United States v. Sunnah Maddox , 562 F. App'x 272 ( 2014 )


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  •                  NOT RECOMMENDED FOR FULL-TEXT PUBLICATION
    File Name: 14a0248n.06
    Case Nos. 11-5829; 11-5837; 11-5860; 11-6191; 11-6192; 11-6196; 11-6198
    UNITED STATES COURT OF APPEALS
    FOR THE SIXTH CIRCUIT
    FILED
    Apr 01, 2014
    DEBORAH S. HUNT, Clerk
    UNITED STATES OF AMERICA,                         )
    )
    Plaintiff-Appellee,                        )
    )      ON APPEAL FROM THE UNITED
    v.                                                )      STATES DISTRICT COURT FOR
    )      THE EASTERN DISTRICT OF
    KELLY MILLER, ADRIAN DORSEY, LEE                  )      TENNESSEE
    CARR, SUNNAH MADDOX, RONNIE                       )
    COOPER, KEITH PARIS RUFFIN, and                   )
    JASON PETER DEJESUS,                              )
    )
    Defendants-Appellants.
    ____________________________________/
    BEFORE: MERRITT, SUTTON, and STRANCH, Circuit Judges.
    MERRITT, Circuit Judge. After a ten-day trial, a jury convicted Defendant-Appellants
    Kelly Miller, Adrian Dorsey, Lee Carr, Sunnah Maddox, Ronnie Cooper, Keith Ruffin, and
    Jason DeJesus of various drug-trafficking, money-laundering, witness-intimidation, and
    ammunition offenses. Except for Miller, all the defendants challenge their convictions; because
    we find their arguments unconvincing, we AFFIRM these convictions. The defendants, all
    except for Dorsey, also challenge their sentences. Because DeJesus and Ruffin are eligible for
    resentencing under Dorsey v. United States, 
    132 S. Ct. 2321
    (2012), we REMAND their cases
    for resentencing; however, the remainder of the defendants’ sentences are AFFIRMED.
    Case Nos. 11-5829/5837/5860/6191/6192/6196/6198,
    United States v. Miller, et al.
    I.   BACKGROUND
    This case focuses on a drug-trafficking scheme operated by Maddox from 2003 to 2009.
    The primary thrust of the drug-trafficking operation was to purchase kilogram quantities of
    cocaine, cook it into crack cocaine, and resell the drugs in smaller quantities. The operation was
    based in Johnson City, Tennessee—where Maddox lived with co-defendant Jamie Rush—but
    reached to suppliers and activities in Georgia, Florida, and New York. In order to reach these
    out-of-state suppliers, Maddox and Rush would hire women as couriers to transport money and
    drugs; in addition, various members of the operation would send wire transfers through Western
    Union to these different locations.
    The operation came to the attention of local DEA agents in February 2008 when they
    arrested Shawn McGirt, a drug dealer, who told the agents that Maddox was his supplier. The
    agents set up a transaction between McGirt and Maddox, and obtained a Title III wiretap on
    Maddox’s phone that ultimately generated 25,000 intercepted communications.
    Based on their investigation, law enforcement officers arranged two sets of actions. In
    January 2009, they orchestrated a traffic stop to catch Maddox, Rush, and a female courier en
    route to Atlanta to purchase a kilogram of cocaine. The officers found $31,500.00 in cash in the
    courier’s car. Then, on May 7, 2009, officers coordinated a search of Maddox and Rush’s
    residence with a traffic stop of their vehicle as they returned from another drug purchase in
    Atlanta. At the residence, officers arrested Miller and Dorsey, and courier Taneka Ebberts, who
    had returned from Atlanta ahead of Maddox and Rush. A search of the rental car Ebberts had
    driven to Atlanta uncovered about one and a half kilograms of cocaine and 67 grams of
    marijuana in the trunk. Maddox and Rush were also arrested.
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    On July 13, 2010, a grand jury in the Eastern District of Tennessee returned    a    Third
    Superseding Indictment against Maddox, Rush, Carr, Miller, Dorsey, Cooper, DeJesus, Ruffin,
    and others on twenty counts of: conspiracy to distribute and possess with the intent to distribute
    5 kilograms or more of cocaine, in violation of 21 U.S.C. §§ 841(a)(1), (b)(1)(A), and 846
    (Count 1); aiding and abetting the distribution of 500 grams or more of cocaine, in violation of
    21 U.S.C. §§ 841(a)(1), (b)(1)(B), and 18 U.S.C. § 2 (Count 2); conspiracy to distribute and
    possess with the intent to distribute marijuana, in violation of 21 U.S.C. §§ 841(a)(1), (b)(1)(D)
    and 846 (Count 3); aiding and abetting the distribution of marijuana, in violation of 21 U.S.C.
    §§ 841(a)(1), (b)(1)(D), and 18 U.S.C. § 2 (Count 4); conspiracy to distribute and possess with
    the intent to distribute 50 grams or more of cocaine base, in violation of 21 U.S.C. §§ 841(a)(1),
    (b)(1)(A), and 846 (Count 5); conspiracy to launder money, in violation of 18 U.S.C.
    §§ 1956(a)(1)(A)(i) and 1956(h) (Count 6); distribution of cocaine and cocaine base and the
    aiding and abetting of cocaine base distribution, in violation of 21 U.S.C. §§ 841(a)(1),
    (b)(1)(B)–(C) (Counts 8 and 15); manufacturing and the attempt to manufacture 50 grams of
    cocaine base, in violation of 21 U.S.C. §§ 841(a)(1), (b)(1)(A) and 846 (Count 12); aiding and
    abetting of money laundering, in violation of 18 U.S.C. §§ 2 and 1956(a)(1)(A)(i) (Count 13);
    unlawful possession of ammunition, in violation of 18 U.S.C. §§ 922(g)(1) and 924(e) (Count
    16); and witness intimidation and conspiracy to commit witness intimidation, in violation of
    18 U.S.C. §§ 371, 1512(b)(1), and 1513(b)(2) (Counts 18, 19 and 20).
    At trial, Rush and several other indicted co-defendants testified for the prosecution. Rush
    explained that he was introduced to Maddox as a homeless teenager in Utica, New York, and that
    he immediately began dealing and operating two crack houses for Maddox there. By 2004,
    Maddox decided to move the operation to Johnson City with Rush, and they began procuring
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    about 1.5 kilograms of powder cocaine per month and cooking it into crack cocaine to sell. This
    amount eventually increased to one kilogram every week or two from a source that Maddox
    found in Atlanta.
    While Maddox generally did the cooking himself, Rush testified that he personally
    cooked at least forty kilograms of cocaine into crack cocaine for Maddox. According to Rush,
    Maddox kept the profits from drug sales and provided Rush with cars, cash, jewelry, computers,
    and cell phones.
    Rush also testified that Carr, Dorsey, Miller, and DeJesus all played a role in Maddox’s
    operation and stayed at Maddox’s apartment in Johnson City at various times. According to
    Rush, Carr—Maddox’s cousin—moved to Johnson City from Florida to help Maddox with drug
    sales, though his role evolved to cooking crack cocaine and locating and buying from cocaine
    suppliers in Florida. Eventually, Carr began his own drug business relying on Maddox as a
    supplier, according to Rush. Maddox also brought Dorsey and Miller from New York to sell
    drugs in 2006, according to Rush, and was in the process of securing a stash house for them to
    operate down the street from Maddox’s apartment when the group was arrested.
    As for Cooper, Maddox’s brother-in-law, a jailhouse informant testified that Cooper told
    the informant he was part of Maddox’s operation to purchase cocaine in kilogram quantities for
    resale in Tennessee. Another informant testified that he had witnessed Cooper selling cocaine in
    Utica, New York, where Cooper lived.
    In addition, various law enforcement officers testified about (1) intercepted phone calls
    and text messages, (2) recordings made by informants transacting with defendants, (3) the coded
    language the defendants employed when communicating, and (4) financial transactions through
    Western Union that officers traced to the defendants. The intercepted communications included
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    numerous phone calls and text messages between Maddox and Cooper, and Maddox and
    DeJesus, among others.
    For instance, in August 2008, Maddox had been sold fake cocaine and had started to sell
    marijuana to stay in business, according to Rush. A recording of Carr by an informant posing as
    a cocaine supplier corroborated the testimony regarding the fake cocaine.           Carr told the
    informant he had recently lost money after he and his cousin purchased fake cocaine that would
    not cook properly, and expressed an interest in buying kilograms of cocaine from the informant.
    Though DeJesus had stayed in Tennessee for only a short period of time to sell marijuana
    before returning to New York, according to Rush, intercepted communications showed that he
    sold Maddox cocaine and tried to help Maddox cook it into crack cocaine in September and
    October 2008 when Maddox was in New York.
    Finally, as to Ruffin, the jury heard multiple recordings of phone calls and transcripts of
    various text messages between him and Maddox explicitly discussing the sale of large quantities
    of cocaine, as well as testimony by a DEA agent regarding incriminating statements Ruffin made
    to the agent after his arrest.
    Based on this evidence and the testimony of several dozen witnesses, the jury convicted
    the defendants on various counts, including some lesser-included offenses. The defendants filed
    motions for judgment of acquittal or new trial, which the district court denied. It then sentenced
    Maddox to life imprisonment; Cooper and Ruffin to 360 months’ imprisonment; DeJesus to 240
    months; Carr to 235 months; Dorsey to 120 months; and Miller to 78 months. In addition, it
    ordered Maddox, Cooper, and Carr to pay a $7 million money judgment. Defendants then
    appealed.
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    II.    GRAND JURY COMPOSITION
    Maddox first seeks to have his conviction set aside and the indictment overturned on the
    basis that the composition of the grand jury violated his right to equal protection. Specifically,
    he argues that African-Americans were systematically excluded from the grand jury that indicted
    him, as well as from service as grand jury foreperson. The district court denied Maddox’s
    motion to dismiss on these grounds.
    The courts have long “recognized that a criminal defendant’s right to equal protection of
    the laws has been denied when he is indicted by a grand jury from which members of a racial
    group purposefully have been excluded.” Rose v. Mitchell, 
    443 U.S. 545
    , 556 (1979). “[I]n
    order to show that an equal protection violation has occurred in the context of grand jury
    selection, the defendant must show that the procedure employed resulted in substantial
    underrepresentation of his race or of the identifiable group to which he belongs.” Castaneda v.
    Partida, 
    430 U.S. 482
    , 494 (1977).
    This requires meeting a three-part test laid out in Castaneda. United States v. Ovalle, 
    136 F.3d 1092
    , 1104 (6th Cir. 1998) (applying Castaneda’s equal protection analysis to a defendant’s
    claim under the Fifth Amendment). First, the defendant must “establish that the group is one that
    is a recognizable, distinct class, singled out for different treatment under the laws, as written or
    as applied.” 
    Castaneda, 430 U.S. at 494
    . Second, “the degree of underrepresentation must be
    proved, by comparing the proportion of the group in the total population to the proportion called
    to serve as grand jurors, over a significant period of time.” 
    Id. Third, the
    defendant must
    establish that the selection procedure was susceptible to abuse or was not racially neutral. 
    Id. “Once the
    defendant has shown substantial underrepresentation of his group, he has made
    out a prima facie case of discriminatory purpose, and the burden then shifts to the [government]
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    to rebut that case.” 
    Id. at 495.
    If a prima facie case of discrimination has been made and not
    rebutted, the defendant’s conviction must be set aside and the indictment quashed.           
    Rose, 443 U.S. at 551
    .
    Here, the parties do not dispute that Maddox, an African-American, has established the
    first Castaneda element. Rather, they dispute the second and third elements, which the district
    court—based on the magistrate judge’s report and recommendation—found Maddox had failed
    to establish. We review Maddox’s challenge de novo. 
    Ovalle, 136 F.3d at 1100
    .
    A. Underrepresentation
    As to the degree of underrepresentation of African-Americans and minorities, the record
    contains an affidavit by the chief deputy clerk of the Eastern District of Tennessee, as ordered by
    the court, that explains the jury selection process and includes reports detailing the demographic
    make-up of the jury pool in the district’s Northeastern Division in 2005 and 2009. According to
    these reports—filed pursuant to 28 U.S.C. § 1863(a)—in 2005, African-Americans comprised
    1.86 percent of the qualified jurors in the master jury wheel filled and 2.2 percent of the general
    population of voting age in the division.1 All ethnic minorities comprised 3.5 percent of the
    wheel and the same percentage in the general population.2 In 2009, the next time the wheel was
    filled, African-Americans comprised 1.31 percent of qualified jurors. All minorities made up
    3.27 percent of the pool.
    1
    In his briefs, Maddox bases his argument on an assumption that Africans-Americans comprise
    2.9 percent of the general population. Yet, as the government notes, this figure comes from
    aggregate Census data that include residents ineligible for juror duty, such as children younger
    than eighteen years of age. According to the deputy clerk’s affidavit, the 2.2 percent figure
    comes from population tables of U.S. citizens of eighteen years or more that are provided by the
    Census Bureau and are based on the 2000 Census.
    2
    As the magistrate judge noted, the grand jury that indicted Maddox was impaneled in 2008 and
    drawn from the master jury wheel filled in 2005.
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    There are two ways to compare these numbers—either way, Maddox’s argument is
    frivolous. The easiest way is to look at the simple difference between the percentage of African-
    Americans in the jury wheel and in the general population. This difference was less than one
    percent in both years. The other way to evaluate the degree of underrepresentation is to look at
    the ratio between the percentage of African-Americans in the jury wheel and in the general
    population. Here, the percentage of African-Americans in the 2005 wheel represented about
    84.5 percent of the rate of African-Americans in the general population at the time. For the 2009
    pool, this rate was 59.5 percent. Between the two pools, the rate averages 77 percent.
    This underrepresentation is lower than rates of underrepresentation found to be
    substantial by the Supreme Court.       See, e.g., 
    Castaneda, 430 U.S. at 486
    –87 (Mexican-
    Americans comprised 39 percent of jury wheel, about half of their rate (79.1 percent) in the
    general population); Sims v. Georgia, 
    389 U.S. 404
    , 407 (1967) (African-Americans constituted
    24.4 percent of taxpayer population, but only 4.7 percent of grand jury); Whitus v. Georgia,
    
