United States v. Hughes, Chad ( 2002 )


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  •                             In the
    United States Court of Appeals
    For the Seventh Circuit
    ____________
    Nos. 01-4120 & 02-1356
    UNITED STATES OF AMERICA,
    Plaintiff-Appellee,
    v.
    CHAD HUGHES and GARY BOVEY,
    Defendants-Appellants.
    ____________
    Appeals from the United States District Court
    for the Northern District of Indiana, Hammond Division.
    No. 00 CR 151—Rudy Lozano, Judge.
    ____________
    ARGUED SEPTEMBER 5, 2002—DECIDED NOVEMBER 13, 2002
    ____________
    Before COFFEY, RIPPLE and MANION, Circuit Judges.
    RIPPLE, Circuit Judge. A four-count indictment charged
    Chad Hughes and Gary Bovey with various offenses
    involving the production and distribution of counterfeit
    United States currency. Count I alleged that both individ-
    uals had conspired to make and to pass counterfeit cur-
    rency; Count II alleged that both individuals had made
    counterfeit currency; and Counts III and IV charged them
    with passing counterfeit currency. After a jury trial, Mr.
    Hughes was convicted on all counts; he was sentenced
    to concurrent terms of 18 months’ imprisonment on each
    count. Mr. Bovey was convicted on Counts I, II and III;
    2                                     Nos. 01-4120 & 02-1356
    he was sentenced to concurrent terms of 27 months’ impris-
    onment on each count. A fine also was imposed on Mr.
    Hughes, and a period of supervised release and resti-
    tutionary obligations were imposed on each defendant.
    Both defendants now appeal to this court. For the rea-
    sons set forth in the following opinion, we affirm the
    1
    judgments entered by the district court.
    I
    BACKGROUND
    According to the Government’s case at trial, Mr. Hughes
    and Mr. Bovey began producing counterfeit United States
    currency during 1996 or 1997. The pair produced the
    counterfeit bills with a Hewlett Packard ink jet printer that
    Mr. Bovey had stolen from an office supply store. Mr.
    Hughes and Mr. Bovey used bonded paper as well as
    colored ink to produce the bogus currency. At least one
    individual, Chris Ward, witnessed both defendants pro-
    duce the fake bills.
    In February 2000, Mr. Hughes and Mr. Bovey passed
    several counterfeit bills to unsuspecting merchants in the
    West Lafayette, Indiana area. For instance, Mr. Hughes
    paid for two purchases at a local tavern with counterfeit
    one hundred dollar bills. He also passed a counterfeit
    twenty dollar bill to a sales clerk at a Target store.
    An investigation into the forged bills led authorities to
    Mr. Hughes and Mr. Bovey. When the investigators first
    contacted them about the counterfeit bills, both defen-
    dants indicated that they had not passed fake one hun-
    1
    The jurisdiction of the district court was based on 18 U.S.C.
    § 3231. Our jurisdiction is based on 28 U.S.C. § 1291.
    Nos. 01-4120 & 02-1356                                      3
    dred dollar bills on the days in question. These statements
    further strengthened the investigators’ suspicions because,
    during these interviews, they had not mentioned the de-
    nomination of the phony currency. A grand jury returned
    a multi-count indictment against Mr. Hughes and Mr.
    Bovey for their involvement in the production and dis-
    tribution of counterfeit currency.
    II
    DISCUSSION
    A. Mr. Hughes
    1.
    Prior to trial, Mr. Hughes moved to dismiss the indict-
    ment on the ground that the first count was duplicitous
    because it charged him with conspiring to make and
    to pass counterfeit currency. In his view, this allegation
    comprised two separate crimes and therefore should not
    have been included in a single count. The district court
    denied the motion. The court reasoned that a conspir-
    acy, even one with multiple illicit objectives, constitutes
    a single crime.
