United States v. List , 200 F. App'x 535 ( 2006 )


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  •                 NOT RECOMMENDED FOR FULL-TEXT PUBLICATION
    File Name: 06a0763n.06
    Filed: October 12, 2006
    No. 05-6526
    UNITED STATES COURT OF APPEALS
    FOR THE SIXTH CIRCUIT
    UNITED STATES OF AMERICA,                        )
    )
    Plaintiff-Appellee,                       )
    )
    v.                                               )    ON APPEAL FROM THE UNITED
    )    STATES DISTRICT COURT FOR THE
    LARRY LIST,                                      )    EASTERN DISTRICT OF TENNESSEE
    )
    Defendant-Appellant.                      )
    Before: NORRIS, COLE, and COOK, Circuit Judges.
    COOK, Circuit Judge. A jury convicted Larry List of (1) conspiring to distribute and possess
    with intent to distribute marijuana and cocaine (Count One), (2) attempting to possess with intent
    to distribute cocaine (Count Six), and (3) using or carrying a firearm during and in relation to the
    attempted possession of cocaine or possessing a firearm in furtherance of the attempted possession
    of cocaine (Count Seven). List raises numerous challenges to his conviction. For the reasons that
    follow, we reverse the firearm conviction and affirm in all other respects.
    I
    No. 05-6526
    United States v. List
    This case arises from a years-long Drug Enforcement Agency investigation overseen by DEA
    Agent David Lewis that resulted in the arrests of List and his drug trafficking co-conspirators—John
    “Red” Pennington, Roy Gibson, and Danny Gibson (no relation).
    In September 1999, List approached Lewis to cooperate in the investigation of the drug-
    trafficking activities of Roy Gibson (List’s employer) and Pennington (Roy’s partner). List
    explained that during his employment with Roy building race car engines, he overheard
    conversations about Roy selling marijuana and cocaine and, at various times, he observed
    “Mexicans” delivering large barrels to Roy’s farm for unloading. As List told it, Roy grew more
    open about his drug-trafficking activity: List saw a “Mexican” he had seen previously at Roy’s farm
    pay Roy a large sum of money, and Roy showed List cocaine he claimed was worth $250,000. List
    also met one of Roy’s major drug purchasers, Danny Gibson, who bought 100 pounds of marijuana
    weekly.
    Danny became suspicious of List because List had entered the drug-trafficking business
    rapidly and had quickly gotten to know the people involved. Upon learning of Danny’s suspicion,
    Roy reassured him that List was “all right” and explained that Roy and List had “messed with the
    white stuff [cocaine].”
    Despite his detailed knowledge about Roy’s drug trafficking operation, List denied any
    serious involvement in the operation and claimed he personally had only one customer—Patrick
    McAbee. Although testimony showed that McAbee sold List personal-use quantities of cocaine in
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    United States v. List
    1997 or 1998, it also showed List to be a supplier; McAbee purchased cocaine and distribution
    quantities of marijuana from List. At the end of 1998, List quit working for Roy, and their
    relationship deteriorated after Roy heard that List was renting garage space from Pete McAbee
    (Patrick McAbee’s father). Pete allegedly owed Roy for at least 100 pounds of marijuana he bought.
    Because List rented Pete’s garage space, Roy believed List was part of the “rip off” and held List
    responsible for the money Pete owed. Frustrated by the payments Roy had demanded, List
    approached Agent Lewis. Thereafter, DEA agents asked List to arrange a meeting with Roy and to
    wear a wire to record statements that would corroborate List’s story. Though List agreed to set up
    a meeting, he refused to wear the recorder. That refusal ended the cooperation arrangement.
    In the meantime, DEA agents arrested Danny Gibson and, as part of a plea deal, Danny
    agreed to wear a wire to a meeting with List and to record incriminating phone calls with him. On
    these calls, List talked about his own and his co-conspirators’ drug-trafficking activities, his dispute
    with Roy over the alleged marijuana theft, and his threat to shoot Pennington over drugs. Shortly
    after Danny agreed to cooperate, List asked if Danny was interested in selling a kilogram of cocaine
    to him. At the same time, List was maintaining contact with Roy; telephone records showed
    numerous calls between telephone numbers associated with List and Roy. Ultimately, the agents set
    up a drug deal between Danny and List.
    This drug deal occurred in November 2001 when Danny—under DEA surveillance— picked
    List up at his house, drove a short distance with List, handed him a kilogram of cocaine, and dropped
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    United States v. List
    him off at List’s driveway. After exiting the car, List was immediately arrested by DEA agents who
    recovered the cocaine and a loaded .25 caliber Browning semi-automatic pistol in his coat pocket.
    In the end, a jury found List guilty of the drug and weapons charges, and he appeals.
    II
    1. Speedy Trial Act
    List asserts that the district court erred in denying his motion to dismiss two counts because
    the delay in going to trial violated his rights under the Speedy Trial Act (“STA”). We review de
    novo the district court’s legal interpretation of the STA and the factual underpinnings of that ruling
    for clear error. United States v. DeJohn, 
    368 F.3d 533
    , 538 (6th Cir. 2004). Under the STA, a
    defendant must be tried “within 70 days of the latest of the filing of an indictment or information,
    or the first appearance before a judge or magistrate.” See 18 U.S.C. § 3161(c)(1). This requirement,
