United States v. Sean Donovan , 539 F. App'x 648 ( 2013 )


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  •                         NOT RECOMMENDED FOR PUBLICATION
    File Name: 13a0818n.06
    Nos. 11-1843, 11-2163, 11-2450, 11-2055
    UNITED STATES COURT OF APPEALS
    FOR THE SIXTH CIRCUIT
    FILED
    UNITED STATES OF AMERICA,                               )                       Sep 09, 2013
    )                   DEBORAH S. HUNT, Clerk
    Plaintiff-Appellee,                              )
    )
    v.                                                      )    ON APPEAL FROM THE UNITED
    )    STATES DISTRICT COURT FOR
    )    THE EASTERN DISTRICT OF
    SEAN DONOVAN, ROBERT FLOWERS,                           )    MICHIGAN
    JOHNNY JARRELL, and LEONARD MOORE,                      )
    )
    Defendants-Appellants.                           )
    )
    )
    Before: SILER, GIBBONS, and GRIFFIN, Circuit Judges.
    SILER, Circuit Judge. Leonard “Bo” Moore, Sean Donovan, Robert Flowers, and Johnny
    Jarrell, members of the Highwaymen Motorcycle Club (“HMC”), were charged and convicted of
    numerous crimes including violations of the Racketeer Influenced and Corrupt Organizations Act
    (“RICO”), 18 U.S.C. § 1962(c); RICO conspiracy, 18 U.S.C. § 1962(d); violations of the Violent
    Crimes in Aid of Racketeering Act (“VICAR”), 18 U.S.C. § 1959(a)(3); drug conspiracy, 21 U.S.C.
    §§ 841 and 846; conspiracy to transport stolen motorcycles, 18 U.S.C. §§ 2313 and 371; and illegal
    use of firearms, 18 U.S.C. § 924(c). They appeal their convictions and resulting sentences, arguing
    numerous errors by the district court during the trial, pre-sentencing, and sentencing phases. For the
    following reasons, we AFFIRM IN PART, REVERSE IN PART, and REMAND for further
    proceedings.
    Nos. 11-1843, 11-2163, 11-2450, 11-2055
    United States v. Sean Donovan, et al.
    I.
    HMC is a multi-state organization with its national headquarters located in Detroit, Michigan.
    In its prime, HMC included approximately ten chapters, mostly in and around Detroit. The Detroit
    chapter served as national headquarters and its president served as HMC’s highest-ranking member.
    Each chapter, with its own officers and internal leadership structure, operated within the hierarchy
    of the organization as a whole.
    HMC members were required to pay weekly dues and many met their obligations by selling
    drugs. One of HMC’s drug dealers was Bobby Burton who both sold cocaine to and purchased it
    from other HMC members (the “Burton conspiracy”). Flowers and Donovan supplied Burton with
    cocaine and also sold cocaine directly to Burton’s distributors when his supply was low.
    Aref Nagi, another HMC drug dealer, who primarily sold marijuana and cocaine, relied on
    Jarrell and Moore to distribute his drugs within HMC generally (the “Nagi conspiracy”), and he also
    distributed drugs to Flowers, who then redistributed them to the HMC West Side chapter. On
    numerous occasions, the FBI recorded telephone conversations in which Nagi, Jarrell, and Moore
    discussed the sale and purchase of drugs. At trial, several HMC members testified generally
    regarding the Nagi conspiracy and specifically that Moore distributed drugs in connection with the
    conspiracy. One HMC member, Gerald Peters, specifically recalled seeing Moore share marijuana
    with other members in the HMC clubhouse. Recorded phone calls also revealed discussions of
    Moore’s small marijuana purchases from Jarrell and his delivery of small amounts of cocaine to
    Nagi.
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    Nos. 11-1843, 11-2163, 11-2450, 11-2055
    United States v. Sean Donovan, et al.
    In addition to trafficking drugs, some HMC members stole motorcycles while attending out-
    of-town events, transported them back to Detroit for reassembly, and sold them for income. Moore
    regularly participated in this scheme, including his assisting HMC in stealing motorcycles with a
    combined estimated value of $463,000 during a trip to Myrtle Beach, South Carolina. Jarrell and
    Moore regularly generated income this way and the FBI eventually recovered stolen motorcycles
    from both of their homes.
    When drug debts were left unpaid or when persons were suspected of exposing HMC’s
    involvement in theft, members became violent. On one such occasion, HMC members threatened
    to kill Alan Kirchoff for failing to pay for a purchase. Kirchoff contacted the police and provided
    a written statement detailing the events. Later, Moore warned Kirchoff that if he went to the police,
    Moore couldn’t promise that he wouldn’t “get hurt and hurt bad.” On another occasion, when
    Moore thought that someone had exposed him to the police for his involvement with stolen
    motorcycles, he confronted the man at a bar, attacked him with a chair, and beat him up. Perhaps one
    of HMC’s most notable violent performances resulted from an encounter with one of Moore’s
    childhood enemies. Moore and other HMC members confronted Charles Walker outside of a bar
    and beat him to the ground. As Walker was being beaten, he heard gunshots and quickly ran to his
    uncle’s house a few blocks away. Once inside, Walker received a phone call from Moore who
    threatened to “come shoot his house up.” That night, trucks approached the house and HMC
    members fired fifteen rounds into the residence. Following the shooting, Moore continued to
    threaten Walker and other HMC members grew nervous that Moore’s erratic behavior would attract
    the attention of law enforcement.