    Before this court, Mr. Hughes again submits that the
    first count of the indictment contained duplicitous
    charges. In his view, the district court should have dis-
    missed this count of the indictment. “ ‘Duplicity’ is the
    joining of two or more offenses in a single count.” United
    States v. Marshall, 
    75 F.3d 1097
    , 1111 (7th Cir. 1996). “The
    overall vice of duplicity is that the jury cannot in a gen-
    eral verdict render its findings on each offense, making
    it difficult to determine whether a conviction rests on
    only one of the offenses or both.” United States v. Buchmeier,
    
    255 F.3d 415
    , 425 (7th Cir. 2001) (internal quotations omit-
    4                                     Nos. 01-4120 & 02-1356
    ted). A duplicitous indictment also “may expose a defen-
    dant to other adverse effects including improper notice
    of the charges against him, prejudice in the shaping of
    evidentiary rulings, in sentencing . . . and of course the
    danger that a conviction will result from less than a unani-
    mous verdict.” 
    Id. at 425
    (internal quotations omitted).
    Count I of the indictment alleged that the defendants
    had conspired to make and to pass counterfeit bills in
    violation of the federal conspiracy statute, 18 U.S.C. § 371.
    As Mr. Hughes notes, making counterfeit bills alone
    constitutes a federal crime; passing such counterfeit cur-
    rency also constitutes a federal crime. See 18 U.S.C. § 471
    (unlawful to counterfeit obligations); 18 U.S.C. § 472
    (unlawful to pass falsely made counterfeit obligations).
    Count I of this indictment, however, did not charge
    Mr. Hughes with either of these violations. Rather, the
    first count alleged a single criminal activity—conspiracy
    to commit an offense against the United States. To be
    sure, the indictment alleges that this single conspiracy had
    two illicit objectives, each of which constitutes a crime.
    However, as the Supreme Court has observed: “A conspir-
    acy is not the commission of the crime which it contem-
    plates, and neither violates nor ‘arises under’ the stat-
    ute whose violation is its object. . . . The single agreement
    is the prohibited conspiracy, and however diverse its ob-
    jects it violates but a single statute.” Braverman v. United
    States, 
    317 U.S. 49
    , 54 (1942); see also United States v. Bruun,
    
    809 F.2d 397
    , 405-06 (7th Cir. 1987). Consequently, “[t]he
    allegation in a single count of a conspiracy to commit
    several crimes is not duplicitous, for [t]he conspiracy is
    the crime, and that is one, however diverse its objects.”
    
    Braverman, 317 U.S. at 54
    (internal quotations omitted); see
    also 
    Bruun, 809 F.2d at 406
    .
    Nos. 01-4120 & 02-1356                                          5
    We have recognized that when “several statutes are al-
    leged as the objective of a conspiracy,” the Government
    need only establish that the defendant’s illicit objective
    involved “one of those statutes to convict.” United States
    v. Muelbl, 
    739 F.2d 1175
    , 1183 (7th Cir. 1984). However,
    when several different crimes are the object of a single
    conspiracy, a jury possibly could find a defendant guilty
    of conspiracy even though the jurors do not agree on
    which crime was the object of the conspiracy. As the
    Government points out, however, the instructions con-
    cerning Count I given to the jury in this case told the
    jurors that, in order to convict Mr. Hughes on Count I,
    they had to agree unanimously that the defendants con-
    spired to make counterfeit money; or that they conspired
    to pass counterfeit money; or that they conspired to do
    2
    both. Accordingly, the instructions negated any possibil-
    ity that Mr. Hughes was convicted on the basis of a non-
    unanimous verdict.
    2
    Mr. Hughes also submits that the district court should have
    given instructions that would have required the jury to make
    explicit whether they found him guilty of conspiring to pass
    counterfeit bills or conspiring to make counterfeit bills. He
    submits that this specific finding was required before the dis-
    trict court could set his base offense level under the Sentenc-
    ing Guidelines. The Guidelines indicate that, in setting the
    base offense level for conspiracy, the district court should turn
    to the base offense level of the substantive offense. See U.S.S.G.
    § 2X1.1. In this case, U.S.S.G. § 2B5.1 provides a base offense
    level of nine for passing or making counterfeit currency. Al-
    though it is true that the district court enhanced Mr. Hughes’
    sentence an additional six levels because it concluded that he
    had made the counterfeit currency, this determination did not
    raise the sentence above the statutory maximum. Consequently,
    this determination did not offend notions of due process. Cf.
    Harris v. United States, 
    122 S. Ct. 2406
    , 2414-15 (2002).
    6                                         Nos. 01-4120 & 02-1356
    The district court correctly determined that Count I of
    the indictment was not duplicitous.
    2.
