United States v. Craig Narram Williams, Jr. , 177 F. App'x 914 ( 2006 )


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    IN THE UNITED STATES COURT OF APPEALS
    FOR THE ELEVENTH CIRCUIT
    FILED
    ________________________ U.S. COURT OF APPEALS
    ELEVENTH CIRCUIT
    No. 04-14914                         APRIL 24, 2006
    ________________________                 THOMAS K. KAHN
    CLERK
    D. C. Docket No. 03-00251-CR-J-20-TEM
    UNITED STATES OF AMERICA,
    Plaintiff-Appellee,
    versus
    CRAIG NARRAM WILLIAMS, JR.,
    Defendant-Appellant.
    ________________________
    Appeal from the United States District Court
    for the Middle District of Florida
    _________________________
    (April 24, 2006)
    Before BIRCH and WILSON, Circuit Judges, and ROYAL*, District Judge.
    PER CURIAM:
    The appellant, Craig Narram Williams, appeals from his January 16, 2004,
    conviction on three counts from a seven-count indictment. Williams was found
    *
    Honorable C. Ashley Royal, United States District Judge for the Middle District of
    Georgia, sitting by designation.
    guilty of Possession of a Firearm by a Convicted Felon (
    18 U.S.C. §§ 922
    (g)(1),
    924(a)(2)), Possession of Crack Cocaine (less than 5g) with Intent to Distribute (
    21 U.S.C. §§ 841
    (a)(1), 841(b)(1)(B)), and Possession of Cocaine with Intent to
    Distribute (
    21 U.S.C. §§ 841
    (a)(1), 841(b)(1)(C)). The jury acquitted him of
    counts for Possession of a Firearm in Furtherance of a Drug Trafficking Offense,
    and Distribution of Cocaine. Prior to trial, the Government had dismissed counts
    for Possession of Body Armor by a Convicted Felon and Possession of a Firearm in
    Furtherance of a Drug Trafficking Offense.
    The charges against Williams resulted from the execution of a search warrant
    on May 10, 2003, at a house on 4521 Friden Road in Jacksonville, Florida. Inside
    the house at the time of the search were Williams and his girlfriend, Stephanie
    Boardingham. Boardingham testified for the Government at trial. During the
    search the officers found a Leinad 9mm firearm, a Taurus 9mm handgun, a box
    containing 31.7 grams of crack cocaine, and baggies containing powder cocaine.
    The Leinad firearm was concealed in a hole in the wall behind a washing machine.
    The Taurus handgun and the cocaine were concealed in a hole in the floor
    underneath a bed in the bedroom, covered by a rug.
    On appeal, Mr. Williams raises six claims of error:
    (1) That the district court erroneously denied his motion to suppress;
    2
    (2) That there was insufficient evidence to support his conviction;
    (3) That the district court erroneously denied his motion to sever
    Count Three of the indictment, for Possession of a Firearm by a
    Convicted Felon;
    (4) That the district court erroneously admitted into evidence two
    photographs of Mr. Williams holding handguns;
    (5) That the district court at sentencing erroneously used a prior
    juvenile conviction to determine that Mr. Williams was a career
    offender; and
    (6) That the Government failed to comply with the notice requirements
    of 
    21 U.S.C. § 851
     in seeking a sentencing enhancement based on a
    prior conviction for Possession of Cocaine with Intent to Distribute.
    For the reasons set forth below, we AFFIRM the decision of the court below.
    I.    Motion to Suppress
    Mr. Williams’ primary appeal is from the district court’s denial of his motion
    to suppress, based on a recommendation from the magistrate judge. On appeal of
    an order on motion to suppress, we review findings of fact for clear error, but
    review the district court’s application of the law to the facts de novo. United States
    v. Gil, 
    204 F.3d 1347
    , 1350 (11th Cir. 2000). To determine whether a search
    warrant was properly issued we must evaluate the information that was before the
    issuing court, generally in the form of an affidavit from an investigating officer.
    Whether the facts set forth in an affidavit constitute probable cause is a question of
    3
    law to be reviewed de novo. United States v. Miller, 
    24 F.3d 1357
    , 1360 (11th Cir.
    1994).
    In this case, however, we do not rule on whether the search warrant was
    properly issued or whether there was in fact probable cause, but find instead that
    the evidence seized was admissible under the “good faith” exception of United
    States v. Leon, 
    468 U.S. 897
     (1985). Leon “stands for the principle that courts
    generally should not render inadmissible evidence obtained by police officers
    acting in reasonable reliance upon a search warrant that is ultimately found to be
    unsupported by probable cause.” United States v. Martin, 
    297 F.3d 1308
    , 1313
    (11th Cir. 2002). Under Leon, evidence seized pursuant to a search warrant should
    be suppressed “only if the officers were dishonest or reckless in preparing their
    affidavit or could not have harbored an objectively reasonable belief in the
    existence of probable cause.” 
    Id.
     Thus, there are only four situations in which
    evidence seized in the execution of a search warrant will be suppressed:
    (1) where the magistrate or judge in issuing a warrant was misled by
    information in an affidavit that the affiant knew was false or would
    have known was false except for his reckless disregard of the truth; (2)
    where the issuing magistrate wholly abandoned his judicial role; (3)
    where the affidavit supporting the warrant is so lacking in indicia of
    probable cause as to render official belief in its existence entirely
    unreasonable; and (4) where, depending upon the circumstances of the
    particular case, a warrant is so facially deficient--i.e., in failing to
    4
    particularize the place to be searched or the things to be seized--that
    the executing officers cannot reasonably presume it to be valid.
    United States v. Robinson, 
    336 F.3d 1293
    , 1296 (11th Cir. 2002). At issue in this
    case are the first and third situations described in Robinson. Williams contends
    that the affidavit on which the warrant was based was so lacking in indicia of
    probable cause as to render official belief in its existence unreasonable, and further
    contends that the officer who executed the affidavit exhibited a reckless disregard
    for the truth. Neither argument is supported in the record.
    The record shows that the warrant was issued on May 7, 2003, by a judge of
    the County Court in Florida’s Fourth Judicial Circuit, based on an affidavit by
    Detective Thomas of the Organized Crime Section, Narcotics Unit, Jacksonville
    Sheriff’s Office. The warrant was based on information that was provided by a
    confidential informant and verified by the affiant officer. In his affidavit, Detective
    Thomas stated:
    Within the past 10 days your affiant personally took a confidential
    informant to the [house at 4521 Friden Street] where the confidential
    informant made a controlled buy of cocaine (powder). Before the
    informant entered the above-described [premises], your affiant
    searched the informant and determined that the informant was not in
    possession of any controlled substance.
    Your affiant then gave the informant money with which to buy a
    quantity of a controlled substance and watched the informant enter the
    above-described premises and shortly emerge therefrom. Said
    5
    confidential informant then immediately met with your affiant at a
    prearranged location where said informant turned over the off-white,
