United States v. Gervais (Ken) Ngombwa , 893 F.3d 546 ( 2018 )


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  •                  United States Court of Appeals
    For the Eighth Circuit
    ___________________________
    No. 17-1688
    ___________________________
    United States of America
    lllllllllllllllllllllPlaintiff - Appellee
    v.
    Gervais (Ken) Ngombwa
    lllllllllllllllllllllDefendant - Appellant
    ____________
    Appeal from United States District Court
    for the Northern District of Iowa - Cedar Rapids
    ____________
    Submitted: May 16, 2018
    Filed: June 22, 2018
    ____________
    Before SHEPHERD, MELLOY, and GRASZ, Circuit Judges.
    ____________
    SHEPHERD, Circuit Judge.
    The Rwandan Genocide is one of the darkest chapters in human history. Over
    the span of 100 days, an estimated 800,000 people died. At least a million more were
    displaced. During and shortly after the tragedy, the United States admitted a limited
    number of refugees from Rwanda with priority given to those who were in the most
    danger. Among those admitted were Gervais (“Ken”) Ngombwa and purported
    members of his family. The government alleged and proved at trial that his
    admission, status, and eventual naturalization were based on material falsehoods.
    And at sentencing, the government proved to the district court’s1 satisfaction that the
    falsehoods were used to conceal a darker secret: Ngombwa’s participation in the
    Rwandan Genocide.
    Ngombwa now alleges he deserves a new trial because his representation was
    constitutionally deficient and, failing that, he should be re-sentenced because the
    district court made several errors at sentencing. We disagree and affirm his
    conviction and sentence.
    I.
    During the Rwandan Genocide, life and death were tied to one’s ethnic
    background. The decisive fault line was between the Hutus and Tutsis. The former
    made up 85% of the population; the latter made up roughly 14%.
    Relations between the two ethnic groups have historically been fraught. In
    1993, major parties representing both ethnicities entered into a power-sharing
    agreement known as the Arusha Accords. The leader of this power-sharing
    government, a Hutu, was assassinated in April of 1994. Extremist Hutu groups,
    already unhappy with the Arusha Accords, seized on this moment. They unleashed
    a wave of mass murder and violence against both Tutsis and those Hutus who were
    thought to sympathize with the Tutsis in what is now known as the Rwandan
    Genocide.
    Against this backdrop, Ngombwa, a Hutu, sought refuge in the United States.
    In June 1994, two months after the outbreak of the Genocide, Ngombwa left Rwanda
    1
    The Honorable Linda R. Reade, United States District Judge for the Northern
    District of Iowa.
    -2-
    for a refugee camp in Tanzania. With him were his purported wife, Antoinette
    Mukakabanda (a Tutsi), and seven minors—only some of whom were his biological
    children.2 Ngombwa was flagged for potential resettlement because he was believed
    to be in a mixed marriage. And in 1998, he began a series of interviews with UN
    officials, aid workers, and, eventually, a U.S. immigration attache, to assess whether
    he (and his alleged family) should be granted refugee status in the United States.
    Over the course of these interviews, Ngombwa told a number of lies. These
    falsehoods were designed to enhance the perceived risks if he were to stay in the
    region. See Sent. Mem. 10-13. For example, he lied that he and Mukakabanda (and
    her mother) were arrested and beaten in the Rwandan capital. One lie, though, was
    particularly egregious—and particularly helpful to his claim. At trial, the U.S.
    immigration attache who interviewed him, Joe Martin, testified that Ngombwa’s
    assertion that he was the brother of a prominent moderate Hutu politician, Faustin
    Twagiramungu—who was perceived as sympathetic to Tutsis—proved decisive to his
    refugee claim. On the basis of this false statement and many others, Ngombwa,
    Mukakabanda, and the seven minors (all of whom were thought to be their children),
    were resettled in the United States at the end of 1998.
    Ngombwa eventually became a citizen of the United States in 2004. When he
    applied to become a permanent resident in 2001 and a citizen in 2003, he affirmed,
    among other things, that he never obtained an immigration benefit or entered the
    United States through fraud or willful misrepresentation. His purported children also
    gained citizenship through derivative applications. Ngombwa’s naturalization was
    not to be the last time he dealt with immigration authorities, however.
    2
    It is unclear whether Ngombwa was married to Mukakabanda at the time he
    applied for refugee status. Additionally, it has emerged that three of the minors who
    were thought to be his biological children are, in fact, not.
