United States v. Dicter , 198 F.3d 1284 ( 1999 )


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  •                                                                                   PUBLISH
    IN THE UNITED STATES COURT OF APPEALS
    FOR THE ELEVENTH CIRCUIT
    ------------------------------------------
    No. 96-9448
    -------------------------------------------
    D. C. Docket No. 1:95-CR-275-1-JTC
    UNITED STATES OF AMERICA,
    Plaintiff-Appellee,
    versus
    RICHARD M. DICTER, M.D.,
    Defendant-Appellant.
    ----------------------------------------------------------------
    Appeal from the United States District Court
    for the Northern District of Georgia
    ----------------------------------------------------------------
    (December 23, 1999)
    Before EDMONDSON and BIRCH, Circuit Judges, and OWENS*, Senior District
    Judge.
    ____________
    *    Honorable Wilbur D. Owens, Jr., Senior U.S. District Judge for the Middle
    District of Georgia, sitting by designation
    EDMONDSON, Circuit Judge:
    Defendant, Richard M. Dicter, M.D., appeals his convictions and sentence
    for conspiring to distribute unlawfully controlled substances and unlawfully
    distributing controlled substances, in violation of 
    21 U.S.C. § 841
    . Defendant also
    appeals the forfeiture of his state medical license under 
    21 U.S.C. § 853
    . We
    affirm.
    BACKGROUND
    Defendant, an Atlanta physician, began selling prescriptions to
    Ronnie Gullett (“Gullett”) in February 1992. At that time, Defendant visited
    Gullett’s car wash, where Gullett told Defendant that he suffered from chronic
    back pain. Gullett also told Defendant that he previously had taken Percodan for
    the pain. Defendant offered to “help” Gullett with his pain: Gullett paid
    Defendant $100, and Defendant wrote a Percodan prescription for Gullett.
    Thereafter, Defendant regularly prescribed various controlled substances for
    Gullett. Defendant prescribed Percodan, Percocet, Fiorinal, Vicodin ES, and
    Darvocet-N 100 for Gullett.1 Defendant issued prescriptions for Gullett on 230
    occasions. Some of these prescriptions were written in Gullett’s name; others
    Percodan and Percocet are schedule II controlled substances.
    1
    Fiorinal and Vicodin ES are schedule III controlled substances.
    Darvocet-N 100 is a schedule IV controlled substance.
    2
    purported to prescribe controlled substances for Gullett’s friends and relatives.
    Regardless of the names on the prescriptions, however, the controlled substances
    went to Gullett. On several occasions, Defendant phoned-in prescriptions to a
    pharmacist, later following up with a written prescription. Gullett generally paid
    between $100 and $500 for each prescription; on multiple occasions, Gullett paid
    $500 for a prescription.
    Defendant eventually attracted the attention of investigators from the
    Georgia Secretary of State’s Office. In 1993 and early 1994, the investigators
    subpoenaed from Defendant the medical records of ten persons, friends and
    relatives of Gullett and Gullett himself, to whom Defendant purportedly had
    written prescriptions. Defendant enlisted Gullett’s assistance in obtaining
    information about the ten “patients” to create medical charts for those persons in
    response to the subpoenas. Defendant eventually responded to the subpoenas by
    submitting fabricated and fraudulent medical records to investigators.2
    Defendant was indicted for one count of conspiring to distribute unlawfully
    controlled substances and two hundred-thirty counts of unlawfully distributing
    controlled substances, in violation of 
    21 U.S.C. § 841
    (a)(1). At trial, an expert
    Many of Defendant’s alleged “patients” testified at trial that they
    2
    had never been examined by Defendant and that they had never received
    prescriptions from Defendant.
    3
    Government witness testified that Defendant’s prescriptions for Gullett were not
    written in the course of legitimate medical treatment. A jury convicted Defendant
    on all counts. The jury then found that Defendant’s state medical license was
    forfeited to the Government under 
    21 U.S.C. § 853
    (a)(2). The district court
    accordingly ordered Defendant’s medical license forfeited and imposed sentence
    upon Defendant: 42 months’ imprisonment; a $1500 fine; and an $11,550 special
    assessment.3 Defendant appeals his convictions, his sentence, and the forfeiture of
    his medical license.
    DISCUSSION
    Defendant contends, first, that his conviction must be reversed
    3
    A later order of the district court, clarifying the sentence, provides
    that the balance of financial penalties, unpaid upon Defendant’s release
    from prison, are to be paid at a rate of $100 per month. The order also
    provides that “[t]o whatever extent possible, [D]efendant shall begin
    paying restitution while incarcerated.” Because the district court never
    ordered Defendant to pay restitution, but only ordered Defendant to pay
    a fine and special assessment, we construe the order to render
    Defendant’s financial penalties due immediately, with payment (to the
    extent possible) required while Defendant is incarcerated and with
    payment of the balance at a rate of $100 per month after Defendant’s
    release.
    4
    because the district court violated Defendant’s confrontation rights by improperly
    limiting his cross-examination of the Government’s witnesses.4 Defendant contends,
    4
    In particular, Defendant claims that the district court erroneously
    did not permit him to (1) impeach Ronnie Gullett with statements made
    by a state court judge at a probation hearing; (2) impeach Gullett with
    Gullett’s prior statement that he falsely would deny having undergone
    drug rehabilitation at an Atlanta clinic; (3) introduce evidence that
    Defendant’s purported “patients” had also received various prescriptions
    from other physicians; (4) cross-examine the Government’s expert about
    the propriety of prescribing Percodan for one of Defendant’s purported
    “patients”; (5) cross-examine Gullett’s wife about her use of a false
    identity during Gullett’s drug treatment; and (6) cross-examine Gullett’s
    wife about the Gulletts’ banking statement.
    Defendant’s last three claimed errors are belied by the record; the
    district court, in fact, permitted the cross-examination that Defendant
    claims was denied. The district court’s refusal to allow Defendant to
    introduce statements -- made by a state court judge, about Gullett’s
    propensity for truthfulness -- was not error. See Trustees of the Univ. of
    Penn. v. Lexington Insur. Co., 
    815 F.2d 890
    , 904-05 (3d Cir. 1987). Nor
    was the district court’s exclusion of Gullett’s prior statement that he
    would deny having received drug treatment. See Fed. R. Evid. 401.
    Even if the exclusion of either matter was erroneous under evidentiary
    rules, it did not violate Defendant’s confrontation rights because
    Defendant had sufficient opportunity to impeach Gullett’s testimony.
    See United States v. Garcia, 
    13 F.3d 1464
    , 1468 (11th Cir. 1994).
    Defendant also sought to introduce pharmacy records indicating
    that Gullett had received Percodan (and other drugs) from other doctors.
    Although the district court refused to admit such evidence during the
    Government’s case-in-chief, Defendant was permitted to cross-examine
    Gullett extensively about receiving prescriptions from other doctors.
    Therefore, the district court’s refusal to allow introduction of the
    5
    second, that his sentence must be vacated because the district court improperly
    delegated scheduling of his fine and special assessment payment to the Bureau of
    Prisons.5 These contentions lack merit; we reject them without extended discussion
    and affirm Defendant’s convictions and sentence.
    Defendant also challenges the forfeiture of his state medical license. In
    particular, Defendant asserts that: (1) the district court improperly permitted an
    eleven-person jury to return the forfeiture verdict; (2) the district court erroneously
    instructed the jury that the elements of forfeiture must be proven by a preponderance
    of the evidence; (3) Defendant’s medical license is not property subject to forfeiture
    under 
    21 U.S.C. § 853
    (a)(2); (4) the forfeiture of Defendant’s medical license required
    compliance with state administrative procedures governing the revocation of a license
    by the Georgia medical licensing board; (5) the district court’s conduct of forfeiture
    proceedings, while the state licensing board was investigating the revocation of
    pharmacy records was not error. See 
    id.
    The setting of Defendant’s fine and the setting of a payment
    5
    schedule were not improperly “delegated” to prison officials. We
    believe the district court’s original sentence and clarifying order made
    clear Defendant’s fine, special assessment, and payment obligations.
    See supra note 3 and accompanying text. Therefore, the district court
    delegated no sentencing authority to prison officials. See McGhee v.
    Clark, 
    166 F.3d 884
    , 886 (7th Cir. 1998); Montano-Figueroa v. Crabtree,
    