    however, is subject to multiple exceptions. Relevant here, a court excludes from the STA
    computation “delay resulting from any pretrial motion.” 18 U.S.C. § 3161(h)(1)(F).
    List’s argument focuses on the filing of two pretrial motions. First, List filed an agreed order
    to reset the motions deadline (essentially a pretrial motion), which he claims should have tolled the
    STA clock for at most 4 days1 because the district court had all the information to rule on the
    1
    Four days passed from the date the parties submitted the agreed order (June 13) to the
    original motions deadline date (June 16).
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    United States v. List
    proposed order when List filed it. Instead, the district court tolled 12 days, the number of days
    between the date the agreed order was filed and the date the court entered the order. To accept List’s
    interpretation would yield 49 days of untolled time (53 actual days of delay minus 4 days for tolling).
    Second, List maintains that the filing of an ex parte government motion for an order under seal
    should not have tolled the STA clock. Without this erroneous tolling, he asserts, an additional 26
    days expired, which, when added to the previous 49 days, yielded an impermissible 75
    nonexcludable days of delay.
    List must succeed on both parts of his argument to demonstrate a STA violation, but he fails
    on both. He concedes that it is “well settled that the filing of any pretrial motion including a motion
    for additional time, tolls the [STA] clock,” but he complains that the district court’s delay in entering
    the order on the first motion was unreasonable. He relies on Supreme Court dicta that “if motions
    are so simple or routine that they do not require a hearing, necessary advisement time should be
    considerably less than 30 days.” Henderson v. United States, 
    476 U.S. 321
    , 329 (1986). But “both
    the Supreme Court and this circuit [have held] that there is no requirement that delays due to motions
    be reasonable.” United States v. Bass, 
    460 F.3d 830
    , 835 (6th Cir. 2006). And even if we agreed
    with List that a reasonableness requirement exists, he fails to persuade us that 12 days of delay was
    unreasonable. See United States v. Jenkins, 
    92 F.3d 430
    , 440 (6th Cir. 1996) (tolling 30 days from
    the STA clock despite the defendant’s argument that the motion did not need much consideration).
    Because the tolling of these 12 days was proper, List falls short of the requisite 70 days.
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    Moreover, even if List were correct on the first part of his STA argument, he still falls short
    of the requisite 70 days because the government’s ex parte motion to file under seal properly tolled
    the STA clock. List argues, citing no authority for the proposition, that filing an ex parte motion
    does not toll the STA clock and that ex parte motions should be treated differently from other pretrial
    motions. But the plain language of 18 U.S.C. § 3161(h)(1)(F) states that “delay resulting from any
    pretrial motion” should be excluded from the STA computation, and we have endorsed this reading.
    United States v. Mentz, 
    840 F.2d 315
    , 327 n.25 (6th Cir. 1988) (“any pretrial motion . . . admits of
    no exclusion”).
    List claims that even if an ex parte motion is “any pretrial motion” that tolls the STA clock,
    the government’s ex parte motion here was different because it was an “investigatory” application
    for an order to direct the Internal Revenue Service to disclose List’s tax returns from 2001. But he
    does not explain persuasively why an “investigatory motion” varies from other motions drafted in
    preparation for trial. Simply, List demonstrates no STA violation “because fewer than [seventy]
    nonexcludable days elapsed” due to the filing of two pretrial motions. 
    Bass, 460 F.3d at 834
    . The
    district court correctly denied List’s motion to dismiss the drug counts because of a STA violation.
    2. Duplicity
    Count Seven of the Third Superseding Indictment reads in relevant part: “Larry List, did use
    and carry a firearm . . . during and in relation to a drug trafficking crime . . . and did possess a
    firearm . . . in furtherance of the same drug trafficking crime.” List claims this count was duplicitous
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    because it charges two separate crimes in a single count: (1) using or carrying a firearm during and
    in relation to a drug trafficking crime and (2) possessing a firearm in furtherance of a drug trafficking
    crime. Because List did not seek to dismiss this count of the indictment due to duplicity or object
    to the jury instruction at trial, this court reviews for plain error. United States v. Newsom, 
    452 F.3d 593
    , 605 (6th Cir. 2006).
    “An indictment is duplicitous if it sets forth separate and distinct crimes in one count.”
    United States v. Davis, 
    306 F.3d 398
    , 415 (6th Cir. 2002). The danger of a duplicitous charge is that
    it “calls into question the unanimity of a verdict of guilty.” United States v. Savoires, 
    430 F.3d 376
    ,
    380 (6th Cir. 2005) (citing 
    Davis, 306 F.3d at 415-16
    ). “The overall vice of duplicity is that the jury
    cannot in a general verdict render its finding on each offense, making it difficult to determine
    whether a conviction rests on only one of the offenses or both. . . . A general verdict of guilty will
    not reveal whether the jury found the defendant guilty of one crime and not guilty of the others, or
    guilty at all.” 
    Davis, 306 F.3d at 415
    (quotation omitted).
    The government concedes that 18 U.S.C. § 924(c)(1)(A) charges two separate and distinct
    crimes and, therefore, Count Seven—which tracks the statutory language—was duplicitous. See
    