    385 U.S. 545
    , 552 (1967) (the 9.1 percent of African-Americans in the grand jury pool
    constituted about one third of their rate in the general population of taxpayers (27.1 percent), a
    disparity that “strongly points” to discrimination), but see Turner v. Fouche, 
    396 U.S. 346
    , 359
    (1970) (the rate of African-Americans in the jury pool (37 percent) represented about 61 percent
    of the group’s rate in the general population (60 percent), an underrepresentation that is not “so
    insubstantial as to warrant no corrective action by a federal court charged with the responsibility
    of enforcing constitutional guarantees,” particularly where 171 of the 178 potential jurors
    dubiously excluded for lack of “intelligence” or “uprightness” were African-American). The
    underrepresentation is even less substantial when taking into account the relatively small size of
    the overall population of African-Americans in the area.
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    Maddox takes issue with these figures, noting that the clerk’s “documentation fail[ed] to
    distinguish between the pools of prospective and grand and petit jurors” and “did not distinguish
    between those who were merely part of the jury pools and those who actually served.” As to the
    first issue, the clerk did not distinguish between the jury pools because, according to the
    affidavit, prospective jurors for both petit and grand juries were drawn from the same jury wheel.
    As to Maddox’s second point, this Court does not find the absence of this information
    determinative, as the Constitution protects against the systemic exclusion of identifiable groups
    from the jury selection process—but does not guarantee a particular make-up of an empaneled
    jury. See Taylor v. Louisiana, 
    419 U.S. 522
    , 538 (1975) (“Defendants are not entitled to a jury
    of any particular composition.”). For the same reason, the Court is not persuaded by the affidavit
    of a former Assistant U.S. Attorney in the Eastern District of Tennessee, who—based on his
    memory alone—declared that “at most . . . a half dozen” of the approximately 1,200 grand jurors
    he observed from 1978 to 2007 were ethnic minorities.
    B. Susceptibility to Abuse
    Even if the underrepresentation were substantial, however, Maddox has not shown
    evidence that the jury selection process was susceptible to abuse or was not racially neutral. As
    the deputy clerk’s affidavit explained, the Eastern District of Tennessee summons prospective
    jurors at random from a jury wheel based on a list of registered voters that have been screened
    for their qualifications.
    Rather than alleging this specific process is discriminatory, Maddox relies on Rose v.
    Mitchell, in which the Supreme Court stated that “one may assume for purposes of this case that
    the Tennessee method of selecting a grand jury foreman is susceptible of 
    abuse.” 443 U.S. at 566
    (emphasis added).       Maddox argues the Court “was referencing the historical racial
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    discrimination in the South.” Not only was the state-court method of grand jury selection in
    Rose substantially different than the randomized process used by the federal court here—jurors
    in Rose were selected by jury commissioners and foremen by judges, see Hobby v. United States,
    
    468 U.S. 339
    , 347 (1984) (“Rose must be read in light of the method used in Tennessee to select
    a grand jury and its foreman”)—the Rose Court itself warned against relying on broad arguments
    of historical discrimination in the place of case-specific evidence in jury-selection 
    cases. 443 U.S. at 572
    n.12.
    Otherwise, Maddox argues that the district court’s reliance on state voter files to compile
    lists of potential jurors is not race-neutral because of a 5.4 percent disparity between the rate of
    white and African-American voter registration. However, this Court has explicitly recognized
    that “[v]oter registration lists are the presumptive statutory source for potential jurors” and that
    the Constitution does not require a supplemental source “‘simply because an identifiable group
    votes in a proportion lower than the rest of the population.’” United States v. Odeneal, 
    517 F.3d 406
    , 412 (6th Cir. 2008) (citations omitted). Maddox fails to persuasively distinguish Odeneal.
    C. Grand Jury Foreperson
    As for Maddox’s equal protection claim based on the alleged lack of grand jury
    forepersons of color, he again has failed to make a prima facie showing. Though the district
    court in the Eastern District of Tennessee does not regularly track the racial composition of its
    grand jury forepersons, the magistrate judge reviewed past questionnaires and found that none of
    the five empaneled grand juries between 2003 and 2010 had an African-American foreperson,
    though one did include a black deputy foreperson.
    Even if this were enough to establish substantial underrepresentation, Maddox failed to
    argue anywhere that the selection process is susceptible to abuse or is not race-neutral. Not only
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    is he silent on the issue, but the record contains no specific explanation of how jury forepersons
    are selected by the district court. See Fed. R. Crim. 6(c) (“The court will appoint one juror as the
    foreperson and another as the deputy foreperson.”). Without any allegations or evidence, we
    cannot simply assume impropriety by the court.
    Finally, the Supreme Court has cautioned that such claims may carry little weight, given
    the limited role of forepersons in the federal system. “So long as the grand jury itself is properly
    constituted, there is no risk that the appointment of any one of its members as foreman will
    distort the overall composition of the array or otherwise taint the operation of the judicial
    process.” 
    Hobby, 468 U.S. at 348
    . As a result, Maddox’s equal protection claims fail.
    III.   EVIDENTIARY ISSUES
    Several defendants challenge their convictions based on evidentiary issues at trial. This
    Court typically reviews evidentiary rulings under an abuse of discretion standard. United States
    v. Haywood, 
    280 F.3d 715
    , 720 (6th Cir. 2002). However, if “a defendant neglects to mount an
    objection to evidence at trial, he is precluded from arguing on appeal that its admission was
    flawed unless its allowance constituted plain error.” United States v. Carney, 
    387 F.3d 436
    , 453
    (6th Cir. 2004).
    A. Dorsey: 404(b) Evidence of Prior Conviction
    Dorsey challenges the district court’s decision to allow evidence of his 2001 drug
    conviction in New York for possession of crack cocaine under Federal Rule of Evidence 404(b).
    Ahead of trial, the government filed a notice that it intended to introduce evidence “in its
    case-in-chief, during cross examination, or rebuttal” of the 2001 conviction “to demonstrate the
    requisite intent and absence of mistake or accident of defendant to possess with the intent to
    distribute cocaine base (‘crack’).” Dorsey did not respond to the notice, but objected at trial to
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    the testimony of Sergeant Wayne Manolescu of the Utica, New York, police department
    regarding the conviction.    The district court overruled the objection, stating simply, “[The
    government] gave you appropriate notice,” and allowed Manolescu to testify that he stopped
    Dorsey on the street after another officer had witnessed a hand-to-hand drug deal involving
    Dorsey. Manolescu testified that he then searched and found ten baggies of crack cocaine on
    Dorsey, who subsequently pleaded guilty to criminal possession of a controlled substance.
    As a preliminary matter, the government argues the Court should review Dorsey’s claim
    for plain error because Dorsey failed to object until after Manolescu began to testify. A review
    of the transcript shows that Dorsey’s counsel requested a sidebar and objected to the 404(b)
    evidence soon after Manolescu took the stand and immediately after he began responding to the
    prosecutor’s question about the events on the day of the 2001 arrest. Thus, while Dorsey
    declined several opportunities to object to the testimony of Manolescu before the officer took the
    stand, Dorsey’s counsel nonetheless objected to and cut off Manolescu’s testimony before any
    evidence of the prior conviction was introduced. For this reason, we apply the usual standard.
    The admissibility of evidence of other acts under Rule 404(b) is determined by a three-
    step process:
    The first step requires the district court to decide whether there is sufficient
    evidence that the other act in question actually occurred. If so, the district
    court must decide whether the evidence of the other act is “‘probative of a
    material issue other than character.’” Finally, if the evidence is probative of a
    material issue other than character, the district court must decide whether the
    “probative value of the evidence is substantially outweighed by its potential
    prejudicial effect.”
    
    Haywood, 280 F.3d at 719
    –720 (citations omitted). Dorsey has conceded step one—that he was
    convicted in 2001 for possession of crack cocaine.
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    1.      Probative Value. As to the second step, “[e]vidence of other acts is probative of a
    material issue other than character if (1) the evidence is offered for an admissible purpose, (2)
    the purpose for which the evidence is offered is material or ‘in issue,’ and (3) the evidence is
    probative with regard to the purpose for which it is offered.” 
    Id. at 720
    (citing United States v.
    Johnson, 
    27 F.3d 1186
    , 1190–91 (6th Cir. 1994)). Here, the government stated in its notice that
    it sought to introduce Dorsey’s 2001 conviction to show “intent and absence of mistake.”3 This
    Court has recognized intent is an admissible purpose for 404(b) evidence and is “in issue” when
    a defendant is charged with a specific intent crime, such as Dorsey’s possession with the intent to
    distribute charge. See 
    id. at 721.
    Whether the 2001 conviction was probative of this purpose is another matter. “To
    determine if evidence of other acts is probative of intent, we look to whether the evidence relates
    to conduct that is ‘substantially similar and reasonably near in time’ to the specific intent offense
    at issue.” 
    Id. (citing United
    States v. Blankenship, 
    775 F.2d 735
    , 739 (6th Cir. 1985)). In
    addressing whether a possession conviction was probative of intent on a distribution charge, the
    court in Haywood noted that this “analysis turns on whether [the defendant] intended to
    distribute” the drugs in the prior possession conviction. 
    Id. Dorsey argues
    that the eight-year-old possession conviction in New York is insufficiently
    similar and too remote in time to be probative to establish intent for possession with the intent to
    distribute. The government argues that Dorsey’s possession conviction demonstrated his intent
    to distribute because Dorsey was arrested in 2001 when carrying drugs in individually packaged
    baggies, and the conviction came only two years before the start of the conspiracy charged here.
    3
    As for “absence of mistake,” as Dorsey persuasively argues, it was never at issue in this case
    because Dorsey’s defense was that he did not possess the drugs discovered by law enforcement
    officers.
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    According to Dorsey’s presentencing report and an information filed by the government,
    Dorsey’s 2001 conviction was for criminal possession of a controlled substance in the fifth
    degree. Under New York law, “[a] person is guilty of criminal possession of a controlled
    substance in the fifth degree” either if he possesses “a controlled substance with intent to sell it”
    or if he simply possesses specific drugs in certain quantities, such as half an ounce of a “narcotic
    preparation” or 500 milligrams of cocaine. N.Y. Penal Law § 220.06(1)–(7) (McKinney 2001).
    Unfortunately, the district court did not hold a hearing to review the conduct underlying
    Dorsey’s prior conviction, such that the basis of the conviction is clear, and the details that
    emerged at trial are sketchy at best. For instance, Manolescu’s testimony did not make clear
    whether Dorsey bought or sold drugs in the 2001 transaction.
    Based on the facts in the record, the only similarity between the prior offense and the
    charged offenses appears to be the hand-to-hand nature of the drug deal that led to the possession
    conviction. Manolescu testified that he arrested Dorsey on the street after another officer
    witnessed a hand-to-hand drug transaction that involved Dorsey. Similarly, Rush testified that
    Dorsey’s role when he came to Tennessee in 2006 was in part to “learn the town and distribute”
    with “a couple hand to hand” powder cocaine sales that Rush witnessed. However, by Dorsey’s
    second trip to Tennessee in 2009, his role appeared to have changed to operating a stash house
    for Maddox and not conducting sales, according to Rush.
    The government has shown no further evidence of similarity. Most notably, nothing in
    the charge or the circumstances described by Manolescu tied Dorsey’s drug deal to a larger
    conspiracy of the sort at issue here, much less to Maddox’s operations in New York or
    Tennessee. See United States v. Bell, 
    516 F.3d 432
    , 444 (6th Cir. 2008).
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    In addition, the timing is not as tight as the government claims. The 2001 sale occurred
    five years before Dorsey first came to Tennessee to sell drugs, according to Rush, and eight years
    before the arrest leading to the possession with intent to distribute charges in this case. See
    United States v. Freeman, 412 F. App’x 735, 745 (6th Cir. 2010) (noting that, while “[t]here is
    no absolute maximum number of years that may separate a prior act and the offense charged,” a
    ten-year-old conviction was not sufficiently similar or reasonably close in time to be probative of
    intent for a subsequent charge, though both dealt with the sale of crack-cocaine in Tennessee).
    The government argues the conviction came only two years before the start of the overall
    conspiracy in which Dorsey played a part. But this ignores that the government presented no
    evidence tying Dorsey to the conspiracy before 2006 or, again, tying the 2001 offense to a larger
    conspiracy. As this Court stated in Bell, “[t]he only way to reach the conclusion that the person
    currently has the intent to possess and distribute based solely on evidence of unrelated prior
    convictions for drug distribution is by employing the very kind of reasoning—i.e., once a drug
    dealer, always a drug dealer—which 404(b) excludes.” 
    Bell, 516 F.3d at 444
    .
    Given the long period of time and the lack of evidence establishing a similarity between
    the prior conviction and the conduct for which Dorsey was charged here, it was an error for the
    district court to implicitly find the 404(b) evidence was probative of Dorsey’s intent.
    2.      Prejudicial Effect. Even if it were probative, the evidence of the 2001 conviction
    was inadmissible because its value was substantially outweighed by its potential prejudicial
    effect. 
    Haywood, 280 F.3d at 723
    . The district court decision in this balancing process is
    generally “afforded great deference,” and the evidence is viewed in the light most favorable to its
    proponent. 
    Bell, 516 F.3d at 445
    .
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    We have noted that when weighing the probative value of prior convictions or other acts
    evidence, a court “should consider the government’s alternative sources of proving intent,” 
    Bell, 516 F.3d at 445
    , to determine if the 404(b) evidence was unnecessary, 
    Haywood, 280 F.3d at 723
    . In our opinion, the evidence of Dorsey’s past conviction was of little value to the jury in
    establishing Dorsey’s intent to distribute the cocaine in Ebberts’ car trunk, in light of the
    government’s witness testimony, see United States v. Merriweather, 
    78 F.3d 1070
    , 1077 (6th
    Cir. 1996), and the substantial quantity of drugs found in the trunk, 
    Bell, 516 F.3d at 446
    . Given
    that Rush testified about Dorsey’s 2006 drug sales and his role in 2009, the prior conviction
    evidence was unnecessary.
    On the flip side, it was highly prejudicial. We have repeatedly stated that prior crimes
    evidence “unquestionably has a powerful and prejudicial impact” on a jury. 
    Bell, 516 F.3d at 446
    (citing 
    Johnson, 27 F.3d at 1193
    ). This is particularly true when the evidence risks leading
    the jury to punish the defendant for being a “bad guy,” rather than for his involvement in the
    offense at issue. 
    Id. The government
    argues that any prejudicial impact was mitigated by the district court’s
    limiting instruction, in which the court told the jury it could “consider the evidence only as it
    relates to the Government’s claim on . . . the Defendant’s knowledge and intent. You should not
    consider it for any other purpose.” While this Court has noted that a limiting instruction may
    significantly mitigate prejudice in admitting 404(b) evidence, we have also recognized that
    limiting instructions directing the jury to regard evidence for intent when the evidence is not
    probative of intent does nothing to abate the evidence’s prejudicial impact. See 
    Bell, 516 F.3d at 446
    –47; 
    Haywood, 280 F.3d at 724
    .
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    3.      Harmless Error. However, even if the district court abused its discretion in
    allowing the prior conviction into evidence, Dorsey is not entitled to a new trial if the error was
    harmless. “An error is harmless unless one can say, with fair assurance that the error materially
    affected the defendant’s substantial rights—that the judgment was substantially swayed by the
    error.” United States v. Murphy, 
    241 F.3d 447
    , 453 (6th Cir. 2001) (citations omitted). This
    “generally depends on whether the properly admissible evidence of the defendant’s guilt was
    overwhelming.” 
    Haywood, 280 F.3d at 724
    .
    The government’s evidence against Dorsey—as described in detail in the next section—
    met this standard. Dorsey was arrested at Maddox’s house, soon after Ebberts parked her car
    outside the house with the 1.5 kilograms of cocaine that Rush and Maddox purchased still in the
    trunk. Rush established that Dorsey served as a drug dealer for Maddox and essentially as a
    guard, with Miller, of the cocaine. Both Rush and Ebberts testified that Dorsey spoke with either
    Maddox or Rush after they were pulled over by police; according to Rush, Dorsey told Maddox
    that police had descended on Maddox’s home, and Maddox instructed Dorsey not to let them in.
    In addition, police officers testified that they witnessed Dorsey keeping watch on the street in the
    lead-up to Ebberts’ arrival and that they intercepted a text message sent by Maddox to flush the
    keys to Ebberts’ car. This evidence was also largely uncontested. While the defendants on the
    whole attempted to undermine Rush’s general credibility as a witness, and there was some
    inconsistency as to who spoke to whom after Maddox and Rush were pulled over, the jury
    resolved these matters and returned a guilty verdict. As a result, we cannot say that the jury was
    substantially swayed by Dorsey’s inadmissible conviction, rather than the weight of other
    evidence against him.
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    B. Ruffin: Admission of Incriminating Statements
    Ruffin argues that the district court erred in partially denying his motion to suppress
    incriminating statements Ruffin made to DEA agent Brian Vicchio after Ruffin’s arrest.
    Vicchio arrested Ruffin after he and other officers observed Ruffin driving his car in
    Johnson City, Tennessee. Vicchio mirandized Ruffin while placing him into a squad car, and
    Ruffin made incriminating statements while in the car. Vicchio then drove Ruffin to a DEA field
    office in Johnson City, where Ruffin was again mirandized and made more incriminating
    statements.
    After holding a suppression hearing, the magistrate judge recommended suppression of
    Ruffin’s statements made at the scene of the arrest, finding Vicchio’s Miranda warning—which
    was videotaped—insufficient because it did not make clear Ruffin had the right to a lawyer
    before undergoing questioning.     However, the magistrate judge recommended denying the
    motion as to Ruffin’s statements made at the DEA field office. The second Miranda warning
    was not recorded, but the magistrate judge noted that Vicchio had testified that he re-mirandized
    Ruffin at the field office before initiating the interrogation, and that he specifically included
    Ruffin’s right to consult with an attorney before questioning began. The magistrate judge found
    Vicchio’s testimony credible and uncontroverted, as Ruffin had declined to testify.
    The magistrate judge also rejected Ruffin’s argument that he was intoxicated on cocaine
    at the time of his arrest and unable to make a knowing and voluntary waiver of his rights. The
    video of his arrest showed that he told Vicchio, “I’m telling you man, I’m fucked up, man.” The
    magistrate judge determined the statement referred to Ruffin’s “legal problems” and not his
    mental state. Finding that “there is absolutely no evidence before this court to suggest that the
    defendant abused cocaine or any other drug at any particular time before his arrest, much less
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    [was] intoxicated on some drug,” the magistrate judge concluded that Ruffin was properly
    mirandized at the field office and had made a knowing and voluntary waiver of his rights.
    The district court adopted the magistrate judge’s recommendation without further
    findings of fact, save for a finding that review of the arrest video did not indicate any coercion by
    officers.
    On appeal, Ruffin argues that the district court should have excluded the second set of
    incriminating statements because (1) the statements were impermissible fruits of the earlier,
    improper Miranda warnings; and (2) the district court erred in finding that Ruffin’s waiver was
    voluntary. As with the other evidentiary issues before us, we review findings of fact for clear
    error and conclusions of law de novo. United States v. Davis, 
    514 F.3d 596
    , 607 (6th Cir. 2008).
    “We review the evidence ‘in the light most likely to support the district court’s decision.’” 
    Id. (citation omitted).
    1.     Miranda. As to the Miranda issue, Ruffin argues the second set of incriminating
    statements should have been suppressed under Missouri v. Seibert, 
    542 U.S. 600
    (2004), because
    the “[a]rresting officers subjected Mr. Ruffin to a question-first, warn-later interrogation.”
    Ruffin does not challenge the district court’s conclusion that Vicchio properly mirandized Ruffin
    before questioning him at the office. Rather, he argues that this “second round of questioning
    was merely a continuation of the first round, with the same officers asking the same or similar
    questions approximately thirty minutes later.” Thus, he argues, the district court should have
    excluded the second set of statements, as well.
    In Seibert, the Supreme Court held that a defendant’s confession was inadmissible, even
    though it came after a Miranda warning, because the police had interrogated the defendant
    without a proper warning first in order to elicit the same 
    confession. 542 U.S. at 604
    –06
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    (plurality opinion). In assessing the effectiveness of a Miranda warning delivered “midstream”
    between rounds of questioning, a plurality of the Court looked to several “relevant facts”:
    the completeness and detail of the questions and answers in the first round of
    interrogation, the overlapping content of the two statements, the timing and
    setting of the first and the second, the continuity of police personnel, and the
    degree to which the interrogator’s questions treated the second round as
    continuous with the first.
    