    162 F.3d 548
    , 550 (9th Cir. 1998).
    6
    Defendant’s medical license, violated the Younger abstention doctrine; (6) the
    forfeiture of Defendant’s medical license violates the Tenth Amendment; and (7) the
    forfeiture of Defendant’s medical license violates the Eighth Amendment. We reject
    Defendant’s contentions and, accordingly, affirm the district court’s order of
    forfeiture.
    1.      ELEVEN-PERSON JURY
    Defendant notes that the district court dismissed one of the twelve jurors, so that
    the juror could attend a job-training session, during forfeiture deliberations.
    Defendant contends that the district court’s decision to proceed with a forfeiture jury
    of eleven jurors was without “just cause” and violated Fed. R. Crim. P. 23(b).
    Defendant, however, raised this issue for the first time in his reply brief. Defendant,
    therefore, has waived this claim.6 McGinnis v. Ingram Equip. Co., Inc., 
    918 F.2d 1491
    , 1496 (11th Cir. 1990).
    6
    Defendant says that his failure to raise this issue in his initial brief should be excused
    because the meaning of “just cause” under Rule 23(b) was unclear before our decision in United
    States v. Spence, 
    163 F.3d 1280
     (11th Cir. 1998), issued after Defendant filed his initial brief.
    We note, however, that the Spence panel merely applied the construction of Rule 23(b) set forth
    in United States v. Wilson, 
    894 F.2d 1245
     (11th Cir. 1990). Because Wilson was available to
    Defendant when he filed his initial brief, we decline to excuse Defendant’s waiver of this issue.
    See McGinnis, 
    918 F.2d at 1496
    .
    7
    2.     BURDEN OF PROOF IN FORFEITURE PROCEEDINGS
    Defendant contends that the district court erred by instructing the jury that
    the Government need only prove the elements of criminal forfeiture under 
    21 U.S.C. § 853
    (a)(2) by a preponderance of evidence. Defendant asserts that the
    Government, instead, must prove the elements of the forfeiture beyond a
    reasonable doubt. We disagree; we conclude that the preponderance standard
    defines the Government’s burden of proof in section 853(a)(2) forfeitures.
    First, the preponderance standard is most consistent with the notion that
    section 853(a)(2) forfeiture is a matter of sentencing. The Supreme Court has said
    that “[f]orfeiture is an element of sentence imposed following conviction.” Libretti
    v. United States, 
    116 S. Ct. 356
    , 363 (1995). The language of section 853(a) itself
    makes clear that its forfeiture provisions are elements of sentencing. See 
    21 U.S.C. § 853
    (a) (providing that court shall order forfeiture “in addition to any other
    sentence imposed”). Operating to deprive a convicted defendant of “any of [his]
    property used, or intended to be used, in any manner or part, to commit, or to
    facilitate” the defendant’s crime, section 853(a)(2) is purely for sentencing: “The
    forfeiture is not intended to rectify the unjust enrichment of the individual, but to
    punish the defendant . . . .” United States v. DeFries, 
    129 F.3d 1293
    , 1315 (D.C.
    8
    Cir. 1997). The preponderance standard ordinarily governs sentencing matters.
    United States v. Barakat, 
    130 F.3d 1448
    , 1452 (11th Cir. 1997).
    In addition, in United States v. Elgersma, 
    971 F.2d 690
    , 697 (11th Cir. 1992)
    (en banc), we decided that the preponderance standard applies in section 853(a)(1)
    forfeitures.7 The statutory language reveals no congressional intent to require a
    higher standard of proof for section 853(a)(2) forfeitures than for section 853(a)(1)
    forfeitures. See United States v. Bieri, 
    21 F.3d 819
    , 822 (8th Cir. 1994).
    Furthermore, we see “no principled distinction between the two types of forfeitable
    property that would justify a higher burden of proof to forfeit property used to
    facilitate a drug crime than is required to forfeit property acquired with drug
    proceeds.” See 
    id.
    We, therefore, conclude that the preponderance standard governs forfeitures
    under § 853(a)(2).8
    7
    We expressly declined, in Elgersma, to “reach the question of which standard applies to
    forfeiture under sections 853(a)(2) and (3).” 
    971 F.2d at
    697 n.20.
    8
    We follow the First, Fourth, Sixth, and Eighth Circuits. See United States v. Rogers,
    
