United States v. Ricardo Epps , 707 F.3d 337 ( 2013 )


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  •  United States Court of Appeals
    FOR THE DISTRICT OF COLUMBIA CIRCUIT
    Argued October 11, 2012             Decided February 12, 2013
    No. 11-3002
    UNITED STATES OF AMERICA,
    APPELLEE
    v.
    RICARDO EUGENE EPPS,
    ALSO KNOWN AS MAN, ALSO KNOWN AS FAT MAN,
    APPELLANT
    Appeal from the United States District Court
    for the District of Columbia
    (No. 1:99-cr-00175-1)
    Mary Manning Petras, Assistant Federal Public
    Defender, argued the cause for appellant. With her on the briefs
    was A.J. Kramer, Federal Public Defender.
    Bernard J. Apperson III, Assistant U.S. Attorney, argued
    the cause for appellee. On the brief were Ronald C. Machen Jr.,
    U.S. Attorney, and Roy W. McLeese III, James S. Sweeney, and
    Elizabeth H. Danello, Assistant U.S. Attorneys. Sarah Chasson
    and Elizabeth Trosman, Assistant U.S. Attorneys, entered
    appearances.
    Before: ROGERS and BROWN, Circuit Judges, and
    WILLIAMS, Senior Circuit Judge.
    2
    Opinion for the Court by Circuit Judge ROGERS and
    Senior Circuit Judge WILLIAMS.
    Dissenting opinion by Circuit Judge BROWN.
    ROGERS, Circuit Judge and WILLIAMS, Senior Circuit
    Judge: In Freeman v. United States, 
    131 S. Ct. 2685
     (2011), the
    Supreme Court held that the district court is not categorically
    barred from reducing a defendant’s sentence under 
    18 U.S.C. § 3582
    (c)(2) where the defendant entered into a plea agreement
    pursuant to Federal Rule of Criminal Procedure 11(c)(1)(C).
    The decision was splintered, however, with the plurality and
    concurring opinions adopting different reasoning. Prior to
    Freeman, the district court denied Ricardo Epps’ § 3582(c)(2)
    motion for a reduction of his Rule 11(c)(1)(C) sentence. United
    States v. Epps, 
    756 F. Supp. 2d 88
     (D.D.C. 2010). Epps appeals,
    contending that there is no controlling opinion in Freeman and
    that because the district court (as well as the Rule 11(c)(1)(C)
    agreement) relied upon the crack-cocaine Guidelines range
    when determining whether to accept the stipulated sentence, his
    sentence was imposed “based on” the Guidelines range and the
    district court was authorized under § 3582(c)(2) to reconsider
    and reduce his sentence in light of the Sentencing Commission’s
    reduction of the sentencing range applicable to him. For the
    following reasons, we reverse and remand the case to the district
    court.
    I.
    On October 29, 1999, Epps was sentenced to 188
    months’ imprisonment for violation of 
    21 U.S.C. §§ 841
    (a)(1),
    841(b)(1)(A)(iii), and 846 and, in view of the quantity of illegal
    drugs for which he was responsible, to five years’ supervised
    release, see 
    id.
     § 841(b)(1)(A)(viii). Epps had entered a Rule
    3
    11(c)(1)(C) plea agreement.1 The district court accepted Epps’
    plea, ordered a presentence investigation, and stated that it
    would determine whether to accept the stipulated 188 month
    sentence upon reviewing the presentence report. Tr. Aug. 6,
    1999 at 11–12.
    At the sentencing hearing, upon reviewing the
    presentence report, the district court recalculated the Guidelines
    sentencing range applicable to Epps. Tr. Oct. 29, 1999 at 12–13.
    Rejecting a two-level addition to the base level offense for
    possession of a firearm, the district court calculated the offense
    level at 35. Id. With a criminal history category of III, Epps’
    Guidelines sentencing range was 210 to 260 months. The
    prosecutor joined defense counsel in seeking a downward
    departure from the Guidelines range to 188 months, explaining
    their agreement to that term was a way to avoid the need to
    litigate disputes regarding the Guidelines calculations. Id. at
    6–8. The district court agreed to depart from the Guidelines
    range and sentenced Epps to 188 months’ imprisonment. Id. at
    14. At the time, the district court expressed concern about the
    disparity between the Guidelines sentencing range for crack and
    powder cocaine offenses, noting that Epps’ sentence would have
    1
    Rule 11(c)(1)(C) provides that, if the parties reach
    agreement on a plea, the plea agreement may specify that an attorney
    for the government will:
    agree that a specific sentence or sentencing range is the
    appropriate disposition of the case, or that a particular
    provision of the Sentencing Guidelines, or policy statement,
    or sentencing factor does or does not apply (such a
    recommendation or request binds the court once the court
    accepts the plea agreement).
    FED. R. CRIM. P. 11(c)(1)(C) (emphasis added).
    4
    been “substantially less” if his offense had involved powder
    rather than crack cocaine. See id. at 11, 14.
    On October 16, 2008, Epps filed a motion to reduce his
    sentence pursuant to 
    18 U.S.C. § 3582
    (c)(2)2 in light of the
    Sentencing Commission’s amendments to the crack cocaine
    Guidelines in November 2007 and March 2008, see U.S.S.G.
    (2011), Supp. to App. C, Amend. 706, 711, which the
    Commission in 2008 made retroactive, 
    id.
     at Amend. 713, 716.
    Applying the amendments would reduce Epps’ offense level to
    33 and the applicable Guidelines sentencing range to 168 to 210
    months. The government opposed the motion on the ground that
    Epps’ sentence was based on the 188 months stipulated in his
    Rule 11(c)(1)(C) plea agreement, not on the Guidelines range
    that was applicable to him. Epps responded that because his
    sentence and the stipulated range were calculated in relation to,
    and therefore “based on,” a Guidelines range that was
    subsequently reduced, § 3582(c)(2) authorized the district court
    to reduce his sentence. The district court denied Epps’ motion.
    See Epps, 
    756 F. Supp. 2d at 89
    . Epps appealed on January 4,
    2011; on January 11, 2011, this court held his appeal in
    2
    Section 3582(c)(2) provides:
    [I]n the case of a defendant who has been sentenced to a term
    of imprisonment based on a sentencing range that has
    subsequently been lowered by the Sentencing Commission
    pursuant to 28 U.S.C. 994(o), upon motion of the defendant
    or the Director of the Bureau of Prisons, or on its own motion,
    the court may reduce the term of imprisonment, after
    considering the factors set forth in section 3553(a) to the
    extent that they are applicable, if such a reduction is
    consistent with applicable policy statements issued by the
    Sentencing Commission.
    