    -3-
    Nos. 11-1843, 11-2163, 11-2450, 11-2055
    United States v. Sean Donovan, et al.
    The FBI’s entire investigation of HMC included accounts of these incidents, over 60
    executed search warrants, and thousands of wiretaps. In 2009, the United States filed its Second
    Superseding Indictment against 43 individuals, including Defendants, alleging acts of racketeering,
    drug possession and trafficking, conspiracy, assault, firearm possession, and obstruction of justice.
    Defendants proceeded to a jury trial during which several HMC members, who had cooperated with
    the FBI, testified against them and provided detailed accounts of criminal activity within HMC. For
    example, Burton testified to purchasing cocaine “a couple ounces” at a time from Donovan on
    roughly 20 occasions. However, on cross-examination, he noted that his inclusion of Donovan had
    been an afterthought. HMC member Gerald Peters testified that he heard from another member that
    Donovan sold cocaine. He also testified that he had never witnessed any of these transactions
    firsthand. Another HMC member, William Bridges, testified that he and another HMC member
    traveled to Donovan’s home to purchase cocaine and, while he later saw the cocaine that had
    presumably been purchased, he did not witness the transaction firsthand. HMC member Louis
    Fitzner also testified regarding numerous acts of thievery and drug trafficking, including his purchase
    of marijuana from Flowers.
    Moore was convicted of violating RICO (Count 1), RICO conspiracy (Count 2), VICAR in
    relation to the Walker assault (Count 9), conspiracy to transport stolen property (Count 15),
    conspiracy to distribute controlled substances (Count 19), and use of a gun in relation to his VICAR
    violation (Count 33). Jarrell and Flowers were both convicted of conspiracy to violate RICO (Count
    2) and conspiracy to possess with intent to distribute controlled substances (Count 19). Donovan
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    Nos. 11-1843, 11-2163, 11-2450, 11-2055
    United States v. Sean Donovan, et al.
    was convicted of conspiracy to distribute controlled substances in violation of 21 U.S.C. §§ 841 and
    846 (Count 17).
    II.
    A. Leonard “Bo” Moore.
    Moore alleges the following errors on appeal: (1) the district court erred in denying his
    request for a jury instruction and special verdict form requiring the finding of a drug type and
    quantity for the conspiracy charge; (2) he was sentenced above the maximum punishment for
    conspiracy to distribute controlled substances because Viagra is not a controlled substance; (3)
    insufficiency of the evidence; (4) the district court gave an improper instruction on aiding and
    abetting; (5) inconsistent and prejudicial testimony was admitted and the district court denied
    Moore’s request for an instruction on the use of such evidence; and (6) the district court
    miscalculated the Sentencing Guidelines and sentenced Moore for a discharged firearm which was
    not charged in the indictment or decided by the jury. Moore requests that his convictions on all
    counts, except for Count 15, be vacated and dismissed or, in the alternative, that they be vacated and
    remanded for a new trial or resentencing. The United States concedes that this court should grant
    a limited remand to reduce Moore’s sentence on Count 19 to the generic statutory maximum for
    marijuana under 21 U.S.C. § 841(b)(1)(D). Otherwise, the United States insists that Moore’s
    arguments lack merit.
    1. Jury instructions.
    We must first determine whether the district court erroneously denied Moore’s request for
    an instruction and special verdict form requiring a finding on drug type and quantity for the charges
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    Nos. 11-1843, 11-2163, 11-2450, 11-2055
    United States v. Sean Donovan, et al.
    of drug conspiracy and racketeering. Because Moore did not object to the jury instruction that
    produced a general verdict at his trial, his claim is reviewed for plain error. See United States v.
    Olano, 
    507 U.S. 725
    , 731 (1993). Under plain error, reversal is proper only if the error “seriously
    affect[s] the fairness, integrity, or public reputation of judicial proceedings.” 
    Id. at 732.
    Citing Apprendi v. New Jersey, 
    530 U.S. 466
    (2000), Moore argues that because issues which
    increase the maximum penalty for a crime must be proven beyond a reasonable doubt, the district
    court should have granted his request for an instruction and special verdict form regarding drug type
    and quantity and its failure to do so is grounds for reversal of his convictions. Although Apprendi
    does prescribe that the failure to instruct a jury to determine both the type of drug and the drug
    quantity involved amounts to plain error, we must still find that the error seriously affected the
    fairness, integrity, or public reputation of judicial proceedings before reversal is proper. United
    States v. Cleaves, 
    299 F.3d 564
    , 568-69 (6th Cir. 2002).
