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UNITED STATES OF AMERICA, Plaintiff-Appellee,
v.
RAYMOND SHRYOCK, a/k/a HUERO SHY, Defendant-Appellant.
No. 97-50468
D.C. No. CR-95-00345-RSWL-16
UNITED STATES OF AMERICA, Plaintiff-Appellee,
v.
JESSE MORENO, Defendant-Appellant.
No. 97-50470
D.C. No. CR-95-00345-RSWL-10
UNITED STATES OF AMERICA, Plaintiff-Appellee,
v.
RUBEN HERNANDEZ, a/k/a TUPI, Defendant-Appellant.
No. 97-50473
D.C. No. CR-95-00345-RSWL-08
UNITED STATES OF AMERICA, Plaintiff-Appellee,
v.
ALEX AGUIRRE, aka, Pee Wee, aka Howard, Defendant-Appellant.
No. 97-50475
D.C. No. CR-95-00345-RSWL-1
UNITED STATES OF AMERICA, Plaintiff-Appellee,
v.
JUAN ARIAS, Defendant-Appellant.
No. 97-50476
D.C. No. CR-95-00345-RSWL
UNITED STATES OF AMERICA, Plaintiff-Appellee,
v.
RANDY THERRIEN, a/k/a COWBOY, Defendant-Appellant.
No. 97-50479
D.C. No. CR-95-00345-RSWL-17
UNITED STATES OF AMERICA, Plaintiff-Appellee,
v.
RUBEN CASTRO, aka Nite Owl, Defendant-Appellant.
No. 97-50480
D.C. No. CR-95-00345-RSWL-4
UNITED STATES OF AMERICA, Plaintiff-Appellee,
v.
DANIEL BARELA, Defendant-Appellant.
No. 97-50482
D.C. No. CR-95-00345-RSWL-03
UNITED STATES OF AMERICA, Plaintiff-Appellee,
v.
DAVID GALLARDO, Defendant-Appellant.
No. 97-50483
D.C. No. CR-95-00345-RSWL-5
UNITED STATES OF AMERICA, Plaintiff-Appellee,
v.
RAYMOND MENDEZ, aka Champ, Defendant-Appellant.
No. 97-50486
D.C. No. CR-95-00345-RSWL-9
UNITED STATES OF AMERICA, Plaintiff-Appellee,
v.
JOE HERNANDEZ, aka Shakey Joe, Defendant-Appellant.
No. 97-50487
United States Court of Appeals for the Ninth Circuit
D.C. No. CR-95-00345-RSWL-20
Appeal from the United States District Court for the Central
District of California Ronald S.W. Lew, District Judge, Presiding.
Argued and Submitted June 2, 2003--Pasadena, California Before:
David R. Thompson, Stephen S. Trott, and Richard C. Tallman,
Circuit Judges.
COUNSEL
Jay L. Lichtman, Law Offices of Jay L. Lichtman, Los Angeles,
California, for defendant-appellant Raymond Shryock.
Phillip A. Trevino, Los Angeles, California, for defendant-appellant
Jesse Moreno.
Joseph Francis Walsh, Los Angeles, California, for defendant-appellant
David Gallardo.
Karen L. Landau, Oakland, California, for defendant-appellant
Joe Hernandez.
Maria E. Stratton, Federal Public Defender, Los Angeles, California,
for defendant-appellant Alex Aguirre.
Sonia E. Chahin, La Canada, California, for defendant-appellant
Ruben Hernandez.
Michael J. Treman, Santa Barbara, California, for defendant-appellant
Juan Arias.
Morton H. Boren, Los Angeles, California, for defendant-appellant
Randy Therrien.
Robert Ramsey, Jr., Ramsey & Price, Los Angeles, California,
for defendant-appellant Ruben Castro.
Gail Ivens, Glendale, California, for defendant-appellant
Raymond Mendez.
Elana Shavit Artson, Assistant United States Attorney, Los
Angeles, California, for the plaintiff-appellee.
Patrick J. Fitzgerald, Assistant United States Attorney, Los
Angeles, California, for the plaintiff-appellee.
Andrea L. Russi, Assistant United States Attorney, Los Angeles,
California, for the plaintiff-appellee.
Filed September 4, 2003
TROTT, Circuit Judge:
In these consolidated appeals, Defendants-Appellants Alex
Aguirre ("Aguirre" ), Juan Arias ("Arias"
), Daniel Barela ("Barela" ), Ruben Castro ("R.
