United States v. Ford , 187 F. App'x 496 ( 2006 )


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  •                                           File Name: 06a0449n.06
    Filed: June 28, 2006
    No. 05-3312
    UNITED STATES COURT OF APPEALS
    FOR THE SIXTH CIRCUIT
    UNITED STATES OF AMERICA,                                        )         ON APPEAL FROM THE
    )         UNITED STATES DISTRICT
    Plaintiff-Appellee,                                      )         COURT FOR THE
    )         SOUTHERN DISTRICT OF
    v.                                                               )         OHIO
    )         (No. 1:03-CR-99)
    JACOB FORD, III,                                                 )
    )
    Defendant-Appellant.                                     )
    )
    )
    BEFORE:          RYAN, COOK, Circuit Judges; and GWIN, District Judge.*
    Gwin, District Judge:
    With this appeal, Defendant-Appellant Jacob Ford, III, appeals his conviction on one count
    of being a felon in possession of a firearm in violation of 18 U.S.C. §§ 922(g)(1) and 924(a)(2), and
    one count of possessing with intent to distribute more than five grams of cocaine base, in violation
    of 21 U.S.C. §§ 841(a)(1) and (b)(1)(B). A jury convicted Ford of both counts and the district court
    sentenced him to 160 months’ incarceration, five years’ supervised release, and a $2,000 fine. Ford
    timely appealed.
    *
    The Honorable James S. Gwin, United States District Judge for the Northern District of Ohio, sitting by
    designation.
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    No. 05-3312
    United States v. Ford
    With his appeal, Ford argues that the district court (1) abused its discretion in letting the jury
    use a transcript of recorded conversations at trial, (2) erred in finding that he possessed a firearm
    during the drug crime, (3) erred in assessing a criminal history point for Ford’s conviction for failing
    to confine and insure a vicious dog, and (4) erred in denying his motion for a new trial. For the
    reasons that follow, we AFFIRM the defendant’s conviction and the trial court’s orders.
    I. Background
    In October 2002, authorities in Kentucky arrested Lee Michael Taylor on federal gun
    charges. To receive a lighter sentence, Taylor agreed to become a confidential informant. [J.A. at
    185]. While incarcerated, Taylor met several times with Officer Mike Matheson of the St. Bernard,
    Ohio Police Department, and ATF Agent Scott Chard. Informant Taylor told the officers that
    Defendant Ford and others trafficked narcotics and firearms at 25 Intervine Place, Apartment 3, in
    Cincinnati, Ohio.    Officer Taylor and Agent Chard performed a corroborating background
    investigation of Ford and of the location. [J.A. at 96].
    Cooperating informant Taylor agreed to make controlled purchases of crack cocaine from
    Ford. [J.A. at 102]. On October 31, 2002, Taylor told Officer Matheson that he had arranged to
    purchase one-half ounce of crack cocaine from Ford for a price of $425.00. After receiving this
    report Officer Matheson and Agent Chard fitted Taylor with a wire transmitter, provided cash for
    the controlled purchase, and delivered Taylor near 25 Intervine Place. Taylor went to Apartment
    3 and met with Ford. Ford sold Taylor slightly less than one-half ounce of crack, for which Taylor
    paid $420.00. At trial, Taylor testified that Ford held a firearm during the transaction. [J.A. at 194].
    On November 5, 2002, Taylor again contacted Officer Matheson. Taylor told Matheson that
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    No. 05-3312
    United States v. Ford
    he had arranged to purchase additional crack and a pistol from Defendant Ford. Matheson again
    wired Taylor, prepared him for the controlled purchase, and delivered him to the vicinity of 25
    Intervine Place. After meeting with Ford, Taylor learned that Ford did not have drugs or a firearm
    for sale that day, so Taylor agreed to come back the next day. [J.A. at 207]. Later, Ford and Taylor
    spoke on the telephone and Ford told Informant Taylor that Ford would not have the items available
    for sale until November 8, 2002. On November 8, 2002, Matheson took Taylor back to 25 Intervine
    Place, with cash and wired with a recording device. Taylor went inside and purchased a pistol from
    Ford for $70.00.
