United States v. Brian Ford , 798 F.3d 655 ( 2015 )


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  •                                In the
    United States Court of Appeals
    For the Seventh Circuit
    ____________________
    No. 14-3452
    UNITED STATES OF AMERICA,
    Plaintiff-Appellee,
    v.
    BRIAN FORD,
    Defendant-Appellant.
    ____________________
    Appeal from the United States District Court for the
    Eastern District of Wisconsin.
    No. 00-CR-227 — Charles N. Clevert, Jr., Judge.
    ____________________
    ARGUED JUNE 1, 2015 — DECIDED AUGUST 20, 2015
    ____________________
    Before WOOD, Chief Judge, and POSNER and WILLIAMS,
    Circuit Judges.
    WOOD, Chief Judge. Brian Ford keeps getting into trouble.
    After pleading guilty to a drug offense in 2001, he was sen-
    tenced to a term of imprisonment followed by supervised
    release. While on supervised release, he committed an act of
    prostitution and other violations of the conditions of release,
    and he was sentenced to new terms of imprisonment and
    supervised release. Ford then allegedly committed a sub-
    2                                                  No. 14-3452
    stantial battery while serving his second term of supervised
    release. After holding a revocation hearing, the district court
    found that Ford had indeed committed the battery and thus
    had again violated the conditions of his supervised release.
    Ford now appeals, claiming that the district court made a
    number of errors in connection with the revocation. Because
    Ford has waived some arguments and the rest have no merit,
    we affirm the district court’s judgment.
    I
    In 2001, Ford pleaded guilty to one count of conspiracy to
    possess with intent to distribute more than 50 grams of crack
    cocaine and more than five kilograms of powder cocaine, in
    violation of 21 U.S.C. §§ 841(a)(1), 841(b)(1)(A), and 846. Af-
    ter a series of sentencing reductions, he ultimately was sen-
    tenced to 97 months of imprisonment, followed by five years
    of supervised release. In 2009 he was released from prison
    and began his term of supervised release. In 2013, the district
    court revoked Ford’s supervised release after finding that he
    had committed multiple violations of his supervised release
    conditions. The court sentenced him to a 12-month term of
    imprisonment and an 18-month term of supervised release.
    Ford was released from prison on May 30, 2014, and began
    his second term of supervised release.
    On August 4, 2014, Ford allegedly committed a substan-
    tial battery. The district court held a revocation hearing on
    September 10, 2014, to determine whether the allegation was
    true. Such an act, if proven, would constitute a violation of
    the condition requiring Ford not to commit another federal,
    state, or local crime. Three witnesses testified at the hearing:
    Scott Rahoi, the alleged victim of the battery, Milwaukee Po-
    No. 14-3452                                                3
    lice Officer Lafayette Emmons, and Milwaukee Police Detec-
    tive Andre Matthews.
    The government first called Rahoi, who testified that a
    person he knew as “Tony” was an apartment manager at the
    building in which Rahoi lived. He identified Ford in court as
    Tony. Rahoi stated that on August 4, 2014, Ford barged into
    his apartment and angrily instructed him to vacate the resi-
    dence. After Rahoi told Ford that he needed time to pack his
    belongings, Ford became more irate and began to punch and
    kick Rahoi, until Rahoi almost lost consciousness. Once Ford
    left the apartment, Rahoi called 911. Officer Emmons arrived
    soon thereafter, and Rahoi told him what had happened.
    Later, while Rahoi was at the hospital, Officer Emmons
    showed Rahoi a photo array, and Rahoi identified a picture
    of the man he knew as Tony.
    Rahoi admitted that he previously had committed a
    felony and that he had problems with alcohol, though he
    later denied that he had been drinking at the time of the
    incident. On cross-examination, he further admitted that he
    had probably seen Ford only twice before August 4, 2014. He
    confessed that he had gotten into a fight with Jasmine Smith,
    another tenant in his apartment, a few days before Ford
    attacked him. During the cross-examination, Ford’s counsel
    referred to a Milwaukee police report labeled Exhibit 5, in
    which Smith had stated that Rahoi smoked crack cocaine on
    the day of the incident. Rahoi denied this allegation.
