florida, Jackie’s doctor shoppers gave him half of their prescription pills. Either Jackie himself
    or Kelvin would then sell those pills for money in Tennessee. For example, Crystal Mason, one
    of Bussell’s doctor shoppers, testified that she bought pills from Kelvin. On the other hand,
    Johnny Harvey, another one of Bussell’s doctor shoppers, testified that he bought pills from
    Jackie. James, for his part, was mainly a drug user and doctor shopper—he did not sell very
    many pills.
    Nos. 13-6558/6559/6560             United States v. Mize, et al.                       Page 4
    According to the testimony at trial, Florida doctors and pharmacists started to adopt more
    stringent screening measures for prescription medication. One such measure was that clinics
    would not see patients, and pharmacists would not fill a prescription, absent proof of a valid
    Florida driver’s license. Bussell responded by leasing residential property in Florida, which he
    used to establish residency in Florida for his doctor shoppers. This had the added benefit of
    housing his doctor shoppers when they travelled to Florida, thus eliminating hotel costs. Soon
    after Bussell entered into his lease, Jackie followed suit, leasing his own Florida property for
    purposes of establishing residency in Florida for his doctor shoppers.
    In November 2010, law enforcement officers executed search warrants at both Bussell’s
    rental houses in Florida and at Jackie’s farmhouse in Harrogate, Tennessee. At trial, the items
    seized at Jackie’s residence were admitted into evidence. Those items included prescription pill
    bottles for oxycodone in Jackie’s name that had been filled at a pharmacy in Florida, and a folder
    containing several pages of the names and addresses of pain management clinics in Florida. Law
    enforcement officers also found a printout of Kelvin’s patient drug history, which showed
    payment of $1,798.80 for 80 milligrams of oxycodone, and various pieces of notebook paper that
    contained handwritten notations about several kinds of drugs. There were handwritten notes
    about “TP,” which was a reference to Xanax pills, and also about “30s,” which were references
    to 30-milligram Roxycodone pills. One of those notes read: “I sold ten TPs plus three 30s.
    I sold one 30.” (R. 115, Jury Trial Transcript, Volume 1, PageID# 468.) Another note read:
    “I paid dad 550 more dollars.” (Id.)
    Following the government’s case-in-chief during the Mize conspiracy trial, Defendants
    moved for acquittal under Rule 29 of the Federal Rules of Criminal Procedure, arguing, among
    other things, that the government had not presented any physical evidence of pills or large
    amounts of cash. Kelvin also argued that the government improperly presented evidence about
    the separate Bussell conspiracy in an attempt to prove that he and James and Jackie were
    involved in a much larger drug-trafficking conspiracy. The district court denied Defendants’
    motions for acquittal. At the close of evidence, a jury convicted Defendants of both counts.
    Over Defendants’ objections, the district court adopted the presentence investigation
    report’s findings with respect to the amount-of-loss and drug quantities attributable to
    Nos. 13-6558/6559/6560              United States v. Mize, et al.                        Page 5
    Defendants. The court sentenced both Kelvin and Jackie to 360 months’ imprisonment and
    sentenced James to 300 months’ imprisonment.            This appeal then followed.     We discuss
    additional facts as necessary below.
    II.
    DISCUSSION
    Defendants present three issues on appeal. First, Kelvin argues constructive amendment
    of the indictment and prejudicial variance in the proofs. He argues that the government’s
    presentation of evidence about the separate Bussell conspiracy effectively amended the
    indictment, putting him on trial for a crime for which he was never formally charged. Second, he
    challenges the district court’s calculation of the drug quantity attributable to him. And third, all
    defendants challenge the factual sufficiency of the evidence to support their convictions.
    Because we reverse and vacate Defendants’ convictions on the grounds that a prejudicial
    variance existed between the single conspiracy charged in the indictment and the government’s
    proofs at trial, we need not reach Defendants’ other contentions on appeal.
    A. Reaching the Unpreserved Issue
    We note initially that Kelvin is the only defendant to raise a constructive amendment and
    variance argument on appeal.        And as discussed above, he also objected at trial to the
    government’s presentation of evidence regarding the Bussell conspiracy, thereby preserving his
    claim for appellate review. While Jackie does not raise a constructive amendment and variance
    argument on appeal, he did, however, object at trial to the substantial amount of evidence about
    the Bussell conspiracy. James, on the other hand, does not raise this argument on appeal, nor did
    he raise this challenge at trial.
    “The general rule of appellate procedure is that issues not presented in an appellant’s