    In August 2003, the grand jury returned a two-count indictment charging Ford with unlawful
    distribution of more than five grams of cocaine base on October 31, 2002, and being a felon in
    possession of a firearm on November 8, 2002. [J.A. at 12-13]. The grand jury returned a
    superseding indictment charging Ford with a third count, being a felon in possession of a firearm
    between June 1, 2002, and August 31, 2002. [J.A. at 14-15].
    Ford pled not guilty and stood for trial. During the trial, the district court permitted the
    Government to play Taylor’s recorded conversations with Ford, and also permitted the jury to use
    a Government-prepared transcript as a listening aid. On September 2, 2004, the jury convicted Ford
    of counts one and two, and acquitted him of count three.
    On February 4, 2005, Defendant Ford obtained new legal counsel. On March 1, 2005, Ford’s
    new counsel filed a motion for new trial. With this motion for a new trial, Ford’s new counsel
    argued that Ford’s trial counsel had been ineffective. The district court denied the motion. The
    district court held a sentencing hearing on March 11, 2005. There, the defendant argued that he
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    United States v. Ford
    should not receive criminal history points for his prior conviction for failure to confine and insure
    a vicious dog. The defendant further argued that he should not receive an offense level enhancement
    under USSG § 2D1.1 for possessing a firearm during a drug transaction. The district court disagreed
    with the defendant on both issues, and sentenced him to 160 months’ incarceration followed by five
    years of supervised release. This appeal followed.
    II. Legal Standard
    We review a district court’s evidentiary rulings for abuse of discretion. See United States
    v. Wesley, 
    417 F.3d 612
    , 620 (6th Cir. 2005). We also review a district court’s denial of a motion
    for new trial for abuse of discretion. See United States v. Anderson, 
    76 F.3d 685
    , 692 (6th Cir.
    1996).
    We review a district court’s legal interpretation of the advisory sentencing guidelines de
    novo. See United States v. Gardner, 
    417 F.3d 541
    , 543 (6th Cir. 2005). The de novo review extends
    to mixed questions of law and fact. See United States v. Settle, 
    414 F.3d 629
    , 630 (6th Cir. 2005).
    For purposes of determining the recommended sentence under the advisory U.S. Sentencing
    Guidelines, we accept a district court’s factual findings unless they are clearly erroneous. See
    United States v. Davidson, 
    409 F.3d 304
    , 310 (6th Cir. 2005).
    III. Analysis
    The defendant challenges: (1) the district court’s assessment of a two-point offense level
    enhancement pursuant to USSG § 2D1.1; (2) the jury’s use of the transcript of the wire recording
    during trial; (3) the district court’s denial of his motion for a new trial based on ineffective assistance
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    United States v. Ford
    of trial counsel; and (4) the district court’s assessment of one criminal history point for his prior
    conviction for failure to confine and insure a vicious dog and two criminal history points for
    committing the federal offenses while on probation.
    A. Offense Level Enhancement
    The district court added two levels to Defendant Ford’s base offense level pursuant to USSG
    § 2D1.1 based on its finding that Ford possessed a firearm during the drug transaction on October
    31, 2002. The defendant says insufficient evidence connected the firearm to the drug trafficking
    offense. The Government responds that trial evidence demonstrates that Ford possessed the firearm
    during the drug trafficking offense.
    In making the argument that there was insufficient evidence to support the enhancement
    associated with possessing a firearm during a drug transaction, Ford principally contends that the
    district court enhanced his sentence based upon his possession of a firearm on November 8, 2002.
    However, and contrary to this argument, the district court made its finding based upon the October
    31, 2002, crack cocaine sale, not the November 8, 2002, transaction. [J.A. at 65-66].1
    As the defendant points out, “[a]n enhancement under § 2D1.1(b)(1) is proper only if the
    government establishes, by a preponderance of the evidence, that (1) the defendant possessed a
    dangerous weapon (2) during the commission of a drug-trafficking offense.” United States v. Moses,
    
    289 F.3d 847
    , 850 (6th Cir. 2002).
    1
    THE COURT:    Well, I don’t have the transcript of the trial and, as I said, five months. My recollection was
    that Mr. Ford possessed a .22 caliber handgun that was to be sold. He also possessed another
    handgun which he declined to sell, which Mr. B specifically described as being in his hand
    at the time of the first drug sale.
    [J.A. at 65].