    Id. at 615.
    The Justices determined “[i]t would have been reasonable to regard the two sessions
    as parts of a continuum,” given that the first, unwarned interrogation was “exhaustive” and both
    interrogations were conducted in the same location by the same officers asking the same
    questions and were separated only by a 15- to 20-minute break. 
    Id. at 616–17.
    By contrast, in Bobby v. Dixon, the Court held that a properly mirandized confession—
    following an unwarned and inadmissible confession—may be admissible, if there was no
    “‘nexus’” between the two sets of statements and if the circumstances of the interrogation had
    changed. 
    132 S. Ct. 26
    , 31–32 (2011) (per curiam). There, the Court found the defendant’s
    confession to forging a murder victim’s signature sufficiently distinct from his subsequent
    confession to murdering the victim. It also noted that a four-hour break in the questioning—
    during which time the defendant traveled to jail and claimed to have spoken with his lawyer—
    sufficiently changed the circumstances of the interrogations. 
    Id. Here, Ruffin’s
    situation bears little resemblance to Seibert. Though the same officer,
    Vicchio, conducted all of the questioning, the focus of Vicchio’s questions at the arrest scene did
    not relate to the substance of the charges in the case. At the arrest scene, Vicchio focused on
    explaining Ruffin’s situation to him, asking if there were any drugs in the car Ruffin drove, and
    asking if Ruffin would agree to speak with agents at their office.
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    During this conversation, Ruffin asked Vicchio what the officers wanted to talk about,
    and Vicchio responded that he wanted Ruffin “to tell [him] anything and everything [Ruffin]
    know[s] about the distribution of cocaine and crack cocaine.” Ruffin argues that this statement
    overlaps with the office interrogation, which elicited statements about the drug conspiracy, such
    that both sets of questions should be treated as one continuous interrogation under Seibert. This
    is a distortion of what happened. The video makes clear that Vicchio’s statement was an
    explanation, not part of a line of questioning. Ruffin did not respond to it, and Vicchio did not
    press for a response.     In fact, Vicchio repeatedly explained in the car that he wanted to
    interrogate Ruffin at the office and not at the scene of the arrest. As Vicchio explained at the
    suppression hearing, he had no intention of interrogating Ruffin on the side of the road, where
    Ruffin could be spotted as a snitch.
    In addition, review of the video of his arrest makes clear that the DEA agents did not
    engage in a deliberate “question-first, warn-later” strategy, even if they did intentionally question
    him before he was appointed counsel the following day. See 
    Seibert, 542 U.S. at 618
    –22
    (Kennedy, J. concurring) (focusing on the officer’s intent). When placing Ruffin in the patrol
    car, Vicchio attempted a full Miranda warning and properly warned Ruffin of his right to remain
    silent and to an attorney. Though Vicchio failed to warn Ruffin that his right to an attorney
    included a right to speak with the attorney before any interrogation occurred, there is no concrete
    evidence this omission was intentional.
    Ruffin nonetheless argues that testimony by DEA agent Kevin Kimbrough, who was
    present at the arrest and observed the office interrogation, shows Vicchio deliberately attempted
    to circumvent Miranda with this defective warning. Kimbrough testified at the suppression
    hearing that “[the officers] usually seize the opportunity to interview someone prior to [the
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    arrestee] being appointed counsel” and that they did so with Ruffin. Ruffin treats this statement
    as a circumstantial admission of an improper intent, given Vicchio failed to expressly include
    this right in the initial Miranda warning. However, it’s important to note what Kimbrough did
    not state. He did not testify that officers knowingly question improperly mirandized arrestees or
    that they deliberately do not mirandize arrestees in order to question them without counsel—or
    even that they pressure mirandized arrestees to speak with officers outside the presence of
    counsel. Rather, he testified that officers “seize” the chance to do so if they can. Kimbrough
    immediately followed his statement with an explanation that he believed Vicchio had mirandized
    Ruffin before the interrogation, and that, given Ruffin was “extremely forthcoming,” Kimbrough
    sensed Ruffin would talk to officers that night and again in the future.           Without more,
    Kimbrough’s statement does not show that Vicchio intentionally delivered an incomplete set of
    warnings at the scene of the arrest in order to interrogate Ruffin later outside the presence of
    counsel.
    As such, the district court did not err in treating the arrest scene questioning as separate
    from the field office interrogation, and in admitting Ruffin’s statements made after Vicchio gave
    him the second and proper set of Miranda warnings.
    2.     Waiver. Ruffin also makes two arguments related to waiver: (1) that the district
    court erred in finding no persuasive evidence that Ruffin was intoxicated, and (2) that it
    improperly placed the burden on Ruffin to show the waiver was not knowing, intelligent, and
    voluntary.
    A defendant’s “statement during a custodial interrogation is inadmissible at trial unless
    the prosecution can establish that the accused ‘in fact knowingly and voluntarily waived
    [Miranda] rights’ when making the statement.” Berghuis v. Thompkins, 
    560 U.S. 370
    , 382
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    (2010) (quoting North Carolina v. Butler, 
    441 U.S. 369
    , 373 (1979)). The waiver of the right to
    remain silent can be express or implied, based on the words and actions of the person
    interrogated. 
    Id. at 383–84,
    387. To establish an implied waiver, the prosecution must show (1)
    that a Miranda warning was given, (2) that it was understood by the accused, and (3) that the
    subsequent statement was uncoerced. 
    Id. at 384.
    As to Ruffin’s argument that the district court improperly placed this “heavy burden” to
    show a valid waiver on him, he overreaches. The magistrate judge—whose reasoning and
    conclusions were adopted by the district court—addressed and explicitly examined the required
    burden on the government before determining that it had met its burden through Vicchio’s
    uncontradicted testimony. While the magistrate judge’s explicit findings of fact were somewhat
    sparse, Vicchio testified at the suppression hearing that (1) he properly mirandized Ruffin, (2) he
    repeatedly asked if Ruffin would agree to answer questions without an attorney present, and (3)
    Ruffin agreed to talk. Asked about Ruffin’s demeanor, he testified that Ruffin was “humble,”
    “relaxed,” and “laughed throughout the interview.” Kimbrough largely substantiated Vicchio’s
    account and also testified that Ruffin “was extremely forthcoming.” In addition, the district
    court reviewed the videotaped arrest and concluded that no evidence of police coercion existed.
    Together, this evidence was sufficient for the government to meet its burden in establishing that
    Ruffin waived his right to remain silent.
    As to Ruffin’s argument that the district court clearly erred in finding that no “persuasive
    evidence of intoxication” existed, we cannot agree. The magistrate judge heard and viewed
    credibly the testimony of two seasoned DEA agents who both testified that Ruffin did not appear
    to be under the influence of narcotics and was forthright during the interrogation. See Anderson
    v. City of Bessemer, 
    470 U.S. 564
    , 575 (1985) (“[W]hen a trial judge’s finding is based on his
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    decision to credit the testimony of one of two or more witnesses, each of whom has told a
    coherent and facially plausible story that is not contradicted by extrinsic evidence, that finding, if
    not internally inconsistent, can virtually never be clear error.”).
    The magistrate judge also interpreted Ruffin’s videotaped statement at the scene of the
    arrest that he was “fucked up” to refer to Ruffin’s “legal problems” and not his mental
    condition.4 This Court may not have come to the same conclusion about the meaning of Ruffin’s
    ambiguous statement, but that does not make the magistrate judge’s otherwise reasonable
    interpretation clear error.    See 
    id. at 574–76
    (citations omitted) (“Where there are two
    permissible views of the evidence, the factfinder’s choice between them cannot be clearly
    erroneous.”).
    As to the positive drug screen result, while this Court is troubled by the potential after-
    the-fact revelation of evidence relevant to the suppression issue, we cannot hold that the district
    court’s findings were clearly erroneous. To do so on the facts before us would require too much
    conjecture. Ruffin has highlighted a section of his presentencing report, which states that he
    submitted to a drug screen on the night of the arrest and the results “were presumptively positive
    for cocaine.” But nothing in the record or briefs explains what a “presumptively positive” result
    means, much less how it compares with the cocaine intoxication level required to render a
    defendant incapable of waiving his Miranda rights. Ruffin also insinuates that the government’s
    failure to disclose the drug test may violate the principles underlying Brady. However, we do
    not know when Ruffin or the government learned of the test result.               At this stage, the
    4
    The magistrate judge claimed this interpretation matched Vicchio’s testimony. However, the
    hearing transcript—not available at the time the report and recommendation and district court
    order were issued—shows that Vicchio testified that he believed the statement referred to the
    amount of drugs Ruffin “had at the time.” Specifically, Vicchio testified that it meant that Ruffin
    “[did]n’t have anything at that point in time.”
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    unexplained test result alone does not rise to the level of extrinsic evidence that undermines the
    credibility of Vicchio’s and Kimbrough’s testimony.
    Finally, even if Ruffin had shown some evidence of intoxication, his claim fails because
    he cannot point to any evidence that Vicchio or Kimbrough used coercion to elicit the
    incriminating statements.      United States v. Dunn, 269 F. App’x 567, 572 (6th Cir. 2008)
    (citations omitted) (noting that “[a]bsent coercion,” this Court has “held that a waiver was
    voluntary even where the defendant was under the influence of ‘an intoxicating medication’” or
    had been “drinking heavily.”). Again, the district court reviewed videotape evidence of the
    arrest and found no evidence of coercion, a finding Ruffin does nothing to rebut or challenge on
    appeal.
    C. Carr: Admission of Incomplete Recording
    Carr argues the trial court erred in admitting the partial audio recording of a conversation
    between him and a confidential informant that the informant secretly recorded on August 11,
    2008.
    To begin, Carr first argues that the court abused its discretion because “the entire tape”
    played at trial was inaudible. The admission of audio “recordings at trial rests within the sound
    discretion of the trial court.” United States v. Robinson, 
    707 F.2d 872
    , 876 (6th Cir. 1983)
    (citation omitted). To be admissible, recordings must “be authentic, accurate and trustworthy,”
    as well as “audible and sufficiently comprehensible for the jury to consider the contents.” 
    Id. A recording
    is “inadmissible if the ‘unintelligible portions are so substantial as to render the
    recording as a whole untrustworthy.’” 
    Id. (citations omitted).
    In arguing that the recording at trial was sufficiently inaudible to be inadmissible, Carr
    relies solely on a notation in the trial transcript by the court reporter: “Playing of audio tape
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    inaudible. Record reflects conversation from provided transcript.” This alone is insufficient to
    establish that the trial court abused its discretion. This Court declines to treat a court reporter’s
    transcription notes either as evidence or as an implied finding of fact by the trial court, as Carr
    appears to ask us to do. The district court made no findings on the matter of audibility, and Carr
    never objected, before or at trial, that the recording was inaudible. In fact, Carr’s counsel stated
    at trial that he preferred the entire recording enter into evidence, which suggests he initially
    believed it was audible. And, as the government notes, the court reporter often used this notation
    when audio recordings were played at trial—recordings that witness testimony makes clear were
    audible. Here, for instance, the witness testifying at the time testified that he recognized the
    voices in the recording as his and Carr’s, and answered specific questions about statements made
    in the recording.
    Next, Carr argues that the trial court violated Federal Rule of Evidence 106 because it did
    not listen to the entire recording to determine the relevance of the omitted portions. This claim
    also has no merit.
    Rule 106 provides that, “[w]hen a writing or recorded statement or part thereof is
    introduced by a party, an adverse party may require the introduction at that time of any other part
    or any other writing or recorded statement which ought in fairness to be considered
    contemporaneously with it..” Fed. R. Evid. 106 (2010) (amended 2011). This Court has
    determined that “Rule 106 is intended to eliminate the misleading impression created by taking a
    statement out of context,” but “is not designed to make something admissible that should be
    excluded.” United States v. Costner, 
    684 F.2d 370
    , 373 (6th Cir. 1982). “In ruling on a Rule
    106 request to supplement a statement, the district court must determine ‘(1) whether the
    additional evidence explains the evidence already admitted; (2) whether it places the admitted
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    evidence in its proper context; (3) whether its admission will serve to avoid misleading the trier
    of fact; and (4) whether its admission will insure a fair and impartial understanding of all of the
    evidence.’” United States v. McAllister, 
    693 F.3d 572
    , 584 (6th Cir. 2012) (citing United States
    v. Glover, 
    101 F.3d 1183
    , 1190 (7th Cir. 1996)).
    At trial, Carr objected to the government playing only a portion of the recording during
    the direct examination of a witness.5 The government—which had prepared a transcript of the
    excerpt only—explained to the court that the omitted part of the recording contained a
    conversation between the testifying witness and a third party that did not relate to the drug
    transaction relevant to the trial. However, it did not object to Carr introducing the entire
    recording on cross examination. Stating that introducing irrelevant evidence would “waste the
    time of the jury,” the court overruled Carr’s objection.
    There are two problems with Carr’s argument on appeal. First, according to Carr, the
    district court had a formal “obligation” under Costner, 
    684 F.2d 370
    , to independently review the
    entirety of the recording and “make a determination which would allow it to excise only
    irrelevant portions.” However, the court in Costner discussed this specific “obligation” to
    review the evidence in the context of Federal Rule of Evidence 612, which relates to the
    admission of a writing used to refresh a witness’s 
    memory. 684 F.2d at 373
    . This distinction
    matters because Rule 612 explicitly requires a district court to examine the writing in camera and
    to remove irrelevant portions before allowing the writing into evidence. Rule 106 does not
    contain the same requirement.
    Second, Carr has failed to controvert the trial court’s finding that the omitted portions of
    the recording were irrelevant. Carr has not presented evidence of these portions’ contents, much
    5
    Carr’s counsel expressly stated that he did not object to the recording, but requested the
    government play the entire recording. The district court treated this as an objection.
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    less argued that he was prejudiced in any way by their omission from the evidence. Thus, this
    Court cannot hold that the trial court abused its discretion in admitting only part of the August
    11, 2008, recording.
    IV.       INSUFFICIENCY OF EVIDENCE
    Four defendants—Carr, Dorsey, DeJesus, and Cooper—argue that the evidence presented
    at trial was not sufficient to support their convictions. This Court reviews an insufficiency of the
    evidence claim by considering “whether, after viewing the evidence in the light most favorable
    to the prosecution, any rational trier of fact could have found the essential elements of the crime
    beyond a reasonable doubt.” Jackson v. Virginia, 
    443 U.S. 307
    , 319 (1979) (emphasis in
    original). “We reverse a conviction for insufficiency of the evidence only if it is not supported
    by substantial and competent evidence, whether direct or wholly circumstantial, upon the record
    as a whole.” United States v. LaPointe, 
    690 F.3d 434
    , 443 (6th Cir. 2012).
    A. Legal Standards
    “To sustain a conviction for drug conspiracy under [21 U.S.C. § 846], the government
    must prove beyond a reasonable doubt: (1) an agreement to violate drug laws; (2) knowledge of
    and intent to join the conspiracy; and (3) participation in the conspiracy.” United States v.
    Gardner, 
    488 F.3d 700
    , 710 (6th Cir. 2007) (citations omitted). “[P]roof of a formal agreement
    is not necessary”; a conspiracy may be inferred from evidence that “can reasonably be
    interpreted as participation in the common plan,” United States v. Avery, 
    128 F.3d 966
    , 970–71
    (6th Cir. 1997) (citations omitted).
    As to the substantive charges underlying the conspiracy, to prove possession with intent
    to distribute illegal drugs, the government must show “(1) the defendant knowingly;
    (2) possessed a controlled substance; (3) with intent to distribute.” United States v. Jackson,
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    55 F.3d 1219
    , 1225 (6th Cir. 1995) (citation omitted).         In order to establish the crime of
    distribution of controlled substances, the government must prove that the defendant:
    (1) knowingly or intentionally distributed the substance, and; (2) at the time of such distribution
    knew what the substance was. United States v. Colon, 
    268 F.3d 367
    , 376 (6th Cir. 2001).
    Finally, to show aiding and abetting requires proof of “(1) an act by a defendant which
    contributes to the execution of a crime; and (2) the intent to aid in its commission.” United
    States v. Lowery, 
    60 F.3d 1199
    , 1202 (6th Cir. 1995) (citation omitted).
    B. Carr
    Though Carr was convicted of multiple offenses, on appeal he challenges only his
    conviction for conspiracy to distribute and to possess with the intent to distribute at least five
    kilograms of cocaine in violation of 21 U.S.C. §§ 846 and 841(a)(1), (b)(1)(A).
    Carr argues that the evidence at trial showed his actions were limited to individual sales
    of small, “‘street-level’ quantities of cocaine to end-users,” and thus was insufficient to support a
    conviction for the distribution of five kilograms or more, even if there was evidence of such a
    conspiracy between Maddox, Rush, and others.6 While this Court would agree with Carr that the
    evidence might not support his conviction if limited to these individual sales, see United States v.
    Pruitt, 
    156 F.3d 638
    , 644 (6th Cir. 1998), the government produced substantial evidence of
    Carr’s involvement in larger-scale cocaine distribution.
    For instance, Rush testified that Carr’s role evolved from small sales to cooking cocaine
    and “helping Maddox find connections to purchase . . . more kilos . . . for a better price, and then
    6
    None of the defendants challenging the sufficiency of evidence for their convictions denies the
    government presented sufficient evidence of a drug-trafficking conspiracy centered around
    Maddox that dealt with more than five kilograms of cocaine. McGirt, for instance, testified that
    he purchased 21 to 22 kilograms of cocaine from Maddox in 2006 and 2007, while Rush testified
    that he cooked at least 40 kilograms of cocaine into crack cocaine for Maddox during the course
    of the conspiracy.
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    from there, he moved out and was doing his own thing, but still getting the drugs from Maddox.”
    According to Rush, Carr had a source in Florida from whom he would buy up to a kilogram of
    cocaine at a time, and he, Maddox, and Rush once went to Florida together and purchased a
    kilogram of cocaine from the source.
    Another witness, Kim Campbell, testified that she served as a courier for Maddox, Rush,
    and Carr, who generally paid her in crack cocaine in exchange for renting cars and driving to
    other states (New York, Georgia, and Florida) to deliver and pick up unspecified goods for them.
    She testified that in 2006 or 2007, she accompanied Carr to Florida; though she went home by
    herself and did not witness any illegal activity, she testified that Carr became “hysterical” at their
    hotel searching for wads of rolled up money that he had hidden in multiple pockets of his pants.
    The government also presented a series of recorded phone calls between Carr and
    Maddox relating to cocaine and money, including a call in which Carr told Maddox he was going
    to the “bottom bottom” and the “O”—which Vicchio interpreted as meaning Carr was going to
    Miami and Orlando, Florida, where his cocaine sources were located.
    In addition, Campbell and several other witnesses testified that they regularly purchased
    cocaine from Carr, and the government introduced audio recordings by Joe Chapman—a co-
    defendant and informant—making two controlled drug purchases from Carr.
    During one of these transactions between Chapman and Carr in August 2008, Chapman
    mentioned knowing a possible new customer, and Carr gave prices for ounces of cocaine and
    crack cocaine. In another recorded interaction in September 2008, Carr met with Chapman and
    an informant. He asked the informant for “big work” because he had recently lost $15,000 on a
    bad-quality cocaine purchase from Atlanta with his “cousin” that would not cook properly into
    crack cocaine. Chapman testified that Carr said he was looking for a big investment, and when
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    the informant quoted a price of $27,000 for a kilogram of cocaine, Carr responded that in Florida
    the price was $25,000. Carr nonetheless told the informant that “as long as you keep feeding
    me[,] we gonna eat man,” which Chapman explained meant Carr would continue to buy cocaine
    from the informant.
    Carr argues this last conversation “goes against the idea that he was participating in a
    conspiracy with the codefendants,” as Carr’s individual purchase “would have been directly
    adverse to the interests” of the conspiracy. This is a leap. Not only did Carr state in the
    recording that he had purchased kilograms of cocaine in Atlanta with his cousin—Maddox—his
    purchase from the informant would not conflict with Rush’s testimony that Carr’s role had
    evolved from small sales to both supplying cocaine for and buying from Maddox. Viewed in the
    prosecution’s favor, this evidence more than sufficiently established Carr’s knowledge of and
    participation as a member of the conspiracy to distribute cocaine.
    C. DeJesus
    DeJesus was convicted on two counts of conspiracy to distribute and to possess with the
    intent to distribute: (1) 500 grams or more of cocaine (a lesser included offense of Count 1), and
    (2) fifty grams or more of cocaine base (Count 5). On appeal, he argues that the government
    failed to present sufficient evidence to support either conviction.
    The government produced a combination of witness testimony and intercepted phone
    calls and text messages between Maddox and DeJesus that established DeJesus’s role in the drug
    conspiracies. Rush testified that DeJesus was a friend of Maddox’s from Utica, New York, who
    stayed at Maddox’s house in Johnson City, Tennessee, “for a while” in 2003 or 2004 to sell
    marijuana. According to Rush, DeJesus had a source for cocaine in New York City, and
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    Maddox once said that he was going with DeJesus to meet the source to get better prices and
    better product.
    Rush also interpreted a number of intercepted phone calls and text messages between
    DeJesus and Maddox that showed DeJesus entered into agreements to sell cocaine to Maddox
    and helped him cook it into crack cocaine. In one text message, Maddox explained he wanted to
    buy an ounce of cocaine for $1,200, according to Rush. DeJesus then warned Maddox “I talked
    to o and he said u gonna lose when you go swimming.” Rush explained “swimming” to be a
    euphemism for cooking cocaine into crack cocaine, and “losing” to mean losing product in the
    cooking process. Not surprisingly, Maddox responded, “I don’t wanna go swimming.”
    In a subsequent series of messages decoded by Rush, DeJesus offered to pay $500 toward
    an ounce of cocaine that Maddox agreed to purchase. A series of phone calls and text messages
    two weeks later established that DeJesus had sold cocaine to Maddox, who tried unsuccessfully
    to cook it into crack cocaine and sought advice from DeJesus. Maddox explained over the phone
    that he had “overwet” the drugs, which Rush explained meant he used too much baking soda to
    cook the cocaine, and DeJesus advised Maddox to try putting the drugs in the freezer or oven to
    harden. After several more rounds of text messages, DeJesus asked Maddox to bring him the
    product, but Maddox responded that he was able to produce only 3.5 grams of crack cocaine.
    Rush interpreted numerous other messages and calls between Maddox and DeJesus in
    which DeJesus asked for a half ounce (“half a man”) of cocaine and spoke of flipping drugs for a
    quick profit; and in which Maddox wrote that he was selling marijuana (“I got some dro on the
    market”; “50s of dro on market”) and said it was a “hard market” for cocaine.
    The thrust of DeJesus’s argument is that he was insufficiently linked to the bulk of the
    conspiracy’s activities, which occurred primarily in Tennessee, such that he was not aware of the
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    conspiracy and did not participate in it. Even if DeJesus did not take part in purchasing cocaine
    in Georgia and Florida, for instance, the jury could infer he knew of the conspiracy from his
    presence in Tennessee in 2003 or 2004 and from his continued contact and drug deals with
    Maddox. That DeJesus subsequently connected Maddox with New York suppliers, and supplied
    cocaine and helped Maddox cook it into crack cocaine himself, shows DeJesus participated in
    the conspiracy, as well. As a result, his convictions were supported by sufficient evidence.
    D. Cooper
    Cooper was convicted of five conspiracies: (1) to distribute and to possess with intent to
    distribute cocaine; (2) to distribute and to possess with intent to distribute cocaine base; (3) to
    distribute and to possess with intent to distribute marijuana; (4) to commit money laundering;
    and (5) to commit witness intimidation. He challenges the sufficiency of the evidence on all the
    convictions.
    1.      Cocaine & Crack Cocaine Conspiracies. Cooper argues that the government did
    not produce evidence that he knew of or intended to join the conspiracy relating to cocaine and
    crack cocaine. However, at trial, the government produced a range of evidence implicating
    Cooper. The bulk of the government’s evidence came from two jailhouse informants: Trewayne
    Sanders and Daniel Ballinger. Sanders testified that he witnessed Cooper sell powder cocaine to
    Sanders’s father on several occasions in New York.         Ballinger testified that, while in jail
    together, Cooper told him that Cooper “was buying kilos of crack, of powder cocaine from a
    Mexican, and he was coming from Utica, New York to Tennessee to sell drugs.” Ballinger
    testified that Cooper said he would buy kilos of pure cocaine for $27,000 and sell “ounces [of
    crack cocaine] for a thousand dollars apiece to individuals.” According to Ballinger, Cooper said
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    he had multiple associates and people working for him, and that he operated “trap houses” from
    which he sold crack cocaine.
    In addition, the government introduced an intercepted text message exchange between
    Cooper and Maddox that, according to Vicchio’s testimony, discussed $1,100 worth of cocaine.
    There was also a recorded phone conversation between the two men about an unknown drug,
    during which Cooper indicated to Maddox that he had enough supply at the time.
    Cooper argues that Ballinger’s and Sanders’s testimony should be discredited because of
    their status as jailhouse informants and because their testimony conflicts with that of other
    witnesses. In particular Cooper notes that, while Ballinger testified to Cooper’s high position
    within the conspiracy, Rush—the key witness in the government’s case—testified extensively
    about Maddox’s operations during three days of testimony and never once mentioned Cooper.
    While this discrepancy gives this Court pause, credibility determinations are within the
    sole province of the jury, and this Court grants special deference to the resolution of credibility
    questions by the jury. United States v. Latouf, 
    132 F.3d 320
    , 330–31 (6th Cir. 1997). We have
    stated that “[w]itness incredibility might render evidence insufficient as a matter of law only in
    the most extreme cases, where it is ‘so inherently incredible, so contrary to the teachings of basic
    human experience, so completely at odds with ordinary common sense, that no reasonable
    person would believe it beyond a reasonable doubt.’” United States v. Morrison, 
    125 F.3d 856
    (table opinion), 
    1997 WL 636623
    , at *3 (6th Cir. 1997) (quotation omitted). Here, neither
    witness said anything so wildly untrustworthy that no reasonable person would believe it—their
    testimony squared with the overall scope of the conspiracy.          In addition, Cooper had the
    opportunity to cross examine the witnesses about any lenient treatment they received in
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    exchange for their testimony and to present witnesses to undermine their testimony—which he
    did.
    Cooper also argues that no evidence relating to the cocaine conspiracy connects him
    directly to Tennessee, as the hand-to-hand drug sales Sanders testified to took place in New
    York. However, this ignores that witness testimony and intercepted communications established
    that the drug-trafficking conspiracy branched from Tennessee to New York, Georgia, and
    Florida, with suppliers and activity in each of these states, as well.
    2.      Marijuana Conspiracy. As to the marijuana conviction, Cooper concedes that the
    government presented evidence of the charged marijuana conspiracy, but argues that it failed to
    present sufficient evidence to link him to the conspiracy. Again, we disagree.
    Both Rush and Maddox testified that Maddox had trafficked marijuana. Maddox testified
    that he was exclusively a marijuana dealer—not a cocaine dealer—and sold high-quality
    marijuana in Tennessee that he purchased from Atlanta, Georgia, throughout the period of the
    charged conspiracy. By contrast, Rush testified that Maddox sold marijuana temporarily around
    August 2008, after purchasing a kilogram of fake cocaine that he could not cook into crack
    cocaine or sell. According to Rush, Maddox began to sell $50 bags of hydroponic marijuana at
    the time as a means of staying in business. In addition, the government introduced a drug ledger
    seized by police that, according to various agents and Rush, detailed the sale of marijuana by the
    pound and was written in Carr’s handwriting.
    As for evidence connecting Cooper to the marijuana conspiracy, the government
