United States v. Patricia Paul ( 2009 )


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  •                     FOR PUBLICATION
    UNITED STATES COURT OF APPEALS
    FOR THE NINTH CIRCUIT
    UNITED STATES OF AMERICA,                       No. 08-30125
    Plaintiff-Appellee,
    v.                                 D.C. No.
    4:05-cr-00167-SEH
    PATRICIA BETTERMAN PAUL,
    OPINION
    Defendant-Appellant.
    
    Appeal from the United States District Court
    for the District of Montana
    Sam E. Haddon, District Judge, Presiding
    Submitted September 5, 2008*
    Pasadena, California
    Filed April 2, 2009
    Before: Stephen Reinhardt, Cynthia Holcomb Hall and
    Milan D. Smith, Jr., Circuit Judges.
    Per Curiam Opinion;
    Dissent by Judge Hall
    *The panel unanimously finds this case suitable for decision without
    oral argument. See Fed. R. App. P. 34(a)(2).
    3947
    3950                UNITED STATES v. PAUL
    COUNSEL
    Anthony R. Gallagher, Michael Donahoe, Federal Defenders
    of Montana, Helena, Montana, for the defendant-appellant.
    William w. Mercer, Carl E. Rostad, United States Attorney’s
    Office, Great Falls, Montana, for the plaintiff-appellee.
    OPINION
    PER CURIAM:
    In United States v. Paul, 239 Fed. App’x 353 (9th Cir.
    2007) (Paul I), we held that a 16-month sentence imposed on
    Patricia Betterman Paul for theft from a local government
    receiving federal funding, a violation of 
    18 U.S.C. § 666
    (a)(1)(A), was unreasonable. 
    Id. at 354
    . We viewed her
    case as one that did not fall within the “heartland” of cases to
    which the Federal Sentencing Guidelines are most applicable,
    as contemplated by Rita v. United States, 
    551 U.S. 338
    , 
    127 S. Ct. 2456
    , 2465 (2007) (a court may decide “that the Guide-
    lines sentence should not apply, perhaps because . . . the case
    at hand falls outside the ‘heartland’ to which the Commission
    intends individual Guidelines to apply”); cf. United States v.
    Mohamed, 
    459 F.3d 979
    , 987 (9th Cir. 2006) (“any post-
    Booker decision” as to whether a case falls within the heart-
    land “is subject to a unitary review for reasonableness”), and
    allowed by Gall v. United States, ___ U.S. ___, 
    128 S. Ct. 586
    , 595 (2007) (rejecting “an appellate rule that requires
    ‘extraordinary’ circumstances to justify a sentence outside the
    UNITED STATES v. PAUL                  3951
    Guidelines range”). We vacated the sentence and remanded
    for resentencing, pointing to four specific mitigating factors
    that demonstrated the 16-month sentence was unreasonably
    high. Paul now appeals the subsequent sentence of 15 months
    that the district court imposed upon remand. This case pre-
    sents the question whether a district court can disregard the
    spirit and express instructions of an appellate court’s mandate
    to reconsider an unreasonable sentence. We once more vacate
    Paul’s sentence, and remand to a different judge for resen-
    tencing.
    Factual and Procedural Background
    Paul was convicted by jury verdict for misappropriation of
    federal program funds under 
    18 U.S.C. § 666
    (a)(1)(A), and
    originally sentenced by the district court on this conviction to
    16 months in prison. Paul appealed to this Court, raising mul-
    tiple issues and appealing both the conviction and the sen-
    tence. Paul prevailed on the latter but not on the former. We
    held, in an unpublished memorandum disposition, that her
    sentence was substantively unreasonable. We determined that
    the district court did not adequately take into consideration
    numerous factors that demonstrated that the 16-month sen-
    tence was unreasonably high: (a) that Paul was a first-time
    offender with no criminal record whatsoever; (b) that she
    promptly returned all of the funds to the school district; (c)
    that she displayed remorse in two statements given to the
    Department of Labor prior to the filing of criminal charges;
    and (d) that she believed that the misappropriated funds repre-
    sented compensation for work that she had performed for the
    district. We held that “[t]he district court did not adequately
    consider this strong mitigating evidence in sentencing Paul to
    the very top of the guidelines range,” and thus, the sentence
    was unreasonable. Paul, 239 Fed. App’x at 354-55. The panel
    vacated and remanded for resentencing, and the United States
    did not file a petition for rehearing.
    On remand, the United States argued to the district court
    that the “Circuit’s factual conclusions were, in significant
    3952                 UNITED STATES v. PAUL
    part, flawed and unsupported by the record” and that the
    “original sentence was not unreasonable.” The district court
    agreed, and while acknowledging this Court’s declaration that
    Paul’s original sentence was unreasonable, it determined that
    it was “totally satisfied that a sentence at the upper end of
    [the] guideline range would not only be reasonable, but that
    it would meet all of the current law criteria.” The district court
    then sentenced Paul to a 15-month prison term, removing one
    month from its original sentence that was declared unreason-
    able by this Court. Paul now appeals, claiming that the district
    court violated the rule of mandate by failing to credit the miti-
    gating evidence that it was specifically directed to take into
    consideration.
    Jurisdiction and Standard of Review
    The district court had subject matter jurisdiction to resen-
    tence Appellant under 
    18 U.S.C. § 3742
    (g). We review de
    novo a district court’s compliance with a mandate. United
    States v. Kellington, 
    217 F.3d 1084
    , 1092 (9th Cir. 2000).