    Savoires, 430 F.3d at 379-80
    ; United States v. Combs, 
    369 F.3d 925
    , 933 (6th Cir. 2004).
    Nevertheless, the government argues that the district court accurately instructed the jury on each
    separate offense, and that such “proper jury instructions can mitigate the risk of jury confusion and
    alleviate the doubt that would otherwise exist as to whether all members of the jury had found the
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    United States v. List
    defendant guilty of the same offense.” 
    Savoires, 430 F.3d at 380
    . And the government correctly
    distinguishes Savoires from our case. In Savoires, the district court erroneously instructed the jury
    that it could find defendant “guilty of an ‘offense’—possession of a firearm during and in relation
    to a drug trafficking crime—that is not criminalized by § 924(c).” 
    Id. Here, the
    district court
    instructed: “Second, that the defendant knowingly used or carried or possessed a firearm. Third,
    that the use or carrying of the firearm was during and in relation to the [drug-trafficking offense] or
    that the possession of the firearm was in furtherance of the [drug-trafficking offense] charged . . . .”
    Thus, because these instructions did not criminalize a non-existent crime, they did not suffer from
    the same defect as in Savoires. See United States v. Lloyd, ___ F.3d ___, No. 04-4014, 
    2006 WL 2389338
    , at *3 (6th Cir. Aug. 18, 2006).
    But this difference alone does not end our analysis because the court never gave a unanimity
    limiting instruction. See 
    Davis, 306 F.3d at 416
    (citing United States v. Nattier, 
    127 F.3d 655
    , 657-
    58 (8th Cir. 1997) (finding limiting instruction sufficient to cure duplicity)); Lloyd, at ___ F.3d ___,
    