    introduced a series of text messages between Cooper and Maddox. While the government
    characterizes these as “many [communications] involv[ing] the trafficking of high-quality
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    marijuana,” only two sets of messages were explicitly discussed at trial. The first, dated from
    September 6, 2008, was as follows:
    Maddox: I dont even know but my dude got AZ …
    Cooper: Wat he talken qt
    Maddox: 390 cuz its 1550 for da whole thing…
    Vicchio testified that “AZ” referred to marijuana and “qt” to a quarter ounce, such that he
    believed Maddox was explaining to Cooper that a price for a quarter ounce of high-quality
    marijuana was $390 and the ounce price was $1,550.
    The second exchange took place on September 12, 2008:
    Maddox: U got a line on some az?
    Maddox: u got a line?
    Maddox: What He talkin bout?
    Cooper: Three fifty
    Maddox: 2ps?
    Cooper: for three of them
    Vicchio testified that Maddox appeared to be looking for marijuana, though Vicchio did not
    recall the meaning of “ps.”
    On appeal, Cooper argues that these text messages are insufficient to connect him to the
    conspiracy because the amount of marijuana discussed—a quarter ounce—is consistent with his
    admitted personal use; the messages, he argues, are evidence that he and Maddox sought to find
    marijuana to smoke together.
    While this Court is sympathetic to Cooper’s argument in the abstract, based on the
    circumstances of the text messages here, a jury could have concluded that Cooper and Maddox
    were discussing an amount of marijuana they intended to sell. The messages corresponded to a
    time period when, according to Rush, Maddox was selling marijuana in $50 bags—amounts well
    below the $390 amount at issue in the texts.
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    3.      Money Laundering.       Section 1956(a)(1)(A)(i) provides for criminal penalties
    against any person who, “knowing that the property involved in a financial transaction represents
    the proceeds of some form of unlawful activity, conducts or attempts to conduct such a financial
    transaction which in fact involves the proceeds of specified unlawful activity . . . with the intent
    to promote the carrying on of specified unlawful activity.” 18 U.S.C. § 1956(a)(1)(A)(i). To
    prove a defendant guilty of promotional money laundering, the government must prove that he
    “(1) conducted a financial transaction that involved the proceeds of unlawful activity; (2) knew
    the property involved was proceeds of unlawful activity; and (3) intended to promote that
    unlawful activity.” United States v. Haun, 
    90 F.3d 1096
    , 1100 (6th Cir. 1996), overruled in part
    on other grounds by United States v. Crosgrove, 
    637 F.3d 646
    , 654 (6th Cir. 2011). “The
    paradigmatic example of this crime is a drug dealer using the proceeds of a drug transaction to
    purchase additional drugs and consummate future sales.” United States v. Warshak, 
    631 F.3d 266
    , 317 (6th Cir. 2010) (citation omitted).
    Multiple witnesses testified to the existence of the money-laundering scheme. Rush
    testified that he and Maddox wired money from the sale of drugs through Western Union to other
    co-conspirators and to Maddox’s family members using fake names. Lynn Barker, a contract
    financial investigator with the United States Department of Justice’s Organized Crime Drug
    Enforcement Task Force, testified that he tracked down fifty-two such wire transfers sent by
    Maddox to others between May 2005 and March 2009. These totaled $24,201.00, and were sent
    from at least sixteen different addresses Maddox used in Tennessee and elsewhere. Barker also
    found $62,332.00 in wire transfers sent to Maddox in Utica and Rochester, New York, and
    various areas near Atlanta, Georgia. These transfers were mostly made in amounts less than
    $1,000, such that the recipient did not have to show identification to receive the cash, or less than
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    $3,000, so as to avoid federal reporting requirements. Barker found one transfer from Maddox to
    Cooper for $900 that Cooper received in Utica, New York, on February 24, 2007.                  The
    investigator also tracked twenty-two more transfers totaling $8,560.00 from Maddox to his sister,
    Kizzy Lukerson, who is also Cooper’s wife.
    Barker also testified that drug-traffickers often use wire transfer services to send money
    easily and without detection by law enforcement. He explained that, while they often send large
    amounts of money for purchasing drugs through human couriers, they rely on wire transfers of
    smaller amounts for unbudgeted expenses that arise when deals do not go as planned.
    Cooper concedes that “[i]t is clear that the conspirators used Western Union to transfer
    money that was the proceeds of illegal activity,” but maintains that “no direct evidence”
    demonstrated that he had the requisite knowledge of and intent to join the conspiracy, or that the
    money transferred to him was used to promote further illegal activity. By comparison, he argues,
    he introduced specific evidence that he did not use the $900 to promote the drug conspiracies.7
    Cooper ignores, however, that the government presented substantial circumstantial
    evidence to support his conviction. Barker testified that, in his experience, drug traffickers often
    send wire transfers of small amounts of money during the course of drug deals to cover
    unanticipated costs that arise, such as a higher asking price for drugs or extended trips. Of the
    transfers in co-conspirators’ names that Barker uncovered, dozens were sent to and from the
    same areas where Maddox and his collaborators purchased narcotics and conducted activities
    relating to the drug conspiracies. As to Cooper specifically, not only did he receive at least one
    7
    According to Cooper’s brief, he “introduced evidence [at trial] that the single wire transfer sent
    to him by Maddox was contemporaneous with his payment to the auto repair shop for the repairs
    to his transmission.” The exhibit Cooper references for this statement, however, is not included
    in his appeal. A review of testimony from trial reveals only that it was a check from Western
    Union made payable to Cooper in the amount of $900.
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    known transfer of $900 that he cashed, but the jury found him guilty of the related drug
    conspiracies that the wire transfers allegedly promoted and were integral to, such that his
    knowledge of how the money was used and his intent to join the wire transfer conspiracy
    reasonably could have been inferred.
    4.      Witness Intimidation. Finally, Cooper challenges the sufficiency of evidence
    leading to his conviction for conspiring to intimidate a witness in violation of 18 U.S.C.
    §§ 1512(b)(1), 1513(b)(2).8 This, too, has no merit.
    To prove a witness-intimidation conspiracy, the government must show: “(1) that the
    conspiracy was wilfully [sic] formed and existed at or about the time alleged in the indictment;
    (2) that the accused willfully became a member of the conspiracy; (3) that one of the conspirators
    thereafter knowingly committed at least one over[t] act charged in the indictment at or about the
    time and place alleged; and (4) that such overt act was knowingly done in furtherance of some
    object or purpose of the conspiracy as charged.” United States v. Crawford, 60 F. App’x 520,
    533 (6th Cir. 2003) (quoted case omitted). A defendant need not have participated in each overt
    act in furtherance of the scheme. 
    Id. at 534.
    At trial, the government introduced the recording of a voicemail message Maddox left for
    Rush, calling him a “fucking rat bitch” and threatening that he had “better watch [his] step out
    there nigga cause [he] ain’t safe.” Maddox then immediately called Cooper and told him to
    8
    Section 1512(b)(1) makes it a crime for a person to “knowingly use[] intimidation, threaten[],
    or corruptly persuade[] another person, or attempt[] to do so, or engage[] in misleading conduct
    toward another person, with intent to influence, delay, or prevent the testimony of any person in
    an official proceeding.” Section 1513(b)(2) makes it a crime for a person to “knowingly
    engage[] in any conduct and thereby cause[] bodily injury to another person or damage[] the
    tangible property of another person, or threaten[] to do so, with intent to retaliate against any
    person for any information relating to the commission or possible commission of a Federal
    offense or a violation of conditions of probation, supervised release, parole, or release pending
    judicial proceedings given by a person to a law enforcement officer.”
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    “[g]reen light on” Rush, which an FBI cryptanalyst testified usually means to order to kill or
    seriously harm a person. Maddox told Cooper that he was “going to smash” and “beat the breaks
    off” of Rush for cooperating with law enforcement. He also instructed Cooper “if you come in
    contact [with Rush,] don’t let him talk that sweet talk shit” and “make sure he don’t talk that love
    talk with niggas, you know what I mean”—to which Cooper responded, “Yeah no doubt, no
    doubt” and “No sir.”
    Maddox then called and told Ruffin that he wanted a “universal beat down” of Rush and
    wanted to “physically destroy” and “change [Rush’s] whole face.” Ruffin shared with Maddox
    that “the goons” had already been sent “out after” Rush.
    In addition, Ballinger—the jailhouse informant—testified that Cooper warned him not to
    snitch on Cooper because “where they from, they kill snitches, and they’ve got enough money
    out there to have [Ballinger] and [his] family killed.”
    Altogether, a reasonable juror could have concluded that Maddox, Cooper, and Ruffin
    formed a conspiracy to intimidate Rush and took several overt acts in furtherance of it. Cooper
    argues that, even if “it is certainly evident that Maddox threatened Rush” and intended to further
    threaten him, there was no evidence of an agreement that Cooper would take action to further
    Maddox’s goal. For support, he points to the fact that he responded to Maddox’s “green light”
    statement by asking “Yeah?” While Cooper expressed initial surprise, he ignores the evidence
    that he followed his initial “Yeah?” with multiple, affirmative statements that he understood and
    agreed with Maddox’s instructions, and ended the conversation stating several times “yeah” and
    “alright.”
    As a result, Cooper’s convictions were supported by sufficient evidence.
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    E. Dorsey
    Dorsey was convicted of conspiracy to distribute and to possess with the intent to
    distribute 500 grams or more of cocaine, and of aiding and abetting the possession with the intent
    to distribute 500 grams or more of cocaine.       He argues the government failed to present
    sufficient evidence because it relied almost exclusively on his presence at the scene of the May
    7, 2009, arrest and on testimony by Rush and Sanders, who were not credible witnesses. As
    discussed above, and as defense counsel surely knows, the role of this Court is not to replace the
    jury as an arbiter of credibility, but to review the record as it appears before us. Based on this
    record, the government presented sufficient evidence to convict Dorsey.
    Rush testified that Maddox brought Dorsey and Miller to Tennessee from New York in
    2004, 2005, or 2006 so that they could sell drugs for him. Though Dorsey was living with Rush
    and Maddox at the time, Rush’s testimony and an April 29, 2009, phone call between Rush and
    Maddox showed that Maddox was arranging for Dorsey and Miller to live in and monitor a
    “stash house” down the street from Maddox’s apartment where Maddox could cook crack
    cocaine and store drugs and money. Sanders also testified that Maddox informed him that
    Dorsey had come to Tennessee to sell drugs.
    As for the police search of Maddox’s apartment on May 7, 2009, Dorsey was more than
    an innocent bystander present at the house; the government’s evidence showed Dorsey took
    actions to safeguard the cocaine in the trunk of Ebberts’s rental car. Before Ebberts arrived at
    Maddox’s apartment, police officers observed Dorsey leave the apartment several times to look
    down the road while on the phone. Rush testified that Maddox called Dorsey to warn him that
    Maddox and Rush had been pulled over by police on their way back from Atlanta. During that
    call, according to Rush, Dorsey informed Maddox that police were simultaneously at Maddox’s
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    apartment door, and Maddox told Dorsey not to let the police enter. Maddox told Rush that he
    instructed Dorsey to flush the keys to Ebberts’s rental car. For her part, Ebberts testified that
    Dorsey and Miller were at the apartment when she arrived. When she learned the police were at
    the door, she called Rush and passed the phone to Dorsey, who left the room with it; Miller then
    returned with the phone and asked Ebberts to hide the rental car keys. After police officers
    searched the apartment and arrested Dorsey, Miller, and Ebberts, they found more than one
    kilogram of cocaine and 67 grams of marijuana in the trunk of the rental car.
    Finally, the government introduced evidence that Dorsey and Maddox contacted each
    other 90 times in the week before the arrest. This circumstantial evidence supports an inference
    that Dorsey served a role in the plans surrounding the Atlanta cocaine buy. Ultimately, the
    totality of the evidence supported his convictions.
    V.      DENIAL OF MOTIONS FOR NEW TRIAL & MISTRIAL
    A. Cooper
    Cooper argues that the district court erred in denying his motion for a new trial when it
    determined that the jury’s verdict was not against the manifest weight of the evidence.
    “Generally, such motions are granted only in the extraordinary circumstance where the evidence
    preponderates heavily against the verdict.” United States v. Hughes, 
    505 F.3d 578
    , 592–93 (6th
    Cir. 2007) (citation and quotation marks omitted). In this situation, a reversal “is proper when
    the government has presented sufficient evidence to convict, but the [district court] disagrees
    with the jury’s resolution of conflicting evidence.” United States v. Lutz, 
    154 F.3d 581
    , 589 (6th
    Cir. 1998). The court then “can act in the role of a ‘thirteenth juror’ and consider the credibility
    of the witnesses and the weight of the evidence to insure that there is not a miscarriage of
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    justice.” 
    Id. We review
    the trial court’s ruling to determine whether it was a clear and manifest
    abuse of discretion. 
    Hughes, 505 F.3d at 593
    .
    In denying Cooper’s motion, the district court ran through the same evidence we have
    discussed regarding Cooper’s sufficiency of evidence claim. Cooper’s only new argument on
    appeal is that the district court erred in denying the motion after it acknowledged inconsistencies
    existed in the testimony of a jailhouse informant and between some witnesses’ testimony.
    However, the district court made clear that, having “heard all the proof at trial and observed the
    witnesses first-hand,” it determined the case was not against the manifest weight of the evidence.
    The court based this decision on its assessment of the witnesses, the nature of the proof, and the
    weight of other evidence against Cooper. While Cooper once again presents the inconsistencies
    in testimony on appeal, nothing in the record indicates to us that the district court abused its
    discretion in assessing the witnesses’ credibility and, as a result, in finding the verdict was not
    against the manifest weight of the evidence.
    B. Maddox
    Maddox argues that the trial court erred in denying a motion for mistrial that he filed in
    response to the government’s questions about and references to his religious beliefs. He claims
    that, “[o]n this ground alone, the entire trial was rendered unfair, a mistrial should have been
    granted by the trial court, and a new trial should be granted by this Court.” We review the
    district court’s denial of a motion for a mistrial for abuse of discretion.      United States v.
    Martinez, 
    430 F.3d 317
    , 336 (6th Cir. 2005).
    At trial, the government introduced evidence that Maddox and various co-defendants
    used coded language to communicate. As explained by Shawn McGirt, the government’s second
    witness, this included a code for numbers based on the “Supreme Mathematics” system
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    employed by members of the Five Percent Nation (or “Five Percenters”), a group affiliated with
    the Nation of Islam.
    Testimony regarding the Five Percenters came up three times at trial.            First, the
    government played a recorded phone call between McGirt and Maddox in which McGirt ordered
    500 grams of cocaine. On the call, McGirt told Maddox, “I’m trying to receive some Power,
    Cipher, Cipher when I get there.” McGirt testified that “power, cipher, cipher” meant 500
    because “power” represented “five” and “cipher” meant “ten” in the Five Percent Nation’s
    Supreme Mathematics system. When asked to explain what the Five Percent Nation was, he
    said, “Well, it’s the Nation of Islam.”
    Maddox’s counsel immediately objected to the mention of Islam, arguing in a sidebar that
    “bringing up . . . Islam in these times in highly prejudicial.” Noting that discussion of the code
    was admissible, the court overruled the objection, but admonished the government not to “go
    into pursuing the religious aspect of it.”
    Several days later, the government asked Rush if he was familiar with the term Five
    Percenter. He responded: “Yes, Sir. A Five Percenter is a person who don’t believe in God,
    which I do. A Five Percenter is a person who believe that they are God, that they control their
    own destiny.” Maddox’s counsel immediately objected, and the court instructed the jury to
    disregard the statement. Rush then continued by testifying about his understanding of the
    Supreme Mathematics code. After a break, Maddox’s counsel moved for a mistrial, which the
    court denied.
    Finally, after Maddox took the stand one week later, the government asked him on cross
    examination, “what does it mean to be a Five Percenter?” Maddox refused to answer the
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    question, which his counsel then objected to, and the government agreed to move on in its
    questioning.
    In considering whether improper statements made by a witness at trial warrant granting a
    mistrial, this Court considers five factors: “(1) whether the remark was unsolicited, (2) whether
    the government’s line of questioning was reasonable, (3) whether the limiting instruction was
    immediate, clear, and forceful, (4) whether any bad faith was evidenced by the government, and
    (5) whether the remark was only a small part of the evidence against the defendant.” Zuern v.
    Tate, 
    336 F.3d 478
    , 485 (6th Cir. 2003) (citing United States v. Forrest, 
    17 F.3d 916
    , 920 (6th
    Cir. 1994)). In addition, “[g]enerally, ‘the subsequent striking of erroneously admitted evidence
    accompanied by a clear and positive instruction to the jury to disregard it cures the error’ unless
    the stricken evidence is so prejudicial that its harmful effect cannot be eliminated.” United
    States v. Chambers, 
    944 F.2d 1253
    , 1263 (6th Cir. 1991) (quoting United States v. Greene, 
    400 F.2d 847
    , 848 (6th Cir. 1968)), superseded on other grounds by statute as recognized in United
    States v. Avery, 
    128 F.3d 966
    , 972 (6th Cir.1997).
    Based on these factors, it is clear that McGirt’s and Rush’s comments did not warrant a
    mistrial, and the district court did not abuse its discretion in denying Maddox’s motion. First, the
    government had reason to ask McGirt to explain the context of a code he used in a recorded
    conversation he had with Maddox. When he responded that the code came from the Five Percent
    Nation’s Supreme Mathematics system—terms likely unfamiliar to an average juror—the
    government reasonably asked McGirt to explain what the Five Percent Nation is.                  The
    government did not launch a fishing expedition into Maddox’s beliefs by asking these basic
    questions, and McGirt’s matter-of-fact response that the Five Percent Nation “is the Nation of
    Islam” was neither inappropriate nor unduly prejudicial on its own.
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    By contrast, Rush’s comment about Five Percenters not believing in God was
    inappropriate, but did not warrant a mistrial under the Forrest factors. The remark came
    unsolicited, as the government asked Rush if he was familiar with the Five Percent Nation, not to
    explain the group’s religious beliefs. He began by answering, “yes, sir” before beginning an
    unsolicited repudiation of the Five Percenters’ beliefs. But, in asking Rush about his familiarity
    with the Five Percent Nation, the government appeared to be reasonably laying the foundation to
    elicit testimony from Rush about Supreme Mathematics specifically. (It questioned Rush about
    this soon after Maddox raised the objection.)
    Undoubtedly, the government could have asked Rush if he was familiar with Supreme
    Mathematics, rather than asking first if he was familiar with the Five Percent Nation and risking
    drawing an objectionable response. That said, the two subjects—Supreme Mathematics and the
    Five Percent Nation—appear so intertwined in practice that a witness like Rush speaking to his
    familiarity with the code likely could not explain one without at least mentioning the other.
    In addition, the government realized the impropriety of the response and did not object to
    striking the remark. The Court then immediately and clearly instructed the jury to disregard the
    testimony. Ultimately, this comment formed only a tiny part of the evidence presented at trial,
    which lasted ten days and included testimony by almost forty witnesses.
    Nonetheless, Maddox argues Rush’s comment was grounds for a mistrial because it was
    unduly prejudicial and was “a bell that could not be un-rung.” This Court does not agree. The
    statement, while inappropriate, had nothing to do with the substance of the charges in the case
    and was so irrelevant to the issue of guilt that it could easily have been ignored by the jury,
    which was presented with overwhelming evidence of Maddox’s role in the drug-trafficking
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    operation. As was in its discretion, the trial court immediately instructed the jury to disregard the
    statement. See Fed. R. Evid. 403.
    As for the government’s direct question to Maddox, the issue is one of prosecutorial
    misconduct.9 “When reviewing claims of prosecutorial misconduct [based on statements made
    by the government’s counsel], we determine first whether the statements were improper. If they
    appear improper, we then look to see if they were flagrant and warrant reversal.” United States
    v. Tarwater, 
    308 F.3d 494
    , 511 (6th Cir. 2002) (citations omitted).
    Here, the government’s statement—a question to Maddox about what the term “Five
    Percenter” means—does not appear to have been improper, though it may very well have been
    extraneous or even deliberately provocative before a hostile witness. Again, this question related
    to an admissible subject of testimony: the code Maddox and some co-defendants used to
    communicate. The question itself did not ascribe any beliefs to or make judgments about Five
    Percenters—it simply asked Maddox to describe them. In addition, there is no evidence that the
    government posed the question in bad faith. Once Maddox’s counsel objected, the prosecution
    immediately agreed to move on.
    Nonetheless, on appeal, Maddox cobbles together a pastiche of reasons why the statement
    was improper.     First, he suggests the question was inappropriate in light of the religious
    freedoms guaranteed by the First Amendment, but stops short of arguing the government
    violated any First Amendment protections.10 (“The government’s repeated trespasses . . . are in
    9
    The district court ruled on the motion for mistrial before the government cross-examined
    Maddox, and Maddox did not renew his motion after the government’s allegedly improper
    question. Neither party addresses this timing issue. However, this Court will treat the
    government’s question as supporting Maddox’s motion for mistrial.
    10
    Maddox broadly characterizes all three statements as “the government’s actions,” which he
    finds objectionable under the First Amendment. However, the first two comments were made by
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    the vein of the very type of government conduct against which the First Amendment is meant to
    be an absolute prohibition.”)    This Court declines to entertain the suggestion that a First
    Amendment violation has occurred; Maddox cannot seriously argue that the First Amendment
    serves as an absolute bar to government questioning of a witness on a question relevant to
    proving a defendant took part in illegal activity—however benign the government’s question—
    simply because the answer touches upon a person’s belief system.
    Next, Maddox suggests the government’s question served to recall prior witnesses’
    unduly prejudicial testimony and “was an apparent attempt to attack his credibility,” in violation
    of Federal Rules of Evidence 403 and 610. See Fed. R. Evid. 610 (2010) (amended 2011)
    (“Evidence of the beliefs or opinions of a witness on matters of religion is not admissible for the
    purpose of showing that by reason of their nature the witness’ credibility is impaired or
    enhanced.”). First, no actual violation of the rules of evidence occurred here, as a lawyer’s
    unanswered question is not evidence. Second, Maddox offers no argument or actual evidence to
    show that the government intended to elicit improper testimony from Maddox. As discussed
    above, nothing in the record suggests that the government acted in bad faith in questioning
    witnesses about the Five Percent Nation, or that its broad question to Maddox was an attempt to
    ridicule him or undermine his credibility. The use of the Supreme Mathematics code was a
    relevant fact at trial. In this context, that Maddox’s substantive beliefs may be unpopular or out
    of the mainstream alone does not suffice to make the government’s question improper.
    As a result, the district court did not err in denying Maddox’s motion for mistrial.
    McGirt and Rush. If he assumes that their comments should be considered government action
    because they served as witnesses for the prosecution, he has not argued this.
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    VI.     VARIANCE
    As to his drug and money-laundering convictions, Cooper argues for the first time on
    appeal that the proof at trial showed multiple conspiracies—and not the single conspiracies he
    was charged with—creating impermissible variances to the indictment. Because he did not raise
    this as an objection before the district court, we review the claim for plain error on appeal.
    United States v. Kuehne, 
    547 F.3d 667
    , 682 (6th Cir. 2008).
    “A variance occurs when ‘the charging terms [of an indictment] are unchanged, but the
    evidence at trial proves facts materially different from those alleged in the indictment.’” United
    States v. Hathaway, 
    798 F.2d 902
    , 910 (6th Cir. 1986) (quoted case omitted). A variance does
    not constitute reversible error, unless the defendant can prove it affected his “substantial rights,”
    because it either prejudiced his defense, the fairness of trial, or the indictment’s sufficiency to
    bar subsequent prosecutions. 
    Id. at 910–11.
    A defendant may show that a variance occurred in a conspiracy case, “[i]f an indictment
    alleges one conspiracy, but the evidence can reasonably be construed only as supporting a
    finding of multiple conspiracies.” United States v. Warner, 
    690 F.2d 545
    , 548 (6th Cir. 1982).
    To prove a conspiracy, “the government must show that each alleged member agreed to
    participate in what he knew to be a collective venture directed toward a common goal”; however,
    “a single conspiracy does not become multiple conspiracies simply because each member of the
    conspiracy did not know every other member.”            
    Id. at 549
    (citations and quotation marks
    omitted). This Court has recognized this is particularly relevant in drug-trafficking conspiracies.
    “Conspiracies to distribute narcotics, which normally involve numerous sales and resales of
    drugs until they reach the ultimate consumers, are often ‘chain’ conspiracies,” in which “the
    agreement can be inferred from the interdependent nature of the criminal enterprise.”             
    Id. - 49
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    (citations omitted).   “Because the success of participants on each level of distribution is
    dependent upon the existence of other levels of distribution, each member of the conspiracy must
    realize that he is participating in a joint enterprise, even if he does not know the identities of
    many of the participants.” 
    Id. Cooper argues
    “there is insufficient evidence to demonstrate he joined the Tennessee
    conspiracy” or that he shared a common goal with the conspirators because, at most, the
    government showed he conspired in a separate conspiracy with Maddox in New York. As
    discussed above, this not only understates the evidence, it ignores the geographic scope of the
    Maddox conspiracy presented at trial.
    By all accounts, Maddox served as the central figure to the drug and money-laundering
    conspiracies that spanned several states. The evidence, viewed in the light most favorable to the
    government, showed Maddox and his co-conspirators operated a network that bought and sold
    cocaine and marijuana, and cooked crack cocaine, which they also sold. Not only did Maddox
    come from New York originally, he recruited many of his co-conspirators from there and
    maintained contact with others. Maddox also traveled to New York regularly during the course
    of the conspiracy and would continue the work of the conspiracy in New York by purchasing
    narcotics and cooking crack cocaine. In addition, he sent female couriers to ferry his associates
    and pick up drugs from suppliers in New York, Florida, and Georgia. Following this interstate
    supply chain was a money-wiring scheme that flowed from Tennessee to New York, Florida, and
    Georgia, as well.
    The evidence at trial presented Cooper to be one of Maddox’s surrogates, conducting
    retail sales, buying kilograms of cocaine, and operating “trap houses” from which he sold crack
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    cocaine. In this sense, his role was intertwined and interdependent on the other members of the
    conspiracies, even if he did not work with them directly.
    Because the jury could easily construe the evidence to show only one conspiracy for each
    count, no variance existed between the proof and the indictment.
    VII.    SENTENCING
    Carr, Cooper, DeJesus, Maddox, Miller, and Ruffin all challenge their sentences on
    appeal.     Although there were threats made, there was no violence committed, and so the
    defendants are non-violent minority drug dealers. The Government asked for long sentences
    under the sentencing Guidelines, including life imprisonment for Maddox and very long
    sentences for others. This Court must review sentencing decisions under an abuse-of-discretion
    standard to determine if they are reasonable. Gall v. United States, 
    552 U.S. 38
    , 46–51 (2007).
    Under this review, we “must first ensure that the district court committed no significant
    procedural error, such as failing to calculate (or improperly calculating) the Guidelines range,
    treating the Guidelines as mandatory, failing to consider the § 3553(a) factors, selecting a
    sentence based on clearly erroneous facts, or failing to adequately explain the chosen sentence—
    including an explanation for any deviation from the Guidelines range.” 
    Id. at 51.
    We then
    “consider the substantive reasonableness of the sentence imposed,” and “take into account the
    totality of the circumstances, including the extent of any variance from the Guidelines range.”
    