    At trial, the evidence presented regarding the type and quantity of drugs involved was
    overwhelming. First, although it erroneously listed Viagra as a controlled substance, Count 19 of
    the indictment clearly indicates which drugs were involved in the conspiracy. Second, the district
    court determined the specific quantities of drugs involved during the separate, yet related, trial of
    other HMC members. Evidence of these substances was plentiful and showed that Moore was a
    high-ranking member of the Nagi conspiracy in which he sold large amounts of marijuana and was
    also involved in cocaine sales. Third, the evidence presented against Moore focused primarily on
    marijuana and, to a lesser degree, cocaine. In fact, Moore cites no specific instance during trial when
    he was linked to trafficking Viagra. It is nearly impossible to accept that a rational factfinder would
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    Nos. 11-1843, 11-2163, 11-2450, 11-2055
    United States v. Sean Donovan, et al.
    have convicted Moore for his involvement in a conspiracy involving Viagra. For these reasons,
    Moore cannot establish that the instructional error warrants reversal of his conviction.
    Moore also argues that the singular reference to “the controlled substance” in the jury
    instructions suggested that the jury only needed to find a conspiracy to distribute one of the
    controlled substances in the district court’s listed substances which included cocaine, marijuana,
    steroids, Vicodin, Ecstacy, and Viagra. Again, as the evidence presented against him at trial focused
    overwhelmingly on his involvement with marijuana and, to some extent, cocaine, the instructions
    did not seriously affect the fairness, integrity, or public reputation of judicial proceedings, and they
    do not warrant reversal of Moore’s conviction.
    2. Viagra as a controlled substance.
    Because Viagra is not a controlled substance, it may not be the object of a drug conspiracy
    under 21 U.S.C. §§ 841 and 846. To the extent that the jury instructions stated otherwise, they were
    incorrect. Moore did not object to the instructions in this regard, so we also review them for plain
    error. United States v. Castano, 
    543 F.3d 826
    , 833 (6th Cir. 2008).
    In Hedgpeth v. Pulido, the Supreme Court rejected a rule requiring reversal in cases like the
    instant one, where the jury was “instructed on multiple theories of guilt, one of which was
    improper.” 
    555 U.S. 57
    , 61 (2008). Instead, the Court held that such errors are subject to the same
    type of harmless error analysis as other instructional errors. 
    Id. (citing Neder
    v. United States, 
    527 U.S. 1
    , 11(1999)). We must therefore determine whether the erroneous instruction amounts to
    harmless error.
    -7-
    Nos. 11-1843, 11-2163, 11-2450, 11-2055
    United States v. Sean Donovan, et al.
    Although the jury instructions incorrectly stated that Viagra is a controlled substance, they
    also correctly stated that marijuana, cocaine, ecstacy, and Vicodin are controlled substances. Thus,
    if the jury convicted Moore of conspiring to distribute any of these, his conviction should stand.
    Under this analysis, Moore’s argument fails because, as explained above, he was not implicated by
    the evidence presented at trial regarding Viagra. He does not identify one instance at trial where
    evidence connected him to the trafficking of Viagra. Rather, evidence concerning Moore’s
    participation in the Nagi conspiracy focused only on marijuana and cocaine. For these reasons, the
    instruction, while erroneous, does not warrant reversal of his convictions.
    Nevertheless, Moore should be resentenced on Count 19 employing a five-year statutory
    maximum sentence. The evidence presented against Moore focused overwhelmingly on marijuana
    and, to a lesser degree, cocaine. A defendant may not be sentenced under the statutory penalties for
    a cocaine conspiracy following a general jury verdict on a conspiracy to distribute both cocaine and
    marijuana as the jury may have found only a marijuana conspiracy. United States v. Dale, 
    178 F.3d 429
    (6th Cir. 1999). This is because the maximum statutory sentence for conspiring to distribute a
    controlled substance depends on the substance being distributed. 21 U.S.C. § 846. In the case of
    a general verdict, this information is lacking, and the district court may not impose a sentence
    exceeding the shortest maximum sentence for any one of the pertinent violations. 
    Dale, 178 F.3d at 432
    . Therefore, Moore should be resentenced applying a statutory maximum of five years
    pursuant to 21 U.S.C. § 841(b)(1)(D). The United States agrees that resentencing in this narrow
    regard is proper.
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    Nos. 11-1843, 11-2163, 11-2450, 11-2055
    United States v. Sean Donovan, et al.
    3. Moore’s motions for re-trial or judgment of acquittal.
    Moore next argues that the district court erroneously denied his motions for a new trial or
    judgment of acquittal on all counts of his convictions, except for Count 15. A denial of a motion for
    a judgment of acquittal based upon the insufficiency of evidence presented is reviewed de novo.
    United States v. Morales, 
    687 F.3d 697
    , 700 (6th Cir. 2012). Thus, we must determine 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 Moore’s crimes beyond a reasonable doubt. United States
    v. Hughes, 
    505 F.3d 578
    , 592 (6th Cir. 2007).
    a. Conspiracy conviction.
    Moore first challenges the weight and sufficiency of evidence supporting his conviction for
    a conspiracy to distribute controlled substances in violation of 21 U.S.C. § 846. Evidence was
    presented that Moore was part of a “tight crew” in the Nagi conspiracy which involved mostly
    marijuana trafficking. Although his involvement in the “crew” could have indicated a mere
    superficial relationship with Nagi without involvement in the drug business, a rational factfinder
    could have concluded otherwise because of the evidence presented of his particular involvement in
    these activities. Moore threatened Kirchoff and pressured him to pay his “dope bill.” He also
    intimidated him into keeping quiet about their dealings and interactions. His conviction should
    therefore stand.
    b. RICO and RICO conspiracy convictions.