    Discussion
    [1] We vacate the district court’s reimposition of a sentence
    at the top of the Guidelines range because it flouts our prior
    mandate. The language in our prior disposition is clear:
    Paul’s 16-month sentence is unreasonable. Several
    factors that are absent from the district court’s sen-
    tencing analysis demonstrate that this case does not
    fall within the “heartland” of cases to which the
    guidelines are most applicable . . . . All of the fol-
    lowing facts demonstrate that a 16-month sentence
    was unreasonably high: Paul was a first-time
    offender with absolutely no criminal record whatso-
    ever; she promptly returned all of the funds to the
    school district; she displayed remorse in two state-
    ments given to the Department of Labor prior to the
    UNITED STATES v. PAUL                         3953
    filing of criminal charges; and the misappropriated
    funds represented compensation for work that she
    had performed for the district. The district court did
    not adequately consider this strong mitigating evi-
    dence in sentencing Paul to the very top of the guide-
    lines range. Accordingly, we vacate Paul’s 16-month
    sentence and remand with instructions for the district
    court to resentence Paul after giving appropriate con-
    sideration to the above-mentioned factors.
    Paul, 239 Fed. App’x at 354-55. Nonetheless, on remand, the
    district court imposed a nearly identical sentence on Paul,
    removing only one month from the original top of the Guide-
    lines sentence. In doing so, the district court was in violation
    of both the spirit and express instructions of our mandate. See
    Cassatt v. Stewart, 
    406 F.3d 614
    , 621 (9th Cir. 2005) (holding
    that a lower court may deviate from mandate only if it is “not
    counter to the spirit of the circuit court’s decision”).
    [2] Further, the district court did not impose the new sen-
    tence because of any new information submitted after the
    imposition of the sentence that was the subject of the prior
    appeal, nor because intervening authority made reconsidera-
    tion appropriate.1 See Lindy Pen Co. v. Bic Pen Corp., 
    982 F. 2d 1400
    , 1404 (9th Cir. 1993) (“The law of the case controls
    unless evidence on remand is substantially different from that
    presented in previous proceedings.”). The district court pri-
    marily relied upon the reasoning and justifications that we
    declared insufficient in our prior disposition. Specifically, the
    district court focused heavily on Appellant’s abuse of trust, as
    it did in the first sentencing, and omitted any meaningful con-
    sideration of the other factors which our mandate directed it
    to give appropriate consideration.
    1
    If the United States had believed, as it claimed in its argument to the
    district court at resentencing, that Paul I’s factual conclusions were flawed
    and unsupported by the record, it should have argued as much in a petition
    for rehearing. The district court was not at liberty to re-determine what
    this Court had previously determined.
    3954                    UNITED STATES v. PAUL
    Further, contrary to the dissent’s assessment, no interven-
    ing case law made reconsideration appropriate in this case. In
    our prior disposition, we held that Paul’s sentence was unreason-
    able.2 Review for “unreasonableness” amounts to review for
    abuse of discretion. See Gall, 
    128 S. Ct. at 594
     (“Our explana-
    tion of ‘reasonableness’ review in the Booker opinion made
    it pellucidly clear that the familiar abuse-of-discretion stan-
    dard of review now applies to appellate review of sentencing
    decisions.”); Kimbrough v. United States, ___ U.S. ___, 
    128 S. Ct. 558
    , 576 (2007) (“The ultimate question . . . is ‘whether
    the sentence was reasonable- i.e., whether the District Judge
    abused his discretion.’ ”).
    [3] While it is true that more recent cases Gall v. United
    States, 
    128 S. Ct. 586
    , and United States v. Carty, 
    520 F. 3d 984
     (9th Cir. 2008) (en banc) reiterate the holding of United
    States v. Booker, 
    543 U.S. 220
    , 246 (2005), that a sentence is
    reviewed for reasonableness under an abuse of discretion
    standard, this standard was clearly established when we
    issued our prior holding — notably so in Rita v. United States,
    a case on which we explicitly relied, see 
    127 S. Ct. at 2465
    (“ ‘[R]easonableness’ review merely asks whether the trial
    court abused its discretion.”). While each of these subsequent
    cases has added nuance to our review of district court sentenc-
    2
    No one contends that the original sentence was procedurally invalid.
    Cf. Gall, 
    128 S. Ct. at 596-97
    ; United States v. Carty, 
    520 F. 3d 984
    ,
    992-93 (9th Cir. 2008) (en banc). Thus, the only question is whether cases
    issued after Rita v. United States, 
    551 U.S. 338
    , 
    127 S. Ct. 2456
    , have
    changed the law with respect to reasonableness review so as to justify the
    district court’s departure from this court’s mandate. The dissent argues
    that “reasonableness review in our circuit . . . . focuse[s] on whether the
    district court adequately explained the basis of its sentence . . . and
    whether the court considered the defendant’s arguments.” Dissenting Op.
    at 3969-70 n.8. This is simply incorrect. As this Court recently held in an
    en banc decision, “[i]t would be procedural error for a district court . . .
    to fail adequately to explain the sentence selected.” Carty, 
    520 F.3d at 993
    (emphasis added). It is the procedural provisions of 
    18 U.S.C. § 3553
    (c)
    that require engagement with the defendant’s arguments, see Rita 
    127 S. Ct. at 2468-2469
    , not the substantive provisions of 
    18 U.S.C. § 3553
    (a).