    Id. We may
    apply a presumption of reasonableness for sentences within the Guidelines range.
    
    Id. However, “[t]he
    fact that [we] might reasonably have concluded that a different sentence was
    appropriate”—or that the sentence is too long—“is insufficient to justify reversal of the district
    court.” 
    Id. - 51
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    A. Carr
    After the jury found Carr guilty of cocaine, cocaine base, and money laundering
    conspiracies, the district court sentenced him to a term of 235 months’ incarceration (almost
    twenty years) and five years’ supervised release.         Carr argues that his sentence is both
    procedurally and substantively unreasonable because the district court did not make an
    independent finding of fact regarding the quantity of drugs in the cocaine conspiracy attributable
    to him only. We review a district court’s determination of the quantity of drugs attributable to a
    defendant for sentencing purposes for clear error. United States v. Jackson, 
    470 F.3d 299
    , 310
    (6th Cir. 2006).
    As to the cocaine conspiracy, Carr’s Presentence Investigation Report stated he would be
    held accountable for five kilograms of cocaine. He states this was based on one fact: the jury
    found him guilty of conspiracy to distribute and to possess with the intent to distribute five
    kilograms of cocaine. Given this basis, he argues that (1) the district court was not bound by the
    jury’s factual finding regarding the five kilograms because the drug quantity was not an element
    of the offense, and (2) the court had an obligation to make particularized findings of fact
    regarding Carr’s role in the conspiracy in order to sentence Carr for the quantity of cocaine that it
    determined he was actually responsible for.          Because the trial court failed to make any
    “independent determination” as to this quantity, he argues, this Court should remand his case for
    re-sentencing.
    However, not only is Carr’s legal assumption regarding the elements of his offense
    questionable under Alleyne v. United States, 
    133 S. Ct. 2151
    , 2155, 2163 (2013) (holding that a
    fact constitutes an element of an offense if it increases the penalties to which the defendant is
    subjected), but his factual basis is simply incorrect.
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    The presentencing report did not base its conclusions regarding Carr’s responsibility for
    the cocaine conspiracy on the verdict only. The report specifically detailed the government’s
    evidence against Carr at trial, including testimony from Rush and Campbell, as well as recorded
    conversations that all tied Carr to large purchases of powder cocaine. Based on this information
    and the jury verdict, the report concluded Carr would be held accountable for five kilograms. It
    stated that the corresponding guideline range for a total offense level of 36 with Carr’s criminal
    history category of III was 235 to 293 months’ imprisonment.            In addition, Carr faced a
    mandatory minimum of ten years and a maximum sentence of life on the cocaine conviction. As
    was within the court’s discretion, it sentenced Carr to the bottom of his Guidelines range
    established in these drug cases by the Sentencing Commission.
    Because the district court had factual support for its conclusion, it did not clearly err in
    determining the quantity of drugs attributable to Carr, and his sentence was not unreasonable.
    B. Miller
    Miller’s only claim on appeal is that the district court erred in failing to consider whether
    he was entitled to a minor-role sentence reduction under U.S.S.G. § 3B1.2, based on his limited
    role in the conspiracy. Whether a defendant is entitled to a reduction for his role in the offense
    depends heavily on factual determinations, which we typically review for clear error. United
    States v. Bailey, 
    488 F.3d 363
    , 369 (6th Cir. 2007). “The defendant has the burden of proving by
    a preponderance of the evidence that he is entitled to the reduction.” 
    Id. When a
    defendant fails
    to request such an adjustment before sentencing, we review for plain error. United States v.
    Cobb, No. 96-5449, 
    114 F.3d 1189
    , 
    1997 WL 289701
    , at *1 (6th Cir. 1997) (table decision).
    Section § 3B1.2 of the Guidelines allows a district court to decrease a defendant’s offense
    level by two levels if he “was a minor participant in any criminal activity” and by up to four
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    levels if he “was a minimal participant.” The application note for the Guideline explains that
    “[t]his section provides a range of adjustments for a defendant who plays a part in committing
    the offense that makes him substantially less culpable than the average participant.” U.S.S.G. §
    3B1.2, cmt. 3(A).     However, “where a defendant plays a less significant but nevertheless
    ‘pivotal,’ ‘vital,’ or ‘necessary’ role in the relevant criminal activity, it is not error to deny him
    an adjustment as a minor participant.” Cobb, 
    1997 WL 289701
    , at *2 (citations omitted). In
    addition, “[d]efendants may be minimal or minor participants in relation to the scope of the
    conspiracy as a whole, but they are not entitled to a mitigating role reduction if they are held
    accountable only for the quantities of drugs attributable to them.” United States v. Campbell,
    