    -3-
    Many years after Ngombwa’s naturalization, Department of Homeland Security
    (“DHS”) investigators received a tip. It was not a run-of-the mill tip nor was it from
    a run-of-the-mill source. Prosecutors in Rwanda informed DHS that they had
    credible information that a perpetrator of the Rwandan Genocide was residing in the
    United States. That tip sparked an investigation—marked by numerous interviews
    in Rwanda over the span of three years and extensive document review—that led to
    Ngombwa’s doorstep in Cedar Rapids, Iowa.
    In 2014, Ngombwa was interviewed twice by DHS investigators. By this time,
    investigators had learned that Ngombwa had twice been convicted in absentia by
    Rwandan tribal courts (known as “GACACA courts”) for participation in the
    Rwandan Genocide. He had also been named in an indictment in the International
    Criminal Tribunal for Rwanda as a participant in the Genocide. And around the time
    DHS first spoke to him in June 2014, he was indicted by Rwandan prosecutors for
    genocide. During his interviews with DHS investigators, Ngombwa recanted many
    things he initially told U.S. and aid officials in the Tanzanian refugee camp.
    Curiously, he maintained that he never said he was related to the moderate Hutu
    politician Twagiramungu—a fact U.S. immigration officials found critical to his
    refugee claim.
    In October 2014, shortly after the last time Ngombwa spoke with DHS
    investigators, a grand jury returned a four-count indictment against Ngombwa. Three
    counts alleged Ngombwa’s unlawful procurement of naturalization and conspiracy
    to commit the same. See 
    18 U.S.C. §§ 1425
    , 371. The last count charged him with
    falsely stating to investigators that he never claimed he was related to Twagiramungu.
    See 
    id.
     § 1001(a)(2). Ngombwa went to trial, where it was agreed that no reference
    was to be made to evidence of Ngombwa’s personal participation in the Genocide.
    He was convicted on all four counts. Post trial, he filed a motion for a new trial on
    the basis of ineffective assistance of counsel (“IAC”). The district court denied that
    motion, and Ngombwa proceeded to sentencing.
    -4-
    The district court granted Ngombwa’s request to merge two counts of
    naturalization fraud for sentencing purposes, which meant that he would be sentenced
    on one count of naturalization fraud, one count of conspiracy to do the same, and one
    false-statement count. At sentencing, the district court heard evidence about
    Ngombwa’s participation in the Rwandan Genocide. Largely driven by this evidence,
    Ngombwa’s Guideline range was set at 100-125 months imprisonment. The district
    court eventually imposed an above-Guidelines sentence of 180 months.
    Ngombwa now appeals the denial of his motion for a new trial and his
    sentence. We examine each in turn.
    II.
    Our first task is to ensure that review of Ngombwa’s IAC claim is proper at this
    stage because “[g]enerally [] [IAC] claims are better left for post-conviction
    proceedings.” United States v. Long, 
    721 F.3d 920
    , 926 (8th Cir. 2013) (internal
    quotation marks omitted). We address IAC “claims on direct appeal only where the
    record has been fully developed, where not to act would amount to a plain
    miscarriage of justice, or where counsel’s error is readily apparent.” United States
    v. Hubbard, 
    638 F.3d 866
    , 869 (8th Cir. 2011) (internal quotation marks omitted).
    In this case, “the district court held an evidentiary hearing at which it allowed
    [the defendant] to present evidence regarding the alleged ineffective assistance of
    counsel.” See United States v. Orr, 
    636 F.3d 944
    , 950 (8th Cir. 2011) (alteration in
    original) (internal quotation marks omitted). Ngombwa’s claim relates to trial
    counsel’s investigation of certain witnesses. The district court allowed Ngombwa to
    present evidence, through live testimony and affidavit, on how those witnesses would
    have bolstered his defense. And trial counsel submitted multiple affidavits in
    addition to testifying at the evidentiary hearing. Given this, we find that “the trial
    court developed a record sufficient to examine counsel’s performance” on direct
    -5-
    review. Hubbard, 
    638 F.3d at 869
    . The parties agree as well. See Orr, 
    636 F.3d at 950
     (finding “additional justification for reviewing ineffective-assistance claims on
    direct appeal when the parties concur that the record is fully developed and thus ripe
    for review”). Thus, we proceed and review the district court’s decision to deny a new
    trial on IAC grounds for abuse of discretion. United States v. Thompson, 
    690 F.3d 977
    , 992 (8th Cir. 2012).