    initial merits brief are waived.” Citizens Coal Council v. U.S. E.P.A., 
    447 F.3d 879
    , 905 (6th
    Cir. 2006) (en banc) (citation omitted). But this rule is not jurisdictional, and we may choose to
    entertain arguments not raised by the parties when the failure to do so would constitute a
    miscarriage of justice. See Mayhew v. Allsup, 
    166 F.3d 821
    , 823-24 (6th Cir. 1999) (holding that
    Nos. 13-6558/6559/6560                   United States v. Mize, et al.                                  Page 6
    the court would consider the application of a statute helpful to the defendant despite his failure to
    address it either at trial or on appeal when the failure to do so would constitute a miscarriage of
    justice).
    We recognize that the rule in Mayhew applies only to “exceptional” cases. See 
    id. This case,
    however, meets that exception because, if successful, Defendants’ appeal on this issue
    would result in reversal of their convictions. Moreover, because the issue has been briefed by
    both sides and discussed at oral argument, the government is not prejudiced by Jackie’s and
    James’ neglect in not raising the issue in their briefs.2 Finally, because Defendants were tried
    together for a single conspiracy, it would be a miscarriage of justice to affirm Jackie’s and
    James’ convictions while reversing Kelvin’s conviction based on a constitutional error that
    tainted Defendants’ joint jury trial. We will therefore exercise our discretion to reach the merits
    as to whether a constructive amendment or variance occurred as to all defendants, because we
    believe that a failure to do so would constitute a miscarriage of justice. See 
    id. B. The
    Indictment Versus the Proof at Trial
    a. Standard of Review
    Generally, we evaluate claims of constructive amendments to or variances from an
    indictment de novo. United States v. Prince, 
    214 F.3d 740
    , 756 (6th Cir. 2000). However, when
    a defendant fails to preserve an argument for appeal, we review only for plain error. To obtain
    relief under that standard, a defendant must establish “(1) error, (2) that is plain, and (3) that
    affects substantial rights.” Johnson v. United States, 
    520 U.S. 461
    , 466-67 (1997) (internal
    citations and quotations omitted). If a defendant can show all three conditions, we will “exercise
    [our] discretion to notice a forfeited error, but only if (4) the error seriously affects the fairness,
    integrity or public reputation of judicial proceedings.” 
    Id. at 467
    (alteration in original). The
    defendant bears the burden of demonstrating that a constructive amendment or variance has
    occurred. United States v. Chilingirian, 
    280 F.3d 704
    , 712 (6th Cir. 2002).
    2
    The dissent accuses the majority of “misconstru[ing] the record,” writing that “[t]he majority’s assertion
    that the ‘issue has been briefed by both sides and discussed at oral argument’ is misleading.” Dissent at 1. But this
    is incorrect; we would encourage the dissent to listen to the oral argument audio in this case (which is available on
    Judge Point), and to take another look at the briefs filed on behalf of Kelvin and the government.
    Nos. 13-6558/6559/6560              United States v. Mize, et al.                        Page 7
    Because Kelvin preserved his claim of constructive amendment or variance at trial (and
    also on appeal), we review his claim de novo. We also apply this standard to Jackie because he
    objected at trial to the introduction of extensive evidence about the Bussell conspiracy, thus
    preserving his claim on appeal. But since James did not preserve this issue, we apply plain error
    review as to him. See United States v. Kuehne, 
    547 F.3d 667
    , 682 (6th Cir. 2008) (“[W]here no
    specific objection is raised regarding a constructive amendment or a variance before the district
    court, we are limited to ‘plain error’ review on appeal.”).
    b. Constructive Amendment of the Indictment/Variance
    Defendants argue that the evidence introduced by the government at trial so diverged
    from the charges set forth in the indictment as to violate their rights under the Fifth and Sixth
    Amendments. “An indictment may be the subject of an actual amendment, a constructive
    amendment, or a variance.” United States v. Budd, 
    496 F.3d 517
    , 521 (6th Cir. 2007). Thus,
    constructive amendments and variances are two types of modifications to indictments that we
    have recognized. United States v. Hynes, 
    467 F.3d 951
    , 961 (6th Cir. 2006). However, these
    two concepts—constructive amendments and variances—differ “with respect to the burden
    placed upon the defendant and the remedy mandated upon a showing that a constructive
    amendment or variance has occurred.” 
    Kuehne, 547 F.3d at 683
    .
    A constructive amendment “results when the terms of an indictment are in effect altered
    by the presentation of evidence and jury instructions which so modify essential elements of the
    offense charged such that there is a substantial likelihood that the defendant may have been
    convicted of an offense other than the one charged in the indictment.” United States v. Martinez,
    