    UNITED STATES v. PAUL                         3955
    ing, the basic tenet of our prior holding in Paul I — that this
    is not a case that falls within the “heartland” of cases to which
    the Guidelines are applicable — remains good law. District
    courts are clearly vested with considerable discretion at sen-
    tencing. See United States v. Whitehead, 
    532 F.3d 991
    , 993
    (9th Cir. 2008). However, this discretion does not authorize
    the district court to trespass beyond boundaries established by
    this Court in a previous appeal.3
    Here, following the mandate laid out in Paul I would not
    have required the district court to render an illegal sentence.
    Cf. United States v. Bad Marriage II, 
    439 F.3d 534
    , 538 (not-
    ing that Booker was intervening case law that allowed for
    reconsideration of a mandate, as imposing a sentence pursuant
    to a mandatory sentencing regime would be illegal). Nothing
    in Gall, Kimbrough, or Carty so undermines the legal analysis
    in Paul I so as to allow the district court to deviate from our
    mandate. There is no merit to the suggestion that there have
    been intervening changes in the law of sentencing that permit
    us to abandon the law of the case established in our prior dis-
    position.
    [4] On remand, the district court did precisely what the
    Paul I disposition rejected; specifically, it relied excessively
    3
    Further, Carty explicitly declined to adopt an appellate presumption of
    reasonableness for within Guidelines sentences, such as Paul’s. Carty, 
    520 F. 3d at 994
    . Subsequent cases have held that “ ‘[T]he Guidelines factor
    [may not] be given more or less weight than any other.’ So while the
    Guidelines are the ‘starting point and initial benchmark’ and must ‘be kept
    in mind throughout the [sentencing] process,’ the Guidelines range consti-
    tutes only a touch-stone in the district court’s sentencing considerations.”
    United States v. Autery, 
    555 F.3d 864
    , 872 (9th Cir. 2009)(citations omit-
    ted). The dissent’s extended discussion of the Guidelines provisions mis-
    understands their function post Booker. Contrary to the dissent’s view they
    simply constitute one factor, albeit the factor from which a sentencing
    court’s analysis must start in determining a sentence that must be reason-
    able under the provisions of 
    18 U.S.C. § 3553
    (a). Compare Mohamed, 
    459 F.3d at 987
    , and United States v. Tankersley, 
    537 F.3d 1100
    , 1113-14 &
    n.11 (9th Cir. 2008), with Dissenting Op. at 3960-62.
    3956                 UNITED STATES v. PAUL
    upon defendant’s abuse of trust while not giving sufficient
    consideration to other factors. Absent either new information
    or intervening case law, the district court was required to fol-
    low the principles announced in our prior disposition. As nei-
    ther of these exceptions apply in this case, our mandate must
    be followed. Accordingly, we vacate and remand for resen-
    tencing, with instructions that in imposing the new sentence
    the district court take into consideration both the mitigating
    factors discussed in our previous disposition and our conclu-
    sion “that this case does not fall within the ‘heartland’ of
    cases to which the guidelines are most applicable.” Paul, 239
    Fed. App’x at 354.
    We also grant the request to remand this matter to a differ-
    ent district judge. Remand to a new judge is reserved for “un-
    usual circumstances.” United States v. Arnett, 
    628 F.2d 1162
    ,
    1165 (9th Cir. 1987). To determine whether “unusual circum-
    stances” exist, the court considers: (1) whether the original
    judge would reasonably be expected upon remand to have
    substantial difficulty in putting out of his or her mind previ-
    ously expressed views or findings determined to be erroneous
    or based on evidence that must be rejected, (2) whether reas-
    signment is advisable to preserve the appearance of justice,
    and (3) whether reassignment would entail waste and duplica-
    tion out of proportion to any gain in preserving the appear-
    ance of fairness. Smith v. Mulvaney, 
    827 F.2d 558
    , 562-63
    (9th Cir. 1987).
    [5] In this situation, we believe that the appearance of jus-
    tice will be best preserved by remanding to a different judge.
    While the district judge on remand explained some of the rea-
    soning behind his resentencing of Paul, he clearly did not put
    out of his mind his previously expressed view that the Appel-
    lant’s abuse of trust trumped all other mitigating factors com-
    bined, as shown by the fact that he again sentenced Paul to a
    prison sentence at the top of the Guidelines range. We have
    little faith that Judge Haddon would be able to do so on
    remand this time either. We conclude that reassignment will
    UNITED STATES v. PAUL                  3957
    best preserve the appearance of justice in this case. We do not
    believe that resentencing by another judge would entail waste
    and duplication out of proportion to the gain achieved in pre-
    serving an appearance of fairness, as a new sentencing hear-
    ing will be required whether the case is reassigned or remains
    with Judge Haddon. The sentence is vacated, and the case is
    remanded to the district court for resentencing by a new
    judge.
    SENTENCE VACATED; REMANDED FOR RESEN-
    TENCING BY A NEW JUDGE.
    HALL, Circuit Judge, dissenting:
    Under the guise of the rule of mandate, the majority seeks
    to insulate this court’s previous unpublished disposition from
    intervening Supreme Court and Ninth Circuit precedent. In so
    doing, the majority demonstrates a complete disregard for the
    appropriate roles of the sentencing judge and the appellate
    court. As we stated in United States v. Whitehead, “[o]ne
    theme runs though the Supreme Court’s recent sentencing
    decisions: empowered district courts, not appellate courts . . .
    and breathed life into the authority of district court judges to
    engage in individualized sentencing.” 
    532 F.3d 991
    , 993 (cit-
    ing United States v. Vonner, 
    516 F.3d 382
    , 392 (6th Cir.
    2008) (en banc). “Even if we are certain that we would have
    imposed a different sentence had we worn the district judge’s
    robe, we can’t reverse on that basis.” 