    18 U.S.C. § 3582
    (c)(2) (emphasis added).
    5
    abeyance pending the Supreme Court’s decision in Freeman,
    where the stated question was “whether a defendant is ineligible
    for a sentence reduction under 
    18 U.S.C. § 3582
    (c)(2) solely
    because the district court accepted a Rule 11(c)(1)(C) plea
    agreement.” Pet. for Writ of Cert., Freeman, 
    131 S. Ct. 2685
    (No. 09-10245).
    II.
    As a threshold matter, the government maintains, on
    three grounds, that this court lacks jurisdiction now that Epps
    has completed his period of imprisonment and commenced his
    five-year term of supervisory release that is mandatory.3 Epps
    responds that his appeal is not moot because its resolution could
    affect his term of supervised release in view of 
    18 U.S.C. § 3583
    (e)(1), which provides that a district court “may . . .
    terminate a term of supervised release and discharge the
    defendant released at any time after the expiration of one year of
    supervised release . . . if it is satisfied that such action is
    warranted by the conduct of the defendant released and the
    interest of justice.” We conclude, notwithstanding Epps’ release
    from incarceration while his appeal was pending and the
    commencement of his term of supervised release, that we have
    jurisdiction.
    1. Because 
    21 U.S.C. § 841
    (b)(1)(A) mandates five
    years’ supervised release, the government maintains there is no
    relief this court could order, even if it agrees with the merits of
    Epps’ motion, because the district court “has no authority to
    reduce [Epps’] term of supervised release.” Appellee’s Supp.
    Br. at 7.
    3
    On October 11, 2012, upon determining that Epps had been
    released by the Bureau of Prisons on May 11, 2012, the court ordered
    the parties to file supplemental briefs on whether this appeal is moot.
    6
    Before § 841 was amended in 2002, the circuits were
    split on the relationship between two provisions prescribing the
    terms of supervised release for overlapping categories of
    felonies. In 
    18 U.S.C. § 3583
    (b)(2), Congress stated that
    “[e]xcept as otherwise provided, the authorized terms of
    supervised release are . . . for a Class C or Class D felony, not
    more than three years.” But in 
    21 U.S.C. § 841
    (b)(1)(A)(1994),
    which applied to Epps at the time of his Rule 11(c)(1)(C) plea
    agreement, Congress described the appropriate term of
    supervised release as follows: “Any sentence under this
    subparagraph shall . . . impose a term of supervised release of at
    least 5 years in addition to such term of imprisonment.” This
    led courts to take conflicting views on which statutory provision
    prevailed when both were applicable to a defendant being
    sentenced. Compare, e.g., United States v. Kelly, 
    974 F.2d 22
    ,
    24 (5th Cir. 1992) (three years is the maximum term), with
    United States v. Garcia, 
    112 F.3d 395
    , 397–98 (9th Cir. 1997)
    (term of supervised release can be greater than three years). In
    2002, Congress resolved the uncertainty between § 3583's
    ceiling and § 841's floor in favor of § 841, rendering
    § 841(b)(1)(A) to read: “Notwithstanding section 3583 of Title
    18, any sentence under this subparagraph shall . . . impose a
    term of supervised release of at least 5 years in addition to such
    term of imprisonment.” Id. (emphasis added). In United States
    v. Johnson, 
    331 F.3d 962
    , 967 n.4 (D.C. Cir. 2003), this court
    noted both the circuit split and that after the 2002 amendment
    the term of supervised release for a § 841 conviction can exceed
    three years, see also H. R. CONF. REP. NO. 107-685, at 188–89
    (2002).
    The government’s position that Congress’s clarification
    of the § 3583/§ 841 conflict removed the district court’s
    discretion in determining the length of Epps’ term of supervised
    release assumes (without discussion) that the 2002 amendment
    to § 841 was retroactive. Yet “the presumption against
    7
    retroactive legislation is deeply rooted in our jurisprudence, and
    embodies a legal doctrine centuries older than our Republic.”
    Landgraf v. USI Film Products, 
    511 U.S. 244
    , 265 (1994).
    Indeed, the Court recently reiterated its commitment to the
    “deeply rooted presumption against retroactive legislation” in
    Vartelas v. Holder, 
    132 S. Ct. 1479
    , 1484 (2012). In Justice
    Story’s classic formulation, an act is impermissibly retroactive
    “when such application would . . . ‘attac[h] a new disability, in
    respect to transactions or considerations already past.’” 
    Id.
     at
    1486–87 (quoting Soc’y for Propagation of Gospel v. Wheeler,
    
    22 F. Cas. 756
    , 767 (1814)). Although deriving from
    constitutional principles including the Ex Post Facto Clause, the
    Contract Clause, and the Due Process Clause of the Fifth
    Amendment, see 
    id. at 1486
    , the operative principle is one of
    interpretation: where the statutory text is ambiguous courts
    presume that Congress did not intend retroactive application in
    the sense defined by Justice Story, see Landgraf, 
    511 U.S. at 280
    .
    The § 3583/§ 841 clash was unresolved in this circuit at
    the time of the 2002 amendment to § 841. The Supreme Court,
    however, as it noted in Vartelas, had applied the principle
    against retroactivity in INS v. St. Cyr, 
    533 U.S. 289
     (2001), to
    justify a prospective-only interpretation of a statute that
    replaced a discretionary decision with an automatic negative.4
    4
    In St. Cyr, a lawful permanent resident had pleaded guilty
    to a criminal charge that made him deportable. Under the immigration
    law then in effect, he would have been eligible to apply for a waiver
    of deportation, but his removal proceeding commenced after Congress
    withdrew such dispensation. 
    533 U.S. at 292
    . The Supreme Court
    held that disallowance of discretionary waivers “attaches a new
    disability, in respect to transactions or considerations already past,” 
    id. at 321
     (internal quotation marks omitted), observing that aliens
    “almost certainly relied upon th[e] likelihood [of receiving
    discretionary relief] in deciding [to] forgo their right to a trial,” 
    id.
     at
    8
    