    2006 WL 2389338
    at *3 (noting that concern about the jury unanimously finding the defendant
    guilty of a specific offense was not dispensed with because the “district court did not explicitly direct
    the jury that unanimity on either the use or possession offense was necessary to a guilty verdict”).
    In other words, while these instructions did not compound the confusion, they did not necessarily
    cure the duplicity.
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    United States v. List
    Thus, as in Lloyd, we examine whether the verdict form cured any doubt that the jury reached
    a unanimous verdict on one of the offenses. In Lloyd, “the verdict form provided to the jury made
    no mention at all of the possession offense. Instead, the verdict form which was signed by each juror
    stated that the jury found [defendant] guilty of ‘carrying or using, and brandishing, a firearm during
    the commission of a crime of violence.’” 
    Id. Thus, the
    verdict form left no doubt that the jury had
    unanimously convicted on the “carry or use” offense. Here, however, the verdict form read:
    As to Count Seven of the Third Superseding Indictment charging a violation of 18
    U.S.C. § 924(c)(1) (using or carrying a firearm during and in relation to a drug
    trafficking crime as set forth in Count Six or possessing a firearm in furtherance of
    the same drug trafficking crime) . . .
    From this verdict form, unlike in Lloyd, we simply cannot discern, and can only speculate
    about, which offense the jury’s unanimous guilty verdict applied to. Neither the jury instructions nor
    the verdict form “alleviate the doubt that would otherwise exist as to whether all members of the jury
    had found the defendant guilty of the same offense.” 
    Savoires, 430 F.3d at 380
    . Therefore, the
    duplicity in the indictment constituted plain error and prejudiced List’s substantial right. See, e.g.,
    