    Mr. Hughes also submits that the district court erred in
    calculating his sentence under U.S.S.G. § 2B5.1(b)(2). In
    calculating the respective sentences of Mr. Hughes and
    Mr. Bovey, the district court relied, in part, upon U.S.S.G.
    3
    § 2B5.1(b)(2). The defendants vigorously contested the
    applicability of this provision to their conduct. In particu-
    lar, relying on Application Note 4 to this provision, Mr.
    Hughes and Mr. Bovey submitted that U.S.S.G. § 2B5.1(b)(2)
    did not apply to individuals who produced the counter-
    feit bills through photocopying. In rejecting this conten-
    tion, the district court took the view that the defendants
    had read too narrowly this application note. The court held
    that the application note did not exempt those who had
    photocopied from § 2B5.1(b)(2)’s six-level enhancement;
    rather, it exempted from an enhancement those individ-
    uals who had made obvious forgeries. On appeal, relying
    on Application Note 4 of this provision, Mr. Hughes re-
    news his assertion that U.S.S.G. § 2B5.1(b)(2) does not
    apply to his conduct because he produced the counter-
    4
    feit currency through photocopying.
    Under the Sentencing Guidelines, an offense involv-
    ing counterfeit currency of the United States mandates
    3
    In general terms, this provision provides a six-level enhance-
    ment for an individual who (1) manufactured or produced a
    counterfeit obligation; or (2) possessed or had custody over a
    counterfeit device.
    4
    Mr. Bovey raises an identical argument concerning § 2B5.1(b)(2).
    Nos. 01-4120 & 02-1356                                       7
    a base offense level of 9. See U.S.S.G. § 2B5.1. “If the defen-
    dant manufactured or produced any counterfeit obliga-
    tion or security of the United States, or possessed or had
    custody of or control over a counterfeit device or ma-
    terials used for counterfeiting,” the district court may in-
    crease the base level to 15 pursuant to U.S.S.G. § 2B5.1(b)(2).
    The guidelines create, however, a narrow exception to
    this enhancement embodied in § 2B5.1(b)(2). At the time
    of Mr. Hughes’ sentence, the commentary to § 2B5.1 pro-
    vided that § 2B5.1(b)(2) and its enhancement do not
    apply “to persons who merely photocopy notes or other-
    wise produce items that are so obviously counterfeit
    that they are unlikely to be accepted even if subjected to
    5
    only minimal scrutiny.” U.S.S.G. § 2B5.1, application n.4.
    However, contrary to Mr. Hughes’ assertion, an indi-
    vidual’s conduct is not removed from the ambit of
    § 2B5.1(b)(2) simply because he produced the counterfeit
    notes through photocopying. As we have explained, “[t]he
    ‘obviously counterfeit’ language in [Application Note 4]
    modifies and limits both the ‘merely photocopy’ and the
    ‘otherwise produce’ language, and therefore the [excep-
    tion] describes only one situation: when the method used
    by the counterfeiter produces an obvious forgery—wheth-
    er by photocopying or some other method.” United
    States v. Baronia, 
    287 F.3d 607
    , 608 (7th Cir. 2002). Simply
    put, “[t]he proper inquiry for exclusion from [U.S.S.G.
    § 2B5.1(b)(2)] is not how the bills were made, but rather
    how well they were made.” 
    Baronia, 287 F.3d at 609
    .
    5
    The current version of the Sentencing Guidelines makes no
    reference to photocopying. Application Note 4 now provides
    in its entirety that the enhancement “does not apply to per-
    sons who produce items that are so obviously counterfeit that
    they are unlikely to be accepted even if subjected to only min-
    imal scrutiny.” U.S.S.G. § 2B5.1, application n.4.
    8                                     Nos. 01-4120 & 02-1356
    The district court concluded that the notes were not “ob-
    viously counterfeit.” Sentencing Tr. at 89. In reaching this
    conclusion, the court emphasized that none of the mer-
    chants rejected the counterfeit currency, that Mr. Hughes
    produced the fake notes on “heavier bonded paper, which
    made them very realistic,” and that he produced the mon-
    ey with colored ink as opposed to black and white ink. 
    Id. Mr. Hughes
    used an ink jet printer and a copy machine
    to produce his counterfeit bills. However, as Baronia
    makes evident, that is not the dispositive inquiry in con-
    sidering whether conduct falls within the ambit of Applica-
    tion Note 4. Because the district court concluded that
    the notes were not “obviously counterfeit,” it did not err
    in calculating Mr. Hughes’ base offense level under U.S.S.G.