    Moore next challenges the weight and sufficiency of evidence supporting his RICO
    conviction in violation of 18 U.S.C. §§ 1962(c) and 1963(a). To establish a RICO violation, the
    -9-
    Nos. 11-1843, 11-2163, 11-2450, 11-2055
    United States v. Sean Donovan, et al.
    government must prove (1) the existence of an enterprise affecting interstate commerce; (2) the
    defendant’s association with the enterprise; (3) the defendant’s participation in the conduct of the
    enterprise’s affairs; and (4) a connection between the participation and a pattern of racketeering
    activity. United States v. Fowler, 
    535 F.3d 408
    , 418 (6th Cir. 2008). Moore argues that the third
    and fourth elements were not satisfied. In order to meet these elements, the United States must have
    proven that Moore participated in the operation or management of the enterprise either by making
    decisions on behalf of the enterprise or knowingly carrying them out, and that he completed a
    minimum of two predicate acts within a ten-year period in furtherance of the enterprise. 
    Id. at 419;
    18 U.S.C. § 1961(5).
    Ample evidence of Moore’s participation and pattern thereof was presented at trial. He led
    other HMC members in stealing motorcycles on a visit to Myrtle Beach, which benefitted several
    HMC leaders. In addition, his role in the Nagi conspiracy demonstrated sufficient involvement in
    HMC’s organized drug-trafficking affairs, as he carefully planned and implemented theft and drug
    schemes. These facts support Moore’s substantive RICO convictions.
    Moore’s RICO conspiracy conviction is also supported by the evidence presented at trial.
    To sustain a conviction for conspiracy to violate RICO, the United States must prove that a
    defendant entered into an agreement to violate RICO. 18 U.S.C. § 1961. This showing requires
    proof that the defendant intended to further the endeavor which, if successfully completed, would
    satisfy all the elements of an underlying RICO violation. 
    Fowler, 535 F.3d at 421
    . Particular to this
    appeal, the United States must prove that Moore agreed that he or someone else would commit two
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    Nos. 11-1843, 11-2163, 11-2450, 11-2055
    United States v. Sean Donovan, et al.
    predicate acts in furtherance of the criminal endeavor. United States v. Driver, 
    535 F.3d 424
    , 432
    (6th Cir. 2008).
    Moore’s RICO conspiracy conviction is premised upon two predicate acts, Racketeering Acts
    8 and 11. He challenges the latter of these two, which alleges that he knowingly and intentionally
    agreed to “distribute more than five kilograms of cocaine, as well as marijuana, Vicoden, Viagra,
    Ecstacy, and other controlled substances.” Evidence at trial discussed above sufficiently established
    that Moore distributed drugs for Nagi and assisted him in collecting outstanding drug debts from
    purchasers. Recorded telephone conversations captured Moore’s discussing sales of marijuana and
    deliveries of cocaine. These facts support his conviction for RICO conspiracy.
    c. Assault with a dangerous weapon in aid of racketeering and aiding and
    abetting of the same (Count 9).
    For his connection to the Walker incident, Moore was convicted of assault with a dangerous
    weapon in aid of racketeering and aiding and abetting assault with a dangerous weapon in aid of
    racketeering pursuant to 18 U.S.C. §§ 1959(a)(3) and (2), and Mich. Comp. Laws §§ 750.82 and
    767.39. He challenges his participation in the underlying assault, as well as the finding that he knew
    his accomplices were armed with a dangerous weapon. The lynchpin of his argument is that no
    witness testified to seeing him with a weapon during the incident. However, and as he concedes,
    actual possession of a firearm is not required for accomplice liability. See Rattigan v. United States,
    
    151 F.3d 551
    , 557 (6th Cir. 1998). As long as he was a willing participant, and he knew that others
    were armed, his conviction should stand. The evidence speaks clearly on this point. Walker testified
    that Moore participated in the assault and his uncle similarly recalled seeing Moore at the bar where
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    Nos. 11-1843, 11-2163, 11-2450, 11-2055
    United States v. Sean Donovan, et al.
    the shooting had occurred, as he identified Moore to police as one of the perpetrators. On that same
    day, a recorded telephone conversation revealed Moore’s willingness to assist with the assault and
    suggested he had weapons readily available for use. These facts are sufficient to support the
    conviction on Count 9.
    d. Use of a firearm during and in relation to a crime of violence, and aiding and
    abetting of the same, in violation of 18 U.S.C. §§ 924 (c) and 2 (Count 33).
    For his involvement in the Walker shooting, Moore was convicted of using a firearm during
    and in relation to a crime of violence. The district court omitted the term “carry” from its instruction
    to the jury and instead instructed the jury solely regarding “use.” Moore argues that this omission
    renders the instructions “as a whole so clearly erroneous as to likely produce a grave miscarriage of
    justice.”