    powdery like substance to your affiant which your affiant recognized
    to be cocaine (powder). The informant said the substance had been
    purchased from unknown person or persons, within the above-
    described [premises] with money furnished by your affiant. The
    informant also stated that unknown person or persons who sold the
    off-white, powdery like substance to the informant represented the
    same to be cocaine (powder). Said confidential informant stated that
    additional quantities of the substance were observed in the above-
    described premises after the purchase was made. Based on this
    information, your affiant believes that an additional quantity of
    cocaine (powder) can be found within the said premises.
    Your affiant conducted a field test on the off-white, powdery like
    substance. The results of the test showed the substance to be cocaine
    (powder).
    At all times pertinent hereto, the confidential informant was in plain
    view of your affiant except for the brief time that the confidential
    informant was inside the above-described premises.
    Whether or not actual probable cause existed, the affidavit sets forth
    sufficient indicia of probable cause to justify a reasonable belief in the warrant's
    validity. In evaluating the information set forth in Detective Thomas' affidavit, the
    issuing judge faced a close call. On one hand, there is no information in the
    affidavit as to the identity or reliability of the confidential informant ("CI"), and
    there is much information in the record, outside the four corners of the affidavit, to
    indicate that he was not reliable. On the other hand, the affidavit does not rely
    6
    primarily on statements of the CI, but on observations by Detective Thomas
    himself, who arranged and monitored a controlled buy conducted by the CI.
    With regard to the reliability of the informant, it is clear from the record that
    the CI was not in fact a reliable informant. The informant testified at trial. There
    were numerous inconsistencies in his testimony. Further, his testimony revealed
    that he had been in jail himself on pending drug charges, and had been released in
    order to act as an informant in exchange for more lenient treatment. Prior to the
    controlled buy in this case, he had not provided any information to the police.
    During the time he was released to work with the police, he continued to use and
    sell drugs himself. Based on the verdict, it is clear that the jury found the
    informant’s testimony unreliable. Williams was acquitted on the distribution of
    cocaine count, a charge that depended entirely on the credibility of the informant’s
    testimony that he identified Williams several months later as the unknown man
    from whom he purchased cocaine during the controlled buy.
    It is not clear that the reliability of the CI was a necessary element of
    probable cause in this case. The primary basis of probable cause set forth in the
    affidavit is not a statement from the CI, but rather the controlled buy conducted by
    the CI in Detective Thomas' presence. Thus, the value of the CI in this instance
    derives not from what he told the investigator, but from what he did for the
    7
    investigator. Immediately prior to the buy, Detective Thomas searched the CI and
    determined that he did not possess any drugs. Detective Thomas observed the CI
    as he went into and came out of the house on Friden Street, and thus was aware that
    the CI had no opportunity to obtain drugs from any other source. The CI entered
    the house with money and no drugs and came out with drugs and no money. From
    his own observations alone, then, without relying on a single hearsay statement
    from the CI, Detective Thomas had adequate reason to believe that there was
    probable cause to support a search warrant.
    The Supreme Court has prescribed a "totality of the circumstances" approach
    for evaluating search warrants. See Illinois v. Gates, 
    462 U.S. 213
     (1983). Gates
    concerned an affidavit based primarily on information from an anonymous
    informant, corroborated in certain details by police surveillance. In reversing a
    district court's order granting a motion to suppress, the Supreme Court rejected any
    rigid tests for evaluating such information and observed that “[i]nformants' tips . . .
    come in many shapes and sizes from many different types of persons.” 
    462 U.S. at 232
    . In some cases, an informant is an anonymous tipster who calls the police with
    information. In other cases, an informant may be an “honest citizen” who has
    never given information to the police before, but has knowledge of some particular
    situation. In still other cases, an informant may be a fellow criminal who regularly
    8
    provides information to the police for money, or to obtain more favorable treatment
    with pending charges.
    There are various factors that can be considered when assessing the value of
    an informant’s information. A criminal informant, for example, may have a history
    of cooperation with the police and be “known for the unusual reliability of his
    predictions of certain types of criminal activities in a locality.” Gates, 
    462 U.S. at 233
    . In such cases, the informant’s reliability may be sufficient to establish
    probable cause based on his statements alone. In the case of citizen tips, “rigorous
    scrutiny” of the informant’s basis of knowledge may be unnecessary “if an
    unquestionably honest citizen comes forward with a report of criminal
    activity--which if fabricated would subject him to criminal liability.” 
    Id. at 233-34
    .
    In the case of an anonymous tipster, as on the facts in Gates, the reliability of the
    information may be established by its detail, if supplemented by independent police
    investigation.
    This case, where the reliability of the informant is unknown, is most closely
    comparable to the case of an anonymous tipster. The information provided is
    reliable only to the extent that it can be supplemented or corroborated by
    investigation. Consistent with that requirement for additional evidence, Detective
    Thomas did not rely solely on the CI’s representation that there was cocaine in the
    9
    house, but instead confirmed it his own independent investigation, through the
    controlled buy.
    Two cases from other circuits are factually similar to this case. In United
    States v. McKinney, 
    143 F.3d 325
     (7th Cir. 1998), the informant was previously
    untested and the warrant application did not convey much information from the
    informant’s original tip. Nevertheless, the informant’s reliability was boosted by
    three controlled buys. “Controlled buys,” remarked the court, “add great weight to
    an informant’s tip.” In the controlled buys, as in this case, the informant was
    searched before and after entering the premises, and was watched as he entered and
    left the building. The court concluded with the following observation:
    While police can always do more to boost reliability, a probable cause
    determination does not require the same amount of certainty as a guilty
    verdict. We require only a reasonable probability that evidence of a
    crime can be found at a certain location. McKinney is right that the
    informant's information alone could not suffice, but the informant's
    information plus the police investigation via three controlled buys
    sufficiently supported the Illinois Circuit Court's finding of probable
    cause.
    
