United States v. Brian Vickers ( 2008 )


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  •                      United States Court of Appeals
    FOR THE EIGHTH CIRCUIT
    ___________
    No. 07-2184
    ___________
    United States of America,                *
    *
    Plaintiff - Appellee,              *
    * Appeal from the United States
    v.                                 * District Court for the
    * District of Nebraska.
    Brian Vickers,                           *
    *
    Defendant - Appellant.             *
    ___________
    Submitted: December 10, 2007
    Filed: June 20, 2008
    ___________
    Before LOKEN, Chief Judge, WOLLMAN and SHEPHERD, Circuit Judges.
    ___________
    LOKEN, Chief Judge.
    Brian Vickers appeals his conviction and sentence for four counts of knowing
    possession and interstate transportation of stolen property in violation of 
    18 U.S.C. §§ 2314
     and 2315, and for conspiracy to possess and transport stolen items across
    state lines. Vickers contends that the evidence was insufficient and that the district
    court1 erred in imposing two-level sentencing enhancements for being in the business
    of receiving and selling stolen property and for obstruction of justice. We affirm.
    1
    THE HONORABLE JOSEPH F. BATAILLON, United States District Judge
    for the District of Nebraska.
    I. Sufficiency of the Evidence
    At trial, the government’s first witness was Investigator Eugene True of the
    Nebraska State Patrol’s auto fraud division, who described his investigation. Zach
    Bryant, Vickers’s friend and former coworker, told a Nebraska state patrolman that
    Vickers was dealing in stolen tractors and trailers. True visited Vickers’s residence
    in Elmwood, Nebraska, to engage in a “knock and talk” interview. Vickers’s mother,
    who lived with her son, gave True permission to search the premises. After
    determining that thirteen other tractors were not stolen, True examined a Talbert flat-
    bed trailer that Bryant had reported as possibly stolen. True observed that the vehicle
    identification number (“VIN”) plate was attached with barn screws, suggesting the
    original VIN plate had been removed, and he found grind marks on the underside of
    the trailer where the secondary VIN number should have been located.
    Contacted by phone, Vickers explained that he had purchased the trailer from
    Bryant for $7,500 and obtained a replacement VIN plate from its manufacturer. At
    the Department of Motor Vehicles, True learned that Vickers misidentified the model
    year and submitted a bill of sale stating that Bryant had traded the trailer to Vickers
    in exchange for a John Deere tractor. Confronted with the bill of sale, Bryant denied
    ever owning the trailer and said his signature on the bill of sale was forged. True
    fitted Bryant with a wireless transmitting device, and Bryant met Vickers at a
    Wendy’s restaurant. Vickers made incriminating statements, instructed Bryant to
    “stick with the story” that he had sold Vickers the trailer, and offered Bryant a John
    Deere tractor or “a couple thousand bucks” for his trouble. The tape of this
    conversation was played for the jury later in the trial. True located the owner of the
    Talbert trailer in south central Illinois, where it had been reported stolen.
    After Vickers was arrested on Nebraska state charges, True continued his
    investigation. In an interview with Jeremy Bailiff, a Vickers acquaintance, True
    learned that Bailiff had obtained a riding lawn mower and an all-terrain vehicle
    (“ATV”) from Vickers. True determined from a law enforcement database that both
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    were stolen in south central Illinois. During another interview, neighbor Marion
    Wenzel informed True that Wenzel had obtained a John Deere skid loader and a John
    Deere lawn mower from Vickers. True inspected this equipment. The primary
    product identification number (“PIN”) on the skid loader was missing, but he found
    a concealed secondary PIN. The PIN on the lawn mower was scratched beyond
    recognition. A database analysis revealed that all five pieces of equipment -- trailer,
    skid loader, two lawn mowers, and the ATV -- were reported stolen within a thirty-
    mile radius in south central Illinois. Vickers’s ex-girlfriend, Jennifer Henson, told
    True that she had traveled with Vickers to Kinmundy, Illinois, to pick up a trailer from
    Rodney Armstrong, a business partner. Henson’s description of the trailer matched
    the stolen Talbert trailer True found on Vickers’s property. Henson said that when she
    confronted Vickers with her suspicion that the trailer was stolen, he said she “would
    go down with him” if she told the authorities.