    Officer Emmons testified next. He stated that Rahoi had
    told him that Tony, the building’s property manager, had
    attacked him. Elaborating, he said that Rahoi had given him
    both a description of Tony and Tony’s phone number, which
    Rahoi had obtained from another tenant. Emmons identified
    4                                                No. 14-3452
    Exhibit 3 as the photo array he had given to Rahoi while
    Rahoi was in the hospital. Emmons indicated that Rahoi had
    identified Ford’s picture as that of his assailant. There was
    some confusion, however, about the order of the photo-
    graphs on the original array as compared to the order dis-
    played in Exhibit 3. For this reason, it is unclear whether
    Rahoi actually identified Ford or a man named Joseph Diaz.
    Finally, Detective Matthews testified that he interviewed
    Ford a few weeks after the incident. Matthews stated that
    Ford had told him that he was not a property manager for
    Rahoi’s building and that he did not know Rahoi. After be-
    ing shown Exhibit 5 (the police report), Matthews testified
    that Smith had told him that either Brandon or Tony man-
    aged the building. He also said that Smith had identified a
    photo of Ford as Tony. Ford’s counsel did not object to the
    use of Exhibit 5. On cross-examination, counsel briefly ques-
    tioned Matthews about Smith’s identification of Ford and
    Smith’s statements regarding Rahoi’s crack cocaine use.
    The government then rested. The court asked if the gov-
    ernment wanted to enter the police report into evidence, and
    it responded affirmatively. Before admitting the document
    into evidence, the court asked Ford’s counsel if he had any
    objection, to which he responded, “No, sir.” The revocation
    hearing resumed on October 28, 2014. Ford was the only
    witness. Ford denied involvement in the August 4, 2014 at-
    tack and testified that he had never seen Rahoi before the
    revocation hearing. He swore that he had been at home on
    the day of the incident and further noted that he had been in
    the property management business before but had stopped
    working in that area over a year ago. During this testimony,
    Ford’s counsel attempted to introduce Smith’s statements
    No. 14-3452                                                  5
    about Rahoi’s drug use, but the court sustained the govern-
    ment’s objection on relevance grounds.
    The district court concluded that the government had
    shown by a preponderance of the evidence that Ford had
    violated his supervised release conditions by committing a
    substantial battery against Rahoi. In coming to this decision,
    the court relied on each of the testifying witnesses as well as
    Smith’s statements from the police report. The court sen-
    tenced Ford to 36 months of imprisonment with no super-
    vised release, plus restitution in the amount of $646.84. The
    court noted that it considered “all of the factors” under
    § 3553(a)(2). In particular, it discussed the seriousness of
    Rahoi’s injuries; it stated that “the community should be
    protected from [Ford’s] outbursts”; and it concluded that
    “supervision to date has not been effective.” Finally, the
    court determined that the sentence was “consistent with the
    applicable guideline range of from [sic] 30 to 37 months.”
    Ford timely appealed the district court’s judgment and
    sentence. He raises three arguments. First, he contends that
    the court violated Federal Rule of Criminal Procedure
    32.1(b)(2)(C) and the Due Process Clause of the Fifth
    Amendment by allowing the government to introduce
    Smith’s statements, as contained in the police report. Second,
    he argues that 18 U.S.C. § 3583(e)(3) and (h) dictate that his
    statutory maximum sentence is one year and that his 36-
    month sentence thus exceeds this maximum. Finally, Ford
    alleges that the district court committed procedural error by
    not adequately examining the relevant factors listed in 18
    U.S.C. § 3553(a) at sentencing.
    6                                                  No. 14-3452
    II
    We begin with Ford’s contention that the district court
    erred in admitting Smith’s statements from the police report,
    Exhibit 5. Ford did not make this objection in the district
    court. In fact, Ford’s counsel was the first to refer to Smith’s
    statements, during his cross-examination of Rahoi. He again
    mentioned Smith’s comments while cross-examining Detec-
    tive Matthews, albeit after the government had elicited tes-
    timony from Matthews about his interview with Smith.