    102 F.3d 641
    , 648 (1st Cir. 1996); United States v. Tanner, 
    61 F.3d 231
    , 235 (4th Cir. 1995);
    United States v. Smith, 
    966 F.2d 1045
    , 1052 (6th Cir. 1992); United States v. Bieri, 
    21 F.3d 819
    ,
    822 (8th Cir. 1994). Our conclusion, that the preponderance standard applies under § 853(a)(2),
    is also consistent with the Third and Seventh Circuits, which have said that the preponderance
    standard applies generally to section 853(a) forfeitures. See United States v. Sandini, 
    816 F.2d 869
    , 875-76 (3d Cir. 1987); United States v. Herrero, 
    893 F.2d 1512
    , 1542 (7th Cir. 1990).
    9
    3.     FORFEITABILITY OF DEFENDANT’S MEDICAL LICENSE
    UNDER § 853(a)(2)
    Defendant claims that his state medical license is not forfeitable under 
    21 U.S.C. § 853
    (a)(2). In this regard, Defendant asserts that his license is not
    “property” within the meaning of section 853.9 We cannot agree.
    Defendant’s contention is belied by the plain language of section 853.
    Property subject to forfeiture under section 853 includes “tangible and intangible
    personal property, including rights, privileges, interests, claims, and securities.”
    