    132 S. Ct. at
    1491–92. Here too, by resolving the conflict
    between discretion under § 3583 and its absence under § 841,
    and uncertainty in this circuit as to which controlled, Congress
    in 2002 “attac[hed] a new disability in respect to transactions or
    considerations already past.” The 2002 amendment should
    accordingly be interpreted as prospective only.
    In Johnson, 
    331 F.3d at
    967 n.4, this court did not wade
    into the circuit split to harmonize the apparent conflict between
    the statutes before 2002, nor has it subsequently done so; we
    need not do so now. The government’s reliance on United
    States v. Lafayette, 
    585 F.3d 435
     (D.C. Cir. 2009), for the
    proposition that this court has already decided that the five-year
    term of supervised release is mandatory is misplaced. Although
    Lafayette was sentenced and resentenced under § 841 prior to
    the 2002 amendment, the court neither addressed the
    problematic retroactivity questions with respect to the
    appropriate term of supervised release nor acknowledged the
    circuit split; the parties’ briefs did not refer to the split. See
    Brief of Appellant, United States v. Lafayette, 
    2008 WL 6742228
     (focusing on “the inaccurate and unlawful calculation”
    of defendant’s prison sentence as leading to erroneous term of
    supervised release); Brief of Appellee, United States v.
    Lafayette, 
    2009 WL 2633676
     (focusing on distinction between
    supervised release term and imprisonment term). Here, as in
    Lafayette, the issue of resolving the pre-2002 amendment circuit
    split regarding the proper interpretation of § 841 and its
    relationship to § 3583 has not been briefed, and the question can
    be determined by the district court when it addresses Epps’
    pending § 3583 motion, see Appellant’s Supp. Br. at 2–3, or
    some successor motion. The point is simply that the 2002
    325. Because applying the withdrawal of waiver would have “obvious
    and severe retroactive effect” and Congress had not made its intention
    clear, the Court held the amendment applied prospectively only. Id.
    at 325–26 & n.55.
    9
    amendment’s prospective application means that reduction of
    Epps’ term of imprisonment would, as he maintains, enhance
    his prospect for securing a similar reduction in his term of
    supervised release because the district court’s discretion in
    determining the length of his supervised release is unaffected by
    the 2002 amendment. See U.S.S.G. § 1B1.10.
    2. Under 
    18 U.S.C. § 3583
    (e)(1), “[t]he district court
    may . . . terminate a term of supervised release and discharge
    the defendant released at any time after the expiration one year
    of supervised release.” The government notes that Epps has yet
    to complete one year of his supervised release term. Nothing
    in the text of § 3583(e), however, prevents a defendant from
    moving for a § 3583(e)(1) termination prior to the completion
    of his first year. Indeed, the provision is ambiguous as to
    whether it limits when the district court might act on that
    motion; it requires only that the effect of any termination begin
    “after the expiration [of] one year of supervised release.” 
    18 U.S.C. § 3583
    (e)(1).
    Additionally, 
    18 U.S.C. § 3583
    (e)(2) provides an avenue
    by which the district court “may modify, reduce, or enlarge the
    conditions of supervised release, at any time prior to the
    expiration or termination of the term of supervised release.” 
    Id.
    (emphasis added). While Epps has moved for a § 3583(e)(1)
    termination, see Appellant’s Supp. Br. at 2, nothing prevents
    him from moving, in the alternative, for a reduction pursuant to
    § 3583(e)(2). The only temporal restriction associated there is
    that the judicial action must occur, logically, prior to the term’s
    termination or expiration. Epps is obviously within that term.
    3. In our unpublished opinion in United States v. Bundy,
    391 F. App’x 886 (D.C. Cir. 2010), the court stated, as the
    government notes, that the prospect of reduction of the
    defendant’s term of supervised release “is so speculative that
    any decision on the merits [of his claim to a reduced prison
    10
    term] would be merely advisory and not in keeping with Article
    III’s restriction of power to live cases or controversies.” Id. at
    887 (citing Burkey v. Marberry, 
    556 F.3d 142
    , 149 (3d Cir.
    2009)) (internal quotation marks omitted). Bundy is not binding
    here. “Although our circuit does not have a local rule directly
    on point, . . . unpublished dispositions should not strictly bind
    panels of the court . . . [and] do not constrain a panel of the
    court from reaching a contrary conclusion in published opinion
    after full consideration of the issue.” In re Grant, 
    635 F.3d 1227
    , 1232 (D.C. Cir. 2011).
    More substantively, that Epps over-served his sentence
    — as we must assume for jurisdictional arguments, see Am.
    Nat’l Ins. Co. v. FDIC, 
    642 F.3d 1137
    , 1139 (D.C. Cir. 2011) —
    is of paramount importance to whether he should continue
    under supervised release for five years. In Bundy the court
    relied on Burkey for the proposition that challenges such as
    Epps’ are necessarily moot upon a defendant’s release from
    prison. Burkey, in turn, purports to apply Supreme Court
    precedents on the extent to which courts will presume
    “collateral consequences” in comparable cases. The cases
    considered in Burkey are not comparable. In Sibron v. New
    York, 
    392 U.S. 40
     (1968), the (alternative) holding was that a
    defendant’s challenge to his conviction is not mooted by his
    release; the prospect that the conviction would have “collateral
    consequences,” such as impeachment of his character in a later
    criminal trial, was sufficient. 
    Id.
     at 54–56. En route to this
    conclusion the Court summarized Pollard v. United States, 
    352 U.S. 354
     (1957), as a case where “the Court abandoned all
    inquiry into the actual existence of specific collateral
    consequences and in effect presumed that they existed.” Sibron,
    