    Counsel also attempted to introduce the statements during
    Ford’s testimony. The district court explicitly asked Ford’s
    counsel whether he objected to the admission of the police
    report that included Smith’s statements into evidence, and
    counsel replied that he did not.
    Waiver occurs where there is an “intentional relinquish-
    ment or abandonment of a known right.” United States v.
    Olano, 
    507 U.S. 725
    , 733 (1993) (citing Johnson v. Zerbst, 
    304 U.S. 458
    , 464 (1938)). In contrast to forfeiture, where “a de-
    fendant negligently bypasses a valid argument,” “waiver
    requires a calculated choice to stay silent on a particular mat-
    ter.” United States v. Anderson, 
    604 F.3d 997
    , 1001 (7th Cir.
    2010). Ford’s counsel’s actions at the revocation hearing
    demonstrated a calculated choice to remain silent during the
    government’s use of the police report, so that counsel could
    also use the report—particularly Smith’s statements regard-
    ing Rahoi’s drug use—to impeach Rahoi. Counsel repeatedly
    brought up these statements, and he—not the government—
    made the first reference to the report. Moreover, the court
    clearly brought the admissibility of the report to counsel’s
    attention, and counsel declined to object. These actions indi-
    cate that counsel (on behalf of Ford) intentionally relin-
    No. 14-3452                                                     7
    quished the right to object to the admissibility of the report
    and the statements contained within it.
    Ford now argues that because the Federal Rules of Evi-
    dence do not apply to supervised release proceedings (and
    because Ford consequently had no right under those Rules
    to prevent the admission of the statements), he could not
    have waived his right to object on appeal. But even if Ford
    had no rights under the Federal Rules of Evidence, he still
    could have complained by invoking either Federal Rule of
    Criminal Procedure 32.1(b)(2)(C) or the Due Process Clause,
    both of which protect defendants in revocation hearings.
    Ford’s counsel did neither, even when prompted by the
    court. Instead, he affirmatively used portions of the very re-
    port to which he now objects. This was more than enough to
    demonstrate waiver.
    Even if we are wrong and Ford merely forfeited, rather
    than waived, the objection, we would still not reverse. Be-
    cause Ford did not object in the district court, our review
    would be limited to a search for plain error. See FED. R. CRIM.
    P. 52(b); Puckett v. United States, 
    556 U.S. 129
    , 135 (2009).
    Plain error requires: “(1) an error or defect (2) that is clear or
    obvious (3) affecting the defendant’s substantial rights (4)
    and seriously impugning the fairness, integrity, or public
    reputation of judicial proceedings.” 
    Anderson, 604 F.3d at 1002
    . An error affects the defendant’s substantial rights if it
    “affected the outcome of the district court proceedings.”
    United States v. Wheeler, 
    540 F.3d 683
    , 689 (7th Cir. 2008).
    Any error in admitting the statements did not affect the
    outcome of these proceedings. In a revocation hearing, the
    district court must find that the defendant violated a condi-
    tion of his supervised release by a preponderance of the evi-
    8                                                  No. 14-3452
    dence. See 18 U.S.C. § 3583(e)(3); United States v. Goad, 
    44 F.3d 580
    , 585 (7th Cir. 1995). Here, the alleged victim identi-
    fied Ford in court as his assailant and stated that he had seen
    Ford, whom he knew as Tony, twice before the battery. An-
    other building tenant gave Rahoi a phone number for the
    apartment manager, which Rahoi then gave to Officer Em-
    mons. This number led to Ford (thus corroborating Rahoi’s
    account of Ford as the apartment manager who went by the
    name of Tony). Finally, Officer Emmons testified as to
    Rahoi’s extensive injuries. The only contradictory evidence
    was Ford’s own account of the events—an account the dis-
    trict court was entitled to reject as not credible. Thus, there
    was no reversible error in the use of the police report; with
    or without it, there was ample evidence to show that Ford
    had committed a substantial battery against Rahoi.
    III
    Ford next argues that his sentence exceeds the statutory
    maximum. We review statutory interpretation questions de
    novo. See United States v. Thornton, 
    539 F.3d 741
    , 745 (7th Cir.