    To succeed on an IAC claim, a party “must show: (1) trial counsel’s
    performance was so deficient as to fall below an objective standard of the customary
    skill and diligence displayed by a reasonably competent attorney, and (2) trial
    counsel’s deficient performance prejudiced the defense.” Long v. United States, 
    875 F.3d 411
    , 413 (8th Cir. 2017) (internal quotation marks omitted). We find that
    Ngombwa has failed to make the requisite showing on the first prong—he has not
    shown that his trial counsel’s performance was constitutionally deficient.
    On appeal, Ngombwa’s claim is narrow: he believes his counsel was ineffective
    for failing to contact and interview five of his family members. “In any
    ineffectiveness case, a particular decision not to investigate must be directly assessed
    for reasonableness in all the circumstances, applying a heavy measure of deference
    to counsel’s judgments.” Strickland v. Washington, 
    466 U.S. 668
    , 691 (1984). And
    so even if the record suggests that counsel “could well have made a more thorough
    investigation . . . in considering claims of [IAC] we address not what is prudent or
    appropriate, but only what is constitutionally compelled.” Burger v. Kemp, 
    483 U.S. 776
    , 794 (1987) (internal quotation marks omitted). Put simply, there only needs to
    be “a reasonable basis for [counsel’s] strategic decision” not to speak with
    Ngombwa’s family members. 
    Id. at 795
    .
    Here, there was more than a “reasonable basis” for trial counsel’s decision.
    Counsel decided not to investigate the family members of Ngombwa because “he
    determine[d] that any potential information an investigation might uncover would
    -6-
    have limited”—indeed, in this case, detrimental—“value [and] could be easily
    attacked on cross-examination.” United States v. Mohammed, 
    863 F.3d 885
    , 890
    (D.C. Cir. 2017) (internal quotation marks omitted). As the district court noted in its
    findings, interviews of other family members led to the discovery that some of
    Ngombwa’s purported children were not his biological children as he had claimed
    during his initial resettlement—a fact that was not known to the government until a
    week before trial. This was yet another falsehood Ngombwa used in the
    naturalization process. It was a harsh inculpatory fact for Ngombwa and strong
    evidence for the government. As counsel explained, he made a strategic decision not
    to speak with certain family members in order to prevent the government from
    learning this inculpatory fact and potentially others.3 This is not a case, then, where
    “[c]ounsel’s failure to place calls or otherwise reach out to potential witnesses cannot
    be traced to any strategic decision.” Mohammed, 863 F.3d at 891. Instead,
    “‘reasonable professional judgments support the limitations on [counsel’s]
    investigation.’” Wiggins v. Smith, 
    539 U.S. 510
    , 533 (2003) (quoting Strickland, 
    466 U.S. at 691
    ).
    In sum, the district court did not abuse its discretion in denying a new trial for
    Ngombwa.
    3
    In an affidavit, trial counsel maintains that Ngombwa agreed with this
    strategy. Cf. Strickland, 
    466 U.S. at 691
     (“[W]hen a defendant has given counsel
    reason to believe that pursuing certain investigations would be fruitless or even
    harmful, counsel’s failure to pursue those investigations may not later be challenged
    as unreasonable.”).
    -7-
    III.
    As to Ngombwa’s sentence, he argues that we should remand for four distinct
    reasons, and we consider each argument separately.
    A.
    Ngombwa’s first argument is a procedural one with many moving parts. The
    first piece is that Ngombwa believes his charges, which capture conduct ranging from
    1998 to 2014, were improperly grouped by the district court for sentencing. The
    grouping rules set forth by the Guidelines instruct sentencing courts to bundle “[a]ll
    counts involving substantially the same harm” in order to calculate a single offense
    level. See USSG § 3D1.2. Given the consequences of this—normally a lower overall
    offense level—often times a district court’s decision not to group is challenged. See,
    e.g., United States v. Espinosa, 
    539 F.3d 926
    , 929 (8th Cir. 2008).
    Here, however, Ngombwa challenges the grouping of his counts because it is
    the first step towards the application of another part of the Guidelines he finds
    objectionable: the one-book rule. The one-book rule holds that one version of the
    Guidelines should be used when sentencing multiple counts spanning many years.