    § 2B5.1(b)(2).
    B. Mr. Bovey
    1.
    Before trial, Mr. Bovey moved to sever his trial from
    that of Mr. Hughes. Mr. Bovey submitted that he and his
    co-defendant intended to proceed with antagonistic de-
    fenses. After considering the parties’ positions, the dis-
    trict court declined to grant the motion to sever. The
    court noted that Mr. Bovey simply had not demonstrated
    “the specific harm, prejudice or risk involved” in failing
    to sever the proceedings. R.113 at 9. Moreover, the dis-
    trict court emphasized that Mr. Bovey had failed to proffer
    6
    evidence of the type that generally warranted severance.
    6
    Mr. Bovey renewed his motion to sever during trial. The dis-
    trict court again denied the motion.
    Nos. 01-4120 & 02-1356                                      9
    Mr. Bovey now submits that the district court erred in
    denying his motion to sever his case from that of Mr.
    Hughes. He submits that the attempts of Mr. Hughes’
    counsel to shift blame to him through argument and
    cross-examination, combined with the references to Mr.
    Bovey’s previous odometer tampering, severely prej-
    udiced his right to receive a fair trial. We review a dis-
    trict court’s denial of a motion to sever for an abuse of
    discretion. See United States v. Wilson, 
    237 F.3d 827
    , 835
    (7th Cir. 2001).
    To promote efficiency and to prevent “the scandal and
    inequity of inconsistent verdicts,” the federal judicial sys-
    tem has adopted a preference for “joint trials of defen-
    dants who are indicted together.” Zafiro v. United States, 
    506 U.S. 534
    , 537 (1993) (internal quotations omitted). “[A]
    district court should grant a severance . . . only if there is
    a serious risk that a joint trial would compromise a spe-
    cific trial right of one of the defendants, or prevent the
    jury from making a reliable judgment about guilt or in-
    nocence.” 
    Id. at 539;
    see also 
    Wilson, 237 F.3d at 835
    . For
    instance, in certain circumstances, the complexity of the
    charges, the spillover effect of testimony the Government
    offers against a co-defendant or the prospect of issues
    implicating the holding of Bruton v. United States, 391
    
    7 U.S. 123
    (1968), may warrant a severance. See 
    Zafiro, 506 U.S. at 539
    .
    7
    In Bruton v. United States, 
    391 U.S. 123
    (1968), the Supreme
    Court held that, as a general matter, the Sixth Amendment for-
    bids the admission of a co-defendant’s confession inculpating
    the defendant unless the co-defendant takes the stand, be-
    cause the defendant would be robbed of his right to confront
    and cross-examine witnesses against him.
    10                                     Nos. 01-4120 & 02-1356
    However, to establish on appeal that severance ought
    to have been granted, a defendant must demonstrate “that
    the joint trial resulted in actual prejudice.” United States
    v. Mohammad, 
    53 F.3d 1426
    , 1431 (7th Cir. 1995). “Actual
    prejudice means that the defendant could not have a
    fair trial without severance, not merely that a separate
    trial would offer him a better chance of acquittal.” 
    Id. (internal quotations
    omitted). The fact that defenses are
    8
    mutually antagonistic does not require severance in all
    instances. “Mutually antagonistic defenses are not prej-
    udicial per se.” 
    Zafiro, 506 U.S. at 538
    .
    The district court’s denial of the motion to sever was
    not an abuse of discretion. Mr. Bovey has failed to dem-
    onstrate that the district court’s ruling compromised one
    of his trial rights and actually prevented him from obtain-
    ing a fair trial. In his pretrial motion for severance, Mr.
    Bovey noted that earlier motions filed on behalf of his co-
    defendant, Mr. Hughes, indicated that Mr. Hughes’ de-
    fense would be that he received the counterfeit material
    from Mr. Bovey and did not realize that the currency was
    counterfeit. Moreover, during opening statement, Mr.
    Hughes’ counsel undoubtedly attempted to shift culpabil-
    9
    ity from his client to Mr. Bovey. However, these actions
    8
    “Defenses are said to be mutually antagonistic when the
    acceptance of one defense precludes any chance of acquittal for
    the other defendant.” United States v. Dimas, 
    3 F.3d 1015
    , 1020
    (7th Cir. 1993) (per curiam).