    392 U.S. at 55
    . Then, in Lane v. Williams, 
    455 U.S. 624
     (1982),
    the Court declined to apply Sibron in a case where the
    defendant challenged imposition of a mandatory parole term (on
    the ground that he had not been warned of this consequence of
    pleading guilty) that had expired by the time of the district
    11
    court’s final ruling. Finding no generally applicable legal
    consequences from the expired parole term, the Court held the
    case was moot, although it observed that if the defendant had
    challenged the guilty plea itself, release from the parole would
    not have mooted the case. 
    Id. at 633
    . Similarly, in Spencer v.
    Kemna, 
    523 U.S. 1
     (1998), where the defendant challenged
    parole revocation and was released from the renewed
    incarceration (his term of imprisonment having expired) before
    the district court ruled, the Court refused to presume collateral
    consequences from the parole revocation (or, necessarily, from
    its invalidation), and found the defendant’s attempted showing
    of an actual likelihood of consequences too weak to support
    justiciability. See 
    id.
     at 985–86.
    Epps’ case does not fit precisely into either the Sibron
    or the Lane-Spencer paradigm. Unlike in Sibron, Epps is not
    challenging his conviction; he is merely claiming the benefit of
    an opportunity to have his sentence retroactively reduced. But,
    because his five-year term of supervised release is still
    unserved, and because of the relationship between a prison
    sentence and supervised release (notwithstanding United States
    v. Johnson, 
    529 U.S. 53
     (2000)), there seems to be a very
    substantial likelihood that a ruling that Epps’ incarceration
    should have been shorter would influence the district court’s
    readiness to reduce his term of supervised release. Epps’
    circumstances thus differ from those examined in Lane and in
    Spencer.
    At least two courts of appeals clearly regard the
    enhanced prospects for a reduced term of supervised release
    under § 3583 as adequate to hold non-moot a released
    prisoner’s claim to a lesser period of incarceration: the Second
    Circuit in Levine v. Apker, 
    455 F.3d 71
    , 76–77 (2d Cir. 2006),
    held that the prospect renders non-moot a released prisoner’s
    challenge to a Bureau of Prisons regulation cutting off his
    change of placement in a half-way house, while the Ninth
    12
    Circuit in Mujahid v. Daniels, 
    413 F.3d 991
    , 993–95 (9th Cir.
    2005), viewed the prospect to render non-moot a prisoner’s
    attack on the Bureau’s “good time” regulations. Similarly, the
    Fourth Circuit held in Townes v. Jarvis, 
    577 F.3d 543
    , 546-49
    & n.3 (4th Cir. 2009), relying on Levine and Mujahid, that a
    prisoner’s challenge to a finding of parole ineligibility was not
    moot due to the likelihood that a favorable ruling would yield
    a reduction in ongoing parole. Against these cases, Burkey’s
    assertion that “[w]here . . . the appellant is attacking a sentence
    that has already been served, collateral consequences will not be
    presumed, but must be proven,” 
    556 F.3d at 148
    , is overbroad
    and suggests a failure to focus on the distinctive features of the
    cases on which it relied.
    This court has not yet weighed in on the subject of
    whether a defendant’s motion for a sentence reduction under
    § 3582(c)(2) is rendered moot upon completion of his term of
    imprisonment (beyond our unpublished treatment in Bundy), but
    the logic of Levine and Mujahid seems far more persuasive than
    that of Burkey. Our conclusion that Epps is eligible for a
    reduced sentence under § 3582(c)(2), if it led to an actual
    sentence reduction, would necessarily inform the district court’s
    evaluation of a motion for termination or reduction of his term
    of supervised release under § 3583(e)(1) or (e)(2). We note the
    Supreme Court in Johnson identified relief under § 3583(e)(1)
    or (e)(2) as potential means for addressing the injustice of a
    prisoner’s being incarcerated beyond the proper expiration of
    his prison term. 
    529 U.S. at 60
    .
    Our dissenting colleague argues that we “conflate[] two
    separate issues: whether Epps should have been allowed to
    pursue § 3582(c)(2) relief, and whether he actually spent too
    much time in prison,” and that it is only “the latter that would
    be relevant to a district court deciding whether to modify the
    term of Epps’ supervised release.” Dissent Op. at 2. This is a
    false distinction. Epps’ claim is not the almost metaphysical
    13
    issue of whether he has “spent too much time in prison.” He
    claims instead that the sentence is excessive in the sense that,
    but for the matter of timing, he would be legally entitled under
    § 3582(c)(2) to have the district court consider the application
    to him of the Sentencing Commission’s decision to retroactively
    reduce the crack-powder distinction. He is entitled to have that
    question answered.
    III.
    In Freeman v. United States, 
    131 S. Ct. 2685
     (2011), the
    Supreme Court addressed whether defendants sentenced in
    accordance with a Rule 11(c)(1)(C) plea agreement may be
    eligible for a reduction of sentence under § 3582(c)(2). A four
    Justice plurality held that “the text and purpose of the three
    relevant sources — the statute [i.e., the Sentencing Reform
    Act], the Rule, and the governing policy statements — require
    the conclusion that the district court has authority to entertain
    § 3582(c)(2) motions when sentences are imposed in light of the
    Guidelines, even if the defendant enters into an 11(c)(1)(C)
    agreement.” Id. at 2693 (Kennedy, J., joined by Ginsburg,
    Breyer, and Kagan, JJ.). “In every case the judge must exercise
    discretion to impose an appropriate sentence. This discretion,
    in turn, is framed by the Guidelines.” Id. at 2960. Rejecting the
    interpretation of the four Justices in dissent that a Rule
    11(c)(1)(C) sentence is based only on the plea agreement and
    not the Guidelines, see id. at 2701 (Roberts, C.J., joined by
    Scalia, Thomas, and Alito, J.J., dissenting), the plurality
    explained that concern about upsetting the bargain struck
    between the defendant and the prosecutor “has nothing to do
    with whether a sentence is ‘based on’ the Guidelines under
    § 3582(c)(2).” Id. at 2963. Further, such concern was
    “overstated” because “[r]etroactive reductions to sentencing
    ranges are infrequent, so the problem will not arise often,” and
    “[m]ore important, the district court’s authority under
    14
    § 3582(c)(2) is subject to significant constraints, constraints that
    can be enforced by appellate review.” Id.5
    Notably, the plurality veered from the approach adopted
    by the concurring opinion of Justice Sotomayor — requiring
    the plea agreement itself to contemplate sentence reduction —
    on the ground that “[t]he statute . . . calls for an inquiry into
    the reasons for a judge’s sentence, not the reasons that
    motivated or informed the parties,” noting that “[t]he parties
    cannot by contract upset an otherwise-final sentence.” Id. at
    5
    The plurality explained that “the governing policy statement
    confirms that the [district] court’s acceptance [of the Rule 11(c)(1)(C)
    plea agreement] is itself based on the Guidelines.” Freeman, 
    131 S. Ct. at 2692
    . The commentary to § 6B1.2 instructs that the district
    court may accept the plea “only if the court is satisfied either that such
    sentence is an appropriate sentence within the applicable guideline
    range or, if not, that the sentence departs from the applicable guideline
    range for justifiable reasons.” Id. (quoting U.S.S.G. § 6B1.2
    commentary). Allowing the district court under § 3582(c)(2) “to
    revisit a prior sentence to whatever extent the sentencing range in
    question was a relevant part of the analytic framework the judge used
    to determine the sentence or to approve the agreement,” the plurality
    concluded, “is the only rule consistent with the government policy
    statement . . . that rests on the premise that a Guideline range may be
    one of the many factors that determine the sentence imposed.” Id. at
    2692-93. The plurality also found support for its approach in the
    policy statement that applies to § 3582(c)(2) motions, which placed
    “considerable limits on district court discretion,” id. at 2693: U.S.S.G.
    § 1B1.10 instructs that the district court may “modify[] a sentence to
    substitute only the retroactive amendment,” Freeman, 
    131 S. Ct. at 2692
     (quoting policy statement), thus “isolating whatever marginal
    effect the since-rejected Guideline had on the defendant’s sentence,”
    