    See USSG § 1B1.11. Practically speaking, this is usually the edition of the
    Guidelines that is in effect at the time of sentencing.4 Our precedent has approved of
    the one-book rule only when applied to grouped offenses. See United States v.
    4
    The one notable exception to this is if the version of the Guidelines in effect
    at the time of sentencing recommends a higher advisory guidelines range than the
    version in effect at the date of the most recent count. See Peugh v. United States, 
    569 U.S. 530
    , 533 (2013) (holding there “is an ex post facto violation when a defendant
    is sentenced under Guidelines promulgated after he committed his criminal acts and
    the new version provides a higher applicable Guidelines sentencing range than the
    version in place at the time of the offense”).
    -8-
    Anderson, 
    570 F.3d 1025
    , 1033 (8th Cir. 2009); but see USSG § 1B1.11, comment.
    (n.2)(one-book rule should be applied “regardless of whether the offenses of
    conviction are the type in which conduct is grouped”).5 Thus, Ngombwa challenges
    the grouping of his offenses as a way to wriggle free of the one-book rule which, as
    described below, increases his offense level. The second piece of his argument is a
    more direct challenge to the one-book rule. Even if his counts were properly
    grouped, Ngombwa believes the rule, as applied to him, violates the Constitution’s
    Ex Post Facto Clause.
    We first examine his grouping argument before moving to his constitutional
    challenge. Factual findings made by the district court are reviewed for clear error
    while application of the Guidelines—including which version should be applied—is
    something reviewed de novo. Anderson, 
    570 F.3d at 1033
    .
    1.
    As applicable here, the Guidelines define “counts involving substantially the
    same harm”—e.g., those counts which should be grouped—in part as those that
    “involve the same victim.” USSG § 3D1.2(b). Ngombwa believes his counts were
    improperly grouped because his conduct affected different “victims.” He draws
    support from the Guidelines application notes. The application notes to § 3D1.2 state
    that certain crimes have “no identifiable victims.” Id., comment. (n.2). For those
    crimes, including “immigration offenses,” “the ‘victim’ . . . is the societal interest
    that is harmed.” Id. Ngombwa believes that his false statement count affected a
    specific victim, DHS, and his substantive naturalization fraud counts affected a
    broader “societal interest.” The district court disagreed and found that all of his
    counts harmed DHS.
    5
    Whether an Ex Post Facto violation occurs when the one-book rule is applied
    to counts which are not grouped remains an open question in this Circuit.
    -9-
    Ngombwa’s argument is unconvincing. The lie he told DHS investigators in
    2014 was meant to prevent them from enforcing the immigration laws. He lied
    specifically about the most crucial part of his resettlement application: his purported
    relationship with Twagiramungu. His lie to investigators was simply another act in
    the same play—one that continued to “corrupt[] the established processes of
    immigration.” United States v. Worku, 
    800 F.3d 1195
    , 1207 (10th Cir. 2015). In this
    case, at least,“[s]ubmitting false statements to the government, in an effort to
    circumvent a regulation promulgated for the benefit of society at large, is akin to the
    victimless crime[] of obstructing justice.” United States v. Bordinaro, 
    777 F. Supp. 1229
    , 1233 n.2 (E.D. Pa. 1991), aff’d, 
    970 F.2d 900
     (3d Cir. 1992) (unpublished table
    decision).
    Ngombwa responds by citing cases which suggest violations of 
    18 U.S.C. § 1001
     are not victimless. These violations, he argues, affect specific government
    agencies. See, e.g, United States v. Shah, 
    44 F.3d 285
    , 289 (5th Cir. 1995) (affirming
    false statement conviction for submitting manipulated bid on government contract).
    At one time, this sort of harm affecting the operation of government may have been
    the exclusive domain of the statute. See Lisa Kern Griffin, Criminal Lying,
    Prosecutorial Power, and Social Meaning, 
    97 Cal. L. Rev. 1515
    , 1536 (2009)
    (“Section 1001 originated with concerns about government property and was passed
    as a response to Civil War procurement fraud.”). Congressional revision, however,
    has expanded the scope of the statute beyond “only those falsehoods that pervert
    governmental functions.” Brogan v. United States, 
    522 U.S. 398
    , 402 (1998).