    143 F.3d at 329
    . In this case, in contrast to McKinney, there was only one
    controlled buy, rather than three. It is not obvious that this distinction is
    significant. Based on a reading of McKinney, it would have been reasonable for an
    10
    officer in Detective Thomas’ position to believe that one controlled buy could also
    provide cause to search the house for illegal drugs.
    In United States v. Garcia, 
    983 F.2d 1160
     (1st Cir. 1993), as in this case, the
    detective’s affidavit provided no background as to the informant’s reliability, but
    was based on a single controlled buy. The court found that the affidavit established
    probable cause because the detective “confirmed the information with which the
    confidential informant provided him by carrying out a carefully-executed
    ‘controlled buy.’” 
    983 F.2d at 1167
    . The controlled buy in Garcia was identical to
    the controlled buy in this case. The informant was searched for contraband,
    watched as he entered the apartment, and watched as he emerged from the
    apartment. He entered the apartment with money and emerged with cocaine. The
    defendant argued that it was possible that the informant had stashed cocaine
    somewhere outside the sight of the detectives, in order to “frame” the defendant.
    The court acknowledged this possibility, but found that it “strain[ed] credulity on a
    common-sense reading.” 
    Id.
     In this case, it would have been difficult for the CI to
    obtain cocaine from a source other than inside the house, as he was watched by the
    detective at all times that he was not inside the house.
    We do not today adopt the holdings of McKinney or Garcia, nor do we hold
    that the CI's tip, confirmed by the controlled buy, was sufficient to create probable
    11
    cause under the totality of the circumstances. That two other circuit courts have
    found such information to be sufficient, however, indicates that it was not
    unreasonable for Detective Thomas to believe in the existence of probable cause
    and to rely on the warrant as valid. Moreover, because the most significant
    information in the affidavit was the controlled buy, directly observed by Detective
    Thomas, we do not find that Detective Thomas omitted information about the CI's
    reliability out of a reckless disregard for the truth. Detective Thomas never
    affirmatively represented the CI as reliable and did not rely on the credibility of CI
    to support his warrant application.
    Williams further contends that the passage of time between the controlled
    buy and the issuance of the warrant made it impossible to establish probable cause
    that there was still cocaine in the house at the time the warrant was issued. Without
    ruling on the merits of this staleness argument, we find again that the evidence
    obtained from the search was admissible pursuant to the Leon good faith exception.
    It was not unreasonable for Detective Thomas to execute the warrant on the belief
    that it was supported by probable cause.
    Although we are not prepared to hold that the information in the affidavit
    was fresh enough to establish firmly the existence of probable cause, we do find
    that the period between the controlled buy and the issuance of the warrant was not
    12
    so long as to make it unreasonable for an officer to believe in good faith that there
    was probable cause. Our law concerning staleness, particularly in the context of
    drug transactions, is summarized in United States v. Bascaro, 
    742 F.2d 1335
    , 1345-
    46 (11th Cir. 1984):
    No mechanical test exists for determining when information becomes
    fatally stale; rather, staleness is an issue which must be decided on the
    peculiar facts of each case. In general, the basic criterion as to the
    duration of probable cause is the inherent nature of the crime. The
    circuits hold that where an affidavit recites a mere isolated violation
    then it is not unreasonable to believe that probable cause quickly
    dwindles with the passage of time. On the other hand, if an affidavit
    recites activity indicating protracted or continuous conduct, time is of
    less significance. Protracted and continuous activity is inherent in
    large-scale drug trafficking operations. In such cases, then, the
    staleness issue should be construed liberally.
    (internal quotations and citations omitted). In this case, the affidavit states that the
    controlled buy was conducted “within the past 10 days.” Subsequent testimony
    revealed that the buy was conducted the day before the application for the warrant
    and four days before its execution, but the precise date was not provided in the
    affidavit.
    Although Detective Thomas' affidavit does not set forth any indication that
    the house was part of a large-scale drug trafficking operation as in Bascaro, it does
    give reason to suspect that at the time of the controlled buy the house was a
    location used for the sale of drugs in retail or small distribution amounts. By its
    13
    nature, drug-dealing is an ongoing activity, not an isolated occurrence. Because
    selling drugs requires a dealer to establish a supply source and develop a customer
    base or reputation, it is not something that a person can simply do on impulse. It is
    reasonable to infer that the use of a house for the sale of drugs will continue over
    some period of time, as (1) “residency in a house . . . generally is not transitory and
    ephemeral,” United States v. Bervaldi, 
    226 F.3d 1256
    , 1265 (11th Cir. 2000), and
    (2) the location for the sale of drugs will require some consistency so that
    purchasers will know where to go.
    The fact that the informant only observed a small quantity of drugs on the
    premises does not necessarily suggest that the quantity would be dissipated days
    later. In the context of a retail establishment, it is reasonable to infer that supplies
    would be restocked. If a person purchases the last carton of milk from a grocery
    store on Monday, he may still have probable cause to believe that the store will