Castro" ), David Gallardo ("Gallardo" ), Joe Hernandez
("J. Hernandez" ), Ruben Hernandez ("R. Hernandez"
), Raymond Mendez ("Mendez" ), Jesse Moreno ("Moreno"
), Raymond Shryock ("Shryock" ), and Randy Therrien
("Therrien" ), (collectively "Appellants"
), appeal from their convictions and sentences following an eight-month
jury trial. Appellants were charged with various offenses arising
from their involvement with the Mexican Mafia, also know as La
Eme.
The jury convicted each Appellant of a substantive violation
of the Racketeer Influenced and Corrupt Organizations Act ("RICO"
) under 18 U.S.C. § 1962(c), conspiracy to violate RICO
under 18 U.S.C. § 1962(d), and--except Moreno--conspiracy
to aid and abet narcotics trafficking in violation of 21 U.S.C.
§ 846.
The jury also convicted individual Appellants of other crimes.
For murder to maintain or increase their position in a RICO enterprise,
in violation of 18 U.S.C. § 1959(a)(1) and (2), the jury
convicted Aguirre of one count, Gallardo of three counts, Shryock
of one count, and Therrien of two counts. For assault with a
deadly weapon to maintain or increase their position in a RICO
enterprise, in violation of 18 U.S.C. § 1959(a)(2) and (3),
the jury convicted Aguirre of one count, Arias of one count,
Gallardo of two counts, J. Hernandez of one count, and Shryock
of two counts. For conspiracy to commit murder to maintain or
increase their position in a RICO enterprise, in violation of
18 U.S.C. § 1959(a)(5), the jury convicted Aguirre of one
count, Barela of four counts, R. Castro of five counts, Gallardo
of two counts, J. Hernandez of two counts, Mendez of one count,
Moreno of two counts, Shryock of four counts, and Therrien of
two counts. For knowingly carrying and using a firearm during
and in relation to the commission of a crime of violence, in
violation of 18 U.S.C. § 924(c)(1), the jury convicted Aguirre
of one count, Arias of one count, Barela of two counts, and Gallardo
of two counts. For knowingly or intentionally possessing with
intent to distribute a controlled substance, in violation of
21 U.S.C. § 841(a)(1), the jury convicted Aguirre of one
count, Barela of two counts, and Therrien of one count. The jury
convicted J. Hernandez of one count of being a felon in possession
of a firearm, in violation of 18 U.S.C. § 922(g)(1), and
found money or property of his subject to forfeiture pursuant
to 18 U.S.C. § 924(d)(1) as a result.
The indictment also sought forfeitures in connection with
the RICO charges, under 18 U.S.C. § 1963, and in connection
with the conspiracy to aid and abet narcotics trafficking charge,
under 21 U.S.C. § 853. The district court dismissed these
counts except as to Aguirre, Mendez, and Therrien. After the
district court held a bifurcated trial on these counts, the jury
returned forfeiture verdicts against the property of all charged
Appellants.
The district court imposed the following sentences: (1) 384
months for Arias and J. Hernandez; (2) life imprisonment for
Barela, R. Castro, R. Hernandez, Mendez, Moreno, Shryock, and
Therrien; (3) life plus sixty months for Aguirre; and (4) life
plus 300 months for Gallardo.
On appeal, Appellants raise numerous challenges to their convictions
and sentences. Appellants principally contend that the district
court (1) erred by empaneling an anonymous jury and limiting
the scope of a hearing on juror misconduct; (2) violated their
constitutional right to a public trial; (3) erred by denying
their motions to suppress wiretap and videotape evidence; (4)
erred in several trial rulings; (5) erred in discovery rulings;
(6) erred in several jury instructions; and (7) erred in the
sentences imposed. We have jurisdiction pursuant to 28 U.S.C.
§ 1291. Ultimately, we affirm Appellants' convictions and
sentences, except that we vacate R. Hernandez's sentence and
remand for re-sentencing of R. Hernandez only.
BACKGROUND
We provide only a general factual background at this preliminary
juncture. Additional facts necessary to the discussion of the
several issues are contained in the portions of this opinion
in which those issues are addressed. The factual recitals are
based on trial testimony and other evidence that the jury could
reasonably have credited in reaching its verdicts.