    Section 924(c) establishes penalties for the use or carrying of a firearm in furtherance of a
    violent crime. Thus, § 924(c) may apply in cases where either use or carrying is present. Here, the
    indictment correctly mentioned both options, yet the jury instructions defined only “use,” and not
    “carrying.” However, the instructions limited the charge against Moore to “using a firearm” in
    connection with the Walker shooting. The narrowing of the jury instruction in this regard is
    permissible, despite that the word “carry” was not stricken from the indictment. See United States
    v. Miller, 
    471 U.S. 130
    , 136-37 (1985).
    The five-year mandatory minimum sentence for using a firearm in relation to a violent crime
    increases to ten years if a firearm is discharged. 18 U.S.C. § 924(c)(1)(A)(iii). At sentencing, the
    district court exercised its discretion under Harris v. United States, 
    536 U.S. 545
    (2002), to find that
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    Nos. 11-1843, 11-2163, 11-2450, 11-2055
    United States v. Sean Donovan, et al.
    Moore had in fact discharged a firearm and therefore applied a ten-year mandatory minimum
    sentence. Moore argues that because the element of discharging affects the statutorily prescribed
    range of permissible sentences, it must be decided by a jury. At the time of this appeal, Moore’s
    argument plainly contradicted the Supreme Court’s holding on this issue in 
    Harris, 536 U.S. at 557
    ,
    which allowed judicial factfinding which would increase a mandatory minimum sentence. Since the
    parties submitted their briefs, however, the Supreme Court has expressly overruled Harris and held
    that “any fact that increases the mandatory minimum is an ‘element’ that must be submitted to the
    jury.” Alleyne v. United States, 
    133 S. Ct. 2151
    , 2155 (2013). Here, because the district court, rather
    than a jury, found discharging of the firearm, Moore’s sentence for violation of § 924(c)(1)(A) must
    be vacated and remanded for resentencing consistent with the jury’s verdict.
    4. Whether criminal intent is an essential element of aiding and abetting.
    Moore challenges the district court’s instruction to the jury regarding the element of intent
    necessary to impose aiding and abetting liability. Moore did not object to this error, so we review
    it for plain error. United States v. Katuramu, 174 F. App’x 272, 278 (6th Cir. 2006). Jury
    instructions are viewed “in the context of the instructions as a whole and the trial record.” United
    States v. Collins, 
    78 F.3d 1021
    , 1035 (6th Cir. 1996) (citation omitted).
    The district court instructed the jury as follows regarding aiding and abetting:
    Anyone who intentionally assists someone else in committing a crime
    is as guilty as the person who directly commits it and can be
    convicted of that crime as an aider and abettor.
    To prove that a defendant acted as an aider and abettor, the following
    elements must be proved beyond a reasonable doubt.
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    One, that the alleged crime was actually committed.
    Two, that before or during the crime, the defendant did something to
    assist in the commission of the crime.
    Three, that the defendant must have intended the commission of the
    crime or must have known that the other person intended its
    commission at the time of giving the assistance.
    (R. 2067 at PAGE ID #14523) (emphasis added). The instructions mirror those for aiding and
    abetting under Michigan state law. Cf. People v. Moore, 
    679 N.W.2d 41
    , 49 (Mich. 2004). Moore
    argues that this definition produced a miscarriage of justice because it omits the element of intent
    and because it fails to distinguish between the role of a spectator, which does not amount to aiding
    and abetting, and that of a participant, which does. However, he does not elaborate on this argument
    or provide any support thereof. He also fails to acknowledge that the jury instructions included the
    following: “Anyone who intentionally assists someone else in committing a crime is as guilty as the
    person who directly commits it and can be convicted of that crime as an aider and abetter.” Although
    the jury instructions were short of perfect,1 they did not rise to the level of reversible error because
    they indeed instructed the jury twice that Moore must have acted intentionally in order to be
    convicted. Therefore, the instructions are not plainly erroneous.
    5. Evidence of other acts.
    Officer Brooks testified that Donald Megdanoff, Walker’s uncle, identified Moore to police
    as the perpetrator. Moore objected to this testimony because Megdanoff had testified himself at trial
    1
    It is puzzling that the district court modeled its aiding and abetting instruction on state law. Federal aiding
    and abetting instructions are readily available and routinely given. See Sixth Circuit Pattern Jury
    Instructions, § 4.01 Aiding and Abetting.
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    to being unable to identify any shooters. However, Megdanoff had also specifically testified that
    Moore “took a couple of steps toward [him] and he said, ‘You f**** want some of this too?’” Based
    on this testimony, the district court permitted Brooks’s testimony pursuant to Federal Rule of
    Evidence 801(d)(1)(C), which allows admission of an out-of-court statement identifying a person
    as someone the declarant perceived earlier as long as “the declarant testifies and is subject to cross-
    examination.”
    We review evidentiary rulings for abuse of discretion. United States v. Bonds, 
    12 F.3d 540
    ,
    554 (6th Cir. 1993). Because admissibility pursuant to Federal Rule of Evidence 801(d)(1)(C) does
    not turn on whether the declarant’s trial testimony is consistent with his prior statement, the district
    court did not abuse its discretion in allowing Brooks’s testimony. Furthermore, and despite Moore’s
    argument to the contrary, the district court properly ruled that a limiting instruction on its use solely
    for impeachment was unnecessary as statements of prior identifications are admissible as substantive
    evidence. United States v. Lopez, 
    271 F.3d 472
    , 485 (3d Cir. 2001) (quoting Fed. R. Evid. 801
    advisory committee’s note). Therefore, Moore’s argument on this point fails.