    2008). Title 18 U.S.C. § 3583 limits the length of the prison
    term a court may impose after it revokes a defendant’s su-
    pervised release. In general, a court may impose a sentence
    equal to the length of the supervised release authorized by
    statute for the offense that “resulted in” the supervised re-
    lease that is currently being revoked. See 18 U.S.C.
    § 3583(e)(3). There are, however, some limitations on the
    court’s choice of sentence. For example, a prison sentence
    following a revocation of a supervised release term that was
    imposed for a class A felony cannot exceed five years, while
    a prison sentence after revocation of supervised release im-
    No. 14-3452                                                 9
    posed in connection with a class B felony cannot exceed
    three years. Section 3583(e)(3) reads in full:
    The court may … revoke a term of supervised
    release, and require the defendant to serve in
    prison all or part of the term of supervised re-
    lease authorized by statute for the offense that
    resulted in such term of supervised release
    without credit for time previously served on
    postrelease supervision, if the court, pursuant
    to the Federal Rules of Criminal Procedure ap-
    plicable to revocation of probation or super-
    vised release, finds by a preponderance of the
    evidence that the defendant violated a condi-
    tion of supervised release, except that a de-
    fendant whose term is revoked under this par-
    agraph may not be required to serve on any
    such revocation more than 5 years in prison if
    the offense that resulted in the term of super-
    vised release is a class A felony, more than 3
    years in prison if such offense is a class B felo-
    ny, more than 2 years in prison if such offense
    is a class C or D felony, or more than one year
    in any other case.
    18 U.S.C. § 3583(e)(3).
    Ford’s argument centers on the phrase “the offense that
    resulted in the term of supervised release.” He contends that
    “offense” in this context refers to whatever action immedi-
    ately caused the defendant’s most recent term of supervised
    release, and thus does not always signify the offense for
    which supervised release was initially imposed. Consider an
    example: A defendant commits a class A felony and is sen-
    10                                                 No. 14-3452
    tenced to imprisonment followed by supervised release. Af-
    ter release from prison, but during her term of supervised
    release, the defendant commits a class B felony, which con-
    stitutes a violation of the supervised release. The “offense
    that resulted in” the supervised release was the class A felo-
    ny; thus, the maximum term of imprisonment that the court
    can impose upon revocation is five years, under 18 U.S.C.
    § 3583(e)(3). The court imposes a prison sentence and a new
    term of supervised release. While on the second term of su-
    pervised release, the defendant commits a class C felony,
    another violation of her supervised release conditions. The
    court again must look to “the offense that resulted in the
    term of supervised release” to determine the statutory max-
    imum sentence upon revocation. Ford argues that this of-
    fense is the class B felony, rather than the class A felony, be-
    cause the class B felony is what directly “resulted in” the de-
    fendant’s second supervised release term. Thus, in this case,
    Ford contends that the court should look to his 2013 viola-
    tion of supervised release conditions, rather than his original
    2001 conviction, in order to determine the maximum prison
    term under § 3583(e)(3).
    For support, Ford contrasts § 3583(e)(3) with § 3583(h).
    The latter provision, which limits the length of new terms of
    supervised release that a court can impose after it revokes a
    term of supervised release, uses the phrase “offense that re-
    sulted in the original term of supervised release.” 18 U.S.C.
    § 3583(h) (emphasis added) (“The length of such a term of
    supervised release shall not exceed the term of supervised
    release authorized by statute for the offense that resulted in
    the original term of supervised release.”). Because
    § 3583(e)(3)—unlike § 3583(h)—omits the word “original,”
    Ford argues, it must be referring to the defendant’s most re-
    No. 14-3452                                                  11
    cent offense, i.e., the one that most immediately caused the
    defendant’s current term of supervised release.
    While we give Ford full marks for creativity, his reading
    of § 3583(e)(3) makes hash of the larger statutory scheme.