    430 F.3d 317
    , 338 (6th Cir. 2005). Constructive amendments are “per se prejudicial because
    they infringe upon the Fifth Amendment’s grand jury guarantee.” 
    Hynes, 467 F.3d at 962
    (internal citations and quotations omitted). “Because of the constitutional injury that results from
    a constructive amendment, when proven, a defendant is entitled to a reversal of his conviction.”
    
    Kuehne, 547 F.3d at 683
    (citation omitted).
    In contrast, a variance is “not per se prejudicial.” 
    Budd, 496 F.3d at 521
    . Instead,
    reversal is only warranted when a defendant proves that “(1) a variance occurred and (2) that the
    Nos. 13-6558/6559/6560              United States v. Mize, et al.                       Page 8
    variance affected a substantial right of the defendant.” 
    Kuehne, 547 F.3d at 683
    (citing 
    Prince, 214 F.3d at 757
    ). Generally speaking, a variance “occurs when the charging terms [of the
    indictment] are unchanged, but the evidence at trial proves facts materially different from those
    alleged in the indictment.” 
    Id. (alteration in
    original). A defendant’s substantial rights are
    affected “only when the defendant shows prejudice to his ability to defend himself at trial, to the
    general fairness of the trial, or to the indictment’s sufficiency to bar subsequent prosecutions.”
    
    Id. (citations and
    quotations omitted).
    c. Analysis
    We are not convinced that a constructive amendment, as opposed to a prejudicial
    variance, occurred in this case. Although our precedent recognizes that the difference between
    the two is “shadowy,” United States v. Barrow, 
    118 F.3d 482
    , 488 (6th Cir. 1997), we have held
    that a constructive amendment requires a showing “that the important functions of an indictment
    were undermined by both the evidence presented and the jury instructions.” 
    Hynes, 467 F.3d at 962
    (emphasis in original).
    In this case, all of the harm was done by the introduction of extraneous and highly
    prejudicial evidence about the separate Bussell conspiracy. The jury instructions, on the other
    hand, do not support Defendants’ claim that the indictment was constructively amended. In
    relevant part, the jury instructions provided as follows:
    The indictment charges that the defendants were all members of one single
    conspiracy to commit the crimes of distributing prescription drugs and money
    laundering. Defendants Kelvin Mize and James Mize have argued that there were
    really two separate conspiracies, one involving Kevin Trent Bussell and his co-
    conspirators; and another one involving Jackie Mize and his co-conspirators.
    To convict any one of the defendants of the conspiracy charge, the government
    must convince you beyond a reasonable doubt that the defendant was a member
    of the conspiracy charged in the indictment. If the government fails to prove this,
    then you must find that defendant not guilty of the conspiracy charge, even if you
    find that he was a member of some other conspiracy. Proof that a defendant was
    a member of some other conspiracy is not enough to convict, but proof that a
    defendant was a member of some other conspiracy would not prevent you from
    returning a guilty verdict, if the government also proved that he was a member of
    the conspiracy charged in the indictment.
    Nos. 13-6558/6559/6560             United States v. Mize, et al.                        Page 9
    (R. 117, Jury Trial Transcript, Volume 3, PageID# 1110-11.)
    While not necessarily a model of simplicity and clarity, these jury instructions do seem
    calculated to mitigate, to the extent possible, any potential for prejudice from the evidence about
    the Bussell conspiracy. The instructions specifically explained that the only way the jury could
    convict Defendants was to find beyond a reasonable doubt that they were members “of the
    conspiracy charged in the indictment”—i.e., the Mize conspiracy. Moreover, we have in the past
    approved of similar instructions in this context. See, e.g., United States v. Gioiosa, 
    924 F.2d 1059
    , 
    1991 WL 15149
    at n.4 (6th Cir. 1991) (unpublished table opinion); United States v.
    Battista, 
    646 F.2d 237
    , 243 (6th Cir. 1981). Therefore, under these circumstances, we find that
    there was no constructive amendment here.
    We do, however, find that there was a prejudicial variance between the charges in the
    indictment and the evidence produced at trial. To determine whether reversal is required, we
    must engage in a two-step inquiry: was there a variance, and if so, was it prejudicial. 
    Kuehne, 547 F.3d at 683
    (citing 
    Prince, 214 F.3d at 757
    ). To determine whether a variance has occurred,
    we look to whether the evidence can “reasonably be construed only as supporting a finding of
    multiple conspiracies” rather than the single conspiracy alleged in the indictment. United States
    v. Warner, 
    690 F.2d 545
    , 548 (6th Cir. 1982) (citing Kotteakos v. United States, 
    328 U.S. 750
    (1946)). Moreover, “defendants can establish a variance by referring exclusively to the evidence
    presented at trial.” 
    Hynes, 467 F.3d at 962
    .
    The evidence in this case undoubtedly established two conspiracies, not just the one
    charged in the indictment. The government presented an extraordinary volume of evidence
    about the Bussell conspiracy. Even in its opening statement, the government began by giving the
    jury extensive information about the Bussell conspiracy. It then introduced testimony about the
    volume of drug transactions effected by the Bussell conspiracy. The government also presented
    a history of the investigation of the Bussell conspiracy which included wiretaps, surveillance,
    controlled buys, drug deals, and even surveillance photographs of members of the Bussell
    conspiracy. Even Bussell himself—along with several of his convicted collaborators—testified
    about the operation of his conspiracy. Bussell even went so far as to credit the government for
    his rehabilitation from being a drug user.
    Nos. 13-6558/6559/6560                 United States v. Mize, et al.                     Page 10
    The government then argued to the jury that the Mize conspiracy operated in the same
    manner to commit the same crimes. By the close of its case-in-chief, the government had
    presented eleven witnesses—eight of whom discussed the Bussell conspiracy at some length.
    Indeed, during its direct examination of Drug Enforcement Administration (“DEA”) Agent
    Bethel Poston, the government even acknowledged that the majority of Poston’s testimony was
    about Bussell:
    Q [government]:        That’s the Trent Bussell you have been talking about since
    you hit the witness stand practically?
    A [Poston]:            It is.
    (R. 115 at 498.)
    We think that if the testimony introduced by the government established anything, it was
    that Kevin Bussell operated a large scale drug trafficking organization responsible for the
    importation and distribution of hundreds of thousands of dollars’ worth of pills from Florida to
    Tennessee.    It is clear from our reading of the record that the government introduced
    significantly more evidence than it should have about the separate Bussell conspiracy. We
    therefore find that the government’s evidence rises to the level of a variance. We turn then to
    whether the variance was prejudicial.
    To demonstrate substantial prejudice, a defendant must show that the variance prejudiced
    either his ability to defend himself or the overall fairness of his trial. United States v. Manning,
    