Appellants were named in a thirty-one-count superseding indictment
charging them and ten others. [FOOTNOTE 1] The charges stemmed
from Appellants' involvement with the Mexican Mafia. At trial,
the government presented voluminous evidence, including: (1)
approximately 275 audiotapes of conversations between the defendants
and their coconspirators, including wiretaps on the phones of
J. Hernandez, consensual recordings of telephone conversations
and face-to-face meetings, and recordings made at the Los Angeles
County Jail and Pelican Bay State Prison in California; (2) approximately
125 witnesses, including law enforcement officers, forensic experts,
former Mexican Mafia members Ernesto Castro ("E. Castro"
) and Johnny Torres ("Torres" ), and former Mexican
Mafia associate James Prado ("Prado" ); and (3) fourteen
videotapes of meetings between Mexican Mafia members.
A. The Mexican Mafia's Structure and Operation
Los Angeles County Sheriff's Deputy Richard Valdemar ("Deputy
Valdemar" ), an expert witness, testified that the Mexican
Mafia is a prison gang formed in the 1950s by Hispanic street
gang members incarcerated at the Deuel Vocational Institution,
located in Tracy, California. The founding members formed the
organization to protect Hispanics from other such gangs within
California's jails and prisons. By using violence, the Mexican
Mafia eventually gained significant power and control over illegal
activities in the California prison system. As members were released
from state custody, they extended their influence outside the
prison system to control drug distribution--principally by "taxing"
drug dealers--in parts of Southern California.
At the time of trial, Deputy Valdemar testified that the Mexican
Mafia had 250 to 300 members. In addition, the gang had numerous
associates who aspired to become members and were willing to
commit crimes on the Mexican Mafia's behalf in hopes of attaining
membership. Deputy Valdemar identified J. Hernandez as an associate,
and the other Appellants as members of the Mexican Mafia.
E. Castro testified that defendant Benjamin Peters ("Peters"
) prepared him for membership in the Mexican Mafia while both
were incarcerated at the California Institution for Men, located
in Chino, California ("Chino State Prison" ). He recounted
Peters's explanation to him of the route to membership: "If
the mafia has any enemies, that they' re also my enemies, so
long as I take care of them by stabbing them, then that would
deem me eventually a member." The Mexican Mafia required
a vote of three members to make a new member or murder an existing
member, but did not require a vote for a member to kill a nonmember.
E. Castro and Torres testified for the prosecution that Mexican
Mafia members had to follow four rules: a Mexican Mafia member
cannot (1) be an informant; (2) be a homosexual; (3) be a coward;
or (4) disrespect or politick against another member. Death was
the automatic consequence for violation of any of the first three
rules, and only a member could carry out the murder of another.
While in prison, the Mexican Mafia expected its members to engage
in drug trafficking, extortion, and any other activity to acquire
money and exert power and control over other inmates. Outside
prison, Mexican Mafia members met regularly to discuss and vote
on actions in furtherance of the members' illegal activities.
According to E. Castro, Mexican Mafia members communicated
in prison by having meetings in the exercise yard, sending messages
through visitors or inmates who were transferred between prisons,
and passing small notes known as "kites" or "wilas."
E. Castro further testified that Mexican Mafia members operated
under a "code of silence," which obligated them to
deny any membership in or knowledge of the organization. Because
of this code, E. Castro stated that he testified in a previous
case involving R. Hernandez and falsely denied the existence
of the Mexican Mafia and R. Hernandez's membership in it.
B. Specific Crimes
Summarized below from the evidence are some relevant events
in chronological order underlying the charges in the indictment.
1. Conspiracy and Attempted Murder of Salvador Buenrostro
On July 16, 1991, Peters and Mexican Mafia member Rene "Boxer"
Enriquez attacked with premeditation and deliberation Salvador
"Mon" Buenrostro, another Mexican Mafia member, in
the attorney visiting room at the Los Angeles County Jail. Although
stabbed twenty-six times, Buenrostro survived the attack.
E. Castro testified that he was incarcerated in the Los Angeles
County Jail at the time of the attack, and that Peters told him
Buenrostro was on the Mexican Mafia's hit list because Buenrostro
had politicked against deceased member Joe Morgan. To prearrange
for the attack, Prado, a Mexican Mafia associate, manipulated
the justice system by causing Buenrostro to be subpoenaed to
the Los Angles County Jail from another institution, allegedly
to testify in Prado's upcoming trial, and placed a "hold"
on Peters to prevent Peters from being transferred to another
jail. At Peters's request, Prado made a shank (prison knife)
and gave it to Peters to use in the attack. Likewise, E. Castro
made a knife and provided it to Enriquez. Enriquez then arranged
for jail authorities to call himself, Peters, and Buenrostro
to the attorney visiting room simultaneously. Once there, Peters
and Enriquez attacked Buenrostro while Enriquez shouted "kill
him."