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    United States v. Ford
    The district court said it based the 2D1.1(b)(1) enhancement on trial testimony that Ford had
    a gun during the drug transaction. At trial, Cooperating Witness Taylor testified as follows with
    regard to his purchase of crack from Defendant Ford on October 31, 2002:
    Q.      When you made this buy on October 31st of 2002, did Jacob Ford have a
    gun?
    A.      Yeah.
    Q.      What kind of gun was it?
    A.      I can’t recall what kind of gun it was.
    Q.      Did he have a gun in his hands or did he have it in the holster or was he
    keeping it somewhere else?
    A.      It was in his hands.
    [J.A. at 194-195]. Based on this testimony, the district court did not err in assessing the two-level
    enhancement under USSG § 2D1.1(b)(1).
    B. Transcript Of Wire Recordings
    The defendant challenges the jury’s use of a transcript of the wire recordings as a listening
    aid during trial. Defendant Ford objected to the jury’s use of the transcript. The Government says
    the district court properly permitted the use of the transcript, and we agree.
    Defendant Ford did not stipulate to the accuracy of the transcript. Under this circumstance,
    “‘the transcriber should verify that he or she has listened to the tape and accurately transcribed its
    content. The [district] court should also make an independent determination of accuracy by reading
    the transcript against the tape.’” United States v. Jacob, 
    377 F.3d 573
    , 581 (6th Cir. 2004)
    (alteration in original) (citation omitted). The district court followed those procedures. Officer
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    United States v. Ford
    Matheson testified that he and Agent Chard prepared the transcript, and that the transcript was
    accurate. [J.A. at 132].2 The district court confirmed that it listened to the tapes and compared them
    to the transcript. But for “a couple of typos,” the district court found the transcript to be accurate.
    [J.A. at 82].
    The defendant points to the district court’s reference to “typos” and Taylor’s statement that
    the transcript was “worded wrong” in two instances. Even so, a “defendant challenging the use of
    a transcript at trial must show prejudice.” 
    Jacob, 377 F.3d at 581
    . Defendant Ford does not
    demonstrate that any of the inaccuracies prejudiced him. Taylor and Officer Matheson were
    available for cross-examination regarding the transcribed communications. The district court also
    remedied any inaccuracies in the transcript by instructing the jury: “[A]ny differences that you
    detect, if any, between the transcripts and what you believe that you hear, you should trust your own
    senses. And keep in mind Special Agent Chard and Officer Matheson did assist in the preparation
    of the transcripts.” [J.A. at 110]. See United States v. Elder, 
    90 F.3d 1110
    , 1130 (6th Cir. 1996)
    (“The district court did not abuse its discretion in allowing transcripts to be used as aids to the jury
    when listening to tape recorded conversations in light of his limiting instructions.”).
    2
    Q.    Who prepared it?
    A.     Special Agent Chard and myself.
    Q.     Have you had an opportunity to compare the audiotape to the transcript?
    A.     Yes I have.
    Q.     Is it your conclusion that it’s accurate?
    A.     Yes it is.
    [J.A. at 132]
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    United States v. Ford
    The defendant also challenges the transcript on the ground that it identified him as one of
    the speakers in the recorded conversations. Taylor and Officer Matheson both testified regarding
    their knowledge that Ford was, in fact, one of the speakers. Their availability for cross-examination
    negates any prejudice to Ford. See United States v. Crane, 
    632 F.2d 663
    , 664-65 (6th Cir. 1980).
    The district court did not abuse its discretion in permitting the jury to use the transcript as
    a listening aid.
    C. Motion For New Trial
    Defendant Ford moved for a new trial in the district court based on ineffective assistance of
    trial counsel. The district court denied the motion. With this assignment of error, the defendant
    argues that the district court incorrectly interpreted the standard for his ineffective assistance claim.
    The Government responds that the defendant’s motion was untimely and failed on the merits. We
    agree with the Government.
    A motion for a new trial must generally “be filed within 7 days after the verdict or the
    finding of guilty, or within such further time as the court sets during the 7-day period.” Fed. R.
    Crim. P. 33(b)(2) (2005). The jury reached its verdict on September 3, 2004. Ford did not file his
    motion for a new trial until March 1, 2005. Under Rule 33(b)(2), Ford’s motion for a new trial was
    late. This fact alone justifies its denial.