    142 F.3d 336
    , 339 (6th Cir. 1998). Prejudice exists “where the defendant is unable to present his
    case and is taken by surprise by the evidence offered at trial”; “where the defendant is convicted
    for substantive offenses committed by another”; or “where spillover [occurs] because of a large
    number of improperly joined defendants.” United States v. Swafford, 
    512 F.3d 833
    , 842-43 (6th
    Cir. 2008) (internal citations and quotations omitted).
    At least one of these conditions has occurred here. The primary risk that the variance
    doctrine is designed to alleviate is guilt transference—“that the appellant was convicted based on
    evidence of a conspiracy in which the appellant did not participate.” United States v. Hughes,
    
    505 F.3d 578
    , 587 (6th Cir. 2007) (citing United States v. Blackwell, 
    459 F.3d 739
    , 762 (6th Cir.
    Nos. 13-6558/6559/6560             United States v. Mize, et al.                         Page 11
    2006)). “This risk increases in direct proportion to the number of defendants, and the number of
    conspiracies demonstrated at trial.” United States v. Caver, 
    470 F.3d 220
    , 237 (6th Cir. 2006)
    (citing 
    Kotteakos, 328 U.S. at 766
    ).
    Even if a defendant can show that a variance resulted in guilt transference, “typically any
    danger of prejudice can be cured with a cautionary instruction to the jury that if it finds multiple
    conspiracies, it cannot use evidence relating to one conspiracy in determining another
    conspiracy.” 
    Hughes, 505 F.3d at 587
    (citing 
    Blackwell, 459 F.3d at 762
    ). However, as we
    noted in Blackwell, “the more evidence presented at trial that is unrelated to the defendant’s
    conduct, or a conspiracy in which the defendant took part, the less likely instructions are to cure
    the danger of guilt 
    transference.” 459 F.3d at 762
    .
    “Whether or not a variance is prejudicial is a judgment that must be made on the facts of
    each case.” United States v. Mills, 
    366 F.2d 512
    , 514 (6th Cir. 1966) (citations and internal
    quotation marks omitted).       This is an incredibly fact-intensive analysis requiring the
    consideration of what occurred in each case. And in this case, we do not see any other way but
    to find that Defendants were prejudiced by the material variance. They were forced to defend
    against a conspiracy, i.e., the Bussell conspiracy, that was totally separate from the conspiracy
    alleged in the indictment, i.e., the Mize conspiracy. The evidence from a different scheme was
    used to portray Defendants in a grossly prejudicial light before the jury. This error enabled the
    government to bombard the jury with evidence of the Bussell conspiracy and its cast of
    characters and recorded conversations and photographs, when, in fairness, those things had little
    to do with the charged Mize conspiracy. We do not see any reason why the government should
    not have been required to prove its charges against Defendants without all of this prejudicial and
    irrelevant evidence about a totally different conspiracy involving Bussell.
    We think that we understand why the government did what it did—the theme of its case
    was that Defendants were inspired by the Bussell conspiracy to create their own conspiracy
    operating in a substantially similar manner. But this theme could have been told differently. The
    government could have easily explained to the jury that this case involves a conspiracy which
    was formed by Jackie Mize and that the idea for the conspiracy originated when Jackie learned
    of the Bussell conspiracy.     That was really all that needed to be said about the Bussell
    Nos. 13-6558/6559/6560              United States v. Mize, et al.                           Page 12
    conspiracy. Instead, the extensive proof presented by the government on the Bussell conspiracy
    likely distracted the jury from the relevant issues—all to Defendants’ prejudice.
    What this case really comes down to is balance—i.e., the balance between the
    government’s need to introduce evidence about the Bussell conspiracy and its need to introduce