    id.
     Also, under § 1B1.10(b)(2), below-Guidelines modifications are
    forbidden in § 3582(c)(2) proceedings, except where the original
    sentence was a downward departure. Id. at 2693; see also id. (citing
    § 1B1.10, comment n).
    15
    2694. Discussing the concurrence’s approach, the plurality
    emphasized that “the consequences of this erroneous rule would
    be significant. By allowing modification only when the terms
    of the agreement contemplate it, the proposed rule would permit
    the very disparities the Sentencing Reform Act seeks to
    eliminate.”6 Id. The plurality thus construed § 3582(c)(2) to
    contribute to reducing sentencing disparities “by ensuring that
    district courts may adjust sentences imposed pursuant to a range
    that the Commission concludes are too severe, out of step with
    the seriousness of the crime and the sentencing ranges of
    analogous offenses, and inconsistent with the Act’s purposes.”
    Id. It cited the crack-cocaine range as “a prime example of an
    unwarranted disparity that § 3582(c)(2) is designed to cure.” Id.
    In sum, the plurality held that “when a defendant enters
    into an 11(c)(1)(C) agreement, the judge’s decision to accept
    the plea and impose the recommended sentence is likely to be
    based on the Guidelines; and when it is, the defendant should be
    eligible to seek § 3582(c)(2) relief.” Id. at 2695. “Even where
    the judge varies from the recommended range . . . if the judge
    uses the sentencing range as the beginning point to explain the
    decision to deviate from it, then the Guidelines are in a real
    sense a basis for the sentence.”7 Id. at 2692.
    6
    The dissenting justices, like the plurality, concluded that
    examination of the parties’ intent is largely irrelevant to the inquiry of
    whether a Rule 11(c)(1)(C) agreement was “based on” the Guidelines
    and “agree[d] with the plurality that the approach of the concurrence
    to determining when a Rule 11(c)(1)(C) sentence may be reduced is
    arbitrary and unworkable.” Freeman, 
    131 S. Ct. at
    2700–01 (Roberts,
    C. J., joined by Scalia, Thomas, Alito, JJ., dissenting).
    7
    Some circuit courts of appeals have concluded, because the
    district court is required to use the Sentencing Guidelines as a baseline
    for evaluating plea agreements, see Gall v. United States, 
    552 U.S. 38
    ,
    50–51 (2007); Rita v. United States, 
    551 U.S. 338
    , 348 (2007);
    16
    In contrast, the concurring opinion adopted a different
    approach:
    [I]f a [Rule 11(c)(1)(C)] agreement expressly
    uses a Guidelines sentencing range applicable to
    the charged offense to establish the term of
    imprisonment, and that range is subsequently
    lowered . . . the term of imprisonment is “based
    on” the range employed and the defendant is
    eligible for sentence reduction under
    § 3582(c)(2).
    Freeman, 
    131 S. Ct. at 2695
     (Sotomayor, J., concurring). This
    is so because a term of imprisonment imposed pursuant to a
    Rule 11(c)(1)(C) agreement is “‘based on’ the agreement itself,
    not on the judge’s calculations of the Sentencing Guidelines.”
    
    Id.
     Thus, the district court has jurisdiction to consider a
    sentence reduction pursuant to § 3582(c)(2) only if the Rule
    11(c)(1)(C) plea agreement either (1) explicitly “call[s] for the
    defendant to be sentenced within a particular Guidelines range”
    or (2) “make[s] clear that the basis for the specified term is a
    Guidelines sentencing range applicable to the offense to which
    the defendant pleaded guilty” and “that sentencing range is
    evident from the agreement itself.” Id. at 2697.
    A.
    Due to the fragmented nature of the Supreme Court’s
    holding in Freeman, it is not immediately obvious whether the
    Court set a standard for evaluating whether sentences pursuant
    U.S.S.G. § 6B1.2, that the logic of the plurality’s approach is “that a
    district court can always grant § 3582(c)(2) relief to a defendant who
    enters a Rule 11(c)(1)(C) plea agreement.” United States v. Brown,
    
    653 F.3d 337
    , 339 (4th Cir. 2011); see also United States v. Rivera-
    Martinez, 
    665 F.3d 344
    , 347 (1st Cir. 2011).
    17
    to Rule 11(c)(1)(C) agreements are eligible for § 3582(c)(2)
    reductions that is controlling on lower courts, or, if it did, what
    the precise contours of that standard are. In Marks v. United
    States, 
    430 U.S. 188
     (1977), the Supreme Court instructed:
    “When a fragmented Court decides a case and no single
    rationale explaining the result enjoys the assent of five Justices,
    the holding of the Court may be viewed as that position taken
    by those Members who concurred in the judgments on the
    narrowest grounds.” 
    Id. at 193
     (internal quotation omitted).
    The Court has subsequently recognized that this seemingly-
    simple rule is “more easily stated than applied,” noting that “the
    Marks inquiry . . . has so obviously baffled and divided the
    lower courts that have considered it” that it has created a
    “degree of confusion” such that it is not always “useful to
    pursue . . . to the utmost logical possibility.” Nichols v. United
    States, 
    511 U.S. 738
    , 745–46 (1994); see also Grutter v.
    Bollinger, 
    539 U.S. 306
    , 325 (2003). Parsing Freeman in light
    of Marks is required to distill what impact that precedent has in
    deciding Epps’ appeal.
    This court has interpreted Marks to mean that the
    narrowest opinion “must represent a common denominator of
    the Court’s reasoning; it must embody a position implicitly
    approved by at least five Justices who support the judgment.”
    King v. Palmer, 
    950 F.2d 771
    , 781 (D.C. Cir. 1991) (en banc)
    (emphasis added). Stated differently, Marks applies when, for
    example, “the concurrence posits a narrow test to which the
    plurality must necessarily agree as a logical consequence of its
    own, broader position.” 
    Id. at 782
     (emphasis added).
    In King, the en banc court addressed the question of
    when counsel should receive a contingency enhancement under
    a fee-shifting statute in addition to the “lodestar” award
    computed by multiplying hours worked by a reasonable hourly
    fee. 
    Id. at 775
    . The court thus had to assess whether there was
    sufficient common ground between the plurality opinion and the
    18
    concurring opinion in Pennsylvania v. Delaware Valley
    Citizen’s Council for Clean Air, 
    483 U.S. 711
     (1987)
    (“Delaware Valley II”), to control its decision. See King, 
    950 F.2d at 775
    . In the splintered decision in Delaware Valley II,
    the plurality concluded that contingency enhancements were
    appropriate only in “exceptional cases.” 
    483 U.S. at 730
    (White, J., joined by Rehnquist, C.J., Powell and Scalia, J.J.).
    The concurring opinion, in contrast, concluded that “Congress
    did not intend to foreclose consideration of contingency in
    setting a reasonable fee,” agreeing with the dissent’s analysis on
    this point and with respect to the view that “compensation for
    contingency must be based on the difference in market
    treatment of contingent fee cases as a class, rather than on an
    assessment of the ‘riskiness’ of any particular case.” 
    Id. at 731
    (O’Connor, J., concurring in part and concurring in the
    judgment)(emphasis in original). Nevertheless, the concurring
    opinion agreed with the plurality that “no enhancement for risk
    is appropriate unless the applicant can establish that without an
    adjustment for risk the prevailing party ‘would have faced
    substantial difficulties in finding counsel in the local or other
    relevant market,’” 
    id. at 733
     (quoting plurality opinion at 731),
    and concluded there was insufficient record evidence to justify
    an enhancement, 
    id. at 734
    .
    Analyzing the precedential force of Delaware Valley II,
    the en banc court in King overruled a prior holding (and
    portions of prior cases) that had treated the concurring opinion
    as controlling under Marks. See King, 
    950 F.2d at 785
    . The en
    banc court noted that this circuit had not previously “focused on
    the fact that there are two analytically distinct questions
    involved in awarding a contingency enhancement” if its prior
    view of Delaware Valley II were perpetuated. 
    Id. at 777
    .
    Reexamining Delaware Valley II, the en banc court concluded:
    When . . . one opinion supporting the judgment
    does not fit entirely within a broader circle
    19
    drawn by the others, Marks is problematic. If
    applied in situations where the various opinions
    supporting the judgment are mutually exclusive,
    Marks will turn a single opinion that lacks
    majority support into national law. When eight
    of nine Justices do not subscribe to a given
    approach to a legal question, it surely cannot be
    proper to endow that approach with controlling
    force, no matter how persuasive it may be. The
    Court itself does not appear to apply Marks in
    cases of this type.
    