    D. Criminal History Points
    At sentencing, the district court assessed one criminal history point for the defendant’s
    conviction for failure to confine and insure a vicious dog. The district court added two more
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    United States v. Ford
    criminal history points because Defendant Ford committed the underlying drug and firearm offenses
    while on probation for his canine crimes. The defendant characterizes the state vicious dog offenses
    as “status” offenses that should not have contributed to his criminal history points. The Government
    responds that the prior offenses fall outside the realm of “status” offenses. The Court agrees with
    the Government.
    Both parties direct the Court to USSG § 4A1.2(c)(2), which provides that sentences for the
    following prior offenses and offenses similar to them shall not count towards a defendant’s criminal
    history point calculation: hitchhiking, juvenile status offenses and truancy, loitering, minor traffic
    infractions, public intoxication, and vagrancy. The defendant cites our recent opinion in United
    States v. Cole, 
    418 F.3d 592
    (6th Cir. 2005), and argues that the “essential characteristics” of his
    canine offenses are similar to those of the exempted offenses of vagrancy or loitering.
    In following the “essential characteristics” approach to USSG § 4A1.2(c)(2), we consider
    “whether the underlying conduct of the offenses is nearly corresponding; resembling in many
    respects; somewhat alike; having a general likeness.” 
    Id. at 597
    (citation and internal quotation
    marks omitted). Ford violated Ohio’s vicious dog law by failing to confine and insure a vicious dog.
    The state law provides in pertinent part that “no owner, keeper, or harborer of a dangerous or vicious
    dog shall fail to . . . securely confine it at all times in a locked pen that has a top, locked fenced yard,
    or other locked enclosure that has a top.” Ohio Rev. Code § 955.22(D)(1). The law also requires
    an owner of a vicious dog to obtain liability insurance to cover “damage or bodily injury to or death
    of a person caused by the vicious dog.” 
    Id. § 955.22(E).
    The defendant points out that the state law lacks a mens rea requirement. From this the
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    defendant concludes that the vicious dog offenses are akin to vagrancy or loitering, offenses that
    upset a neighborhood’s quiet enjoyment. The Government responds that this factor does not exempt
    the canine offenses. Under section 4A1.2(c)(1) other offenses that lack a mens rea requirement,
    such as driving without a license, may contribute to a defendant’s criminal history score. As the
    district court noted, the vicious dog offenses also involve a risk of injury to others that the offenses
    of vagrancy and loitering lack. This risk further distinguishes the defendant’s canine convictions
    from vagrancy and loitering.
    Similarly, the defendant’s failure to insure the vicious dog is akin to driving an automobile
    without insurance. Such laws promote compensation to injured persons. We previously found that
    a conviction for driving without car insurance counted towards a defendant’s criminal history score
    where the court imposed a sentence of probation for a year or more. See United States v. Rollins,
    
    378 F.3d 535
    , 537 (6th Cir. 2004). Here, the state court sentenced the defendant to 180 days in jail,
    suspended, and one year of probation. This places the conviction for failure-to-insure outside the
    scope of USSG § 4A1.2(c)(2). The district court properly considered the conviction in its criminal
    history calculation.
    The defendant also says that the Ohio Supreme Court recently found Ohio’s vicious dog law
    to be unconstitutional, thus undermining the validity of his conviction. See State v. Cowan, 
    814 N.E.2d 846
    (Ohio 2004). In Cowan, the Ohio Supreme Court found that Ohio Rev. Code §
    955.22(D)(1) violated the right to procedural due process by denying citizens an opportunity to an
    administrative hearing regarding whether the dog was vicious or dangerous. Regardless, no court
    has found Ford’s sentence for his vicious dog offenses to be unconstitutional, and he cannot attack
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    United States v. Ford
    the sentence for the first time in this proceeding. See United States v. Bonds, 
    48 F.3d 184
    , 186 (6th
    Cir. 1995) (“[D]efendant cannot collaterally attack the validity of his previous state conviction for
    robbery on the ground that the guilty plea was unconstitutional.”).
    We find that the district court properly included the defendant’s convictions for failure-to-
    confine and failure-to-insure a vicious dog within its criminal history calculation.
    IV. Conclusion
    For the foregoing reasons, we AFFIRM the defendant’s conviction and sentence, and the
    denial of his motion for a new trial.
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