    Id.
     at 993 (citing Gall
    v. United States, 
    128 S.Ct. 586
    , 597 (2007)). Here, the major-
    ity relies on a scant one-paragraph section of an unpublished
    disposition, unsupported by any analysis, and decided without
    the benefit of the subsequent decisions in Gall, Kimbrough,
    and Carty, to do just that. See Gall, 
    128 S. Ct. 586
    ; Kim-
    brough v. United States, 
    128 S. Ct. 558
     (2007); United States
    v. Carty, 
    520 F.3d 984
     (2008). I respectfully dissent.
    3958                 UNITED STATES v. PAUL
    Unlike the majority, I neither conclude that the district
    court violated our mandate nor believe that the mandate sur-
    vived Carty. The district court first sentenced Paul in Septem-
    ber 2006, after the Booker decision, but before the Supreme
    Court clarified sentencing law through its Rita, Gall, and
    Kimbrough decisions. Our Ninth Circuit sentencing frame-
    work was rather fluid at that point, with most sentencing cases
    stayed pending our decision in Carty. It was in this turbulent
    environment that we decided Paul I, just one month after the
    Court’s decision in Rita was announced. The majority is cor-
    rect that our disposition relied upon Rita and cited several fac-
    tors that suggested the case did not fall within the “heartland”
    of cases. See Rita v. United States, 
    127 S. Ct. 2456
    , 2465
    (2007). The majority and I differ, however, on whether the
    district court complied with our mandate to “resentence Paul
    after giving appropriate consideration to the above-mentioned
    factors.”
    The majority correctly asserts that compliance with the
    terms of a mandate is reviewed de novo. United States v. Kel-
    lington, 217 (F.3d 1084, 1092 (9th Cir. 2000). District courts
    are “free [to decide] as to anything not foreclosed by the man-
    date, and, under certain circumstances, an order issued after
    remand may deviate from the mandate if it is not counter to
    the spirit of the circuit court’s decision.” Id. at 1092-1093
    (internal citations omitted). Kellington reiterated the Supreme
    Court’s holding in In re Sanford Fork & Tool Co., that “in
    addition to the mandate itself, the opinion by this court at the
    time of rendering its decree may be consulted to ascertain
    what was intended by its mandate,” and “in determining what
    was heard and decided by the appellate court, bear[ing] in
    mind the settled practice of courts with respect to the applica-
    ble substantive law.” Id. at 1093 (citing In re Sanford Fork &
    Tool Co., 
    160 U.S. 247
    , 256 (1895)). Thus, the district court
    is free to evaluate our entire opinion, the procedural posture
    of the case, and substantive sentencing law in construing our
    mandate. Id. at 1093.
    UNITED STATES v. PAUL                  3959
    In Kellington, this court found that the district court com-
    plied with at least the spirit of the mandate to “reverse entry
    of acquittal and remand for entry of judgment and for sentenc-
    ing” by reversing entry of acquittal and granting defendant’s
    motion for a new trial. Id. at 1095. The previous unpublished
    memorandum disposition, though including strong language
    supporting the jury’s determination of guilt, did not specifi-
    cally address the defendant’s motion for retrial. As such, the
    procedural posture differed and consideration of the motion
    was not foreclosed by the mandate. In so holding, the panel
    dismissed the “dissent’s view, that a district court must
    always woodenly follow the strict terms of mandate” as “sq-
    uar[ing] neither with the Supreme (Court . . . nor our prece-
    dent,” which has upheld remands “despite the plain terms of
    the mandate.” Id. at 1095 (emphasis in original).
    In Lindy Pen Co. v. Bic Pen Corp., we upheld the district
    court’s ultimate denial of an accounting and damages award
    despite a prior mandate “instruct[ing] the district court to
    order an accounting and to award damages and other relief as
    appropriate.” 
    982 F.2d 1400
    , 1404 (9th Cir. 1993). The court
    stated that the “district court must be given a meaningful
    opportunity to follow the directive of the circuit court in
    resolving the issues.” 
    Id.
     Because the underlying determina-
    tion was equitable in nature, the district court was in a better
    position to undertake “additional discovery and argument
    prior to ordering an accounting,” and so the ultimate determi-
    nation that “an accounting was not appropriate under the cir-
    cumstances of the case” was in compliance with the mandate
    and reviewed only under an abuse of discretion standard. 
    Id. at 1405
    .
    Similarly, the district court here was in a better position,
    both procedurally and under substantive sentencing law to
    make the ultimate determination of whether mitigation “was
    . . . appropriate under the circumstances of the case.” 
    Id.
    To better understand the district court’s position in apply-
    ing Paul I, it is useful to walk through the steps required
    3960                 UNITED STATES v. PAUL
    under current sentencing law had the district court chosen to
    depart from the Guidelines in the first instance, based on the
    factors we identified. “[D]istrict courts must begin their anal-
    ysis with the Guidelines and remain cognizant of them
    throughout the sentencing process.” Gall, 
    128 S. Ct. at 597, n. 6
    . This is because, “[w]hile rendering the Sentencing Guide-
    lines advisory, [the Supreme Court has] nevertheless pre-
    served a key role for the Sentencing Commission.”
    Kimbrough, 
    128 S. Ct. at 574
    . As Carty reiterates, “Rita sug-
    gests the parties could argue that the Guidelines sentence
    should not apply ‘perhaps because (as the Guidelines them-
    selves foresee) the case at hand falls outside the ‘heartland’ to
    which the Commission intend individual Guidelines to apply,
    USSG § 5K2.0 . . . .” United States v. Carty, 
    520 F.3d 984
    ,
    991 (9th Cir. 2008) (en banc) (citing Rita, 
    127 S. Ct. at 2465
    )
    (further elaborating that this change is to allow departure by
    sentencing judges and to facilitate “thorough adversarial test-
    ing” of sentencing decisions). The consideration of whether
    the factors argued suffice to take a case out of the “heartland”
    is a factual matter for the district court to decide. Koon v.