    id. at 381.
    And the remaining doubt as to whether the jury unanimously convicted List of either of
    the two offenses undermines the fairness of his trial and warrants reversal on Count Seven. 
    Id. 3. Severance
    List’s third challenge focuses on the district court’s denial of his motion to sever the
    conspiracy count from the attempted possession of cocaine and related firearm count. Specifically,
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    he argues that the evidence pertinent to proving the conspiracy count differed completely and would
    not have been admissible at a trial on the other counts. We review a district court’s severance ruling
    only for an abuse of discretion. United States v. Saadey, 
    393 F.3d 669
    , 678 (6th Cir. 2005).
    Federal Rule of Criminal Procedure 8(a) permits joinder of two or more offenses that “are
    of the same or similar character or are based on the same act or transaction, or are connected with
    or constitute parts of a common scheme or plan.” Here, the district court did not abuse its discretion
    in denying List’s motion because the offenses were of a “similar character . . . connected with or
    constitut[ing] parts of a common scheme or plan”: (1) the three charges centered around the sale of
    cocaine; (2) Danny Gibson’s sale of cocaine—the basis of Counts Six and Seven—occurred within
    the time frame of the conspiracy; and (3) Danny Gibson’s recorded conversations discussing the
    November 2001 drug deal with List also detailed the cocaine-trafficking activities of List and his
    coconspirators Roy Gibson and Pennington.
    List also argues that a single trial of these counts prejudiced him. Under Federal Rule of
    Criminal Procedure 14(a), a court may grant relief from prejudicial joinder by ordering separate trials
    of separate counts. But before the court will order separate trials, List must show “compelling,
    specific, and actual prejudice from a court’s refusal . . . to sever.” 
    Saadey, 393 F.3d at 678
    . List has
    failed to do so. He argues that the evidence to prove Counts Six and Seven—particularly Patrick
    McAbee’s “other acts” testimony (discussed below)—would not have been admissible in a separate
    trial of Count One because it did not prove the existence of the conspiracy. Yet, McAbee’s
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    United States v. List
    testimony described the sale of the same types of drugs, and these sales occurred during the time
    frame of the conspiracy. Moreover, Counts Six and Seven relate to a single incident, List’s
    November 2001 drug arrest; the jury could distinguish the evidence related to these charges from that
    used to prove the conspiracy count. The district court did not abuse its discretion in denying List’s
    motion to sever the counts.
    4. Patrick McAbee’s Testimony
    List next attacks the trial court’s admission of Patrick McAbee’s “other acts” testimony under
    Federal Rule of Evidence 404(b) related to the sale and purchase of cocaine and marijuana between
    McAbee and List. List did not contemporaneously object to McAbee’s testimony nor did he object
    to the court’s failure to balance the probative value of McAbee’s testimony against its prejudicial
    effect immediately before, during, or after McAbee’s testimony. Rather, he filed a pretrial motion
    in limine in which he moved
    pursuant to Rules 403 and 404(b) of the Federal Rules of Evidence, [for the Court]
    to enter an Order prohibiting the introduction of evidence of the Defendant’s prior
    crimes, wrongs or acts until such time as the Court determines on-the-record and out
    of the presence of the jury that the probative value of such evidence is substantially
    outweighed by its prejudicial effect.
    The district court denied this motion, never conducted the requested balancing, and admitted
    McAbee’s testimony. List claims that filing the pretrial motion in limine preserved his objection.
    Yet “[i]n the absence of a contemporaneous objection we must apply a ‘plain error’ standard of
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    review [because] . . . a motion in limine does not preserve evidentiary questions for appeal.” United
    States v. Kelly, 
    204 F.3d 652
    , 655 (6th Cir. 2000).
    Under Federal Rule of Evidence 404(b), “[e]vidence of other crimes, wrongs, or acts is not
    admissible to prove the character of a person in order to show action in conformity therewith. It
    may, however, be admissible for other purposes . . . .” To admit Rule 404(b) evidence, a district
    court must ask (1) “whether there is sufficient evidence that the other act in question actually
    occurred”; (2) “if so, . . . whether the evidence of the other act is probative of a material issue other
    than character”; and (3) “whether the probative value of the evidence is substantially outweighed by
    its potential prejudicial effect.” United States v. Jenkins, 
    345 F.3d 928
    , 937 (6th Cir. 2003). List
    invokes only the third part of this analysis and complains that the district court failed to make the
    requested on-the-record finding that the probative value of McAbee’s testimony (to prove intent)
    outweighed its prejudicial effect.
    Our review demonstrates, however, that though the district court failed to articulate, either
    explicitly or implicitly, whether the probative value of McAbee’s testimony was substantially
    outweighed by its prejudicial effect, the overwhelming evidence of List’s guilt on Counts Six and
    Seven renders any error harmless. See United States v. Murphy, 
    241 F.3d 447
    , 453 (6th Cir. 2001)
    (finding “any error, if any, in admitting evidence of ‘other acts’ is harmless in light of the
    overwhelming evidence of Defendant’s guilt”).             Here, telephone recordings and testimony
    documented the events leading up to the November 2001 drug transaction between Danny Gibson
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    and List. Agents monitored the drug transaction and recovered cocaine and a loaded handgun on List
    immediately after he exited Gibson’s car.
    Moreover, shortly after McAbee testified, the district court gave a limiting instruction: “If
    you find defendant did those acts, you can consider the evidence only as it relates to the defendant’s
    intent. You must not consider it for any other purpose.” This clear instruction limited any prejudice.
    United States v. Johnson, 
    27 F.3d 1186
    , 1193 (6th Cir. 1994) (“[I]t is important that the jurors then
    be clearly, simply, and correctly instructed concerning the narrow and limited purpose for which the
    evidence may be considered.”). Therefore, any error, plain or otherwise, did not affect List’s
    substantial rights.
    5. Coconspirator Statements
    List’s next evidentiary challenge focuses on Danny Gibson’s testimony that (1) Roy Gibson
    told him that List was “all right” and could be trusted, and (2) Roy told him that List had taken part
    in a “rip off” of 100 pounds of marijuana from Roy. This court reviews for clear error the district
    court’s factual findings regarding the conspiracy but reviews de novo the trial court’s legal
    determinations admitting coconspirator testimony based on those factual findings. United States v.
    Gessa, 
    971 F.2d 1257
    , 1261 (6th Cir. 1992). According to List, the district court never found that
    a conspiracy existed, that List was a member of the conspiracy, or that any coconspirator statements
    furthered the conspiracy. Rather, List contends that Danny’s statements to Roy were “idle chatter.”
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    Under Federal Rule of Evidence 801(d)(2)(E), “a statement by a coconspirator of a party