    have milk in stock at the end of the week. Within the context of the sale of drugs,
    ten days is not an exceptionally long period of time – not long enough, at least, to
    make it plain to a reasonable officer acting in good faith that there could not have
    been probable cause for a search warrant to issue. Accordingly, we find that
    Detective Thomas had a good faith basis for relying on the validity of the warrant.
    14
    II.   Sufficiency of the Evidence
    In his second enumeration of error, Williams contends that the evidence at
    trial was insufficient to support his convictions. Williams contends that the case
    was purely circumstantial and that the Government failed to present evidence to
    show that he had actual or constructive possession of the drugs and weapons found
    in the house at 4521 Friden Street. A challenge to the sufficiency of evidence is
    reviewed de novo. United States v. Woodruff, 
    296 F.3d 1041
     (11th Cir. 2002). We
    find that there was ample evidence in the record to demonstrate Williams'
    constructive possession of the drugs and weapons found in the house during the
    execution of the warrant.
    To establish constructive possession, “the government may show ownership,
    dominion, or control over the contraband itself, or the premises or vehicle in which
    contraband is concealed.” United States v. Guerrero, 
    935 F.2d 189
    , 192-93 (11th
    Cir. 1991). The Government presented substantial evidence to show that Williams
    had dominion or control over the house in which the drugs and weapons were
    found, was aware of the presence of the drugs and weapons, and had access to
    them. At the time of the search, Williams was in the house with his girlfriend,
    Boardingham. There was evidence that actual title to the house had been
    transferred among Williams and various family members, suggesting an attempt to
    15
    conceal its ownership. Further attempts to conceal ownership were indicated by
    testimony that Williams had transferred responsibility for the utilities in the house
    to a minor nephew.
    Substantial evidence as to ownership and control of the house, and as to
    knowledge of the items hidden throughout the house, came from taped telephone
    conversations from the jail. In one such conversation, Williams instructed his
    father to sell the house for “twenty.” The following day Williams spoke to his
    wife, and objected to her suggestions that his sister owned the house. He told his
    wife that he had paid the taxes and utilities on the house and instructed his wife to
    “straighten” his sister out.
    From his own mouth, it is clear that Williams had primary control over the
    house and that he was well aware of various hiding places in the house, not only
    the holes in the floor under the bed and in the wall behind the washing machine,
    but also hiding places that the police failed to discover. In conversations with his
    mother, Williams instructed her to secure the house and to recover cash from
    various hiding places in the house and the back yard to pay for his defense. He
    also directed his mother to have his wife tell police that the guns were registered in
    her name and that he didn’t know anything about them. In one conversation he
    described one of the guns, which police initially suspected of having a silencer, as
    16
    having only an “extension.” These conversations can lead to an inference that
    Williams had knowledge of secret places on the property, knowledge of what was
    stored in those secret places, and had control over the items stored there.
    Constructive possession was further proved by testimony from Williams’
    girlfriend, Boardingham, who testified on direct examination that she visited
    Williams at the Friden Street house and sometimes spent the night with him. On
    one occasion she had seen him carry a gun from the sofa to the bedroom where the
    hole in the floor was. On cross-examination, however, she testified that Williams
    did not live at the house and that they spent the night there only when they were
    working late on a recording. She also testified that she had only seen marijuana in
    the hole in the floor. These inconsistencies may have resulted from Williams’
    taped telephone conversation with an unidentified female, whom he directed to
    send a “little letter” to Boardingham, from a disguised postmark, to encourage her
    to testify in his behalf. The jury was entitled to believe some parts of her testimony
    and discount others.
    In addition to the evidence above, two photographs were admitted which
    showed Williams posing with handguns similar to the ones recovered in the search.
    Williams appeals the admission of these photographs, and that argument is
    addressed below. We find that the photographs were admissible, and they are
    17
    additional evidence of his knowing possession of the guns. Even in the absence of
    those photographs, the evidence of Mr. Williams’ control over the house and its
    contents was sufficient to support a jury’s finding that he was guilty beyond a
    reasonable doubt of possession of the drugs and guns found in the house.
    Williams’ contention that the insufficiency of the evidence is demonstrated
    by inconsistent verdicts from the jury is without merit. The verdicts in this case are
    not necessarily inconsistent. Williams was convicted on the counts of possession
    of cocaine, possession of crack, and possession of a firearm by a convicted felon,
    while he was acquitted of possession of a firearm in furtherance of drug trafficking
    activity and distribution of cocaine. It is conceivable that the jury could have
    found that Williams possessed the weapon but did not possess it in furtherance of
    drug activities. At any rate, it is well settled that juries are entitled to reach
    compromises and that "[c]onsistency in the verdict is not necessary." United States
    v. Odom, 
    252 F.3d 1289
    , 1298 (11th Cir. 2001) (quoting Dunn v. United States,
    