    evidence about the Mize conspiracy. And in trying to find that balance, the government leaned
    too heavily on establishing the existence and intricacies of the Bussell conspiracy, rather than
    focusing on the conspiracy for which Defendants stood trial. The government’s extraordinary
    amount of evidence about the Bussell conspiracy enabled the jury to transfer the guilt of that
    conspiracy to the charged Mize conspiracy.
    Moreover, we reject the government’s argument that any error was harmless. “[T]his is
    not and cannot be the test.” 
    Kotteakos, 328 U.S. at 767
    . Prejudice in this context means whether
    Defendants were found guilty of a different conspiracy from that charged in the indictment, not
    whether the evidence was sufficient to justify the verdict. And in any event, harmless error
    should not be what stands in the way of a seemingly unconstitutional conviction. We likewise
    reject the government’s argument that any danger of prejudice was minimized by the district
    court’s instructions to the jury. While that may be the general rule, it does not apply here.
    Because of the sheer volume of evidence introduced to establish the Bussell conspiracy, it is
    substantially less likely that the court’s instructions cured the danger of creating unfair prejudice.
    See 
    Blackwell, 459 F.3d at 762
    .
    For all of these reasons, we find a prejudicial variance between the charges in the
    indictment and the proof offered at trial. Moreover, we find that the error was plain, that it
    affected the substantial rights of all three defendants, and that it seriously affected the fairness of
    the trial.
    We therefore REVERSE and VACATE all three convictions and REMAND for a new
    trial.
    Nos. 13-6558/6559/6560             United States v. Mize, et al.                         Page 13
    _________________
    DISSENT
    _________________
    KEITH, Circuit Judge, dissenting. I respectfully dissent. The majority opinion is flawed
    in several respects, and I will highlight the most problematic areas here.
    A. Reaching the Unpreserved Issue – Misconstrued Record & Case Law
    As a preliminary matter, the majority misconstrues the record and the case law in their
    pursuit to reach the unpreserved issue with respect to James and Jackie. The majority’s assertion
    that the “issue has been briefed by both sides and discussed at oral argument” is misleading.
    Neither Jackie’s counsel nor James’s counsel even attended oral argument, and neither raised the
    issue of a constructive amendment or fatal variance in their briefs. Therefore, the Government
    never had an opportunity to respond to any argument that a fatal variance occurred as to James’s
    or Jackie’s involvement in the offense. While asserting that the inquiry is “fact-intensive,” the
    majority simultaneously applies a cookie-cutter approach to all three defendants, when in fact the
    circumstances for each defendant were different. For example, it is undisputed that Jackie was
    never a member of the Bussell conspiracy.
    The majority relies on the case of Mayhew v. Allsups, 
    166 F.3d 821
    , 823-24 (6th Cir.
    1999), to justify addressing an issue that neither James nor Jackie raised. The majority asserts
    that Mayhew stands for the proposition that a court can “consider the application of a statute
    helpful to the defendant despite his failure to address it either at trial or on appeal when the
    failure to do so would constitute a miscarriage of justice.” A close reading of Mayhew reveals
    that the majority misconstrued this case in much the same way it misconstrued the record. In
    Mayhew, the plaintiff, who was the appellant, failed to raise an argument before the trial court
    regarding a statute that was not enacted until after the trial court issued its judgment. See 
    id. at 823.
    But the appellant did raise the issue before this court in its appellate brief. See 
    id. The defendant,
    a corporate entity, was the appellee in that civil case. See 
    id. It failed
    to directly
    respond to the issue raised by the appellant, instead arguing that the issue was not preserved. See
    