    Moore also challenges the district court’s admission of a recorded phone call between Moore
    and Nagi. During the recording, Moore described beating an unidentified person in a bar fight.
    Moore argues that the assault was irrelevant to any of the offenses of which he was convicted and
    served no purpose other than to establish his propensity for violence. This argument fails because
    the recording, while prejudicial, was probative evidence of Moore’s involvement in the RICO and
    VICAR enterprises as it demonstrated that he employed violent tactics to further the objectives of
    the enterprise. See United States v. Garland, 320 F. App’x 295, 305 (6th Cir. 2008). For this reason,
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    the district court did not abuse its discretion in admitting this evidence. Moore asserts similar
    arguments regarding the district court’s admission of 27 firearms seized from Nagi’s residence and
    graphic photos of facial injuries to Gerald Deese, who was assaulted by another HMC member. Like
    the recorded phone conversation between Moore and Nagi, these items were probative evidence of
    an enterprise that used violence to further its objectives. The district court did not abuse its
    discretion in admitting them at trial.
    Finally, Moore challenges the admission of Burnett’s testimony concerning selling cocaine
    for Burton and having seen Nagi, Moore, and Jarrell go out together on one occasion to collect a
    drug debt from someone. Moore argues that a proper foundation for this testimony was lacking
    because Burnett did not participate in the Nagi conspiracy and admitted that he did not know who
    precisely in HMC was dealing drugs with whom. However, Moore fails to mention that Burnett
    continued on in his testimony to state that he had discussions with Nagi about his drug activity and
    had witnessed Nagi’s conversations with other HMC members about their organized drug activities.
    Therefore, while Moore presents factually valid points, the district court did not abuse its discretion
    in permitting Burnett’s testimony because it was soundly supported by his own knowledge of events.
    6. Guidelines calculation.
    Moore argues that the district court erroneously calculated his Guidelines sentence by
    applying certain enhancements and by rejecting an offense-level reduction. Challenges to the
    procedural or substantive reasonableness of a sentence are reviewed for abuse of discretion. United
    States v. Bolds, 
    511 F.3d 568
    , 578-81 (6th Cir. 2007). To the extent that sentencing challenges
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    concern factual determinations, we review them for clear error. 
    Id. at 579.
    Legal conclusions are
    reviewed de novo. 
    Id. Moore first
    challenges the district court’s 12-level enhancement and 2-level enhancement
    pursuant to USSG §§ 2B1.1(b)(1) and (2) for the amount of loss resulting from HMC’s motorcycle-
    theft activities.   To successfully challenge the district court’s loss-calculation, Moore must
    demonstrate “that the court’s evaluation of the loss was not only inexact but outside the universe of
    acceptable computations.” United States v. Martinez, 
    588 F.3d 301
    , 326 (6th Cir. 2009) (internal
    quotation marks and citations omitted). Moore cannot meet this requirement because the district
    court estimated the total loss as between $200,000 and $400,000, which is conservative based upon
    the testimony of Neil Wisner, an investigator for the National Insurance Crime Bureau, who
    estimated that the total value of the motorcycles stolen in South Carolina was $463,000. Therefore,
    the district court’s estimate of total loss falls well within the universe of acceptable computations.
    Moore also challenges the district court’s application of a 2-level enhancement pursuant to
    USSG § 2B1.1(b)(4) for being in the business of receiving and selling stolen property. We have
    affirmed the application of this enhancement where evidence establishes that a defendant deals in
    stolen merchandise by assisting in the process of obtaining and sorting items and then preparing
    them for resale. See United States v. Abdelsalam, 311 F. App’x 832, 843 (6th Cir. 2009). Because
    evidence was presented that Moore coordinated efforts to steal numerous motorcycles, store them,
    and ultimately resell them, the enhancement was correctly applied.
    Finally, Moore challenges the district court’s decision not to apply an offense-level reduction
    pursuant to USSG § 3B1.2 for his mitigating role in the charged offenses. However, at sentencing,
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    Nos. 11-1843, 11-2163, 11-2450, 11-2055
    United States v. Sean Donovan, et al.
    Moore agreed that a sentencing reduction pursuant to § 3B1.2 was inappropriate. His argument was
    therefore waived and should not be considered on appeal. See United States v. Ward, 
    506 F.3d 468
    ,
    477 (6th Cir. 2007).
    B. Johnny Jarrell.
    1. Inclusion of Viagra as a “controlled substance.”
    Jarrell correctly asserts that, for the same reasons articulated by Moore and discussed above
    in Part II.A.2., the district court improperly sentenced him above the maximum sentence for his
    offense. As with Moore’s charges, the jury was erroneously instructed on Jarrell’s drug conspiracy
    charge that Viagra is a controlled substance. As Jarrell’s sentencing calculation depended upon the
    types and quantities of drugs supporting his conviction, the jury should have been instructed to return
    a special verdict to this effect. Because it was not, the district court erred in imposing a sentence
    which exceeded the shortest maximum sentence for any one of the pertinent violations. 