    279 F.3d 392
    , 396 (6th Cir. 2002).
    Miller failed to raise this § 3B1.2 reduction objection in his presentencing memorandum
    or at the sentencing hearing, and the district court did not address the issue sua sponte. On
    appeal, Miller argues that the evidence showed that he served as a simple courier for what
    appeared to be an out-of-state purchase of an unknown quantity of a drug; delivered some
    cocaine to Maddox’s customers at Maddox’s direction; and, at most, transmitted messages and
    followed orders from Maddox on May 7, 2009, the day that Maddox, Rush, and Ebberts were
    arrested transporting more than a kilogram of cocaine from Atlanta to Johnson City. The jury,
    nonetheless, convicted him on one count of conspiracy to distribute and to possess with the intent
    to distribute between 500 grams and five kilograms of cocaine, and one count of aiding and
    abetting possession with intent to distribute 500 grams or more of cocaine. Because he did not
    directly take part in the drug deal that occurred on May 7, 2009, however, he argues he had a
    minor role in the conspiracy for which he was convicted.
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    The government offers little by way of a counter-argument other than to state that
    evidence showed Miller “actively sold drugs” and that his sentence was lower than other
    coconspirators’ sentences. This comparison, however, is inapt; application note 3(A) to section
    3B1.2 requires the court to compare a defendant’s role in the conspiracy to that of the average
    participant, not to compare their sentences.
    These facts present a close call. The evidence showed Miller’s role on May 7, 2009, was
    particularly limited: while other co-conspirators rented cars, transported money to Atlanta and
    drugs back to Johnson City, and arranged the purchase and conducted the transaction, Miller
    stayed at Maddox’s home, waiting for Ebberts’s arrival. There is no evidence he did anything
    with drugs she couriered, as they were found in the trunk of her parked car and not inside the
    home. The extent of his activity involved asking Ebberts to hide the rental car keys when the
    police descended on the home.
    If the district court also held Miller accountable for his role in the broader conspiracy—
    and it’s unclear if it did or not—we might determine this role was similarly limited compared to
    others. First, Rush testified that Maddox brought Miller to Tennessee several times to sell drugs.
    Rush witnessed Miller sell eight-ball and $50 quantities of crack cocaine, and give Maddox $300
    and $500 for the eight-balls he sold. Next, Campbell, the courier, connected Miller to what
    appears to be one cocaine purchase: she testified that Miller escorted her in a separate car on a
    trip in which she couriered two unmarked duffle bags from Tennessee to Atlanta and then New
    York, where Miller took the bags out of her car.         Finally, Maddox indicated that he was
    arranging for Miller to live in and monitor a stash house, though this act had not yet occurred.
    By contrast, others in the conspiracy had more responsibility and dealt with larger
    quantities of drugs. On a routine basis over the course of six years, they regularly arranged the
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    purchase of kilogram quantities of cocaine from suppliers in other states. They then cooked the
    cocaine into crack cocaine and distributed it. Rush, for one, estimated he cooked forty kilograms
    of cocaine into crack cocaine for Maddox. Limited evidence connected Miller to the purchase of
    cocaine and none to its cooking.
    While these facts show that Miller was possibly eligible for the minor-role reduction, we
    cannot conclude plain error occurred here. Miller has not cited—and we have not found—any
    cases in which we have remanded a sentence for a minor-role reduction on similar facts. By
    contrast, we have upheld the district court’s denial of the minor-role reduction in several cases of
    low-level drug couriers with similar levels of involvement in the offenses in which they were
    convicted. See, e.g., United States v. Salas, 
    455 F.3d 637
    , 643–44 (6th Cir. 2006); United States
    v. Quijada, 307 F. App’x 986, 991 (6th Cir. 2009). As we have often concluded, simply because
    a district court could have applied the reduction does not mean it was required to do so. See
    