    9
    Specifically, Mr. Hughes’ counsel asserted that Mr. Bovey had
    paid Mr. Hughes $500 in satisfaction of a debt and that Mr.
    Hughes passed this money without knowing it was counter-
    feit. See Trial Tr. at 15-16.
    (continued...)
    Nos. 01-4120 & 02-1356                                        11
    cannot be said fairly to have compromised one of Mr.
    Bovey’s trial rights. Mere “finger-pointing” at another
    defendant, such as occurred here, is not sufficient to re-
    quire severance. See United States v. Mietus, 
    237 F.3d 866
    ,
    874 (7th Cir. 2001); United States v. Goines, 
    988 F.2d 750
    ,
    781 (7th Cir. 1993). Moreover, Mr. Bovey’s counsel had
    an opportunity to examine the witnesses who proffered
    the accusatory testimony. Other than his conclusory al-
    legations, Mr. Bovey has proffered no evidence that the
    conduct of Mr. Hughes’ counsel actually prejudiced his
    10
    ability to obtain a fair trial. Mr. Bovey has not pointed
    to any particular trial right that was compromised by the
    refusal to sever. Nor can we discern any serious risk that
    9
    (...continued)
    Counsel for Mr. Hughes also elicited testimony from wit-
    nesses concerning Mr. Bovey’s role in an odometer tamper-
    ing scheme. See infra II.B.2. However, it should be noted that
    this testimony was elicited after Mr. Bovey moved for a sever-
    ance. As a general rule, “review of the trial court’s exercise of
    discretion in refusing a motion for severance must be based on
    the state of the record at the time of the motion.” United States
    v. Oglesby, 
    764 F.2d 1273
    , 1275 (7th Cir. 1985) (internal quota-
    tions omitted).
    10
    Furthermore, Mr. Bovey rests the brunt of his argument on
    a misinterpretation of Oglesby. In Oglesby, this court noted that
    severance may be warranted if “a co-defendant’s statement
    inculpating the moving defendant” was introduced at trial.
    
    Oglesby, 764 F.2d at 1276
    . However, based on the citation
    following this statement, it is evident that the court was re-
    ferring to Bruton type problems—a situation absent in the pres-
    ent case. Moreover, Mr. Hughes never testified in this case.
    Mr. Bovey instead submits that the actions of Mr. Hughes’
    counsel functioned as though Mr. “Hughes himself had testi-
    fied.” Bovey Br. at 9. The record simply does not support such
    a conclusory allegation.
    12                                  Nos. 01-4120 & 02-1356
    the jury was prevented “from making a reliable judg-
    ment about guilt or innocence.” 
    Zafiro, 506 U.S. at 539
    .
    2.
    Mr. Bovey further submits that the district court abused
    its discretion in permitting the Government to present
    evidence under Federal Rule of Evidence 404(b) concern-
    ing his involvement in an odometer tampering scheme
    with Mr. Hughes.
    Prior to trial, the Government served a timely notice of
    its intent to offer evidence under Rule 404(b). The Gov-
    ernment noted that it intended to introduce testimony
    concerning the joint participation of Mr. Bovey and Mr.
    Hughes in an odometer tampering scheme. Over Mr.
    Bovey’s motion to exclude the testimony, the district court
    allowed the Government to introduce this evidence to
    demonstrate that Mr. Hughes and Mr. Bovey had a work-
    ing relationship with one another.
    Before us, he submits that the prejudicial impact of
    this evidence far outweighed its probative value. In re-
    sponse, the Government emphasizes that this evidence
    demonstrated that Mr. Hughes and Mr. Bovey, the al-
    leged co-conspirators, enjoyed a working relationship.
    In a criminal prosecution, the Government may not ten-
    der evidence of prior misconduct merely to demonstrate
    “that a defendant has a propensity to commit crime and
    that he acted in conformity with that propensity on the
    occasion in question.” United States v. Best, 
    250 F.3d 1084
    ,
    1090 (7th Cir. 2001). However, it may present such evi-
    dence for other purposes such as to demonstrate “ ‘motive,
    opportunity, intent, preparation, plan, knowledge, iden-
    tity, or absence of mistake.’ ” United States v. Conley, 291
    Nos. 01-4120 & 02-1356                                         
    13 F.3d 464
    , 472 (7th Cir. 2002) (quoting Fed. R. Evid. 404(b)).