    Dale, 178 F.3d at 432
    . Jarrell should therefore be resentenced applying a statutory maximum of five years
    pursuant to 21 U.S.C. § 841(b)(1)(D). The United States agrees that resentencing in this regard is
    proper.
    2. Points for leadership role in conspiracy.
    Jarrell also appeals the district court’s application of a four-point enhancement for his
    leadership position in the drug-distribution conspiracy. See USSG § 3B1.1. “[R]eview of the legal
    conclusion that a person is an organizer or leader under Section 3B1.1 . . . is deferential.” United
    States v. Washington, 
    715 F.3d 975
    , 983 (6th Cir. 2013). To qualify for a leadership-role sentencing
    enhancement, a “defendant need only organize, supervise, or lead one other participant.” United
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    Nos. 11-1843, 11-2163, 11-2450, 11-2055
    United States v. Sean Donovan, et al.
    States v. Currier, 473 F. App’x 469, 474 (6th Cir. 2012). Factors to consider in this analysis include:
    the exercise of decision making authority, the nature of participation
    in the commission of the offense, the recruitment of accomplices, the
    claimed right to a larger share of the fruit of the crime, the degree of
    participation in planning or organizing the offense, the nature and
    scope of the illegal activity, and the degree of control and authority
    exercised over others.
    
    Id. at 474
    (quoting USSG § 3B1.1).
    At trial, evidence was presented that Jarrell served as president of HMC’s Detroit
    chapter one of the organization’s highest-ranking positions and that he sat on HMC’s national
    committee. He also operated as a distributor of Nagi’s marijuana within HMC and led efforts to
    pilfer unlocked motorcycles around Detroit. Considered in their entirety, these facts provide ample
    support for the district court’s application of a sentencing enhancement for Jarrell’s leadership role
    within HMC.
    3. Quantity of marijuana relied upon at sentencing.
    Jarrell argues that the district court erred when it determined that he was accountable for
    92.89 kilograms of marijuana because the evidence presented at trial only connected him with 20
    pounds of marijuana. In the earlier trial of Nagi, Jarrell’s marijuana supplier, the court established
    that the Nagi conspiracy had distributed 92.89 kilograms of marijuana. As we have recognized, “a
    district court is indeed permitted to rely on testimony presented in a related proceeding, so long as
    there are sufficient indicia of reliability.” Logan v. United States, 
    208 F.3d 541
    , 544 (6th Cir. 2000).
    Jarrell does not challenge the district court’s determination during Nagi’s trial of the quantity of
    marijuana involved or point to any specific testimony which may have contaminated this finding.
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    Nos. 11-1843, 11-2163, 11-2450, 11-2055
    United States v. Sean Donovan, et al.
    For this reason, we affirm the district court’s determination that Jarrell is responsible for the entire
    amount of marijuana attributable to the Nagi conspiracy as determined in an earlier trial.
    4. Whether sufficient evidence was presented to support Jarrell’s conviction for
    conspiracy to possess with intent to distribute controlled substances.
    To prove possession of a controlled substance with intent to distribute, the United States must
    show that a defendant knowingly possessed a controlled substance with intent to distribute it. United
    States v. Bennett, 
    291 F.3d 888
    , 895 (6th Cir. 2002). To establish a drug conspiracy, the United
    States must prove that a defendant entered into an agreement to engage in unlawful behavior, had
    knowledge and intent to join the conspiracy, and participated in the conspiracy. United States v.
    Morrison, 220 F. App’x 389, 392 (6th Cir. 2007).
    Jarrell contends that his conviction must be set aside because the evidence was insufficient
    to establish that he “entered into an agreement to violate drug laws or that he had the knowledge and
    intent to join a drug conspiracy.” He contends that the only evidence regarding his involvement was
    Fitzner’s testimony that 20 kilograms of marijuana were retrieved from Jarrell’s home. Other HMC
    members testified that Jarrell held a full-time job and was not dependent upon income from drug
    sales or that they had no actual knowledge of Jarrell’s specific role in HMC’s drug-distribution
    scheme. Despite these statements, however, sufficient evidence was presented in support of finding
    that Jarrell indeed voluntarily and knowingly entered into the conspiracy. For example, his role as
    a chapter president speaks volumes to his engagement in these activities. Fitzner’s testimony about
    being ordered to pick up marijuana from Jarrell establishes his knowledge and intent to be a
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    Nos. 11-1843, 11-2163, 11-2450, 11-2055
    United States v. Sean Donovan, et al.
    participant. This is consistent with other testimony that Jarrell purchased steroids from other
    members and that members owed him money for various drug purchases.
    5. Whether sufficient evidence was presented to support Jarrell’s conviction for
    conspiracy to violate RICO.
    To sustain Jarrell’s conviction for his conspiracy to violate RICO, the United States must
    show that he entered into an agreement to violate RICO. 18 U.S.C. § 1961. This showing requires
    proof that Jarrell intended to further the endeavor which, if successfully completed, would satisfy
    all the elements of an underlying RICO violation. 