The indictment charged the conspiracy and attempted murder
of Buenrostro as a racketeering act underlying the substantive
RICO charge, and the jury found the crimes proven as to Peters.
2. Conspiracy and Murder of Charles Manriquez
On March 25, 1992, Gallardo shot and killed Mexican Mafia
member Charles "Charlie Brown" Manriquez in the Ramona
Gardens housing project ("Ramona Gardens" ). Gallardo
shot Manriquez six times. The police recovered several .380-caliber
semi-automatic shell casings at the scene and three .380-caliber
bullets from Manriquez's body.
E. Castro testified that in 1991 while at Chino State Prison,
E. Castro, Manriquez, and other Mexican Mafia members agreed
to stab two individuals named "Colorado" and "Smiley."
E. Castro stabbed "Colorado," but Manriquez failed
to stab "Smiley" despite two opportunities to do so.
When Peters later transferred to Chino State Prison, E. Castro
informed him of Manriquez's cowardice. Peters told E. Castro
to do whatever he felt was right, which E. Castro interpreted
as meaning he could kill Manriquez.
About a week after his release from custody, E. Castro met
separately with Gallardo and Therrien, who agreed that they should
kill Manriquez (now also out of custody) for his cowardice. Gallardo
agreed to do the killing. E. Castro obtained a handgun from Therrien
and gave it to Gallardo. One week later, Gallardo told E. Castro
that he shot Manriquez in the face and when Manriquez turned
and ran, he shot him in the back.
The indictment charged the conspiracy and murder of Manriquez
as a racketeering act, and the jury found the crimes proven as
to Gallardo, Peters, and Therrien. The jury also convicted (1)
Gallardo and Therrien of Manriquez's murder to maintain or increase
their positions in a RICO enterprise; and (2) Gallardo of knowingly
carrying and using a firearm during and in relation to the murder.
3. Murder of Ana Lizarraga
E. Castro testified that in 1990 he attended a meeting during
which Gallardo indicated his desire to kill Ana Lizarraga because
she was a police informant and was interfering with his drug
trafficking in Ramona Gardens. Lizarraga was a youth gang worker
and had acted in Edward James Olmos's movie "American Me,"
a fictionalized account of a California Hispanic prison gang
based on the Mexican Mafia that some members of the real Mexican
Mafia believed negatively portrayed their organization.
On May 13, 1992, Jose "Joker" Gonzales, a Hazard
gang member, [FOOTNOTE 2] and an unidentified gunman shot Lizarraga
thirteen times, killing her. Los Angeles Police Department ("LAPD"
) Officer Thomas Lira was nearby at the time of the shooting
and heard several gunshots. He drove toward the gunshots and
observed two masked men fire at Lizarraga while she stood in
her driveway with her son. As Lizarraga fell to the ground, the
gunmen walked closer to her and continued to shoot. When the
shooting ceased, the suspects turned and ran toward Officer Lira's
patrol car. One suspect pointed his gun at Officer Lira, who
ducked and accelerated his vehicle to avoid being shot. Police
arrested Gonzales minutes after the shooting, and a California
court subsequently convicted him of first-degree murder.
At a January 1995 meeting, Gallardo told E.Castro that he
wanted to sponsor Gonzales to become a Mexican Mafia member because
Gonzales had killed Lizarraga. In addition, during an audiotaped
visit at Pelican Bay State Prison on December 31, 1994, Peters
told his mother, Paz Gutierrez, that "[Gonzales was] . .
. . the one that killed that lady in the projects. The one that
made the movies with, with Olmos."
The indictment charged Lizarraga's murder as a racketeering
act, and the jury found the crime proven as to Gallardo.
4. Conspiracy and Murder of Manuel Luna
On August 7, 1993, Aguirre shot and killed Mexican Mafia member
Manuel "Rocky" Luna. The police found Luna's body riddled
with gunshot wounds in the driver's seat of a car parked in Ramona
Gardens.