    21 U.S.C. § 853
    (b)(2) (emphasis added). A Georgia medical license confers “the
    right to practice medicine in [the] state” upon the licensee. O.C.G.A. § 43-34-
    27(a)(1). Defendant’s medical license, therefore, constitutes “property” for the
    purposes of section 853.
    9
    In a related contention, Defendant also asserts that his state medical license did not
    “facilitate [his] commission of unlawfully distributing controlled substances.” First, Defendant
    affirmatively waived this argument at trial. Defendant’s counsel argued to the jury: “For me to
    argue at this point in light of what you have found that [Defendant’s license] did not facilitate
    would be insulting, and I don’t intend to do that.”
    And, this contention is simply wrong. Defendant was able to write prescriptions for
    controlled substances because he held a DEA registration permitting him to do so for legitimate
    medical reasons. Defendant was able to obtain the DEA registration because he was a licensed
    medical practitioner in Georgia. Defendant’s medical license, therefore, was essential to his
    ability to provide Gullett with controlled substances. As such, that Defendant’s medical license
    “facilitated” his commission of the charged crimes seems clear. See United States v. Rivera, 
    884 F.2d 544
    , 546 (11th Cir. 1989) (adopting broad interpretation of “facilitate” under § 853).
    10
    Our conclusion that Defendant’s medical license constitutes “property”
    under section 853 is confirmed by Georgia law. See United States v. Shotts, 
    145 F.3d 1289
    , 1294-95 (11th Cir. 1998) (looking to state law to determine whether
    state-issued license is “property” under mail fraud statute). Under Georgia law, a
    state-issued license “to engage in a profession, trade, or occupation” is a property
    right. See Leakey v. Georgia Real Estate Comm., 
    55 S.E.2d 818
    , 819 (Ga. Ct.
    App. 1949). The Georgia Supreme Court has noted: “The right to practice
    medicine is . . . a valuable property right.” Yeargin v. Hamilton Memorial Hosp.,
    