    Fowler, 535 F.3d at 421
    . To prove a RICO
    violation, the United States must show (1) the existence of an enterprise which affects interstate
    commerce; (2) the defendant associated with that enterprise; (3) the defendant participated in the
    conduct of the enterprise’s affairs; and (4) the defendant’s participation was connected to a pattern
    of racketeering activity. 
    Id. at 418;
    18 U.S.C. § 1961; United States v. Sinto, 
    723 F.2d 1250
    , 1260
    (6th Cir. 1983). Jarrell disputes the first and third of these factors, both of which were sufficiently
    supported by the evidence. First, HMC was clearly an enterprise as evidenced by its ongoing formal
    and informal organization and by the various criminal activities which were interrelated and planned
    among its members. See United States v. Turkette, 
    452 U.S. 576
    , 582-83 (1981). HMC’s organized,
    hierarchical structure provided it with an effective mechanism for directing its affairs, supporting
    its classification as an enterprise. Second, ample evidence supports the finding that Jarrell agreed
    to participate in the enterprise’s conduct with knowledge and intent that other HMC members would
    commit at least two predicate acts in furtherance of the enterprise, as required for his conviction.
    See United States v. Nguyen, 
    255 F.3d 1335
    , 1341 (11th Cir. 2001). Jarrell served as the Detroit
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    Nos. 11-1843, 11-2163, 11-2450, 11-2055
    United States v. Sean Donovan, et al.
    chapter president, one of HMC’s highest-ranking members in the country, and he sat on the
    organization’s national committee. Evidence was presented that he conspired to distribute controlled
    substances with Moore and others as part of the Nagi conspiracy. Additional evidence indicated that
    he had knowledge of HMC’s motorcycle thefts, as he allowed Moore to store at least one stolen
    motorcycle in their shared condo.
    C. Robert Flowers.
    Flowers was convicted of conspiracy to violate RICO and conspiracy to distribute controlled
    substances. He challenges these convictions and argues specifically that (1) his RICO conspiracy
    conviction, for violation of 18 U.S.C. § 1962(c) should be vacated because the evidence could not
    establish his agreement that someone would commit two predicate acts; and (2) the evidence did not
    establish his agreement to distribute controlled substances in violation of 21 U.S.C. § 846.
    These arguments fail because the evidence showed that, as a leader within HMC, Flowers
    participated in the Burton conspiracy. He picked up a shipment of cocaine and delivered it to
    Burton’s house. Fitzner testified that Flowers dealt drugs from the HMC West Side chapter
    clubhouse. These facts establish that he committed acts in furtherance of HMC’s RICO violations
    (he transported drug orders and sold them himself) and that he agreed to others’ participation in
    furthering these activities (he served as a chapter officer and trafficked drugs with other members
    from the HMC clubhouse). For these reasons, this convictions are sufficiently supported by the
    evidence.
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    Nos. 11-1843, 11-2163, 11-2450, 11-2055
    United States v. Sean Donovan, et al.
    D. Sean Donovan.
    Donovan was convicted of conspiring to distribute over five kilograms of cocaine in violation
    of 21 U.S.C. § 846. He challenges the district court’s admission of evidence of his selling cocaine
    to two HMC members, William Bridges and John McGinn. The United States argues that Donovan
    failed to preserve this issue for appeal because it was not raised before the district court. Whether
    Donovan’s objection properly preserved his precise grounds for appeal need not be decided,
    however, since his arguments fail under review for either abuse of discretion or plain error.
    Peters testified over Donovan’s objection that another HMC member, McGinn, told Peter
    that Donovan was selling cocaine. On cross-examination, Peters acknowledged that he never
    firsthand saw Donovan sell cocaine to anyone. Peters’s testimony was relevant and did not violate
    the Confrontation Clause. U.S. Const. amend. VI. Evidence of his repeated cocaine sales to Burton
    and others was probative of his involvement in the conspiracy. Moreover, Donovan’s Sixth
    Amendment right was not violated because the Confrontation Clause protects defendants against out-
    of-court testimonial statements which the declarant would reasonably anticipate being used against
    him. United States v. Johnson, 
    581 F.3d 320
    , 325 (6th Cir. 2009). The statement in question was
    not testimonial and therefore does not implicate Donovan’s Confrontation Clause rights.
    Bridges’s testimony was also properly permitted because it was relevant to Donovan’s
    supplying cocaine to members of the Burton conspiracy. Donovan and Bridges were both part of
    the Burton conspiracy, and Bridges’s testimony on this topic was directly probative of Donovan’s
    participation. For these reasons, Donovan’s arguments lack merit and should be rejected.
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    Nos. 11-1843, 11-2163, 11-2450, 11-2055
    United States v. Sean Donovan, et al.
    V. CONCLUSION
    Defendants’ convictions are AFFIRMED. However, because the sentences for both Moore
    and Jarrell were tainted by the incorrect categorization of Viagra as a controlled substance, and
    because the district court improperly applied a ten-year mandatory minimum sentence on Moore’s
    conviction for violating 18 U.S.C. § 924(c)(1)(A), their sentences are REVERSED and
    REMANDED to the district court for re-sentencing consistent with this opinion.
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