    during the course and in furtherance of the conspiracy” is not hearsay. Such a statement is
    admissible if a preponderance of the evidence shows: (1) a conspiracy existed, (2) the defendant
    against whom the statement is offered was a member of the conspiracy, and (3) the statement was
    made in the course of and in furtherance of the conspiracy. United States v. Wright, 
    343 F.3d 849
    ,
    866 (6th Cir. 2003).
    Here, ample evidence—including List’s own statements to DEA agents in 1999 and taped
    recordings where List himself described the conspiracy and its members—shows that a drug-
    trafficking conspiracy existed and that List was a member of that conspiracy. Moreover, Roy’s
    statements that List was “all right” and that Roy and List were involved in the cocaine trade
    reassured Danny about List’s trustworthiness and furthered the conspiracy. See, e.g., United States
    v. Monus, 
    128 F.3d 376
    , 393 (6th Cir. 1997) (finding that statements made to “quell . . . fears” of a
    coconspirator were made to further conspiracy). The statements regarding List’s alleged “rip-off”
    of 100 pounds of marijuana kept Danny abreast of Roy’s and List’s drug-trafficking activities. See,
    e.g., United States v. Rios, 
    842 F.2d 868
    , 874 (6th Cir. 1988) (explaining statements “made to keep
    a co-conspirator abreast of [another] co-conspirator’s activities” further a conspiracy). The district
    court properly admitted these coconspirator statements.
    6. Withdrawal from Conspiracy
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    List also argues that (1) the only evidence of his drug dealing with Roy occurred outside the
    five-year statute of limitations for conspiracy and (2) he withdrew from the alleged conspiracy more
    than five years before being indicted. In other words, counting backward five years from the
    indictment date (November 16, 2004), List figures that if he can demonstrate that insufficient
    evidence exists as to his involvement in the drug conspiracy after November 16, 1999, or if he can
    show that he withdrew from the conspiracy before that date, he can establish that the court erred by
    not granting his motion for acquittal. Whether an indicted crime falls within the statute of
    limitations is a jury question. United States v. Brown, 
    332 F.3d 363
    , 372-74 (6th Cir. 2003).
    “Where a conspiracy contemplates a continuity of purpose and a continued performance of acts, it
    is presumed to exist until there has been an affirmative showing that it has terminated; and its
    members continue to be conspirators until there has been an affirmative showing that they have
    withdrawn.” 
    Rios, 842 F.2d at 873
    .
    List’s first argument fails because sufficient evidence—including List’s numerous telephone
    contacts with Roy Gibson in 2000 and the recorded statements by Danny Gibson—permitted the jury
    to conclude that List continued to conspire within the statute of limitations time frame. 
    Brown, 332 F.3d at 372-74
    (6th Cir. 2003) (finding that after a defendant joins a drug conspiracy, it is presumed
    that the conspiracy continues). And List did not even attempt to show that the conspiracy
    terminated.
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    Second, List contends that he took affirmative steps to withdraw from the conspiracy when
    he met with Agent Lewis in September 1999, informed Lewis about Roy Gibson’s drug-trafficking
    activities, and offered to participate in the DEA investigation of Roy. List bears the burden of
    showing his withdrawal from the conspiracy. 
    Id. at 373.
    Again, the government presented sufficient
    evidence to allow a jury to find that List failed to carry this evidentiary burden. For example, List
    made no full confession to Lewis about his own activities and did not clearly indicate to his
    coconspirators that he was abandoning the conspiracy. 
    Id. at 373-74
    (noting that either of these steps
    would be sufficient affirmative evidence of withdrawal, but that mere cessation of activity is
    insufficient to establish withdrawal). On the contrary, after the cooperation attempt failed because
    List refused to wear a wire, the record shows that List continued to contact Roy Gibson, as evidenced
    by telephone records from 2000, and participated in the cocaine trade described in the Danny
    Gibson-List tapes. Sufficient evidence permitted a jury to conclude that List continued to participate
    in the conspiracy after the five-year statute of limitations began to run, and that he never withdrew
    from the conspiracy. Therefore, the district court properly denied List’s motion for acquittal.
    7. Edward Workman Testimony
    Next, List claims that the district court abused its discretion when it failed to declare a
    mistrial after the testimony of Dr. Edward Workman (List’s treating physician) and the cross-
    examination of List’s witness, Dr. Pamela Jones. “We review for abuse of discretion the district
    court’s denial of a motion for mistrial.” United States v. Martinez, 
    430 F.3d 317
    , 336 (6th Cir.
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    2005). At trial, List’s counsel objected on the grounds of surprise to Dr. Workman testifying as an
    expert to rebut Dr. Jones’s testimony that List told her that he took possession of the cocaine, not
    with the intent to distribute it, but to commit “suicide by cop.”2 The government responded that it
    would call Dr. Workman as a fact witness to explain that List made no mention of suicide, and the
    trial court authorized Dr. Workman to testify as a fact witness only. When Dr. Workman testified
    on matters within his medical expertise, beyond the scope permitted, the trial court struck all of Dr.
    Workman’s testimony and specifically instructed the jury not to rely on the impermissible
    statements. The court also denied the government’s request to call Dr. Workman in its rebuttal case
    because Dr. Workman went beyond mere fact testimony and gave expert opinion.
    List claims the court should have declared a mistrial because: (1) the government acted in
    bad faith by not notifying him of its intent to call Dr. Workman as an expert; (2) the government’s
    questioning was unreasonable because it asked Dr. Workman about topics—such as the definition
    of psychosis and his assessment of List’s suicide risk—that went beyond mere fact testimony; (3)
    the trial court failed to give an immediate, clear, and forceful limiting instruction; and (4) the
    testimony was more than a small portion of the government’s case. See United States v. Forrest, 
    17 F.3d 916
    , 920 (6th Cir. 1994).
    2
    To commit “suicide by cop” is to act in a way that would require law enforcement officers
    to respond with lethal force.
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    Although the district court found that Dr. Workman provided expert testimony, it concluded
    that the government did not act in bad faith. (Dr. Workman “obviously offered expert testimony
    regardless of whether it was intended to elicit such expert testimony. I am not finding that was the
    intent.”) Moreover, the court gave an immediate, clear, and forceful limiting instruction. (“I am
    going to strike from the record Workman’s testimony in its entirety. You [the jury] are not to, you
    are to disregard that testimony in its entirety. You are not to bring it up in any fashion in your jury
    deliberations or have any bearing on your deliberations or decision making process or decision in
    the case.”) We presume that the jury followed the instructions given. See Washington v. Hofbauer,
    