    Salas, 445 F.3d at 643
    .
    C. Cooper
    1.      Career-Offender Status. In challenging his sentence, Cooper first argues that the
    district court erroneously treated a juvenile offense as a predicate conviction so that he was
    subjected to a career-offender enhancement on his sentence. While this Court reviews the
    underlying findings of fact in a district court’s sentencing calculations for clear error, the district
    court’s conclusions of law are reviewed de novo. United States v. Galloway, 
    439 F.3d 320
    , 322
    (6th Cir. 2006).
    Cooper’s presentencing report classified him as a career offender under section 4B1.1(a)
    of the sentencing guidelines based on two past offenses. The first of these was for the possession
    and sale of a controlled substance in the third degree in May 1993, when Cooper was 17.
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    According to the report, Cooper pled guilty to the offense in 1995, was adjudicated a youthful
    offender, and was sentenced to six months’ imprisonment and five years of probation. However,
    he then violated parole in 1999 and was resentenced to one to three years’ imprisonment. The
    report determined that Cooper had five criminal history points and a criminal history category of
    III; however, his career-offender status enhanced this to criminal history category VI and a
    Guidelines range of 360 months to life.
    Under section 4B1.1 of the sentencing guidelines, a defendant is classified as a career
    offender if, among other requirements, he “has at least two prior felony convictions of either a
    crime of violence or a controlled substance offense.” U.S.S.G. § 4B1.1(a). The application note
    of the sentencing Guidelines defining these terms explains: “‘Prior felony conviction’ means a
    prior adult federal or state conviction for an offense punishable by death or imprisonment for a
    term exceeding one year.” U.S.S.G. § 4B1.2 cmt. 1 (emphasis added). It adds, “[a] conviction
    for an offense committed prior to age eighteen is an adult conviction if it is classified as an adult
    conviction under the laws of the jurisdiction in which the defendant was convicted.” 
    Id. The question
    here, then, is whether Cooper’s 1993 youthful offender adjudication “is
    classified” as an adult conviction under New York law so as to constitute a “prior felony
    conviction” for purposes of the career-offender Guidelines.
    Under New York law, a youth charged with a crime committed when he was between
    sixteen and eighteen years old may, under certain conditions, be adjudicated as a “youthful
    offender.”   N.Y. Crim. Proc. Law §§ 720.10(1)–(2), 720.20(1)–(3).             This allows for the
    instrument charging him to be sealed at the front end of the prosecution, 
    id. §720.15, and—once
    he is convicted—for the court to vacate and replace his conviction with a “youthful offender
    finding” and impose a “youthful offender sentence,” 
    id. §§ 720.10(4)–(5),
    720.20(1)–(4).
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    Cooper argues this adjudication does not constitute an adult conviction because the
    youthful-offender adjudication process is a “hybrid” system that forcibly treats offenders not
    quite as adults, but not as juvenile delinquents, either. Specifically, while youthful-offender
    adjudication proceedings take place in adult court and offenders may serve time in adult
    facilities, state law provides that the “adjudication is not a judgment of conviction for a crime or
    any other offense.” 
    Id. § 720.35.
    He notes that this type of adjudication cannot be used for
    enhanced sentencing under state law. See People v. Kuey, 
    631 N.E.2d 574
    , 576 (N.Y. 1994).
    The government highlights, and Cooper acknowledges, that three other circuits have
    determined that a youthful-offender adjudication in New York constitutes a career-offender
    predicate offense because “an adult ‘conviction’ is a necessary prerequisite’” to the adjudication.
    See e.g., United States v. Wallace, 
    663 F.3d 177
    , 181 (3d Cir. 2011); United States v. Peralta,
    