    171 S.E.2d 136
    , 139 (Ga. 1969).
    4.     GEORGIA PROCEDURES FOR REVOCATION OF A MEDICAL
    LICENSE
    Georgia law mandates certain procedures for the revocation of a medical
    license by the state medical licensing board. See O.C.G.A. § 43-34-38. Defendant
    contends that the district court was required to abide by these state law procedures
    in forfeiting Defendant’s medical license because the forfeiture, in effect, operates
    as a revocation of Defendant’s license. This contention is without merit. Under 
    21 U.S.C. § 853
    , Defendant’s medical license is forfeitable to the Government
    “irrespective of any provision of State law.” 
    21 U.S.C. § 853
    (a). In the light of the
    clear language of section 853, the district court was not required to implement the
    11
    procedures set out by state law to forfeit Defendant’s medical license. See
    generally, American Manuf. Mut. Insur. Co. v. Tison Hog Market, Inc., 
    182 F.3d 1284
    , 1287 (11th Cir. 1999) (discussing Supremacy Clause).
    Nonetheless, we need not rest our decision on preemption grounds because,
    in this case, no conflict exists between the Georgia administrative scheme and this
    criminal forfeiture. O.C.G.A. § 43-34-38 is inapplicable to this forfeiture by its
    own terms. The Georgia statute does not purport to govern proceedings in the
    courts; it specifically governs only “[p]roceedings before the board wherein a
    licensee’s right to practice medicine in this state is terminated, suspended, or
    limited.” O.C.G.A. § 43-34-38 (emphasis added).
    5.     YOUNGER ABSTENTION
    Defendant, citing Younger v. Harris, 
    91 S. Ct. 746
     (1971), also contends
    that, because state licensing officials were investigating Defendant’s conduct at the
    time of Defendant’s trial, the district court should have abstained from the
    forfeiture of Defendant’s state medical license. The Younger doctrine ordinarily
    requires federal district courts to refrain from enjoining pending state criminal or
    12
    quasi-criminal proceedings. Old Republic Union Insur. Co. v. Tillis Trucking Co.,
    Inc., 
    124 F.3d 1258
    , 1261 (11th Cir. 1997).
    Younger, however, is inapplicable to the instant case. This case is not one
    where a state-court defendant comes to federal court seeking equitable relief
    against a state-court proceeding; this case is a direct, federal criminal prosecution.
    See United States v. Composite State Bd. of Med. Exam’rs, 
    656 F.2d 131
    , 134 (5th
    Cir. 1981) (“[A]bstention is inappropriate when, as here, the United States is
    seeking to assert a federal interest against a state interest.”).
    6.     TENTH AMENDMENT
    Defendant also argues that the forfeiture of his medical license violates the
    Tenth Amendment. Defendant says: (1) the State of Georgia has the “power to
    control medical licensing” of Georgia physicians; (2) the forfeiture of Defendant’s
    medical license prohibits the Georgia medical licensing board from re-licensing
    Defendant; (3) the forfeiture, therefore, violates the Tenth Amendment by
    depriving the state of its power to license Defendant. We find Defendant’s
    argument uncompelling.
    13
    The State of Georgia has a powerful interest in controlling the licensing of
    physicians practicing in Georgia. Nonetheless, we do not see how the forfeiture of
    Defendant’s medical license prohibits the state licensing board from regulating
    Defendant’s practice of medicine in Georgia. The district court simply ordered the
    forfeiture of a definite thing, a particular medical license: the medical license held
    by Defendant and “issued by the Georgia Composite Board of Medical
    Examiners.” The district court’s order of forfeiture does not purport to forfeit any
    other medical license, including one that might be issued to Defendant by the
    Georgia medical licensing board in the future.
    Furthermore, Defendant’s license was forfeited on the ground that it was
    “used . . . to facilitate the commission of” Defendant’s unlawful distribution of
    controlled substances from 1992 through 1994. See 
    21 U.S.C. § 853
    (a)(2). Any
    license that might be issued in the future (but has not yet been issued, and certainly
    was not in existence between 1992 and 1994) could not have facilitated the
    Defendant’s unlawful distribution of controlled substances. Therefore, any such
    future license was not forfeited to the United States. Whether the Georgia medical
    licensing board is authorized to issue another, different medical license to
    Defendant in the future is an issue solely of Georgia law.10 The Georgia board’s
    10
    See O.C.G.A. § 43-34-21 (providing for appointment of
    14
    power is unaffected by this forfeiture. Defendant’s Tenth Amendment contention,
    therefore, lacks merit.
    7.     EIGHTH AMENDMENT
    Defendant asserts that the forfeiture of his medical license constitutes an
    excessive fine in violation of the Eighth Amendment. “[A] punitive forfeiture
    violates the Excessive Fines Clause if it is grossly disproportional to the gravity of
    a defendant’s offense.” United States v. Bajakajian, 
    118 S. Ct. 2028
    , 2036 (1998).
    Composite State Board of Medical Examiners); O.C.G.A. § 43-34-
    24.1(d) (providing that “[l]icenses issued by the board which are subject
    to renewal shall be valid for up to two years and shall be renewable
    biennially on the renewal date established by the board”) (emphasis
    added). See also O.C.G.A. § 43-34-37(c), which provides: “In its
    discretion, the board may restore and reissue a license to practice
    medicine issued under this chapter or any antecedent law and, as a
    condition thereof, may impose any disciplinary or corrective measure
    provided in this chapter.”
    The “license to practice medicine issued under this chapter” to
    Defendant has been forfeited; so, it, strictly speaking, cannot be
    “restored” or “reissued.” We, however, offer no opinion on whether
    O.C.G.A. § 43-34-37(c), or any other Georgia statutory provision,
    authorizes the Georgia medical licensing board to issue another,
    different license to Defendant under some circumstances. That is a
    question of Georgia law, and it is a question that is not now before this
    court.
    15
    “[J]udgments about the appropriate punishment for an offense belong in the first
    instance to the legislature.” Id. at 2037. Therefore, we look to the maximum fine
    for Defendant’s offenses, as prescribed by Congress and the United States
    Sentencing Commission (USSC), in determining whether the instant forfeiture is
    excessive. If the value of the forfeited property is “within the range of fines”
    authorized by Congress and the USSC, “a strong presumption arises that the
    forfeiture is constitutional.” United States v. 817 N.E. 29th Dr., Wilton Manors,
    Florida, 
    175 F.3d 1304
    , 1309-10 (11th Cir. 1999).
    Defendant’s crimes involved the prescribing of more than 2 million
    milligrams of Percodan, a schedule II drug (the equivalent of more than 1100
    kilograms of marijuana). See U.S.S.G. § 2D1.1 (setting out drug equivalency
    conversion factors). Defendant was convicted of more than 200 counts of
    unlawfully distributing schedule II drugs. Congress and the USSC have prescribed
    severe monetary penalties for a defendant convicted of so many violations of 
    21 U.S.C. § 841
    (a), involving the unlawful distribution of such quantities of schedule
    II controlled substances. See 
    21 U.S.C. § 841
    (b)(1)(C) (providing for $1 million
    fine for violation of section 841(a) involving schedule II controlled substances);
    see also U.S.S.G. § 5E1.2(c)(4). In the light of the severe penalties for violation of
    