E. Castro testified that an informant named "Mad Dog"
Roselli had been placed on the Mexican Mafia hit list. On July
4, 1993, E. Castro, Gallardo, Aguirre, and another Mexican Mafia
member saw Roselli at a park. E. Castro wanted to kill Roselli,
but Gallardo interceded and told him that Luna had the assignment
to kill him. Subsequently, E. Castro saw Luna with Roselli twice
but Luna failed to kill Roselli. E. Castro raised Luna's failure
to carry out his assignment during a meeting with Gallardo, Therrien,
and other Mexican Mafia members. After the members present raised
other complaints about Luna, they voted to kill him.
The following day, Gallardo told E. Castro that Luna was dead.
E. Castro testified that Aguirre told him he killed Luna, and
that Gallardo, Therrien, and another Mexican Mafia member were
present. Aguirre explained that initially they wanted to stab
Luna, but Gallardo objected that stabbing would create too much
noise and blood. Instead, Gallardo furnished a gun, which Aguirre
used to shoot Luna. E. Castro also testified that when he saw
Gallardo at Arias's house a week after Aguirre killed Luna, Gallardo
admitted he had hid the barrel of the gun used in the murder
at the house.
A September 3, 1994 audiotaped visit at Pelican Bay State
Prison between Peters and Paz Gutierrez corroborated E. Castro's
testimony. During a conversation regarding Gallardo's problems
in Ramona Gardens, Gutierrez told Peters that "Hazard was
in, was in a lot of trouble." Peters responded, "It's
behind Rocky [Luna], when they killed Rocky. And then they killed
Rascal [Ricardo Gonzales] and they, they, and they thought Smilon
(Gallardo) did it."
The indictment charged the conspiracy and murder of Luna as
a racketeering act, and the jury found the crimes proven as to
Aguirre, Gallardo, and Therrien. The jury also convicted (1)
Aguirre, Gallardo, and Therrien of Luna's murder to maintain
or increase their positions in a RICO enterprise; and (2) Aguirre
of knowingly carrying and using a firearm during and in relation
to the murder.
5. Conspiracy to Murder Michael Perry
E. Castro testified that R. Hernandez told him he felt disrespected
by Michael "Flaco" Perry, a Mexican Mafia member. R.
Hernandez told E. Castro that he arranged for Perry to stay with
a friend named Charlene. While there, Perry engaged in inappropriate
sexual behavior in front of Charlene's children. Shortly before
E. Castro was released from prison in 1990 or 1991, R. Hernandez
asked him to kill Perry.
During a meeting in 1993, attended by Aguirre, Therrien, and
other Mexican Mafia members, E. Castro relayed what R. Hernandez
had told him. All present agreed Perry should be killed. They
planned another meeting to which they would lure and kill Perry,
but he failed to appear. Later, the group met at the home of
Mexican Mafia member Raul "Dagwood" Vasquez ("Vasquez"
) and reaffirmed the decision to kill Perry. During that meeting,
Vasquez telephoned another Mexican Mafia member, Frank Buelna,
and told him that Perry had to be killed.
The indictment charged the conspiracy to murder Perry as a
racketeering act, and the jury found the crime proven as to Gallardo
and Therrien.
6. Murder of Ricardo Gonzales
On December 5, 1993, police found the body of Ricardo "Rascal"
Gonzales in Ramona Gardens. He died of multiple stab wounds and
blunt force trauma to the head. Ricardo Gonzales was a Hazard
gang member and brother of Mexican Mafia member Jose "Joker"
Gonzales (who killed Ana Lizarraga for Gallardo).
On December 7, 1993, E. Castro recorded a conversation at
Vasquez's home, during which Gallardo and Vasquez told E. Castro
that Gonzales was stabbed during a shootout with Hazard gang
members. Gallardo explained he went to Ramona Gardens to "make[
] a point" because Hazard gang members were interfering
with his drug trafficking operations in the area. Notably, Gallardo
singled out "Capone" (Humberto Madrigal) and "Conrad"
(Conrad Morales) as "instigating everything." Gallardo
confronted and fired shots at some Hazard gang members, who returned
fire. Gallardo stated, "[Gonzales] was right there Joker's
brother . . . I don' t think I shot [Gonzales] . . . you know
it was Joker's brother, he didn' t have that coming, it's just
everything came at us, Boom!" Gallardo also told E. Castro
that he wanted him to know the circumstances of Gonzales's death
because "whatever happens, man, you know Joker's probably
just gonna trip, what the fuck happen, you know, but it was just
something that just unfolded right there man, it's fucked up,
but I mean he brought that on himself, ay. You know."