    United States, 
    518 U.S. 81
    , 99-100 (1996); see also Gall, 
    128 S. Ct. at 597
    .
    Turning first to the Guidelines, and specifically USSG
    § 5K2.0, which governs departures from the Guidelines
    “heartland,” the district court would: (1) make a factual deter-
    mination of whether each factor merited a departure; and (2)
    was a permissible basis for departure. Section 5K2.0(d) lists
    six circumstances which the Sentencing Commission has
    determined to be prohibited bases for departure. Of those six,
    three are pertinent to this case:
    (2) The defendant’s acceptance of responsibility
    for the offense, which may be taken into account
    only under 3E1.1 (Acceptance of Responsibility).
    (5) The defendant’s fulfillment of restitution obli-
    gations only to the extent required by law . . . .
    UNITED STATES v. PAUL                  3961
    (6) Any other circumstance specifically prohibited
    as a ground for departure in the guidelines.
    USSG § 5K2.0(d).
    The first circumstance listed in Paul I is that “Paul was a
    first-time offender with absolutely no criminal history record
    whatsoever.” United States v. Paul, 
    239 Fed. Appx. 353
     (9th
    Cir. 2007) (Paul I). Turning to USSG § 4A1.3(b)(2)(A)
    (Departures Based on Inadequacy of Criminal History Cate-
    gory), the Guidelines prohibit “departure below the lower
    limit of the applicable guideline range for Criminal History
    Category I.” Because this is a prohibited ground of departure,
    it also implicates the prohibition of § 5K2.0(d)(6). If the dis-
    trict court found Paul’s lack of criminal history sufficiently
    compelling to justify departure, then, it would have to do so
    on the basis of the advisory nature of the Guidelines post-
    Booker.
    The second circumstance is that Paul “promptly returned all
    of the funds to the school district.” Paul I, 239 Fed. Appx. at
    354. Here, the district court would first need to make the fac-
    tual determination whether or not Paul’s return of the funds,
    22 months after they were first taken, but shortly after her
    indictment, constituted a “prompt” return. If the sentencing
    judge did make this determination, a departure based on this
    circumstance is only allowed because the Guidelines are advi-
    sory post-Booker. Payment of restitution only as otherwise
    required by law is an impermissible basis for departure from
    the “heartland.” USSG § 5K2.0(d)(5).
    The third circumstance is that Paul “displayed remorse in
    two statements given to the Department of Labor prior to the
    filing of criminal charges.” Paul I, 239 Fed. Appx. at 354-
    355. A display of remorse is akin to acceptance of responsi-
    bility for the offense. First, the district court would need to
    make the factual determination whether or not the two state-
    ments qualified as displays of remorse or acceptance of
    3962                      UNITED STATES v. PAUL
    responsibility. If so determined, under the terms of
    § 5K2.0(d)(2), the district court would be prevented from
    departing from the “heartland” on this basis and would
    instead be limited to a decrease in the initial Guidelines calcu-
    lation according to the terms of USSG § 3E1.1. According to
    the Presentence Report, Paul was ineligible for this reduction
    in offense level because it is “not intended to apply to a defen-
    dant who puts the government to its burden of proof at trial
    by denying the essential factual elements of guilt . . . ,” and
    Paul went to trial twice before appealing her conviction.
    § 3E1.1, n. 2.1 Again, the court would need to rely on the
    advisory nature of the Guidelines to depart from the calcu-
    lated range.
    The final circumstance noted in Paul I is that “the misap-
    propriated funds represented compensation for work that she
    had performed for the district.” Paul I, 239 Fed. Appx. at 355.
    The district court would be unable to depart on this basis. An
    essential element of Paul’s conviction is that the funds did not
    represent “bona fide salary, wages, fees, or other compensa-
    tion paid.” 
    18 U.S.C. § 666
    (c). The jury made this factual
    determination and it is not within the realm of the sentencing
    judge’s discretion to disturb it through its sentencing decision.2
    See United States v. Hunt, 
    521 F.3d 636
    , 649 (6th Cir. 2008).
    If the district court instead evaluated the factor as applying
    only to Paul’s subjective belief that she was entitled to com-
    pensation, and made the appropriate factual and credibility
    determinations to support this factor, it could depart from the
    now-advisory Guidelines if reasonably tied to a 3553(a) fac-
    tor. See Gall, 
    128 S. Ct. at 597
    .3
    1
    It is useful to note that the initial Guidelines calculation in this case has
    never been objected to or otherwise challenged by Paul.
    2
    The Montana Department of Labor also concluded that Paul was not
    entitled to overtime compensation, prior to her federal indictment.