    284 U.S. 390
    , 393 (1932) (Holmes, J.)). Inconsistent verdicts do not defeat a
    defendant’s conviction, and “‘[s]ufficiency-of-the evidence review involves
    assessment by the courts of whether the evidence adduced at trial could support any
    rational determination of guilt beyond a reasonable doubt,’ a review that is
    ‘independent of the jury's determination that evidence on another count was
    18
    insufficient.’” United States v. Veal, 
    153 F.3d 1233
    , 1252-53 (11th Cir. 1998)
    (quoting United States v. Powell, 
    469 U.S. 57
    , 67(1984).
    III.   Admission of Photographs
    In response to Williams' fourth argument (addressed here in part III because
    of its connection to the insufficiency of evidence argument), we find that the
    district court did not err when it admitted into evidence two photographs seized
    from the house that showed Williams posing with a handgun that appeared to be
    the same as the gun found in the hole in the floor. The Government offered the
    photographs pursuant to Rule 404(b) of the Federal Rules of Evidence, to show that
    Williams had exercised dominion and control over the gun. Rulings concerning the
    admissibility of evidence are reviewed for abuse of discretion. United States v.
    Johnson, 
    139 F.3d 1359
    , 1365 (11th Cir. 1998).
    Williams objects that the admission of the photographs portrayed him as
    “gun-toting lawbreaker,” amounted to character evidence, and should have been
    excluded pursuant to Rule 403. Williams further argues that the photographs are
    irrelevant because it is impossible to determine whether the guns in the
    photographs are the same as the guns charged in the indictment, or even if they are
    real firearms. Boardingham testified at trial that the guns in the photographs were
    “replicas.”
    19
    Our precedent establishes that the photographs were relevant and admissible
    under Rule 404(b) as evidence that the plaintiff was in possession of the guns
    found in the house. This case can be compared with another case in which
    evidence of a defendant’s earlier possession of firearms was offered as proof that
    he knowingly possessed firearms discovered on a later occasion. In United States
    v. Jernigan, 
    341 F.3d 1273
     (11th Cir. 2003), this Court affirmed the admission of a
    defendant’s prior convictions involving the possession of a firearm and ruled that
    those convictions were evidence that logically bore on his knowledge of the
    presence of a gun in his car at the time he was pulled over. As the Court reasoned,
    the fact that the defendant “knowingly possessed a firearm in a car on a previous
    occasion makes it more likely that he knowingly did so this time as well, and not
    because of accident or mistake.” 
    Id. at 1281-82
    .
    The evidence in this case is even more relevant to the crime than the
    evidence in Jernigan was. In Jernigan the prior convictions involved different
    locations and different cars. In this case, at least one photograph was taken in the
    same house where the weapons were hidden. In Jernigan, the prior convictions
    occurred four and five years prior to the offense in question. In this case, the
    photographs were taken approximately five months before the search. In Jernigan,
    there was no evidence that the guns from the prior convictions were the same or
    20
    similar to the gun the defendant was accused of possessing. In this case the
    Government contended that the gun in the picture appeared to be the same gun as
    the one found in a hole underneath the bed. The jury had the opportunity to
    examine the photographs and the weapon, to consider the testimony of
    Boardingham that the weapon in the photographs was a replica, and to determine
    for itself whether it was the same gun.
    The photographs were relevant and probative of an important issue in the
    case, and their prejudicial effect did not outweigh their probative value. Certainly
    the photographs were no more prejudicial than the prior felony convictions in
    Jernigan or the similar photographs admitted in United States v. Nixon, 
    918 F.2d 895
     (11th Cir. 1990). The district court gave an appropriate limiting instruction
    that the jury was to consider the photographs only for the purpose of establishing
    Williams' state of mind or absence of mistake or accident. We cannot find that the
    admission of these photographs was an abuse of discretion.
    IV.   Denial of Motion to Sever
    Williams contends that the district court abused its discretion by denying his
    motion to sever the count alleging possession of a firearm by a convicted felon, and
    that he was prejudiced by evidence of his previous felony conviction. At trial,
    Williams stipulated that he was a convicted felon, and the jury was not given
    21
    details of the nature of his prior offense. We review the denial of the motion to
    sever for abuse of discretion, United States v. Hammond, 
    781 F.2d 1536
    , 1539
    (11th Cir. 1986), and affirm the order of the district court.
    In this case, the initial joinder of the possession of a firearm by a convicted