    Testimony by Bryant, Bailiff, Wenzel, and Henson supported True’s testimony,
    and the government presented additional evidence that Vickers had possessed and
    transported stolen equipment. In his defense, Vickers testified he had no knowledge
    any of the property was stolen and reasonably relied on assurances by his long-time
    business partner Armstrong that the property was not illegally obtained. He claimed
    that most of the government witnesses lied at trial. The jury convicted Vickers on the
    five counts charged: knowingly transporting, receiving, and possessing the stolen
    Talbert trailer and the stolen John Deere skid loader, and conspiring to transport,
    receive, and possess stolen goods in interstate commerce.
    In challenging the sufficiency of the evidence, Vickers contends that the jury
    did not adequately evaluate the credibility of the trial witnesses. He notes that Henson
    and Bailiff admitted lying to True during the investigation. Henson initially
    implicated Vickers, then recanted during an interview with True and an Assistant
    United States Attorney, and then again implicated Vickers when True threatened her
    with state charges. Bailiff initially lied about possessing the stolen ATV and where
    he had obtained it, then avoided federal and state charges by agreeing to testify against
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    Vickers. Vickers suggests that Bryant suffered from lapses of memory and that a
    careful parsing of the tape of his conversation with Bryant at the Wendy’s restaurant
    demonstrates that seemingly incriminating statements were in fact consistent with his
    claim of innocence.
    In considering sufficiency, we review the evidence in the light most favorable
    to the jury’s verdict, giving the government the benefit of all reasonable inferences
    and upholding the conviction unless no reasonable jury could have found the
    defendant guilty. United States v. Marquez, 
    462 F.3d 826
    , 828 (8th Cir. 2006)
    (quotations omitted). As credibility determinations are for the jury, they are “virtually
    unassailable on appeal.” United States v. Alama, 
    486 F.3d 1062
    , 1065 (8th Cir. 2007).
    On numerous occasions we have upheld jury verdicts based solely on the testimony
    of cooperating witnesses. See, e.g., United States v. Velazquez, 
    410 F.3d 1011
    , 1015-
    16 (8th Cir.), cert. denied, 
    546 U.S. 971
     (2005). Here, the government also presented
    substantial physical and documentary evidence linking Vickers to the transportation
    and possession of stolen equipment. The evidence was more than sufficient for a
    reasonable jury to convict Vickers of all five charges.
    II. Sentencing Issues
    On appeal, Vickers argues that the district court committed two errors in
    determining his advisory guidelines sentencing range. Under the current advisory
    guidelines regime, the district court “should begin all sentencing proceedings by
    correctly calculating the applicable Guidelines range,” because that determination
    provides an “initial benchmark” that helps “secure nationwide consistency.” Gall v.
    United States, 
    128 S. Ct. 586
    , 596 (2007). On appeal, our first task is to “ensure that
    the district court committed no significant procedural error, such as failing to calculate
    (or improperly calculating) the Guidelines range.” 
    Id. at 597
    . A non-harmless error
    in calculating the guidelines range requires a remand for resentencing. United States
    v. Weems, 
    517 F.3d 1027
    , 1030 (8th Cir. 2008). Absent reversible procedural error,
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    we then review the reasonableness of the court’s sentence for abuse of discretion.
    Gall, 
    128 S. Ct. at 597
    . Here, after determining the advisory guidelines range, the
    district court imposed a sentence of twenty-one months in prison, the bottom of that
    range. Vickers does not raise a separate reasonableness issue.
    1. Vickers first argues that the district court erred in determining he was “a
    person in the business of receiving and selling stolen property” and imposing the two-
    level enhancement in U.S.S.G. § 2B1.1(b)(4). After the Guidelines became advisory
    in United States v. Booker, 
    543 U.S. 220
     (2005), we concluded that Booker did not
    change our procedure for reviewing challenges to the district court’s interpretation and
    application of the Guidelines. Though the Supreme Court in Gall described this as
    part of our review for “significant procedural error,” we find nothing in Gall requiring
    a change in our manner of review. Therefore, we continue to review the court’s
    factual findings for clear error and its interpretation of the Guidelines de novo. United
    States v. Mashek, 
    406 F.3d 1012
    , 1016-17 (8th Cir. 2005). Here, Vickers concedes
    (perhaps ill-advisedly) that we review the district court’s finding that he was in the
    business of receiving and selling stolen property for clear error.
    For many years, several of our sister circuits debated which of two tests to
    apply in defining the “business of receiving and selling stolen property” for purposes
    of this enhancement, a debate our court managed to avoid. See United States v.