    id. This court
    determined that the issue could still be addressed in order to avoid a miscarriage
    Nos. 13-6558/6559/6560                     United States v. Mize, et al.                                 Page 14
    of justice. See 
    id. at 823-24.
    Mayhew is inapposite for many reasons, but mainly because the
    appellant in Mayhew, raised the issue on appeal, unlike Jackie or James here. See id.1 The
    majority misconstrues the record and Mayhew in an attempt to excuse its conduct of acting as
    defense counsel rather than impartial judges.2 Fundamentally, I believe we should refrain from
    overstepping our bounds under the guise of “justice.”
    Additionally, the majority purports to apply a different standard of review to the fatal
    variance claim it constructed for James, noting that “plain error” review was required. However,
    the majority, in perfunctory fashion, devotes one sentence to the “plain error” inquiry that
    amounts to nothing more than a bare recitation of the “plain error” elements without any analysis
    or citation to legal authority.
    Because neither James nor Jackie raised the issue on appeal, the remainder of my dissent
    will address the fatal variance claim as raised by Kelvin Mize.
    B. No Guilt Transference Occurred by Definition of the Term
    I agree that a variance occurred with respect to Kelvin because multiple conspiracies
    were discussed at trial. However, as the majority points out, not every variance is a fatal one
    (i.e., not every variance requires reversal). See United States v. Budd, 
    496 F.3d 517
    , 522 (6th
    Cir. 2007) (noting that a variance is not prejudicial per se, and thus, a variance will not always
    require reversal). A liberal reading of the majority opinion suggests that the majority believes
    guilt transference occurred with respect to Kelvin, rendering the variance fatal. I respectfully
    disagree. By definition, guilt transference occurs where there is a risk that the defendant was
    convicted “based on evidence of a conspiracy in which the [defendant] did not participate.”
    United States v. Hughes, 
    505 F.3d 578
    , 587 (6th Cir. 2007) (emphasis added). In other words, it
    occurs where guilt is transferred from one defendant to another defendant. See id; see also
    United States v. Caver, 
    470 F.3d 220
    , 237 (6th Cir. 2006) (“The primary risk is the transference
    1
    Additionally, the majority asserts that the issue in Mayhew was “helpful to the defendant[,]” the appellee.
    However, that statement is also incorrect. Mayhew never characterized the issue as being helpful to any party, much
    less the appellee. See 
    id. In any
    event, the issue did not help the defendant-appellee because the court reversed the
    district court’s order granting summary judgment to the defendant-appellee. See 
    id. at 824.
             2
    Notably, both defendants were represented by counsel.
    Nos. 13-6558/6559/6560                United States v. Mize, et al.                      Page 15
    of guilt from defendants involved in one conspiracy to defendants in another conspiracy.”)
    (emphasis added). In essence, when guilt transference occurs, a defendant is convicted of the
    “substantive acts of another” person. United States v. Bakri, 505 F. App’x 462, 468-69 (6th Cir.
    2012).
    Accordingly, there is no guilt transference where the defendant was a participant in all of
    the conspiracies presented at trial. See, e.g., 
    Hughes, 505 F.3d at 587
    (6th Cir. 2007) (noting that
    to demonstrate a prejudicial variance, “[a] reviewing court looks to whether there is a danger that
    the appellant was convicted based on evidence of a conspiracy in which the appellant did not
    participate (guilt transference)”) (emphasis added); United States v. Blackwell, 
    459 F.3d 739
    ,
    762 (6th Cir. 2006) (same); see also United States v. Martin, 516 F. App’x 433, 443-44 (6th Cir.
    2013) cert. denied sub nom. Brooks v. United States, 
    134 S. Ct. 301
    (2013) (holding that no
    prejudicial variance occurred because even “assuming the existence of two separate conspiracies,
    the evidence overwhelmingly implicated [the defendant] in both”); Bakri, 505 F. App’x at 468-
    69 (“Nor was there any possibility of [d]efendant being convicted for the substantive acts of
    another. Regardless of how one describes the conspiracy or the conspiracies, [d]efendant was an
    active participant.”); United States v. Goff, 400 F. App’x 1, 13 (6th Cir. 2010) (holding that even
    though a variance occurred where evidence of two separate conspiracies was introduced, the
    variance did not warrant reversal because the defendant “was an integral participant in these
    other conspiracies”); United States v. Hettinger, 242 F. App’x 287, 294 (6th Cir. 2007) (holding
    that even assuming that multiple conspiracies existed, the defendant “was a member of each
    conspiracy and accordingly could not establish any ‘danger . . . that [he] was convicted based on
    evidence of a conspiracy in which [he] did not participate’”); United States v. Mitchum, 
    208 F.3d 216
    , *3 (6th Cir. 2000) (unpublished table decision) (holding that no fatal variance occurred
    because “no matter which conspiracy the jury believed existed, [the defendant] was involved in
    each”). Here, “[r]egardless of how one describes the conspiracy or the conspiracies, [Kelvin]
    was an active participant” in both of them. See Bakri, 505 F. App’x at 468-69. Therefore, guilt
    transference did not occur. See 
    id. Even though
    a fatal variance did not occur, surely the government cannot introduce
    mounds of “extraneous and highly prejudicial” evidence, a term used by the majority, without
    Nos. 13-6558/6559/6560                    United States v. Mize, et al.                    Page 16
    some recourse for the defendant. Intuitively, one would think that something is amiss with the
    presentation of the evidence at trial. There is. Where the evidence does not rise to the level of a
    fatal variance, the recourse is an objection pursuant to the Federal Rules of Evidence. These
    rules govern the admissibility of prejudicial evidence. Fed. R. Evid. 403 (noting that in order for
    evidence to be excluded under this rule, the probative value of the evidence must be
    “substantially” outweighed by the danger of “unfair prejudice”) (emphasis added). And the rules
    also govern the admission of evidence of other crimes or wrongs. Fed. R. Evid. 404(b). As an
    initial matter, it is not entirely clear what “highly” prejudicial means as the majority uses the
    term here. The majority does not define or quantify this term. If the majority is of the opinion
    that “highly” prejudicial actually means that the probative value of the evidence is substantially
    outweighed by the danger of unfair prejudice, then the majority’s analysis demonstrates that the
    majority is actually applying a Rule 403 analysis to a fatal variance case.
    The majority wrongly assumes that because “prejudice” to a defendant’s substantial
    rights is a component of the fatal variance analysis, see 
    Caver, 470 F.3d at 235-36
    , the
    introduction of “highly prejudicial” evidence must be sufficient for a fatal variance. But the
    majority attempts to fit a square peg into a round hole. In every case where there is a variance,
    by definition, there was evidence of a separate uncharged conspiracy, United States v. Warman,
    