Later in the recorded conversation, Vasquez picked up a switch-blade
knife, made downward stabbing motions, and stated "This
is the one I killed his homeboy with." E. Castro testified
that "his homeboy" referred to Ricardo Gonzales.
The indictment charged the murder of Ricardo Gonzales as a
racketeering act, and the jury found the crime proven as to Gallardo.
The jury also convicted Gallardo of Gonzales's murder to maintain
or increase his position in a RICO enterprise.
7. Conspiracy and Attempted Murder of Humberto Madrigal
As noted above, during a recorded conversation on December
7, 1993, Gallardo told E. Castro that Humberto "Capone"
Madrigal instigated problems for Gallardo in Ramona Gardens.
On January 13, 1994, Madrigal was walking home when Gallardo
shot him fourteen times from the passenger side of a moving vehicle.
Madrigal survived.
E. Castro testified that in two separate conversations, Gallardo
and Mexican Mafia member Antonio "Tonito" Rodriguez
("Rodriguez" ) told him that they went to Ramona Gardens
looking for Madrigal, and that Gallardo shot Madrigal several
times. Rodriguez related to E. Castro that they had been in a
car, and that Gallardo reached across the passenger's window
and started shooting at Madrigal.
LAPD Detective Lawrence Martinez testified that he interviewed
Madrigal at the hospital three days after he was shot, and Madrigal
identified Gallardo as the shooter. In December 1994, Detective
Martinez re-interviewed Madrigal at Madrigal's home and showed
him a photographic lineup. Madrigal again identified Gallardo
as the shooter.
Because of Madrigal's identification, the government initiated
parole revocation proceedings against Gallardo. At both the revocation
hearing and the trial here, however, Madrigal testified that
he did not know who shot him. Substantial evidence at trial proved
that Madrigal refused to identify Gallardo after receiving threats
from Aguirre and other Mexican Mafia members. For instance, in
a recorded call on January 6, 1995, Gallardo telephoned J. Hernandez
and informed him, "[Madrigal] . . . he's no longer scared
to testify against me" in the parole revocation proceeding.
An hour later, J. Hernandez called Rodriguez to communicate a
message that Gallardo wanted to talk to him about Madrigal's
testimony and related the substance of his and Gallardo's earlier
conversation. Rodriguez instructed J. Hernandez to get Aguirre
on the telephone. J. Hernandez did so, and during a three-way
call Rodriguez informed Aguirre of Gallardo's situation. In another
recorded call on January 10, 1995, Aguirre reported to Rodriguez
that he had spoken to Madrigal and persuaded him not to testify.
Rodriguez emphasized that "this is an important thing,"
and Aguirre responded that he "took care of that already."
During a videotaped meeting on January 28, 1995, E. Castro asked
about Madrigal and Aguirre responded, "I talked to him on
the phone . . . . I told him . . . rumor has it, that you know,
that you said somethin' about you know, [Gallardo] this and that
and the dude said hey, man, I ain' t said nothin' about him .
. . I' ll go [to] court and help him out."
The indictment charged the conspiracy and attempted murder
of Madrigal as a racketeering act, and the jury found the crimes
proven as to Gallardo. The jury also convicted Gallardo of (1)
assaulting Madrigal with a deadly weapon to maintain or increase
his position in a RICO enterprise; and (2) knowingly carrying
and using a firearm during and in relation to the assault.
8. Conspiracy and Attempted Murder of Eduardo
Soriano
On February 22, 1994, LAPD officers responded to a report
of shots fired at the Ramona Gardens home of Ricardo and Eduardo
Soriano. Paramedics found Arias on a curb suffering from four
gunshot wounds, and transported him to the hospital. Paramedics
also transported Eduardo Soriano to the hospital with a gunshot
wound to the hand. Officers found nine 9-millimeter casings in
front of the house and several bullet holes in the wall below
Ricardo and Eduardo's bedroom window. There were also several
bullet marks in the pavement where shots fired from inside the
house had struck the ground. Arias's van was parked in a nearby
lot and the police recovered the van's keys next to some trash
cans. Inside the van, officers found a box of 9-millimeter ammunition
that was missing nine rounds (the exact number of casings found
in front of the house). Near the house, officers recovered a
9-millimeter handgun and a .38 caliber revolver with six empty
casings in the cylinder.