    Consequently, the central inquiry in cases involving ad-
    mission of evidence under Rule 404(b) becomes whether
    the material is “ ‘probative of a material issue other than
    character.’ ” United States v. Heath, 
    188 F.3d 916
    , 920 (7th
    Cir. 1999) (quoting Huddleston v. United States, 
    485 U.S. 681
    ,
    686 (1988)).
    Although this court has adopted a four-prong test to
    determine if evidence may be admitted properly under
    11
    Rule 404(b), the parties’ dispute concerns only the
    fourth element of this inquiry: whether the probative
    value of the material was substantially outweighed by the
    danger of unfair prejudice. See 
    Heath, 188 F.3d at 919
    ;
    United States v. Asher, 
    178 F.3d 486
    , 492 (7th Cir. 1999).
    Under this inquiry, “ ‘the general rule is that the balance
    should be struck in favor of admission.’ ” United States
    v. Denberg, 
    212 F.3d 987
    , 993 (7th Cir. 2000) (quoting
    United States v. Dennis, 
    625 F.2d 782
    , 797 (8th Cir. 1980)).
    Moreover, this court has stated that “evidence is unfairly
    prejudicial only if it will ‘induce the jury to decide the
    case on an improper basis, commonly an emotional one,
    11
    Evidence is admissible under Rule 404(b) provided: (1) the
    evidence is directed towards a matter other than the defen-
    dant’s propensity to commit the crime charged such as motive,
    intent, plan, knowledge or identity; (2) the evidence is similar
    enough and close enough in time to be relevant to the matter
    in issue; (3) the evidence is sufficient to support a jury finding
    that the defendant committed the similar acts; and (4) the
    probative value is not substantially outweighed by the danger
    of unfair prejudice. See United States v. Heath, 
    188 F.3d 916
    , 919
    (7th Cir. 1999); United States v. Asher, 
    178 F.3d 486
    , 492 (7th
    Cir. 1999). Mr. Bovey does not challenge the district court’s de-
    termination that prongs one through three have been satisfied
    in this case.
    14                                   Nos. 01-4120 & 02-1356
    rather than on the evidence presented.’ ” 
    Conley, 291 F.3d at 473
    (quoting United States v. Pulido, 
    69 F.3d 192
    , 201 (7th
    Cir. 1995)).
    Although the issue is a relatively close one, we cannot
    say that the district court abused its discretion in admit-
    ting the evidence. The disputed information was relevant
    to the issue of whether Mr. Hughes and Mr. Bovey had
    a working relationship prior to the commission of this
    crime, a matter that might have been of some interest to
    the jury in light of the finger-pointing that took place
    between the defendants. Cf. United States v. Macias, 
    930 F.2d 567
    , 572 (7th Cir. 1991) (holding that Rule 404(b)
    evidence is “highly probative to show the working rela-
    tionship” between drug dealers). The introduction of this
    evidence no doubt cast Mr. Bovey in an unflattering light.
    However, odometer tampering does not carry with it
    such a stigma that this material would provoke a jury to
    convict based on emotion rather than on the evidence.
    Moreover, when material concerning the odometer tam-
    pering was introduced at trial, the district court admon-
    ished the jury that it only could consider this evidence
    for the limited purpose of determining whether there
    was a working relationship between Mr. Hughes and Mr.
    Bovey. Consequently, the district court did not abuse its
    discretion in admitting this evidence under Rule 404(b).
    Conclusion
    The district court correctly determined that Count I of
    the indictment was not duplicitous. The court also was
    on solid ground when it denied the motion to sever. The
    court did not abuse its discretion in permitting the intro-
    duction of the evidence of odometer tampering. Nor did
    the court err in its application of § 2B.1(b)(2) of the Sen-
    tencing Guidelines.
    Nos. 01-4120 & 02-1356                                   15
    Accordingly, the judgments of the district court are
    affirmed.
    AFFIRMED
    A true Copy:
    Teste:
    _____________________________
    Clerk of the United States Court of
    Appeals for the Seventh Circuit
    USCA-02-C-0072—11-13-02