    Without a doubt, 
    18 U.S.C. § 1001
     still covers its historical roots. But, there
    is a difference between the use of “false information to pursue a governmental
    privilege such as employment” or, like in Shah, to “receiv[e] a pecuniary benefit”
    from the government—instances where the government agency is squarely the
    victim—and this case. Michael Nagelberg et. al., False Statements and False Claims,
    
    54 Am. Crim. L. Rev. 1273
    , 1276 (2017). Here, Ngombwa’s false statement was used
    -10-
    to “frustrate lawful regulation.” 
    Id.
     In other words, his false statement undermined
    the very “societal interests” that the immigration regulations protect. See USSG
    § 3D1.2, comment. (n.2). Thus, under the Guidelines, his counts were properly
    grouped.6 See also United States v. Pagan-Ferrer, 
    736 F.3d 573
    , 599 (1st Cir. 2013)
    (affirming, without comment, district court’s grouping of physical assault counts with
    later false statement and obstruction charges which related to investigation of
    underlying physical assault).
    2.
    Next, Ngombwa argues that application of the one-book rule to his grouped
    offenses violates the Constitution’s Ex Post Facto Clause. Ngombwa’s naturalization
    fraud counts cover conduct up to 2006. His false statement count, however, occurred
    in October 2014. So, under the one-book rule, the district court used the 2015 version
    of the Guidelines, the version in effect at sentencing, for all counts.7 Under the 2015
    Guidelines, the district court applied USSG § 2L2.2(b)(4)(B)(ii)—a section which
    was added to the Guidelines in 2012 “to increase the [G]uideline range for offenders
    violating immigration laws to conceal the violation of human rights.” Worku, 800
    F.3d at 1208. Application of the enhancement raised Ngombwa’s base offense level
    from 8 to 25. Ngombwa argues that this is an Ex Post Facto violation because if the
    false statement count “did not exist, [he] would have to be sentenced under the 2006
    6
    Even if there were ambiguity as to who the exact victim of Ngombwa’s false
    statement was, the Guidelines instruct that it “should be resolved in accordance with
    the purpose of this section . . . to identify and group ‘counts involving substantially
    the same harm.’” Id. As we have explained, Ngombwa’s false statement was simply
    a continuation of his prior immigration crimes. All of his counts, then, inflicted
    “‘substantially the same harm.’” Id.
    7
    Ngombwa does not suggest there is a relevant, material difference between the
    version of the Guidelines in effect at sentencing and the one that was in effect at the
    date of his false statement.
    -11-
    version of the Guidelines that does not contain the 17 level increase set forth in
    [USSG] § 2L2.2(b)(4)(B)(ii).”
    To start, we have already rejected this argument in Anderson. 
    570 F.3d at 1033
    (noting our prior holding that “the one-book rule does not violate the Ex Post Facto
    Clause, even when it results in a higher guidelines range, because defendants have
    fair warning that the revised guidelines manual will apply to grouped offenses”
    (internal quotation marks omitted)). And as Ngombwa candidly agrees, nothing in
    the Supreme Court’s holding in Peugh affects Anderson. See supra note 4. Indeed,
    every circuit that has examined the rule espoused by Anderson post-Peugh has agreed
    with this.8 As a result, we have no occasion to revisit Anderson.
    Ngombwa asks us to follow United States v. McMillian, 
    777 F.3d 444
     (7th
    Cir. 2015). But, his reliance on that case is misplaced. In McMillian, Judge Posner
    (in dicta) urged caution in applying the one-book rule “indiscriminately.” 
    Id. at 448
    .
    But, even so, Judge Posner recognized that the one-book rule was appropriate in cases
    where a later “offense . . . embraced both crimes.” 
    Id.
     Ngombwa’s case falls into this
    category. As we describe above, Ngombwa’s false statement was designed to conceal
    his prior naturalization fraud and, in this way, his false statement “embraced” his
    prior crimes. Thus, even McMillian would not move Ngombwa’s claim forward.
    At bottom, the rule set forth in Anderson controls: application of the one-book
    rule to grouped offenses does not violate the Ex Post Facto Clause. And we have no
    reason to depart from that rule here. While Ngombwa may see unfairness in the one-
    book rule, “it was not the amendments to the Sentencing Guidelines that
    disadvantaged [Ngombwa], it was [his] election to continue [his] criminal activity.”
    8
    United States v. Qualls, 613 F. App’x 25, 29 (2d Cir. 2015) (unpublished) (per
    curiam); United States v. Hallahan, 
    756 F.3d 962
    , 978-79 (7th Cir. 2014); Pagan-
    Ferrer, 736 F.3d at 599.