    Id. at 782
     (referencing Coolidge v. New Hampshire, 
    403 U.S. 443
     (1971), as an example). In sum, “all the analytically
    necessary portions of a Supreme Court opinion” must overlap
    in rationale in order for a controlling opinion to be discerned
    pursuant to Marks; if no such common rationale exists the
    Supreme Court precedent is to be read only for its persuasive
    force. Id. at 784. On the merits of whether an enhancement
    was available, the en banc court concluded there was “no
    practical middle ground between providing enhancements
    routinely and not providing them at all,” and adopted a view
    similar to that of the plurality in Delaware Valley II that
    contingency enhancements were unavailable in this circuit,
    noting that “a majority of the Supreme Court clearly agrees that
    the question of attorney’s fees must not turn into major
    litigation in itself.” Id.
    This court has not heretofore applied the Marks standard
    articulated by the en banc court in King to the splintered
    decision in Freeman. Most recently, the court applied the
    concurring opinion of Justice Sotomayor in a similar case,
    where a defendant, who had entered a Rule 11(c)(1)(C) plea
    agreement, had filed a motion to reduce his sentence under
    § 3582(c)(2), and where the parties agreed that the concurring
    opinion in Freeman controlled. In United States v. Duvall,
    20
    
    2013 WL 276016
     (D.C. Cir., Jan. 25, 2013), the court affirmed
    the district court’s decision that the defendant was ineligible for
    § 3582(c)(2) relief, stating: “For purposes of this appeal, both
    parties agree that Justice Sotomayer’s opinion controls our
    analysis in light of the Supreme Court’s decision in Marks v.
    United States, 
    430 U.S. 188
    , 193 (1977). Accordingly, we do
    not further address that question.” Id. at *4. The concurring
    opinion discussed the en banc opinion in King, but concluded
    relief was unavailable in light of United States v. Berry, 
    618 F.3d 13
     (D.C. Cir. 2010). See Duvall, 
    2013 WL 276016
     at *6-
    11 (Williams, J., concurring in the judgment) (suggesting Berry
    warrants en banc reconsideration). In other words, in Duvall,
    because the parties agreed that Justice Sotomayor’s concurring
    opinion controlled, the court had no occasion to reject
    alternative arguments or to hold that the concurring opinion in
    Freeman was controlling precedent. Absent such a holding
    there is no law of the circuit to apply on that question. See
    LaShawn A. v. Barry, 
    87 F.3d 1389
     (D.C. Cir. 1996) (en banc).
    Under Marks then, we conclude that there is no
    controlling opinion in Freeman because the plurality and
    concurring opinions do not share common reasoning whereby
    one analysis is a “logical subset,” King, 
    950 F.2d at 781
    , of the
    other. The plurality opinion rejects the concurring opinion’s
    approach, stating its rationale is fundamentally incorrect
    because § 3582(c)(2) “calls for an inquiry into the reasons for
    a judge’s sentence, not the reasons that motivated or informed
    the parties.” Freeman, 
    131 S. Ct. at 2694
     (plurality opinion).
    Although suggesting the approach in the concurring opinion is
    an “intermediate position,” 
    id.,
     the plurality understands the
    reasoning of the concurrence — that courts should examine the
    intent of the parties to a Rule 11(c)(1)(C) agreement to
    determine whether a sentence pursuant to such a plea is “based
    on” the Guidelines — to be incompatible with its own because
    the concurring opinion offers an analytically distinct rationale
    to justify its approach. Indeed, eight of the nine Justices
    21
    rejected the framework of the concurring opinion, with the
    dissent correctly predicting that it would “foster[] confusion in
    a area in need of clarity,” 
    131 S. Ct. at 2704
     (Roberts, C.J.,
    joined by Scalia, Thomas, and Alito, J.J., dissenting), because
    it initially examined what the district court judge did but then
    “suddenly” shifted its focus to the parties’ intent, 
    id. at 2702
    .
    Thus the dissent “agree[d] with the plurality that the approach
    of the concurrence . . . is arbitrary and unworkable.” 
    Id.
     at
    2700–01.
    We have previously noted that other courts of appeals
    have held that the concurring opinion in Freeman, as the
    narrower interpretation of “based on,” is the holding of the
    Court. See Duvall, 
    2013 WL 276016
    ; supra n.1. But these
    courts, like the government here, see Appellee’s Br. at 21,
    appear not to have considered circumstances where
    § 3582(c)(2) relief would be available under the concurring
    opinion but not the plurality opinion.        Epps, referencing
    acknowledgment of this possibility by the plurality in Freeman,
    