    felon offense with the other offenses in the indictment was proper under Rule 8(a)
    of the Federal Rules of Criminal Procedure. Rule 8(a) permits the joinder of
    offenses “if the offenses charged . . . are of the same or similar character, or are
    based on the same act or transaction, or are connected with or constitute parts of a
    common scheme or plan.” The felon-in-possession charge was of the same or
    similar character as the other firearms charge, since both involved the possession of
    the same weapons at the same time. The charge was based on the same act or
    transaction as the drug charges, since the weapons and the drugs were found at the
    same time and one of the weapons was found in the same place as the drugs.
    Even where joinder is proper under Rule 8(a), Rule 14 permits relief from
    prejudicial joinder, including severance of counts, “if the joinder of offenses . . . in
    an indictment . . . appears to prejudice a defendant.” We “will not reverse the
    denial of a severance motion absent a clear abuse of discretion resulting in
    compelling prejudice against which the district court could offer no protection.”
    United States v. Walser, 
    3 F.3d 280
    , 285 (11th Cir. 1993). This Court has affirmed
    22
    the denial of motion to sever in a factually similar case. In United States v.
    Bennett, 
    368 F.3d 1343
     (11th Cir. 2004), vacated on other grounds
    (sentencing/Booker issues), 
    125 S. Ct. 1044
     (2005), the district court refused to
    sever a felon-in-possession-of-firearms charge from other counts for drug
    trafficking and attempting to kill an official in the performance of official duties.
    The Court found that the defendant had failed to meet his “heavy burden” of
    demonstrating compelling prejudice. Any prejudice was mitigated because the
    parties stipulated to the felony and “the jury did not hear any details about the prior
    bad act, thereby minimizing the possibility that the jury would improperly consider
    the evidence of the prior conviction when deliberating about the other felony
    charges.” 
    368 F.3d at 1351
    . In addition, prejudice was mitigated by a jury
    instruction instructing the jury to consider the prior conviction only with regard to
    the felon-in-possession charge and disregard the prior conviction in considering the
    other charges.
    In this case, as in Bennett, there was a stipulation as to the conviction and the
    jury had no details about the nature of the prior conviction. There is no indication
    that the parties dwelt excessively on the prior conviction during the course of the
    trial. The jury charge, however, was less specific than the charge in Bennett. The
    district court simply charged the jury to consider the evidence as to each count
    23
    separately and charged that a verdict of guilty or not guilty as to any one count
    should not affect the verdict as to any of the other charges. The charge did not
    specifically instruct the jury to consider the prior conviction only in connection
    with the felon-in-possession charge.
    It is generally better practice to charge the jury specifically to limit its
    consideration of the prior conviction to the felon in possession charge. In
    Panzavecchia v. Wainwright, 
    658 F.2d 337
     (5th Cir. Unit B, 1981), the Court found
    that the failure to sever a felon-in-possession count made a trial fundamentally
    unfair. There were “no proper instructions to the jury to relate the evidence of the
    counterfeiting conviction only to the firearm possession charge.” 
    658 F.2d at 341
    .
    The trial judge in that case “merely cautioned the jurors to consider each charge
    separately.” United States v. Jiminez, 
    983 F.2d 1020
    , 1022 (11th Cir. 1993).
    Panzavecchia does not mandate reversal based on the deficient jury charge alone,
    however. The Court observed that great emphasis was placed on the prior
    conviction during the course of the trial. In this case, by contrast, there were no
    repeated references to the prior conviction. The degree of prejudice from the
    deficient jury charge was much smaller. The jury’s verdict of acquittal on two
    counts demonstrates that the jury followed the judge’s instructions and considered
    24
    each count separately. On these facts we cannot find that the district court abused
    its discretion in denying the motion to sever.
    V.    Sentencing Issues
    A.     Criminal History
    In his fifth argument, Williams contends that the district court erred in using
    an armed robbery conviction that occurred before his eighteenth birthday to
    calculate his criminal history and establish his “career offender” status under USSG
    § 4A1.2(d). Williams argues that the prior conviction should not have been
    considered because it occurred more than five years before the offense in this case.
    This argument is completely without merit.
    "This Court reviews the district court's findings of fact for clear error and its
    application of the sentencing guidelines to those facts de novo." United States v.
    Anderson, 
    326 F.3d 1319
    , 1326 (11th Cir. 2003). In United States v. Crawford,
    