On the following day, Rodriguez told E. Castro in a recorded
conversation that Gallardo and Arias had gone to Ramona Gardens
looking for the Soriano brothers, and that Arias had been shot
in the resulting exchange of gunfire. Arias subsequently pled
guilty to shooting at an inhabited dwelling in violation of California
state law.
The indictment charged the conspiracy and attempted murder
of Soriano as a racketeering act, and the jury found the crimes
proven as to Arias and Gallardo. The jury also convicted (1)
Arias and Gallardo of assaulting Soriano with a deadly weapon
to maintain or increase their positions in a RICO enterprise;
and (2) Arias of knowingly carrying and using a firearm during
and in relation to the assault.
9. Murder of Albert Orosco, and Attempted Murders of Hector
Galvez and Freddie Garcia
Albert Orosco, Hector Galvez, and Freddie Garcia were members
of the Chino Sinners street gang. On March 13, 1994, an unidentified
assailant shot Garcia in the leg. On March 14, 1994, Larry Hernandez
shot Galvez and Orosco multiple times. Galvez survived, but Orosco
died.
During a recorded conversation on March 21, 1994, Shryock
told E. Castro, "I sent them dudes to kill [Orosco] . .
. and [Galvez] . . . they got off, and Freddie [Garcia] got shot
in the leg . . . . [S]ome dude named Larry did it." Shryock
further stated that because Galvez, Garcia, and Orosco were "puttin'
[guns] on little kids heads and hitting old women . . . to take
their money," he spoke to the alleged victims, and
told ' em look, man, don' t give ' em no fuckin'
money no more, I said . . . and the next time you see ' em, if
you want to, go ahead and kill them . . . . [S]o that's what
they did. The[ ] next time he came to collect from somebody he
blew him away. They, they killed [Orosco] and, and [Galvez].
. . . And so [Garcia] is the only one that's loose. [FOOTNOTE
3]
Shryock made similar statements at the videotaped March 27,
1994 meeting. This version of the events was supported by E.
Castro's discussion of the incident with Paz Gutierrez, who told
him that a guy named Larry killed Orosco and shot Galvez because
Larry was tired of being taxed.
The indictment charged the conspiracy and murder of Orosco,
conspiracy and attempted murder of Galvez, and conspiracy and
attempted murder of Garcia as racketeering acts. The jury found
the crimes proven as to Shryock, and also convicted Shryock of
(1) Orosco's murder to maintain or increase his position in a
RICO enterprise; (2) assault on Galvez to maintain or increase
his position in a RICO enterprise; and (3) assault on Garcia
to maintain or increase his position in a RICO enterprise.
10. Conspiracy to Murder Jesse Aragon
At the videotaped March 27, 1994 meeting, Shryock, Barela
and other Mexican Mafia members discussed killing Mexican Mafia
member Jesse "Sleepy" Aragon. The members at the meeting
decided to kill Aragon because he failed to carry out his assignment
to kill a witness against another Mexican Mafia member, and he
questioned the decision to kill Mexican Mafia member Phillip
"Gibby" Escobar. [FOOTNOTE 4] At the videotaped March
30, 1994 meeting, the members present assigned Escobar to kill
Aragon, and Shryock offered to provide a weapon. On April 5,
1994, Escobar met with Art Aguilar, a Shryock associate, who
provided Escobar with a gun. Law enforcement arrested Aragon,
however, before he could be killed.
The indictment charged the conspiracy to murder Aragon as
a racketeering act, and the jury found the crime proven as to
Barela and Shryock. The jury also convicted Barela and Shryock
of conspiracy to murder Aragon to maintain or increase their
positions in a RICO enterprise.
11. Conspiracy to Murder Francisco Martinez
At the videotaped March 27 and 30, 1994 meetings, Barela,
R. Castro, Moreno, Shryock, Therrien, and other Mexican Mafia
members discussed killing Francisco "Puppet" Martinez,
a Mexican Mafia member incarcerated at Pelican Bay State Prison.
These conspirators decided to kill Martinez because he was politicking
against other members, threatening to kill other members, claimed
to have made an individual a member without following the proper
procedure, and for generally causing dissension within the organization.
Accordingly, the conspirators devised a plan to invite Martinez
to a meeting as a pretext and kill him. Law enforcement, however,
arrested Martinez before he could be killed.
The indictment charged the conspiracy to murder Martinez as
a racketeering act, and the jury found the crime proven as to
Barela, R. Castro, Moreno, Shryock, and Therrien. The jury also
convicted the same Appellants of conspiracy to murder Martinez
to maintain or increase their positions in a RICO enterprise.