    3
    While the majority claims that this discussion misunderstands the func-
    tion of the Guidelines post-Booker, see Opinion at n. 3, I am not suggest-
    ing that an appellate review of the sentence would be reviewed for
    UNITED STATES v. PAUL                       3963
    Because the factors prescribed in Paul I are prohibited
    bases of departure under the Guideline applicable to departure
    itself, § 5K2.0, Paul’s case is not one of those “particular
    case[s] outside the ‘heartland’ to which the Commission
    intends individual Guidelines to apply.” Kimbrough, 
    128 S. Ct. at
    575 (citing Rita, 
    127 S. Ct. at 2465
    ). Instead, unlike
    circumstances unanticipated by the “heartland” of cases, the
    Guidelines squarely contemplate first-time offenders, pay-
    ment of restitution, and displays of remorse. The Guidelines
    simply reflect the Sentencing Commission’s views that they
    are impermissible bases for departure. In this situation, where
    the sentencing judge “varies from the Guidelines based solely
    on the judge’s view that the Guidelines range fails properly to
    reflect § 3553(a) considerations,” Kimbrough makes clear that
    a sentencing court must provide a reasoned appraisal tying the
    variance to the § 3553(a) factors, which is subject to “closer
    review” than those variances based on circumstances not con-
    templated by the Guidelines. 128 S. Ct. at 574-575.
    The Supreme Court has made abundantly clear that:
    The sentencing judge is in a superior position to find
    facts and judge their import under § 3553(a) in the
    individual case. The judge sees and hears the evi-
    dence, makes credibility determinations, has full
    knowledge of the facts and gains insights not con-
    veyed by the record. The sentencing judge has
    access to, and greater familiarity with, the individual
    anything other than reasonableness. Rather, Paul I stated that “this case
    does not fall within the “heartland” of cases to which the guidelines are
    most applicable, as described by the Supreme Court in Rita v. United
    States, 
    127 S. Ct. 2456
    , 2465 (2007).” Paul I, 239 Fed. Appx. at 354. In
    turn, Rita referenced § 5K2.0 as the Guideline applicable to determining
    whether a case falls outside the “heartland” of cases the Guidelines fore-
    saw. Rita, 
    127 S. Ct. at 2465
    . It would, thus, be natural for the district
    court, upon receiving our disposition in Paul I, to turn to the Guideline
    applicable to determining if a case falls outside the “heartland.”
    3964                     UNITED STATES v. PAUL
    case and the individual defendant before him than
    the Commission or the appeals court. Moreover, dis-
    trict courts have an institutional advantage over
    appellate courts in making these sorts of determina-
    tions, especially as they see so many more Guide-
    lines sentences than appellate courts do.
    Gall, 
    128 S. Ct. at 597-598
     (internal quotations and citations
    omitted). When the district court received our decision in
    Paul I, it was appropriate for the court to “bear in mind the
    settled practice of courts with respect to the applicable sub-
    stantive [sentencing] law,” including the district court’s role
    as fact-finder, when attempting “to ascertain what was
    intended by [our] mandate.” Kellington, 
    217 F.3d at 1093
     (cit-
    ing Sanford, 
    160 U.S. at 256
    ).
    While our prior decision listed four factors which were not
    given “appropriate consideration,” it did not analyze any of
    the factors. The disposition did not find that the district court
    had clearly erred in making any factual determinations, partic-
    ularly those factual determinations required to determine
    whether a factor is present or sufficiently strong to justify
    departure from the Guidelines range. See Koon, 
    518 U.S. at 99-100
    ; Gall, 
    128 S. Ct. at 597-598
    . Indeed, as to Paul’s dis-
    plays of remorse in her statements to the Montana Department
    of Labor, the district court had not previously considered this
    factor at all. Paul did not argue that this factor was mitigating
    in her original sentencing,4 and argued in her original briefing
    to this court in Paul I that “in terms of admitting the compo-
    nents of a crime there is no confession.”5 Most importantly,
    4
    Deciding this factor outright would have been inappropriate, as the par-
    ties did not argue the issue in Paul I. See United States v. Cruz, 
    554 F.3d 840
    , 848 (9th Cir. 2009) (citing “our longstanding general rule that we will
    not decide questions not raised by the parties before us”).
    5
    To the extent the majority expected the district court to “woodenly fol-
    low,” Kellington, 
    217 F.3d at 1095
    , as settled facts Paul I’s four factors,
    engaging in such factual determinations would be beyond our role as an
    appellate court. If such were the situation, I respectfully submit that we
    should find that our prior disposition was clearly erroneous and refuse to
    apply the law of the case doctrine on this review. See United States v.
    Lummi Indian Tribe, 
    235 F.3d 443
    , 452-453 (9th Cir. 2000).
    UNITED STATES v. PAUL                  3965
    our disposition did not explain how any of the factors tied to
    a § 3553(a) factor and justified departure from the Guideline
    range. Our disposition certainly did not justify the departure
    sufficiently to survive the “closer review” standard dictated
    by the Supreme Court when the departure is based on a mere
    disagreement with the Sentencing Commission’s weight
    assigned to a factor in the Guidelines. See Kimbrough, 
    128 S. Ct. at 574-575
    . And, as the Supreme Court faulted the
    appellate court in Gall for doing, our disposition “made no
    attempt to quantify the strength of any of the mitigating cir-
    cumstances,” 128 S.Ct. at 596, n.5, beyond a statement that
    “[t]he district court did not adequately consider this strong
    mitigating evidence in sentencing Paul to the very top of the
    guidelines range.” (emphasis added).
    Faced with the first decision holding a within-Guideline
    sentence unreasonable, a dearth of guidance as to why the fac-
    tors justified departure, or how much weight to afford the fac-
    tors, the district court complied with our mandate by “giving
    appropriate consideration” to the factors upon resentencing.
    The district court deferred resentencing Paul until after the
    decision in Carty was announced so that it would have a “sub-
    stantive checklist of procedures . . . to follow.” The district
    court expressed its understanding that the “matter is before
    the court for resentencing,” and noted its intention to “address
    each and all” of the “separately-stated reasons specifically set
    forth for the conclusion that the circuit drew.” As in Lindy
    Pen, the district court satisfied the terms of the mandate by
    allowing Paul “the opportunity” to show the factors should be
    mitigating. 