    578 F.3d 320
    , 341 (6th Cir. 2009), which is undoubtedly prejudicial to some extent.
    In essence, the majority attempts to fit an argument that sounds plainly in the
    admissibility of evidence (which is subject to abuse of discretion review)3 into a fatal variance
    analysis (subject to de novo review).4 As the majority opinion’s loose language shows, the
    pieces do not fit. Cf. United States v. English, 
    785 F.3d 1052
    , 1059 (6th Cir. 2015) (Clay, J.,
    concurring) (concluding that the trial court’s allowance of evidence that the defendant had been
    involved in two prior Medicare fraud schemes during a trial for Medicare fraud was error under
    404(b), but nonetheless harmless error, even where the defendant raised the issue of a fatal
    variance).
    3
    Pedigo, M.D. v. UNUM Life Ins. Co. of Am., 
    145 F.3d 804
    , 807 (6th Cir. 1998).
    4
    United States v. Caver, 
    470 F.3d 220
    , 235 (6th Cir. 2006).
    Nos. 13-6558/6559/6560             United States v. Mize, et al.                        Page 17
    C. The Majority’s Impracticable Approach to the Volume of the Evidence Test
    The majority opinion suggests that the “volume” of the evidence of the Bussell
    conspiracy makes this case unique and that the case “comes down to . . . balance.” While
    balance is important, the majority again misses the mark in its analysis.
    In United States v. Blackwell, 
    459 F.3d 739
    , 762 (6th Cir. 2006), this court noted that
    where the sheer volume of evidence of a separate conspiracy is concerning, we can examine the
    following three factors to determine whether a variance was prejudicial: (1) the number of
    conspiracies the evidence establishes, (2) the number of non-conspiratorial co-defendants tried
    with defendant, and (3) the size of the conspiracy alleged in the indictment. 
    Id. at 762.
    Indeed,
    in United States v. Hughes, 
    505 F.3d 578
    , 590-91 (6th Cir. 2006), we held (after applying these
    factors) that a variance was not prejudicial where there were three separate conspiracies and six
    codefendants. In United States v. Osborne, 
    545 F.3d 440
    , 444 (6th Cir. 2008), we held that even
    assuming a variance occurred, it did not require reversal where there were two conspiracies and
    only three defendants.    In the present case, we similarly have two conspiracies and three
    defendants.
    The majority seems to suggest that we need to abandon the three-factor test articulated in
    Blackwell, and instead employ a “this-feels-like-too-much-evidence” approach. This approach is
    problematic for at least two reasons. First, it advances a test that is non-quantifiable; in other
    words, it will be impossible for trial judges to know whether 50% or 60% or 70% of the evidence
    admitted is too much evidence of the uncharged conspiracy. Second, it is impracticable in
    reality. Trial judges would presumably be forced to keep tally marks of every piece of evidence
    of the uncharged conspiracy during the trial, and then presumably declare a mistrial midway
    through when the evidence crosses this arbitrary threshold of “too much”—even without defense
    counsel having raised the issue.” I believe the problems associated with this approach are the
    very reasons this court usually employs a very quantifiable inquiry, such as the one articulated in
    Blackwell—the one the majority surreptitiously abandons here.
    Nos. 13-6558/6559/6560             United States v. Mize, et al.                         Page 18
    D. Juror Confusion
    The majority also asserts that reversal is warranted because the jury was “distracted” by
    the evidence of the Bussell conspiracy. Perhaps the majority meant to rely on juror “confusion,”
    which is applicable to the analysis for determining whether a variance was prejudicial. See
    United States v. Osborne, 
    545 F.3d 440
    , 444 (6th Cir. 2008) (holding that even assuming a
    variance occurred, the evidence related to a second conspiracy was “clearly demarcated and not
    likely to confuse the jury.”). At oral argument, Kelvin’s counsel conceded that distinctions were
    drawn between the Bussell conspiracy and the Mize conspiracy at trial. This made it even less
    likely that the jury was confused. See 
    id. Also, as
    we concluded in Caver, a trial of short
    duration also makes it less likely that the jury was confused. United States v. Caver, 
    470 F.3d 220
    , 237 (6th Cir. 2006) (concluding that even assuming that the evidence at trial demonstrated
    only multiple conspiracies, there was no prejudice requiring reversal because, inter alia, the trial
    only lasted a week). In the present case, the trial only lasted four days, further minimizing any
    juror confusion.
    E. Conclusion
    In sum, the majority commits many errors: it confuses the admission of prejudicial
    evidence with the occurrence of a fatal variance; it ignores the definition of guilt transference
    (tellingly, the majority quoted the definition but never applied it to either of the defendants); it
    proposes a “this-feels-like-too-much” evidence test that is flawed in theory and impracticable in
    reality; and it robs the government of any meaningful opportunity to respond to the issues with
    respect to Jackie and James.      In committing these errors, the majority reaches the wrong
    conclusion.
    At first blush, it may appear that the majority reaches a “noble” outcome because the
    convictions of three defendants are reversed. However, courts should be ever mindful that true
    justice requires consistent application of the law for everyone. Undoubtedly, the “this-feels-like-
    too-much” evidence approach espoused by the majority will not be applied consistently in trial
    courts or even on appeal. Creating these arbitrary tests both invites and justifies discrimination
    among defendants, because what “feels like too much evidence” for one person will not “feel
    Nos. 13-6558/6559/6560             United States v. Mize, et al.                        Page 19
    like too much evidence” for another. The majority opinion will perpetuate confusion and
    disorder in the courts, and thus undermine the public’s confidence in the judiciary. As a court of
    appellate review, we strive to provide guidance that the district courts can consistently follow in
    a fair and meaningful way.        But with today’s opinion, the majority has abdicated that
    responsibility altogether.
    