    131 S. Ct. at 2694
    , offers examples where the concurring
    opinion is not a subset of the plurality opinion. See Reply Br.
    at 8-108; see also United States v. Duvall, 
    2013 WL 276016
     at
    8
    As examples Epps suggests:
    For example, the parties may state in the plea agreement that
    a particular range applies and agree to a sentence at the
    bottom of that range, but the district court may not agree that
    the range determined by the parties applies, finding for
    example that the career offender range is applicable instead,
    but notwithstanding this finding accept the plea because it is
    to a term that is acceptable to the court for reasons unrelated
    to the guideline range determined by the parties. Using
    Justice Sotomayor’s standard, if the sentencing range used by
    the parties is subsequently reduced, the defendant would be
    eligible for a sentence reduction because the plea agreement
    22
    *8-9 (Williams, J., concurring in the judgment) (offering
    illustrative example where the concurring opinion is not a
    subset of the plurality opinion). In other words, the set of cases
    where the defendant prevails under the concurrence is not
    always nestled within the set of cases where the defendant
    prevails under the plurality as the Marks framework requires,
    whether articulated as in King or in terms of “one opinion . . .
    always lead[ing] to the same result that a broader opinion would
    reach,” Jackson v. Danberg, 
    594 F.3d 210
    , 222 (3d Cir. 2010).
    was accepted and provided for a stipulated sentence based on
    a subsequently reduced range – according to Justice
    Sotomayor, eligibility is determined based on the agreement.
    The plurality, however, would find this defendant ineligible
    because the range that the parties agreed to played no role in
    the court’s determination that this was an appropriate
    sentence, despite the fact that the court imposed the agreed-
    upon term of imprisonment.
    Reply Br. at 8-9. Another example Epps suggests is where:
    The sentencing court . . . might consider and reject the
    guideline range used by the parties, not because the court
    finds that a different guidelines range (such as the career
    offender range) applies, but because, having considered the
    applicable guidelines range, the court rejects it as a matter of
    policy and selects its sentence without regard to it. If under
    these circumstances the court decides for reasons unrelated to
    the guidelines range to impose the setence the parties agreed
    upon, under the plurality’s analysis, the defendant would not
    be eligible even if the guideline range is later reduced. Under
    Justice Sotomayor’s analysis, however, the defendant would
    be eligible.
    Id. at 9-10.
    23
    In sum, while five Justices in Freeman agreed that the
    district court is not categorically barred from reducing a
    sentence under § 3582(c)(2) in Rule 11(c)(1)(C) cases, the
    concurring opinion is not controlling in this circuit and the
    question for the court, upon independent analysis of the statute,
    is when a sentence is “based on a sentencing range that has
    subsequently been lowered by the Sentencing Commission.”
    We consider, then, which, if any, of the rationales in Freeman
    is persuasive. Cf. King, 
    950 F.2d at 784
    . In so doing, we are
    bound only by the result in Freeman, namely that § 3582(c)(2)
    relief is not invariably barred when a sentence was imposed
    pursuant to a Rule 11(c)(1)(C) plea agreement. See id.
    (referencing Nat’l Mut. Ins. Co. v. Tidewater Transfer Co., 
    337 U.S. 582
    , 655 (1949) (Frankfurter, J., dissenting)).
    B.
    Whether Epps is eligible for a § 3582(c)(2) reduction of
    his sentence is a question of law, which this court reviews de
    novo. See United States v. Cook, 
    594 F.3d 883
    , 886 (D.C. Cir.
    2010). We conclude that the Freeman plurality’s interpretation,
    looking to the Sentencing Reform Act, Rule 11(c)(1)(C), and
    applicable Guidelines policies, is more persuasive than that of
    the concurring opinion. The Sentencing Reform Act, which
    seeks through Guidelines to frame the district court sentencing
    discretion, requires, even under the advisory Guidelines
    sentencing scheme, that the district court begin by calculating
    the defendant’s sentence under the Guidelines. See Gall, 
    552 U.S. at
    50–51. In light of the Act, Rule 11(c)(1)(C)’s
    requirement for court approval, and the instructions in
    applicable Guidelines policy statements, the plurality in
    Freeman interpreted § 3582(c)(2) to mean that the focus, even
    when there is a Rule 11(c)(1)(C) plea agreement, ought to be on
    the reasons given by the district court for accepting the sentence
    that it ultimately imposed, not on the parties’ agreement.
    Freeman, 131 S. Ct at 2694 (plurality opinion). A contrary
    focus on the parties’ intentions would contribute to the
    24
    unwarranted disparity that the Act was designed to reduce. Id.
    The plurality thus reasonably viewed § 3582(c)(2) as a
    mechanism for helping to reduce unwarranted sentencing
    disparities, such as the crack-cocaine range. Id. at 2965; see
    also Duvall, supra, at *9 (Williams, J., concurring) (suggesting
    Congress’s concern was with the phrase — “a sentencing range
    that has subsequently been lowered by the Sentencing
    Commission” — in order “to make clear that the district court’s
    sentence reduction authority was not to be all-purpose, but
    linked to a range that an amendment had ‘lowered’”).
    Epps’ Rule 11(c)(1)(C) plea agreement repeatedly refers
    to the Sentencing Guidelines as the basis for determining Epps’
    sentence. Paragraph 8, for example, states that “the sentence in
    this case will be imposed in accordance with” the Guidelines.
    See Plea Agreement ¶ 8 (emphasis added). Although prior to
    Freeman, this court held that the phrase “accordance with” is
    ambiguous and insufficient alone to anchor the inference that a
    sentence was determined by an otherwise-unspecified
    Guidelines range, see Cook, 
    594 F.3d at 888
    , there is further
    evidence in Epps’ case that the Guidelines formed the basis of
    his sentence. For example, Paragraph 12 recites the parties’
    agreement, applying the Guidelines, to depart downward from
    the base level of the offense pursuant to Epps’ acceptance of
    responsibility, id. ¶ 12; see U.S.S.G. § 3E1.1, and the district
    court, prior to imposing Epps’ sentence, recalculated his
    Guidelines range before granting a downward departure to the
    188 months stipulated in the plea agreement. See Tr. Oct. 29,
    1999, at 12–14. Additionally, in evaluating Epps’ plea
    agreement, the district court stated that it considered the
    sentence imposed “sufficient” “in view of the fact that the crack
    cocaine guidelines are what they are.” Id. at 14 (emphasis
    added). Thus, in departing downward from the Guidelines
    sentencing range and explaining the basis for its departure, the
    district court anchored the inference that Epps’ sentence, unlike
    25
    the sentence in Cook, was determined “based on” a specific
    Guidelines range.
    The district court’s view that its findings were not
    determinative of whether Epps’ sentence was “based on” the
    Guidelines, see Epps, 
    756 F. Supp. 2d at
    92–93, is persuasively
    refuted by the Freeman plurality. To the extent Sentencing
    Guidelines § 1B1.10 Application Note 5 advises that over-
    serving a sentence is alone insufficient to warrant early
    termination of supervised release, we recognize that the district
    court is to consider many factors in ruling on a § 3582(c)(2)
    motion and note only that over-serving a sentence is a strong
    factor that, for the reasons explained above, is not necessarily
    “too speculative” to have a substantial influence on remand.
    Under the circumstances, upon “full consideration of the issue,”
    Grant, 
    635 F.3d at 1232
    , nothing in this court’s precedent
    requires adoption of a different approach. But cf. Berry, 
    618 F.3d at
    46–47 (avoiding question of “when, if ever, a defendant
    who enters a Rule 11(c)(1)(C) plea agreement is sentenced
    ‘based on a sentencing range’”); United States v. Heard, 
    359 F.3d 544
    , 548 (D.C. Cir. 2004) (dictum). Nor is there evidence
    that statutory considerations trumped the applicable Guidelines
    range in forming the basis of Epps’ sentence. Compare Cook,
    