    982 F.2d at 1407
    . This opportunity allowed the
    “adversarial process,” contemplated by Rita, to function prop-
    erly. See Rita, 
    127 S.Ct. at 2465
    .
    “[T]he sentencing judge ‘set forth [more] than enough to
    satisfy us that he has considered the parties’ arguments and
    has a reasoned basis for exercising his own legal decision-
    making authority.’ ” Carty, 
    520 F.3d at
    996 (citing Rita, 
    127 S.Ct. at 2468
    ). Even when a “party raises specific, non-
    3966                     UNITED STATES v. PAUL
    frivolous argument [including those set forth in our Paul I
    mandate] tethered to a relevant § 3553(a) factor . . . the dis-
    trict court does not abuse its discretion when it listens to the
    defendant’s arguments and then ‘simply finds those circum-
    stances insufficient (to warrant a sentence lower than the
    Guidelines range.’ ” United States v. Stoterau, 
    524 F.3d 988
    ,
    999 (9th Cir. 2008) (citing Carty, 
    520 F.3d at 995
    ). Rather
    than simply listening to Paul’s arguments, however, the dis-
    trict court engaged in a very thorough sentencing hearing,
    including discussions of the factors mentioned in Paul I and
    each of the § 3553(a) factors.6
    6
    For example, though the district court sentencing transcript spanned 36
    pages, below is a sample of how the district court addressed the factors
    presented in Paul I.
    First-time offender: “I have taken note of the circuit’s observation that
    you had no criminal history, and I have fully evaluated that as part of this
    guideline calculation. But that does not end the analysis, because I am
    obliged to consider these matters under your characteristics under
    3553(a).” The district court then went on to state that this factor was out-
    weighed by the seriousness of the conduct, “because this is more than sim-
    ply taking money from a vulnerable victim,” noting the dire financial
    straights of the Native American school district and that public money was
    stolen.
    Prompt return of the funds: The district court discussed the time line of
    Paul’s return of the funds, noting that Paul only returned the amount she
    was otherwise responsible to pay under the law nearly two years after the
    funds were taken, and only after her claim of compensation had been
    denied, her counsel recommended she return the funds, and trial was
    imminent.
    Funds represented compensation for work performed: The district court
    noted that Paul was hired on a salary basis with no right to overtime pay,
    that both the State of Montana and the jury had determined she was not
    entitled to compensation, and that Paul felt sorry for herself, but her belief
    she could make the situation “entirely right by simply paying the money
    back” was not the way the law worked.
    Displays of remorse: The district court, after announcing its sentence,
    stated on the record “these matters you have raised have been fully consid-
    ered by this court . . . and I find them to be without significant weight in
    this assessment process as to whether your client has [taken] full responsi-
    bility for what she did.”
    UNITED STATES v. PAUL                         3967
    The district court issued a sentence within the Guideline
    range, and lower than the sentence previously vacated. The
    15-month sentence represented a sentence only 12.5% of the
    10-year statutory maximum, and was no longer at the “very
    top” of the 10-16 month Guideline range. The majority is cor-
    rect in stating that the district court focused heavily on Paul’s
    abuse of trust. The district court was troubled by Paul’s delib-
    erate actions in stealing funds from a near-bankrupt Native
    American school district. The court’s reasoning was tied not
    only to relevant § 3553(a) factors, however, but also to the
    Sentencing Commission’s recommendation, based on “empir-
    ical data and national experience, guided by a professional
    staff with appropriate expertise,” Kimbrough, 
    128 S. Ct. at 574
     (citation omitted), that “if the defendant abused a position
    of public or private trust,” the offense level should be
    increased. USSG § 3B1.3.7 The district court complied with
    our mandate and imposed a reasonable sentence.
    Perhaps most prescient to this case is the well-founded
    exception to the rule of mandate, and law of the case, which
    allows (“intervening controlling authority [to] displac[e] prior
    law of the case.” United States v. Bad Marriage, 
    439 F.3d 534
    , 538 (9th Cir. 2006) (upholding longer sentence imposed
    post-Booker, after issuing prior mandate that upward depar-
    ture was not justified by (the facts); accord United States v.
    Williams, 
    517 F.3d 801
    , 807 ((5th Cir. 2008) (upholding
    resentencing decision because Booker and Gall were interven-
    ing controlling authority displacing the prior mandate and the
    district court satisfied abuse of discretion standard by fully
    applying the § 3553 factors). Since Paul I, the Supreme Court
    has altered sentencing law in Gall and Kimbrough, and Carty
    established the proper procedure for reviewing such chal-
    lenges in our circuit. Like Booker, these cases altered both the
    7
    Paul I provided no guidance to the district court on this factor. Our
    prior disposition neither instructed the district court that this factor was
    improper nor explained why Paul’s abuse of trust did not justify a within-
    Guidelines sentence.
    3968                 UNITED STATES v. PAUL
    district and appellate courts’ approach to sentencing deci-
    sions.
    Although the majority claims that sentencing law has not
    changed because Booker established the abuse of discretion
    standard, this position in untenable. In United States v. Cav-
    era, 
    550 F.3d 180
     (2d Cir. 2008) (en banc) the Second Circuit
    recently reversed a decision holding a sentence unreasonable,
    finding that Gall and Kimbrough were intervening controlling
    authority. Writing for the court, Judge Calabresi noted that
    until the Supreme Court provided further guidance in Gall
    and Kimbrough, appellate courts were unaware to what extent
    they should defer to district courts, and now the “Supreme
    Court has suggested that the ‘unreasonableness’ standard is a
    particularly deferential form of abuse-of-discretion review.”