Document Info

Docket Number: 13-6558

Citation Numbers: 814 F.3d 401

Filed Date: 2/18/2016

Precedential Status: Precedential

Modified Date: 1/12/2023

Authorities (20)

United States v. Roger D. Blackwell , 459 F.3d 739 ( 2006 )

United States v. Osborne , 545 F.3d 440 ( 2008 )

United States v. Tommy Joe Barrow , 118 F.3d 482 ( 1997 )

United States v. Mychal Manning , 142 F.3d 336 ( 1998 )

Randall E. Pedigo, M.D. v. Unum Life Insurance Company of ... , 145 F.3d 804 ( 1998 )

United States v. Alice Mills , 366 F.2d 512 ( 1966 )

Citizens Coal Council and Kentucky Resources Council, Inc. ... , 447 F.3d 879 ( 2006 )

United States of America, Plaintiff-Appellee/cross-... , 280 F.3d 704 ( 2002 )

United States v. Calvin Caver (05-3295) Tamir Abdullah (05-... , 470 F.3d 220 ( 2006 )

united-states-v-anthony-battista-79-5165-t-anthony-arnone-79-5257 , 646 F.2d 237 ( 1981 )

United States v. John R. Prince (98-6361), Tony White (98-... , 214 F.3d 740 ( 2000 )

United States v. Kuehne , 547 F.3d 667 ( 2008 )

United States v. Swafford , 512 F.3d 833 ( 2008 )

United States v. Gilberto Martinez (03-3833), Jerel ... , 430 F.3d 317 ( 2005 )

Kotteakos v. United States , 66 S. Ct. 1239 ( 1946 )

United States v. Hughes , 505 F.3d 578 ( 2007 )

United States v. Thomas Richard Warner, Michael Charles Ward , 690 F.2d 545 ( 1982 )

United States v. Warman , 578 F.3d 320 ( 2009 )

aubrey-mayhew-dba-dream-city-music-v-tommy-allsup-dba-konawa-music , 166 F.3d 821 ( 1999 )

Johnson v. United States , 117 S. Ct. 1544 ( 1997 )

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