    21 U.S.C. § 841
    , the large quantities of drugs involved in this case, and
    16
    Defendant’s repeated unlawful conduct, we cannot say that the forfeiture of his
    medical license is grossly disproportionate to the gravity of his crimes.11
    Defendant’s Eighth Amendment argument, therefore, fails.
    CONCLUSION
    We AFFIRM Defendant’s convictions and sentence. We also
    specifically AFFIRM the forfeiture of Defendant’s state medical license.
    AFFIRMED.
    11
    Defendant urges that the forfeited medical license “represents his entire
    livelihood.” We doubt that the forfeiture of Defendant’s medical license renders
    Defendant completely unable to earn a living; most people earn a living without a
    medical license. More important, we do not take into account the personal impact
    of a forfeiture on the specific defendant in determining whether the forfeiture
    violates the Eighth Amendment. 817 N.E. 29th Dr., Wilton Manors, Florida, 
    175 F.3d at 1311
    .
    17
    

Document Info

Docket Number: 96-9448

Citation Numbers: 198 F.3d 1284

Filed Date: 12/23/1999

Precedential Status: Precedential

Modified Date: 3/3/2020

Authorities (24)

United States v. Rogers , 102 F.3d 641 ( 1996 )

Terrell McGinnis v. Ingram Equipment Company, Inc. , 918 F.2d 1491 ( 1990 )

Nos. 96-4035, 96-4092 , 175 F.3d 1304 ( 1999 )

United States v. Angel Amado Garcia, Frank Chaves, United ... , 13 F.3d 1464 ( 1994 )

United States v. Barakat , 130 F.3d 1448 ( 1997 )

United States v. Edwin Elgersma, United States of America v.... , 971 F.2d 690 ( 1992 )

United States v. William Bennett Tanner , 61 F.3d 231 ( 1995 )

united-states-v-lorenzo-rivera-willie-j-burgess-jessie-davis-ned-owen , 884 F.2d 544 ( 1989 )

United States v. The Composite State Board of Medical ... , 656 F.2d 131 ( 1981 )

the-united-states-v-hilmer-burdette-sandini-ernest-g-rockwell-george , 816 F.2d 869 ( 1987 )

Old Republic Union Insurance v. Tillis Trucking Co. , 124 F.3d 1258 ( 1997 )

United States v. Shotts , 145 F.3d 1289 ( 1998 )

the-trustees-of-the-university-of-pennsylvania-v-lexington-insurance , 815 F.2d 890 ( 1987 )

united-states-v-james-douglas-wilson-donald-scott-smith-carl-lee , 894 F.2d 1245 ( 1990 )

United States v. DeFries, Clayton E. , 129 F.3d 1293 ( 1997 )

United States of America, Cross-Appellant v. Charles L. ... , 966 F.2d 1045 ( 1992 )

United States v. Juan Herrero Jose Guillermo Haro and ... , 893 F.2d 1512 ( 1990 )

Manuel MONTANO-FIGUEROA, Petitioner-Appellant, v. Joseph H. ... , 162 F.3d 548 ( 1998 )

United States v. Susan D. Bieri and Leonard Bieri, Iii, ... , 21 F.3d 819 ( 1994 )

Yeargin v. Hamilton Memorial Hospital , 225 Ga. 661 ( 1969 )

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