    407 F.3d 1174
    , 1178-79 (11th Cir. 2005), this Court held that pre-Booker standards
    for reviewing application of the sentencing guidelines still apply post-Booker
    because (1) the "reasonableness" standard applies to the ultimate sentence imposed,
    not to the application of individual guidelines; (2) Booker did not affect 
    18 U.S.C. § 3742
    (f), which requires remand of any case in which the district court incorrectly
    applies the guidelines; and (3) the requirement that district courts still "consult" the
    25
    guidelines necessarily means that the court must correctly calculate the guidelines
    range.
    Section 4B1.1(a) of the sentencing guidelines sets forth the definition of a
    "career offender" for sentencing purposes:
    A defendant is a career offender if (1) the defendant was at least
    eighteen years old at the time the defendant committed the instant
    offense of conviction; (2) the instant offense of conviction is a felony
    that is either a crime of violence or a controlled substance offense; and
    (3) the defendant has at least two prior felony convictions of either a
    crime of violence or a controlled substance offense.
    If a defendant is found to be a career offender under Section 4B1.1(a), the
    defendant's offense level is enhanced under Section 4B1.1(b) if the offense level is
    greater than the otherwise-applicable offense level.
    One of the prior offenses that formed the basis of Williams' career offender
    status was an armed robbery conviction that occurred prior to Williams' eighteenth
    birthday. Section 4A1.2(d) of the guidelines provides as to offenses committed
    prior to age eighteen:
    (1) If the defendant was convicted as an adult and received a sentence
    of imprisonment exceeding one year and one month, add 3 points
    under § 4A1.1(a) for each such sentence.
    (2) In any other case,
    (A) add 2 points under § 4A1.1(b) for each adult or
    juvenile sentence to confinement of at least sixty days if
    26
    the defendant was released from such confinement within
    five years of his commencement of the instant offense;
    (B) add 1 point under § 4A1.1(c) for each adult or
    juvenile sentence imposed within five years of the
    defendant’s commencement of the instant offense not
    covered in (A).
    In this case, the armed robbery conviction in question was an adult conviction with
    a sentence of imprisonment for a term exceeding one year and one month. As such,
    the five year limitation of section 4A1.2(d)(2) does not apply. It is clear from the
    language of the guidelines that the five-year “look back” limitation applies only to
    lesser sentences. Because the conviction falls under section 4A1.2(d)(1), there is
    no time limitation on its application to the career offender consideration.
    B.     Notice of Sentencing Enhancement
    In his final argument, Williams contests a sentencing enhancement based on
    a prior conviction for possession of cocaine with intent to distribute, alleging that
    the Government failed to give adequate notice as required by 
    21 U.S.C. § 851
    (a)(1). Williams’ sentence was not enhanced pursuant to section 851, however,
    but was enhanced under the career offender provisions of the guidelines. As noted
    above, Williams cannot demonstrate that he should not have qualified as a career
    offender under section 4B1.1. Thus, the notice requirements of 
    21 U.S.C. § 851
     do
    27
    not apply in this case and cannot form the basis for vacating his sentence or
    remanding his case to the district court for resentencing.
    Even if section 851 did apply, the Government’s notice was adequate under
    Section 851. The notice incorrectly stated that Williams had previously been
    convicted of trafficking in cocaine under Georgia law. In fact, Williams had
    pleaded guilty to a lesser included offense of possession with intent to distribute
    cocaine. Although the charge described in the notice was incorrect, the notice
    included the criminal action number, county, date, and year of conviction. In
    addition, attached to the notice was a copy of the state court’s final disposition,
    which clearly showed the conviction was for possession with intent. This notice
    was sufficient to “signal unambiguously the government’s intent to seek an
    enhancement based on a particular prior conviction.” Perez v. United States, 
    249 F.3d 1261
    , 1265-66 (11th Cir. 2001).
    AFFIRMED.
    28
    