    228 F.3d 689
    , 706 (6th Cir. 2000). Finally, in light of the other evidence, Dr. Workman’s testimony
    was a small piece of the government’s case.
    Moreover, the district court did not abuse its discretion by refusing to declare a mistrial
    after the government cross-examined Dr. Jones about her notes referencing Dr. Workman. Dr.
    Jones’s answers only bolstered List’s “suicide by cop” defense: she testified that List told Dr.
    Workman that he had “suicidal ideation.” (“It was Mr. List telling me that Workman referred him
    on because he had become more depressed and suicidal.”) Thus, the district did not abuse its
    discretion by denying List’s motions for a mistrial.
    8. Special Agent Lewis as Expert Witness
    Next, List asserts that the trial court abused its discretion by allowing DEA Agent Lewis to
    testify as an expert about drug-trafficking operations. See United States v. Bender, 
    265 F.3d 464
    ,
    - 18 -
    No. 05-6526
    United States v. List
    472 (6th Cir. 2001) (“A district court's admission of expert testimony, however, will not be disturbed
    unless the district court abused its discretion.”). Agent Lewis testified about how much drugs are
    worth on the street, how drug dealers sometimes use code words to disguise their transactions, how
    possession of large drug quantities indicates commercial rather than personal use, how drugs are
    packaged and shipped, and how drug dealers typically use and carry firearms. This court has held
    that drug-enforcement agents may testify as experts on the operations and characteristics of drug-
    trafficking organizations. See United States v. Swafford, 
    385 F.3d 1026
    , 1030 (6th Cir. 2004)
    (allowing such testimony “as long as appropriate cautionary instructions are given, since knowledge
    of such activity is generally beyond the understanding of the average layman”); 
    Combs, 369 F.3d at 940
    . Here, the district court did not abuse its discretion because Agent Lewis, a qualified law
    enforcement agent with 22 years of experience and extensive drug-investigation training, testified
    about illegal drug operations information beyond the ken of the average layman, and the district court
    gave the usual cautionary instruction regarding expert testimony.
    III
    Accordingly, we vacate the conviction on Count Seven and remand for proceedings
    consistent with this opinion. We affirm the district court judgment in all other respects.
    - 19 -
    