    594 F.3d at 883
     (defendant ineligible for § 3582(c)(2) reduction
    because sentence based on statutory mandatory minimum);
    United States v. Tepper, 
    616 F.3d 583
     (D.C. Cir. 2010) (same,
    because sentence based on career offender status); Berry, 
    618 F.3d at 13
     (same).
    To recap: The court has jurisdiction of Epps’ appeal
    notwithstanding his release from incarceration and the
    commencement of his term of supervised release. His appeal is
    not moot because applying the amended version of the
    supervisory release provision would be impermissibly
    retroactive and, in not applying this amended provision, it
    becomes likely that Epps’ term of supervisory release may be
    26
    impacted by the outcome of this appeal; it remains for the
    district court to address the pre-amendment inter-circuit conflict
    as to which of two provisions on supervisory release applies to
    Epps in considering his pending motion to reduce his
    supervisory term. In the absence of necessary overlap between
    the reasoning of the plurality and concurring opinions in the
    Supreme Court’s decision in Freeman to discern a narrower
    opinion that constitutes binding precedent, see King, 
    950 F.2d at 771
     (interpreting Marks), Epps qualifies for relief under
    § 3582(c)(2). Accordingly, we reverse and remand the case to
    the district court.
    BROWN, Circuit Judge, dissenting: Having been released
    from prison, Epps can neither make good on the court’s
    conclusion that he was eligible for a reduction in his sentence
    under 
    18 U.S.C. § 3582
    (c)(2) nor credit any excess prison
    time served against his term of supervised release, see United
    States v. Johnson, 
    529 U.S. 53
    , 56–58 (2000). Realizing this,
    the court attempts to evade the mootness doctrine by invoking
    the collateral effects its holding might have in future
    discretionary proceedings to reduce Epps’s terms of
    supervised release. Because today’s decision fails to offer a
    “more-than-speculative chance” of affecting Epps’s rights in
    the future, I would dismiss his appeal as moot. Transwestern
    Pipeline Co. v. FERC, 
    897 F.2d 570
    , 575 (D.C. Cir. 1990).
    A district court’s discretion to decide whether to
    terminate a defendant’s supervised release period is broad: if,
    having considered the sentencing factors listed in 
    18 U.S.C. § 3553
    (a), the court “is satisfied that” termination of
    supervised release “is warranted by the conduct of the
    defendant released and the interest of justice,” then the district
    court may elect to do so. 
    18 U.S.C. § 3583
    (e)(1). But as we
    previously concluded, “the inability to obtain a reduced
    sentence on account of the completion of a prison term,
    though potentially relevant, is only one of many factors
    guiding the district court’s exercise of its discretion under
    § 3583(e)(1),” rendering a decision here merely advisory.
    United States v. Bundy, 391 F. App’x 886, 887 (D.C. Cir.
    2010) (per curiam) (internal citation omitted).
    Bundy may not bind us, but that does not mean its
    reasoning is faulty. The collateral consequences of the court’s
    decision inhabit the realm of the hypothetical: just as a
    decision in Epps’s favor does not guarantee him relief under
    § 3583(e), neither would a decision reaching the opposite
    conclusion have foreclosed it. Nor, for that matter, does the
    court raise any argument Epps cannot make for himself.
    What we have, then, is an opinion that neither forces a district
    2
    court to grant Epps a reduction in his supervised release
    period nor offers him arguments that would otherwise be
    unavailable to him. At most, the opinion lends Epps’s case
    the clout of a judicial imprimatur—something a law review
    article or op-ed by a well-respected jurist might similarly
    accomplish. The court’s attempts to sidestep mootness rely
    not on any precedential effect the opinion might have, but on
    the mere fact that it endorses Epps’s analytical position. Cf.
    Telecomms. Research & Action Ctr. v. FCC, 
    917 F.2d 585
    ,
    588 (D.C. Cir. 1990) (holding, in the administrative law
    context, that a party may not predicate its Article III standing
    on the content of an agency’s legal reasoning).
    By assuming its decision “would necessarily inform the
    district court’s evaluation of a motion for termination or
    reduction of his term of supervised release,” Maj. Op. 12, the
    court conflates two separate issues: whether Epps should have
    been allowed to pursue § 3582(c)(2) relief, and whether he
    actually spent too much time in prison. The court decides the
    former, but it is the latter that would be relevant to a district
    court deciding whether to modify the term of Epps’s
    supervised release. See Johnson, 
    529 U.S. at 60
     (“There can
    be no doubt that equitable considerations of great weight exist
    when an individual is incarcerated beyond the proper
    expiration of his prison term.”). And if Epps served an
    excessive prison term, that is because his original sentence
    was imposed when the sentencing guidelines for crack
    cocaine were harsher than the Sentencing Commission now
    deems appropriate; it does not turn on the availability of
    § 3582(c)(2) relief. True, had a district court reduced Epps’s
    sentence, it would have remedied—or at least mitigated—his
    injury, thereby obviating the basis for seeking subsequent
    modification of his supervised release term. But now that
    Epps has completed his prison term, whether he should have
    had access to this procedural avenue is irrelevant to the
    3
    § 3583(e) inquiry. That Epps had no previous opportunity to
    reduce his sentence may have deprived him of a chance to
    correct a punishment that was potentially excessive in light of
    the amended sentencing guidelines. It is not, however, the
    reason the punishment was or was not excessive. What is
    instead important is the actual term of imprisonment served.
    For the purpose of § 3583(e), it matters not that Epps was
    erroneously denied recourse to a sentence reduction. Even if
    Congress had never enacted § 3582(c)(2), Epps could still
    invoke the sentencing guidelines’ later amendment as a reason
    to reduce his term of supervised release. If the sentence he
    served was too long, it was too long. Today’s decision in no
    way changes that fact; any collateral effect its holding may
    have is illusory.
    Because Epps’s release from prison renders ineffectual
    any relief this Court might provide, his case is moot. See
    Church of Scientology of Cal. v. United States, 
    506 U.S. 9
    , 12
    (1992). I would therefore dismiss the appeal.
    

Document Info

Docket Number: 11-3002

Citation Numbers: 404 U.S. App. D.C. 39, 707 F.3d 337

Judges: Brown, Rogers, Williams

Filed Date: 2/12/2013

Precedential Status: Precedential

Modified Date: 8/6/2023

Authorities (38)

United States v. Rivera-Martinez , 665 F.3d 344 ( 2011 )

Elliott Levine v. Craig Apker , 455 F.3d 71 ( 2006 )

United States v. Archie Kelly , 974 F.2d 22 ( 1992 )

Jackson v. Danberg , 594 F.3d 210 ( 2010 )

Burkey v. Marberry , 556 F.3d 142 ( 2009 )

United States v. Brown , 653 F.3d 337 ( 2011 )

United States v. Heard, Derrick , 359 F.3d 544 ( 2004 )

UNITED STATES of America, Plaintiff-Appellee, v. Jose ... , 112 F.3d 395 ( 1997 )

Mabel A. King v. James F. Palmer, Director, D.C. Department ... , 950 F.2d 771 ( 1991 )

In Re Grant , 635 F.3d 1227 ( 2011 )

Sabil M. Mujahid v. Charles A. Daniels, Warden , 413 F.3d 991 ( 2005 )

United States v. Tepper , 616 F.3d 583 ( 2010 )

United States v. Johnson, Spencer , 331 F.3d 962 ( 2003 )

United States v. Cook , 594 F.3d 883 ( 2010 )

United States v. Lafayette , 585 F.3d 435 ( 2009 )

American Nat. Ins. Co. v. FDIC , 642 F.3d 1137 ( 2011 )

United States v. Berry , 618 F.3d 13 ( 2010 )

telecommunications-research-and-action-center-v-federal-communications , 917 F.2d 585 ( 1990 )

transwestern-pipeline-company-v-federal-energy-regulatory-commission-the , 897 F.2d 570 ( 1990 )

Lashawn A. v. Marion S. Barry, Jr. , 87 F.3d 1389 ( 1996 )

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