    -12-
    United States v. Kumar, 
    617 F.3d 612
    , 628 (2d Cir. 2010) (internal quotation marks
    omitted).
    B.
    Ngombwa next contends that the district court’s upward departure from
    Criminal History Category I to IV under USSG § 4A1.3 for underscored criminal
    history was improper. We review the district court’s decision to depart upwards for
    abuse of discretion and the factual findings underpinning that decision for clear error.
    United States v. Peeples, 
    879 F.3d 282
    , 287 (8th Cir. 2018).
    Ngombwa’s sole contention is that the district court improperly relied on the
    GACACA court convictions to depart upward because those courts do not afford due
    process and procedural rights. We need not wade into those waters, however.
    To its credit, the district court independently assessed the voluminous evidence
    before it to make its own judgment as to whether Ngombwa participated in the
    Rwandan Genocide. It found “that the eyewitness reports of Defendant’s acts of
    violence—bolstered by his convictions in two separate [GACACA]
    courts—constitute ‘reliable information’ indicating that the Defendant’s classification
    in Criminal History Category I under-represents the severity of his criminal history.”
    While the district court noted that the GACACA court convictions were consistent
    with its own independent judgment, it did not rely solely on the GACACA court
    convictions to find under represented criminal history.
    The district court did, however, use the GACACA court convictions to assess
    which precise criminal history category to move up to—a task distinct from finding
    under represented criminal history in the first instance. The GACACA court
    convictions were proxies. They were an “attempt to assign hypothetical criminal
    history points to the conduct that did not result in convictions, and then determine
    -13-
    what the appropriate criminal history category would be.” United States v. Azure,
    
    536 F.3d 922
    , 932 (8th Cir. 2008). We find no abuse of discretion in using the
    GACACA convictions in this way. The district court’s use of the convictions as
    proxies to “adequately explain why it determine[d] that intermediary [criminal
    history] categories fail to meet the purposes of [USSG] § 4A1.3,” is perhaps better
    practice than simply noting that Ngombwa’s “criminal history category would be
    insufficient because [he] had been a ‘big time crook’”—a rationale we have affirmed
    in the past. United States v. Mees, 
    640 F.3d 849
    , 854-55 (8th Cir. 2011).9
    In short, the district court did not abuse its discretion in using the GACACA
    court convictions as proxies to assess which criminal history category to move to.
    C.
    The final two challenges concern the evidence considered at sentencing. First,
    Ngombwa argues that witness statements attesting to Ngombwa’s participation in the
    Rwandan Genocide—which were gathered by DHS investigators in Rwanda—should
    not have been considered at sentencing because they are “unreliable hearsay.” As
    Ngombwa acknowledges, “the Rules of Evidence expressly do not apply to . . .
    sentencing proceedings.” United States v. Sheridan, 
    859 F.3d 579
    , 583 (8th Cir.
    2017) (alteration in original) (internal quotation marks omitted). Neither does the
    Confrontation Clause. United States v. Cross, 
    888 F.3d 985
    , 993 (8th Cir. 2018).
    And thus, “[h]earsay evidence, even double hearsay, can be used at sentencing
    proceedings if it bears sufficient indicia of reliability to support its probable
    accuracy.” United States v. Shackelford, 
    462 F.3d 794
    , 796 (8th Cir. 2006) (internal
    quotation marks omitted). “[W]hether hearsay evidence is sufficiently reliable to
    9
    The district court also factored in a then-pending state burglary charge.
    Ngombwa does not challenge that on appeal.
    -14-
    support a sentencing decision depends on the facts of the particular case, and is
    committed to the sound discretion of the district court.” United States v. Pratt, 
    553 F.3d 1165
    , 1170 (8th Cir. 2009) (internal quotation marks omitted). We review only
    to ensure there was no abuse of that discretion. Sheridan, 859 F.3d at 584.
    When hearsay used at sentencing is corroborated, we have traditionally found
    such evidence to be sufficiently reliable. See, e.g., United States v. Garcia, 
    774 F.3d 472
    , 475 (8th Cir. 2014) (per curiam) (finding hearsay statements used at sentencing
    to be reliable because they “were consistent with other witness testimony”).10 The
    district court here noted that many of the witness statements gathered by DHS
    investigators corroborated each other.11 In some instances, the investigators were
    able to assess the veracity of these witnesses in other ways. At sentencing, the lead
    investigator, Frank Hunter, stated that he was able to corroborate details in witness
    accounts with third-party sources, including independent reports prepared by the State
    Department. Investigators were also able to personally corroborate certain details.