Document Info

Docket Number: 05-6526

Citation Numbers: 200 F. App'x 535

Filed Date: 10/12/2006

Precedential Status: Non-Precedential

Modified Date: 1/12/2023

Authorities (23)

United States v. Anthony Dejohn (02-3158) Christopher Harb (... , 368 F.3d 533 ( 2004 )

United States v. David Devon Davis , 306 F.3d 398 ( 2002 )

United States v. John Bass , 460 F.3d 830 ( 2006 )

United States v. Russell J. Saadey, Jr. , 393 F.3d 669 ( 2005 )

United States v. Kelvin Mondale Newsom , 452 F.3d 593 ( 2006 )

United States v. Alfredo Rios , 842 F.2d 868 ( 1988 )

United States v. Ward Wesley Wright , 343 F.3d 849 ( 2003 )

United States v. Brian Brown (01-2028) and Kevin Courtney (... , 332 F.3d 363 ( 2003 )

United States v. Dean Jenkins , 92 F.3d 430 ( 1996 )

United States v. Jermaine Savoires , 430 F.3d 376 ( 2005 )

United States of America, Cross-Appellant v. Alberto Gessa, ... , 971 F.2d 1257 ( 1992 )

United States v. Timothy Moses Johnson , 27 F.3d 1186 ( 1994 )

Rufus Washington v. Gerald Hofbauer , 228 F.3d 689 ( 2000 )

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

United States v. Timothy Wade Forrest , 17 F.3d 916 ( 1994 )

United States v. Vernon L. Murphy , 241 F.3d 447 ( 2001 )

United States v. Danna Yvonne Bender (99-6230) and David E. ... , 265 F.3d 464 ( 2001 )

United States v. Joseph Kelly , 204 F.3d 652 ( 2000 )

United States v. Leon Combs , 369 F.3d 925 ( 2004 )

United States v. John Charles Richard Mentz , 840 F.2d 315 ( 1988 )

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