Document Info

Docket Number: 04-14914

Citation Numbers: 177 F. App'x 914

Judges: Birch, Per Curiam, Royal, Wilson

Filed Date: 4/24/2006

Precedential Status: Non-Precedential

Modified Date: 8/2/2023

Authorities (23)

United States v. Jose A. Garcia, United States v. Pablo H. ... , 983 F.2d 1160 ( 1993 )

United States v. Jason R. Bervaldi , 226 F.3d 1256 ( 2000 )

United States v. Odom , 252 F.3d 1289 ( 2001 )

United States v. Corey Martin , 297 F.3d 1308 ( 2002 )

United States v. Fredinand Woodruff , 296 F.3d 1041 ( 2002 )

United States v. Gil , 204 F.3d 1347 ( 2000 )

United States v. Jimmy Lee Nixon, Richard Nixon, Michael ... , 918 F.2d 895 ( 1990 )

United States v. Edward A. Johnson, Cross-Appellee , 139 F.3d 1359 ( 1998 )

United States v. Gerald Eugene Bennett , 368 F.3d 1343 ( 2004 )

United States v. Pedro Pablo Guerrero , 935 F.2d 189 ( 1991 )

United States v. Kenneth Hammond , 781 F.2d 1536 ( 1986 )

United States v. Elmore Roy Anderson , 326 F.3d 1319 ( 2003 )

United States v. Veal , 153 F.3d 1233 ( 1998 )

united-states-v-antonio-e-bascaro-patrick-m-waldrop-russell-hobson , 742 F.2d 1335 ( 1984 )

John Panzavecchia v. Louie L. Wainwright, Secretary, ... , 658 F.2d 337 ( 1981 )

United States v. Clinton Elbert McKinney , 143 F.3d 325 ( 1998 )

United States v. Jernigan , 341 F.3d 1273 ( 2003 )

United States v. Jesus Jiminez, Belkis Hernandez, Ramon B. ... , 983 F.2d 1020 ( 1993 )

United States v. Tanfield C. Miller and Helen A. Miller , 24 F.3d 1357 ( 1994 )

United States v. Charles Crawford, Jr. , 407 F.3d 1174 ( 2005 )

View All Authorities »