    
    Id. at 188
     (also noting that “abuse of discretion is not a uni-
    form standard of review” and summarizing appellate reason-
    ableness review following Gall and Kimbrough) (citing Gall,
    
    128 S. Ct. at 591
    ).
    A brief review of the decisions in Gall and Kimbrough
    illustrates how the Supreme Court has elaborated on reason-
    ableness review following our decision in Paul I. Gall made
    clear that the Guidelines were relevant throughout the entire
    process, and any departure from them must be sufficiently
    justified in light of § 3553(a) factors. 128 S. Ct. at 596-597.
    The Court elaborated that the abuse of discretion review
    should not resemble a de novo review, and that “the fact that
    the appellate court might reasonably have concluded that a
    different sentence was appropriate is insufficient to justify
    reversal of the district court.” Id. at 597; see also id. at 602.
    Gall further clarified the role of the sentencing judge and
    appellate court, noting that it is the sentencing court’s position
    to find facts and make credibility determinations. Id. at 597-
    598.
    In Kimbrough, the Court again emphasized the continuing
    importance of the Guidelines and the function of the Sentenc-
    UNITED STATES v. PAUL                       3969
    ing Commission. Kimbrough reiterated Gall’s holding that
    any departure from the Guidelines must be justified by
    § 3553(a) factors, and took one step further in announcing
    that a departure is accorded most deference when the case is
    truly outside the “heartland” of the Guidelines, rather than
    based on a disagreement with the Guidelines, and hence, the
    Sentencing Commission’s expertise. 128 S. Ct. at 574-575.
    This court’s en banc decision in Carty summarized sen-
    tencing law as outlined by the Supreme Court in Rita, Gall,
    and Kimbrough. See United States v. Carty, 
    520 F.3d 984
     (9th
    Cir. 2008) (en banc). In outlining the process by which our
    appellate court reviews sentencing decisions, Carty relied
    upon, and heavily cited, all three cases. Carty also held that
    any prior cases were “overruled to the extent they are incon-
    sistent with Rita, Gall, Kimbrough, or [Carty].” 
    Id. at 990, n.5
    (emphasis added). We cannot say that our disposition in Paul
    I was consistent with the Supreme Court’s directives in Gall
    and Kimbrough. The majority should acknowledge that Paul
    I did not afford the proper deference to the district court’s
    determination that a within-Guidelines sentence, fully sup-
    ported by an analysis of the § 3553(a) factors, was appropri-
    ate, as required by Gall and Kimbrough. The majority should
    also acknowledge that our own disposition in Paul I did not
    comply with the requirements of Gall and Kimbrough: we did
    not properly acknowledge the district court’s role in fact-
    finding and judging credibility, explain the weight that should
    be afforded to each of the mitigating factors, or justify our
    disagreement with the Guidelines in reference to applicable
    § 3553(a) factors. We cannot say that our mandate in Paul I,
    made without the benefit of the guidance provided by subse-
    quent Supreme Court and Ninth Circuit en banc decisions,
    survived Carty, Gall, and Kimbrough.8
    8
    The inconsistency of our disposition in Paul I with the directives of
    Carty, Gall, and Kimbrough is also illustrated by examining reasonable-
    ness review in our circuit following those decisions. Recent cases review-
    ing for reasonableness have heavily cited both Gall and Kimbrough, and
    3970                    UNITED STATES v. PAUL
    Finally, and in any event, I believe it is inappropriate to
    remand to a new judge for resentencing. The district court
    here followed the procedural directives of Carty. While ulti-
    mately concluding that some of the factors in Paul I were not
    mitigating, the district court carefully set forth its analysis of
    the issues. This is unlike United States v. Ferguson, 
    624 F.2d 81
     (9th Cir. 1980), where remanding to a different judge was
    appropriate because the original judge refused to let the par-
    ties even present their mitigating evidence. The careful expla-
    nation put forth by the district court also counters any
    appearance of injustice in the sentencing.
    Also unlike in Ferguson, where there was little waste and
    duplication in allowing a different judge to form a first
    impression evaluating the mitigating evidence as to why
    defendant’s suspended sentence should not be completely
    reinstated, resentencing here would entail a significant waste
    of judicial resources already invested in this case. The district
    court judge has seen and heard the evidence presented at trial,
    made credibility determinations, has full knowledge of the
    facts, and has gained insight not conveyed by the record. Gall,
    128 S.Ct. at 597. A new district court would receive a cold
    record, coupled with two mandates by this panel to mitigate
    Paul’s sentence based on very specific but somewhat ambigu-
    ous factors. Such a result would be contrary to the “empower-
    [ment] of district courts, not appellate courts . . . to engage in
    individualized sentencing.” Whitehead, 
    532 F.3d at 993
    . I dis-
    sent.
    focused on whether the district court adequately explained the basis of its
    sentence, the basis was proper and tied to relevant § 3553(a) factors, and
    whether the court considered the defendant’s arguments. See, e.g., United
    States v. Whitehead, 
    532 F.3d 991
     (9th Cir. 2008); United States v. Warr,
    
    530 F.3d 1152
     (9th Cir. 2008); United States v. Shi, 
    525 F.3d 709
     (9th Cir.
    2008); United States v. Cherer, 
    513 F.3d 1150
     (9th Cir. 2008); United
    States v. Autery, 
    555 F.3d 864
     (9th Cir. 2009).