    The provision refers to “offense[s],” but violations of
    supervised release need not be criminal in nature: a
    defendant can violate the terms of his supervised release
    without committing a statutorily defined crime. See, e.g.,
    United States v. Marvin, 
    135 F.3d 1129
    , 1131–32 (7th Cir. 1998)
    (discussing violation of special condition not to obtain loans
    or open new bank accounts). Thus, § 3583(e)(3)’s reference to
    “offense” must signify the offense for which the defendant
    was initially placed on supervised release.
    Ford counters that the term “offense” encompasses non-
    criminal violations of supervised release. Congress, he says,
    would have used the word “conviction” if it had wanted to
    refer to the original crime. But he points to no statute or case
    using the term “offense” in such a broad way. To the contra-
    ry, federal criminal statutes treat the word as referring to ex-
    pressly criminal activity. See, e.g., 18 U.S.C. § 16 (defining
    “crime of violence” to mean an “offense” with certain char-
    acteristics”); 
    id. § 921(a)(33)(A)
    (same for “misdemeanor
    crime of domestic violence”). The titles of various provisions
    of the criminal code confirm this interpretation. See, e.g., 
    id. § 19
    (section titled “Petty offense defined”); 
    id. § 24
    (section
    titled “Definitions relating to Federal health care offense”);
    
    id. § 1341
    et seq. (chapter titled “Mail Fraud and Other Fraud
    Offenses”); 
    id. § 3271
    et seq. (chapter titled “Extraterritorial
    Jurisdiction over Certain Trafficking in Persons Offenses”).
    Moreover, the classification system to which § 3583(e)(3)
    refers would make little sense if “the offense that resulted in
    12                                                  No. 14-3452
    the term of supervised release” could be a non-criminal vio-
    lation of supervised release. Section 3583(e)(3) sets the max-
    imum terms of imprisonment based on the letter grade of
    this “offense.” If an offense is not classified by a letter grade
    in the provision that defines it, it is classified at 18 U.S.C.
    § 3559 according to its maximum term of imprisonment. See
    18 U.S.C. § 3559(a) (defining offenses with maximum term of
    life imprisonment as class A felonies, offenses with maxi-
    mum term of 25 years or more as class B felonies, and so on).
    Under Ford’s interpretation, it is unclear how to classify a
    non-criminal violation of a supervised release condition; the
    condition itself neither contains a letter grade classification
    nor sets out a maximum term of imprisonment for its viola-
    tion. In addition, § 3559 applies only to sentences for “a de-
    fendant who has been found guilty of an offense described
    in any Federal statute.” 18 U.S.C. § 3551(a). Even if we were
    to credit Ford’s interpretation of offense as encompassing
    violations of supervised release (which we do not), a de-
    fendant is not “found guilty” of such a violation. Rather, the
    court must find by a preponderance of the evidence that the
    defendant committed the violation. Ford’s last-ditch attempt
    is to point to § 3583(h), the provision allowing courts to re-
    impose terms of supervised release upon revocation, as a
    stand-in for the substantive offense. But this provision mere-
    ly authorizes a court to impose subsequent punishment; it
    does not define an offense, and it does not set a statutory
    maximum term of imprisonment.
    In all, Ford’s interpretation does nothing but create con-
    fusion and ambiguity in a statutory scheme that, under the
    normal reading of the language, works reasonably well. The
    phrase “the offense that resulted in the term of supervised
    release” refers to the offense for which the defendant was
    No. 14-3452                                                  13
    initially placed on supervised release. For Ford, this is his
    2001 conviction for conspiracy to possess with intent to dis-
    tribute crack and powder cocaine. That offense carries a
    statutory maximum sentence of life imprisonment, see 21
    U.S.C. § 841(b)(1)(A), and is thus a class A felony. See 18
    U.S.C. § 3559(a)(1). The maximum allowable prison term
    upon revocation in connection with such an offense is five
    years. See 
    id. § 3583(e)(3).
    Since April 2003, when the
    PROTECT Act took effect, see Pub. L. No. 108-21, 117 Stat.
    650 (2003), the maximum term of imprisonment starts anew
    with each revocation of supervised release. See U.S.
    SENTENCING COMM’N, FEDERAL OFFENDERS SENTENCED TO
    SUPERVISED RELEASE 42–43 (July 2010). Ford’s new sentence
    upon his second revocation could thus have been as much as
    60 months, well above the 36 months he received.