    Maung, 
    267 F.3d 1113
    , 1117-19 (11th Cir. 2001) (collecting cases); United States v.
    Collins, 
    104 F.3d 143
    , 144 (8th Cir. 1997). In a Guidelines amendment effective
    November 1, 2001, the Sentencing Commission resolved this conflict by adopting
    application note 5 to U.S.S.G. § 2B1.1, which provides:
    For purposes of subsection (b)(4), the court shall consider the following
    non-exhaustive list of factors in determining whether the defendant was
    in the business of receiving and selling stolen property:
    (A) The regularity and sophistication of the defendant’s activities.
    -5-
    (B) The value and size of the inventory of stolen property maintained
    by the defendant.
    (C) The extent to which the defendant’s activities encouraged or
    facilitated other crimes.
    (D) The defendant’s past activities involving stolen property.
    As § 2B1.1(b)(4) applies to a wide variety of criminal offenses, these mandatory
    factors may seem unrelated to (or even inconsistent with) the plain meaning of the
    word “business” in a particular case. But the Commission helpfully explained that it
    intended in note 5 to adopt the “totality of the circumstances approach” in United
    States v. St. Cyr, 
    977 F.2d 698
    , 702-04 (1st Cir. 1992). See U.S.S.G. App. C - Vol.
    II, Amend. 617 at pp. 177-78. Depending on the circumstances, the court’s discussion
    in St. Cyr may prove more instructive than the text of note 5.
    In overruling Vickers’s objection to this enhancement, the district court
    carefully considered each of the factors listed in note 5 and found that Vickers had
    regularly and over a considerable period of time received and resold substantial items
    of equipment that were stolen by Armstrong and his confederates operating a
    relatively sophisticated interstate theft scheme, thereby encouraging these crimes.
    After reviewing the trial and sentencing record, we conclude that these findings are
    not clearly erroneous. Vickers argues that he did not maintain an “inventory” because
    he never possessed more than one or two pieces of stolen equipment at one time.
    However, the quantity of inventory maintained by one engaged in the business of
    receiving and selling stolen property will obviously depend upon the nature and value
    of the property being received and sold.
    Before leaving this enhancement, we note that, in addition to adopting note 5,
    Amendment 617 to the Guidelines substantially modified § 2B1.1, the theft guideline.
    Previously, the base offense level was 4 and the “in the business” enhancement added
    -6-
    4 levels. Now, the base offense level is 6 and the enhancement adds 2 levels. In other
    words, the significance of the enhancement was substantially reduced. Before
    Booker, the Supreme Court explained that a Guidelines error required a remand “only
    if the sentence was ‘imposed as a result of an incorrect application’ of the
    Guidelines.” Williams v. United States, 
    503 U.S. 193
    , 202-03 (1992) (quoting 
    18 U.S.C. § 3742
    (f)(1); emphasis in original). After Booker, a district court may vary
    from the advisory guidelines range, and we review the determination of that range for
    significant procedural error under Gall, 
    128 S. Ct. at 597
    . In this regime, a harmless
    error in resolving a fact-intensive guidelines issue does not require a remand. See
    United States v. Henderson, 
    416 F.3d 686
    , 694-95 (8th Cir. 2005), cert. denied, 
    546 U.S. 1175
     (2006); Mashek, 
    406 F.3d at 1017
    . Therefore, we encourage a district court
    in resolving an issue of this nature to state whether its resolution of the issue affected
    its ultimate determination of a reasonable sentence. Cf. Booker, 543 U.S. at 306-09
    & n.6 (Scalia, J., dissenting in part).
    2. Vickers next argues that the district court clearly erred in imposing a two-
    level enhancement for obstruction of justice. See U.S.S.G. § 3C1.1. The court based
    the enhancement on its findings that Vickers committed perjury when he testified at
    trial and intimidated witnesses to change their stories during the investigation. Either
    finding would support the enhancement.
    A defendant is subject to this enhancement “if he testifies falsely under oath in
    regard to a material matter and does so willfully rather than out of confusion or
    mistake.” United States v. Garcia-Gonon, 
    433 F.3d 587
    , 592 (8th Cir. 2006). In
    finding that Vickers committed perjury at trial, the district court explained:
    [D]efendants sometimes have a problem with the truth during their
    testimony, and . . . some of that coloring of testimony can be attributed
    to their point of view. I can’t say that for Mr. Vickers. It seems to me
    Mr. Vickers just out and out lied on the witness stand.