    457 F.3d 169
    , 171 (1st Cir. 2006); United States v. Jones, 
    415 F.3d 256
    , 263 (2d Cir. 2005). In
    Jones, for instance, the Second Circuit reasoned that “the substance of the proceedings” made the
    adjudication an adult conviction, even if the state explicitly chose not to label it as 
    such. 415 F.3d at 263
    –64.
    Based on these cases and Sixth Circuit case law, we agree with the district court that
    Cooper’s 1993 youthful-offender adjudication must be counted toward his career-offender status.
    In evaluating whether convictions of minors count as “adult convictions” under § 4B1.1, this
    circuit—like the Second Circuit—has focused on the characteristics of the crime and proceedings
    leading to the conviction. See United States v. Muhammad, 
    948 F.2d 1449
    , 1459 (6th Cir. 1991)
    (a prior conviction of an “adult” crime in “adult” court counts as a “prior adult” conviction, even
    though the defendant was a minor at the time); see also United States v. Hinds, 2 F. App’x 420,
    424–25 (6th Cir. 2001) (a defendant’s prior conviction properly counted as a predicate offense
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    because, “although he served his time in a juvenile facility, he was tried and convicted in adult
    court”). As interpreted, the application note appears to take any discretion to treat a prior offense
    as a juvenile crime away from the sentencing judge and vest it in the discretion of the state
    prosecutor’s office.
    Here, New York’s “youthful offender adjudication” designation did not change the
    underlying adult nature of Cooper’s crime and conviction; it simply offered him certain
    protections and rights at the bookends of the process. Those protections were offered in light of
    the fact that he was tried and convicted as an adult, rather than as a juvenile delinquent. In other
    words, the adult conviction served as a prerequisite to this treatment. And, strangely, while New
    York may not count these adjudications as convictions for purposes of sentence enhancements
    under state law, we seem not to be bound by the state’s interpretation for federal sentencing
    purposes under the Guidelines. See, e.g., United States v. Miller, 
    434 F.3d 820
    , 824 (6th Cir.
    2006) (“It has long been recognized that alternative sentencing such as that utilized by Georgia
    in its first-offender provision does not prevent the underlying offense from being treated as a
    prior conviction for purposes of federal sentencing statutes.”).
    2.      Procedural & Substantive Unreasonableness.           Cooper next argues that his
    sentence is procedurally and substantively unreasonable because the district court failed to
    explain why it denied his motion for a downward departure and failed to consider the sentencing
    factors under 18 U.S.C. § 3553(a). Because Cooper did not object before or after the court asked
    the Bostic question at his sentencing hearing, we must review this challenge only for plain error.
    United States v. Vonner, 
    516 F.3d 382
    , 386 (6th Cir. 2008) (en banc).
    When a defendant has been sentenced within a Guidelines range, the question on appeal
    must be limited to whether the sentencing record “‘makes clear that the sentencing judge listened
    - 59 -
    Case Nos. 11-5829/5837/5860/6191/6192/6196/6198,
    United States v. Miller, et al.
    to each argument,’ ‘considered the supporting evidence,’ was ‘fully aware’ of the defendant’s
    circumstances and took ‘them into account’ in sentencing him.” 
    Id. at 387
    (quoting Rita v.
    United States, 
    551 U.S. 338
    , 358 (2007)). While a district court must give the reasons for its
    sentence, a district court need not “give the reasons for rejecting any and all arguments by the
    parties for alternative sentences.” 
    Id. Cooper’s presentencing
    report called for a Guidelines sentence of thirty years. Cooper
    objected to the report on several grounds, which the district court addressed and rejected ahead
    of the sentencing hearing. In a brief sentencing memorandum, Cooper requested a downward
    departure to the mandatory ten-year minimum sentence.
    At the sentencing hearing, the court explicitly stated that it had received and read letters
    from Cooper and his family. It also acknowledged that Cooper “ha[d] filed a motion for a
    downward variance to a mandatory minimum sentence of 120 months,” though it did not discuss
    his request further. The court also stated that
    [it] has considered the nature and circumstances of the offense, the history
    and characteristics of this defendant. Of course, the court was here for nearly
    four weeks during the trial and heard testimony from all of the witnesses, so
    it’s not necessary at this time to review all of those factors. The court is aware
    of the fact that this defendant was found guilty of count 20 by the jury, count
    20 being conspiracy to engage in witness tampering or retaliation against an
    informant, in violation of Title 18[] U.S.C. section . . . 1512(b)(1) and
    1513(b)(2), which is a class c felony. The court has considered the advisory
    guideline range as well as the factors listed in Title 18 U.S.C. section . . .
    3553(a), and pursuant to the Sentencing Reform Act of 1984, it is the
    judgment of the court that the defendant, Ronnie Cooper, is hereby committed
    to the custody of the bureau of prisons to be in prison for a term of 360
    months.
    Cooper argues this concise recitation of the sentencing factors—rather than detailed explanation
    for the district court’s decision—makes his sentence unreasonable. However, the district court’s
    - 60 -
    Case Nos. 11-5829/5837/5860/6191/6192/6196/6198,
    United States v. Miller, et al.
    statement here was almost identical to that which we upheld against a similar challenge in
    Vonner. 
    See 516 F.3d at 386
    –88. There, the court also failed to address the merits of the
    defendant’s four-part motion for a variance and simply stated that it had considered the § 3553(a)
    factors. 
    Id. Noting the
    “sizeable gap between good sentencing practices and reversibly bad
    sentencing practices,” we refused to reverse the sentence, as there was no indication the district
    court had failed in its statutory duty to analyze the § 3553(a) factors in determining the
    defendant’s sentence. 
    Id. at 389.
    Similarly here, the district court explicitly stated that it
    received Cooper’s motion and considered the appropriate factors. Cooper’s motion itself was
    straightforward: he maintained his innocence, restated several biographical facts that had already
    come out at trial, and listed the family members who supported the reduced sentence. The
    district court explained that it had read letters from Cooper’s family and had taken Cooper’s
    “history and characteristics” into account, after having observed the trial.      Based on this
    explanation, the court did not plainly err.
    D. DeJesus & Ruffin
    In 1986, Congress enacted the Anti–Drug Abuse Act, 100 Stat. 3207, which set forth
    mandatory minimum penalties of five and ten years depending primarily upon the kind and
    amount of drugs involved in the offense. To relieve a gross disparity between the penalties for
    cocaine and crack cocaine offenses, Congress passed the Fair Sentencing Act of 2010, 124 Stat.
    2372, which increased the amount of crack cocaine needed to trigger these mandatory
    minimums.
    In Dorsey v. United States, the Supreme Court held that the Act’s reduced penalties
    applied to those who committed a qualifying offense before the Act was enacted on August 3,
    2010, but who were sentenced after its enactment. 
    132 S. Ct. 2321
    (2012). Relief under Dorsey
    - 61 -
    Case Nos. 11-5829/5837/5860/6191/6192/6196/6198,
    United States v. Miller, et al.
    is limited to this narrow tranche of offenders, however, and does not apply to pre-Act offenders
    with pre-Act sentences. United States v. Blewett, 
    2013 WL 6231727
    (6th Cir. 2013) (en banc).
    1.      DeJesus. DeJesus was sentenced on August 30, 2011, for two convictions of
    conspiracy to distribute and to possess with the intent to distribute 500 grams or more of cocaine
    (Count 1) and fifty grams or more of cocaine base (Count 5).              While the Presentence
    Investigation Report indicated that DeJesus’s total offense level of 30 and criminal history
    category of III corresponded to a range of 121 to 151 months, it concluded that a pre-Act twenty-
    year mandatory minimum restricted the range to twenty years. DeJesus objected to the report,
    requesting the district court apply the Act’s reduced penalties. The district court declined to do
    so and sentenced DeJesus to twenty years’ imprisonment.
    On appeal, both DeJesus and the government agree that DeJesus qualifies for re-
    sentencing pursuant to the Fair Sentencing Act in light of Dorsey. Given that DeJesus falls
    squarely within Dorsey’s holding, we agree and remand DeJesus’s case to the district court for
    re-sentencing pursuant to the reduced penalties afforded by the Act.11
    2.      Ruffin. Ruffin also argues he qualifies for Dorsey relief under the Fair Sentencing
    Act. Though the district court sentenced Ruffin on September 30, 2011—well after the Act’s
    enactment—it explicitly rejected a request by Ruffin to apply the Act’s provisions to his
    sentence, based on the law of the circuit at the time.
    On appeal, Ruffin and the government agree that his Guidelines range would not change
    under the Act. Even so, Ruffin argues that we should remand his case for re-sentencing to
    provide the district court the opportunity to revisit its decision based on the Act’s policies. For
    11
    DeJesus makes several other arguments regarding the constitutionality of his twenty-year
    mandatory minimum sentence. We decline to address these in light of the remand for re-
    sentencing.
    - 62 -
    Case Nos. 11-5829/5837/5860/6191/6192/6196/6198,
    United States v. Miller, et al.
    support, he cites our unpublished decision in United States v. Boyd, 478 F. App’x 323 (6th Cir.
    2012) (per curiam), in which we remanded a case for re-sentencing in light of Dorsey, even
    though we determined the defendant’s objection to his sentence on appeal was without merit.
    The trial court in Boyd had similarly rejected the defendant’s request to grant a downward
    variance based on the Act, though it did grant one on a different basis. 
    Id. at 324.
    We concluded
    that “[i]t may well be that the district court, now aware of the subsequent decision in Dorsey,
    might well conclude that an additional variance is justified.” 
    Id. Here, the
    district court did not grant a downward variance from Ruffin’s thirty year
    Guidelines range, despite argument from Ruffin that his medical condition merited special
    consideration.   Nonetheless, because the district court did not state whether its sentencing
    decision would have differed had it applied the Act, we remand the case to the district court to
    reconsider the sentence in light of the Act and Dorsey.12
    E. Maddox
    Finally, the district court sentenced Maddox to imprisonment for the rest of his life, under
    21 U.S.C. § 841(b)(1)(A), based on his two prior drug felony convictions. Maddox challenges
    12
    As with DeJesus, we decline to address Ruffin’s additional arguments that the sentence was
    procedurally and substantively unreasonable. Finally, the district court may consider whether
    DeJesus and Ruffin qualify for additional relief based on changes to the Department of Justice’s
    policy for sentencing in drug cases, in particular a new mandate that federal prosecutors refrain
    from seeking recidivist enhancements for qualifying defendants. Memorandum from Att’y Gen.
    Eric Holder for U.S. Attorneys, Department Policy on Charging Mandatory Minimum Sentences
    and Recidivist Enhancements in Certain Drug Cases (August 12, 2013), http://www.justice.gov/
    oip/docs/ag-memo-department-policypon-charging-mandatory-minimum-sentences-recidivist-
    enhancements-in-certain-drugcases.pdf; see also Memorandum from Att’y Gen. Eric Holder for
    U.S. Attorneys, Retroactive Application of Department Policy on Charging Mandatory
    Minimum Sentences and Recidivist Enhancements in Certain Drug Cases, at 2 (August 29,
    2013), available at http://www.documentcloud.org/documents/798058-ag-memo-to-usas-and-
    aag-crm-re-retroactivity-of.html (“encourag[ing]” prosecutors to apply the policy and withdraw
    21 U.S.C. § 851 informations for qualifying, convicted defendants awaiting sentencing).
    - 63 -
    Case Nos. 11-5829/5837/5860/6191/6192/6196/6198,
    United States v. Miller, et al.
    this sentence on two constitutional grounds—both foreclosed by Supreme Court and this Court’s
    precedent.
    First, Maddox argues that his sentencing enhancement violated the Sixth Amendment
    because it was based on facts (his prior convictions) that the jury did not find by proof beyond a
    reasonable doubt.    The Supreme Court has explicitly held that a judge may consider a
    defendant’s prior convictions in applying sentencing enhancements without violating the
    defendant’s Sixth Amendment rights. Almendarez-Torres v. United States, 
    523 U.S. 224
    , 239–
    47 (1998). Even as the Court has expanded the universe of facts that a jury must find by proof
    beyond a reasonable doubt, it has explicitly not overruled this decision. See 
    Alleyne, 133 S. Ct. at 2160
    n.1.
    Second, Maddox argues that “evolving standards of decency” indicate that the mandatory
    minimums under 21 U.S.C. § 841(b)(1)(A), broadly, are cruel and unusual punishment in
    violation of the Eighth Amendment. He cites surveys that indicate mandatory minimums for
    non-violent crimes are unpopular and that most Americans believe that courts—not
    legislatures—should determine criminal sentences.      For that reason, he argues, “there is a
    significant trend among the states to reform or eliminate mandatory minimums.”
    This is not an open question for us because we must abide by Supreme Court precedent,
    no matter how much we may disagree. The Supreme Court has made clear that, for non-capital
    sentences, the Eighth Amendment “forbids only extreme sentences that are ‘grossly
    disproportionate’ to the crime” and that even a sentence of life without parole is not grossly
    disproportionate for the crime of possessing 650 grams of cocaine. Harmelin v. Michigan,
    
    501 U.S. 957
    , 1001 (1991) (Kennedy, J.) (citation omitted). Based on Harmelin, this Court has
    repeatedly upheld the mandatory minimum provisions that Maddox now challenges. See, e.g.,
    - 64 -
    Case Nos. 11-5829/5837/5860/6191/6192/6196/6198,
    United States v. Miller, et al.
    United States v. Kelsor, 
    665 F.3d 684
    , 701 (6th Cir. 2011) (noting that “this court has held that
    imposition of a life sentence without parole for a third felony drug conviction is not ‘grossly
    disproportionate’ to the crime.”); United States v. Hill, 
    30 F.3d 48
    , 50–51 (6th Cir. 1994)
    (upholding a mandatory term of life imprisonment without release under 21 U.S.C. §
    841(b)(1)(A)(iii) for a defendant with two prior drug felonies).         Maddox’s life sentence,
    therefore, falls well within the bounds found acceptable by Supreme Court precedent binding on
    this Court.
    VIII. CONCLUSION
    For the reasons stated above, we AFFIRM defendants’ convictions. As to DeJesus and
    Ruffin, we REMAND their cases to the district court for re-sentencing.
    - 65 -
    

Document Info

Docket Number: 11-6191

Citation Numbers: 562 F. App'x 272

Filed Date: 4/1/2014

Precedential Status: Non-Precedential

Modified Date: 1/13/2023

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