    For example, one witness told investigators that she remembered being in a particular
    church during an act of mass murder. She told investigators that, during the attack,
    an older woman taking refuge in the church stood up to call out to a statue of the
    Virgin Mary. A picture of the Virgin Mary statue from that church, taken by
    investigators, was presented during sentencing.
    10
    That is not to say, however, that uncorroborated hearsay is inappropriate at
    sentencing. We have said that such hearsay may be used at sentencing if, in addition
    to “possess[ing] sufficient indicia of reliability,” “the defendant has the opportunity
    to respond to and rebut the testimony.” Sheridan, 859 F.3d at 583 (internal quotation
    marks omitted).
    11
    The district court also credited investigators for taking “careful steps to
    ensure the credibility of the witness accounts,” including by “conduct[ing] interviews
    in an open-ended fashion” and keeping witnesses “separated during the interview
    period to prevent collusion.”
    -15-
    Ngombwa does not contest the district court’s findings on the level of
    corroboration buttressing these witness statements. We reject the notion, then, that
    “there are no guarantees as to the reliability . . . of the [witness statements].” The
    witness statements in this case were sufficiently corroborated by each other,
    documentary evidence, and the investigators’ own personal observations. See United
    States v. Grandon, 
    714 F.3d 1093
    , 1097 (8th Cir. 2013) (finding consistency between
    three witnesses was sufficient to show “corroboration [which] suggests [their] hearsay
    testimony . . . was reliable”). Despite Ngombwa’s protestations to the contrary, we
    find that reliance on these statements did not cause defendant to be sentenced on
    “misinformation of constitutional magnitude.” United States v. Wise, 
    976 F.2d 393
    ,
    402 (8th Cir. 1992) (en banc) (internal quotation marks omitted).
    D.
    The last challenge to Ngombwa’s sentence concerns the testimony of an expert
    via videolink from the United Kingdom at Ngombwa’s sentencing proceedings.
    Ngombwa believes there is no way to enforce a binding oath on a non-citizen not
    present in the United States and thus no way to guarantee that the expert was telling
    the truth. As we have noted above, sentencing differs from trial: “a sentencing judge
    may appropriately conduct an inquiry broad in scope, largely unlimited either as to
    the kind of information [she] may consider, or the source from which it may come.”
    Cross, 888 F.3d at 992 (internal quotation marks omitted). Here, Ngombwa would
    have us impose a higher bar for foreign witnesses at sentencing than at trial. Federal
    Rule of Criminal Procedure 15 allows for depositions of foreign witnesses to be used
    as substantive evidence at trial. And federal courts have affirmed the use of foreign
    depositions under this rule as substantive evidence at trial—even when the deponent
    -16-
    was not sworn in.12 We decline Ngombwa’s invitation to place restrictions on the
    “largely unlimited” pool of sources a court may consider at sentencing. Cross, 888
    F.3d at 992 (internal quotation marks omitted).
    E.
    Finally, while the district court did not procedurally err in determining
    Ngombwa’s Guidelines range, even if it did, the district court made clear that it would
    have handed down the same sentence after consideration of the 
    18 U.S.C. § 3553
    (a)
    factors. See Sent. Tr. 443-46. And so no “reasonable probability of prejudice”
    warranting remand exists even if the district court committed procedural error. See
    Molina-Martinez v. United States, 
    136 S. Ct. 1338
    , 1346 (2016) (no prejudice where
    “the district court thought the sentence it chose was appropriate irrespective of the
    Guidelines range”). Any such error would have been harmless.
    IV.
    For the foregoing reasons, we affirm Ngombwa’s conviction and his sentence.
    ______________________________
    12
    See United States v. Casamento, 
    887 F.2d 1141
    , 1174 (2d Cir. 1989) (holding
    depositions taken in Switzerland of Swiss citizens were admissible even though “the
    presiding Swiss Judge did not administer an oath or affirmation”); United States v.
    Sturman, 
    951 F.2d 1466
    , 1481 (6th Cir. 1991) (same); see also United States v.
    Cooper, 
    947 F. Supp. 2d 108
    , 115 (D.D.C. 2013) (rejecting defendant’s arguments
    that depositions in Indonesia should not take place because “the oath cannot be
    enforced”).
    -17-