    -7-
    “We have repeatedly affirmed obstruction-of-justice enhancements, despite the
    absence of specific findings on the elements of perjury, when the evidence of the
    defendant’s willfulness was unequivocal and the record left no doubt that the
    defendant’s false testimony at trial was not the result of confusion, mistake, or faulty
    memory.” United States v. Brown, 
    311 F.3d 886
    , 890 (8th Cir. 2002) (quotations
    omitted). Although Vickers argues the court gave too much credence to the jury’s
    unreasonable verdict, we conclude its finding was not clearly erroneous. Moreover,
    there was substantial evidence -- the testimony of Henson, Bailiff, and Bryant --
    supporting the court’s additional finding that Vickers attempted to induce witnesses
    to change their stories through threats and offers of payment. See United States v.
    Carrillo, 
    380 F.3d 411
    , 414 (8th Cir. 2004). For both reasons, the court’s finding that
    Vickers obstructed justice was not clearly erroneous.
    The judgment of the district court is affirmed.
    SHEPHERD, Circuit Judge, concurring.
    Though I agree with the balance of the majority’s opinion, I write separately to
    offer a plausible alternative view to the majority’s suggestion that a district court may
    render harmless an incorrect Guidelines range by stating that “its resolution of the
    issue” that caused the miscalculation did not “affect[] its ultimate determination of a
    reasonable sentence,” ante at 7, an important issue not briefed or argued to the panel
    and unnecessary to the resolution of this appeal.
    Gall v. United States, 
    128 S. Ct. 586
     (2007) calls for an appellate court to
    conduct two layers of review, first for procedural soundness, and then for substantive
    reasonableness. 
    Id. at 597
    . To determine whether a sentence is procedurally sound,
    appellate courts must, among other things, “ensure” that the district court properly
    calculated the Guidelines range because the failure to do so is a “significant
    procedural error.” 
    Id.
     However, the Supreme Court did not provide us with one key
    piece of the sentencing review puzzle: what to do with a significant procedural error?
    -8-
    The majority takes the position that there are two kinds of significant procedural
    errors–harmless errors that do not require resentencing and nonharmless errors that
    call for resentencing. But see United States v. Langford, 
    516 F.3d 205
    , 218 (3d Cir.
    2008) (“The dissent urges that we resolve the issue before us by looking to see if the
    correct range seems close enough to the actual sentence imposed. If so, the argument
    goes, the sentence is ‘reasonable.’ However, this ignores the fact that the failure to
    start with the correct Guideline range is legal error that thwarts reasonableness
    review–that is, it cuts off our review process before we even reach the issue of
    reasonableness.”). Another view is that any sentence premised on any significant
    procedural error must be vacated and remanded for resentencing. The majority’s
    contrary position, that, despite a sentence’s procedural unsoundness, we can proceed
    to review its substantive reasonableness may improperly blur the distinct levels of
    review mandated by Gall. See United States v. Allen, 
    516 F.3d 364
    , 372 (6th Cir.
    2008) (“[W]e find the sentencing decision procedurally unreasonable, and therefore,
    we do not reach the question of substantive reasonableness . . . .” (internal citation
    omitted) (citing Gall, 
    128 S. Ct. at 597
    ; Rita, 127 S. Ct. at 2462); Langford, 
    516 F.3d at 218
     (same); see also United States v. Pepper, 
    518 F.3d 949
    , 951 (8th Cir. 2008)
    (“Before reaching the substantive reasonableness of the sentence, we ‘must first
    ensure that the district court committed no significant procedural error . . . .’” (quoting
    Gall, 
    128 S. Ct. at 597
    )). These cases suggest that, under Gall, once an appellate court
    finds a sentence to be procedurally unsound, it cannot proceed to review the
    sentence’s substantive reasonableness. The majority’s contrary submission that a
    district court can somehow unring the “significant procedural error” bell arguably
    undercuts the rigorous procedural review Gall demands of appellate courts. 
    128 S. Ct. at 597
    .
    In summary, I am reluctant to suggest with certainty that an incorrect
    Guidelines range does not require remand, even if the district court states that such
    error did not affect its imposition of the sentence. I write only to offer a tenable
    interpretation of Gall’s mandate to appellate courts in the event of significant
    -9-
    procedural error that differs from that proffered by the majority.       With this
    reservation, I join the majority’s opinion and concur in its judgment.
    ______________________________
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