    IV
    Ford’s final claim is that the district court committed pro-
    cedural error by not adequately considering the relevant
    sentencing factors. Our review of a sentence for supervised
    release violations is “highly deferential.” United States v.
    Jones, 
    774 F.3d 399
    , 403 (7th Cir. 2014). Nevertheless, the dis-
    trict court is required to consider the U.S. Sentencing Guide-
    lines policy statements and relevant sentencing factors. The
    court must “say something that enables the appellate court to
    infer that he considered both sources of guidance,” United
    States v. Robertson, 
    648 F.3d 858
    , 859–60 (7th Cir. 2011),
    though it “need not consider the § 3553 factors in check-list
    form.” 
    Jones, 774 F.3d at 404
    . When revoking a term of su-
    pervised release, 18 U.S.C. § 3583(e) requires the court to
    consider several—but not all—of the factors set forth in 18
    U.S.C. § 3553(a): (a)(1) (the nature and circumstances of the
    14                                                   No. 14-3452
    offense and the history and characteristics of the defendant),
    (a)(2)(B)–(D) (the need for the sentence to deter criminal
    conduct, protect the public from further crimes, and provide
    the defendant with training and treatment), (a)(4) (the guide-
    lines range), (a)(5) (the guidelines policy statements), (a)(6)
    (the need to avoid unwarranted sentencing disparities), and
    (a)(7) (the need to provide restitution to victims).
    The district court’s consideration of these points was sat-
    isfactory. The judge noted that he had taken into account “all
    of the factors” under § 3553(a)(2) and singled out the need to
    protect the community from Ford’s “outbursts.” He invoked
    deterrence when he observed that supervision had not been
    effective for Ford and that the Probation Office would be put
    to better use by “working with someone who is more sus-
    ceptible to behavior modification.” These statements, along
    with the discussion of Rahoi’s injuries, show that the judge
    considered the nature of the crime and Ford’s history and
    characteristics. The judge looked to the guidelines range and
    policy statements when he discussed the appropriate sen-
    tencing range, and he addressed the need to impose restitu-
    tion. While he did not specifically mention the need to pro-
    vide Ford training and treatment or the goal of avoiding sen-
    tencing disparities, he was not required to run through each
    factor one by one. Overall, he said enough.
    Ford also contends that the court impermissibly consid-
    ered factor (a)(2)(A) when it discussed the extent of Rahoi’s
    injuries. This factor, which is not listed in § 3583(e), describes
    the need “to reflect the seriousness of the offense, to promote
    respect for the law, and to provide just punishment for the
    offense.” 18 U.S.C. § 3553(a)(2)(A). It is not clear that the
    court was relying specifically on (a)(2)(A) in its statements; it
    No. 14-3452                                                  15
    never specifically mentioned that factor, and, as noted
    above, the discussion of Rahoi’s injuries easily fits within
    factor (a)(1). But even if it did rely to some extent on the se-
    riousness of Ford’s offense, any such reliance was not error
    under this circuit’s law. See United States v. Clay, 
    752 F.3d 1106
    , 1108 (7th Cir. 2014) (siding with the majority of circuits
    to find that court may address factor (a)(2)(A) when revok-
    ing supervised release “so long as the district court relies
    primarily on the factors listed in § 3583(e)”). The court
    placed little weight on factor (a)(2)(A); instead, it relied on
    other factors that are included in § 3583(e), such as the
    guidelines range, deterrence, protection of the community,
    and the need for restitution. Thus, the court’s references to
    Rahoi’s injuries did not taint the validity of Ford’s sentence.
    V
    Ford has waived his objection to the admission of Smith’s
    statements, and, even if he merely forfeited it, he cannot
    show plain error. The statutory maximum prison sentence
    upon revocation of supervised release was properly based
    on the initial offense; thus, Ford’s 36-month sentence was
    permissible. Finally, the district court did not commit proce-
    dural error in sentencing Ford. We therefore AFFIRM both the
    district court’s order finding that Ford violated the condi-
    tions of his supervised release and the court’s sentence of 36
    months in prison.