12. Conspiracy to Murder Danilo Garcia
Between October and December 1994, government agents intercepted
telephone calls in which R. Castro and J. Hernandez plotted to
kill Danilo Garcia, an inmate at the Los Angeles County Jail.
Law enforcement placed Garcia in protected custody, thwarting
any attempts to kill him.
The indictment charged the conspiracy to murder Garcia as
a racketeering act, and the jury found the crime proven as to
R. Castro and J. Hernandez. The jury also convicted the same
Appellants of conspiracy to murder Garcia to maintain or increase
their positions in a RICO enterprise.
13. Conspiracy to Murder Donald Ortiz
At the videotaped September 25, 1994 meeting, Arias, Barela,
Mendez, Therrien, and Shryock reaffirmed an earlier decision
to kill Mexican Mafia member Donald "Little Man" Ortiz
because Ortiz had "disrespected" the Mexican Mafia.
This decision was also reaffirmed at the videotaped April 9,
1995 meeting, attended by Aguirre, R. Castro, Gallardo, Mendez,
Shryock, and Therrien. By April 1995, however, the jail where
Ortiz was incarcerated placed him in protective custody and no
Mexican Mafia member had access to him. Accordingly, Gallardo
proposed an exception to the rule that only a member could kill
another, and to permit an associate to carry out the murder.
The members present agreed and decided to have someone subpoena
Ortiz to court as a pretext, so that an associate from the gang
module where Ortiz was housed could kill him.
The indictment charged the conspiracy to murder Ortiz as a
racketeering act, and the jury found the crime proven as to Aguirre,
Barela, R. Castro, Gallardo, J. Hernandez, Mendez, Shryock, and
Therrien. The jury also convicted the same Appellants of conspiracy
to murder Ortiz to maintain or increase their positions in a
RICO enterprise.
14. Conspiracy to Murder Ramiro Valerio
Ramiro "Greedy" Valerio was collecting money from
drug dealers by claiming he was a member of the Mexican Mafia.
At the videotaped March 27, 1994 meeting, the members present
clarified that Valerio was not a member and therefore had no
authority to collect money or act on the Mexican Mafia's behalf.
Consequently, R. Castro and other Mexican Mafia members discussed
plans to kill Valerio. Because Valerio wore thick glasses, the
members dubbed their murder plot "Operation Coke Bottle."
On November 21, 1994, R. Castro called Rodriguez to advise
him that the police had arrested Valerio and he was in jail,
so R. Castro now had the opportunity to kill him. During subsequent
conversations, R. Castro devised a plan to kill Valerio while
in custody. Law enforcement, however, intercepted these calls
and foiled "Operation Coke Bottle" by placing Valerio
in protective custody.
The indictment charged the conspiracy to murder Valerio as
a racketeering act, and the jury found the crime proven as to
R. Castro. The jury also convicted R. Castro of conspiracy to
murder Valerio to maintain or increase his position in a RICO
enterprise.
15. Conspiracy to Murder Conrad Morales
Gallardo disliked Conrad Morales, a Hazard gang member, because
he interfered with Gallardo's drug trafficking in Ramona Gardens.
During a recorded conversation on November 28, 1993, Gallardo
told E. Castro that Morales and his wife "should not get
away with living another new years. . . . [B]ecause they are
laughing at us every day." At a meeting on January 25, 1994,
Raul Vasquez discussed the need to kill Morales, to which Gallardo
replied "That's right." At the videotaped March 30,
1994 meeting, the participants again raised the issue of killing
Morales. R. Castro offered to send "crews" to shoot
any Hazard gang members that the Mexican Mafia decided to kill.
Shryock then identified Morales as a target, to which R. Castro
responded: "He can be reduced to nothing real quick though.
. . . he's targeted." At a subsequent videotaped meeting,
on April 30, 1994, Barela, Moreno, and Shryock stated that Morales
had to be killed to end the hostilities between the Mexican Mafia
and the Hazard street gang.
The indictment charged the conspiracy to murder Morales as
a racketeering act, and the jury found the crime proven as to
Barela, R. Castro, Gallardo, Moreno, and Shryock. The jury also
convicted the same Appellants with conspiracy to murder Morales
to maintain or increase their positions in a RICO enterprise.
16. Conspiracy to Aid and Abet the Distribution of
Narcotics
The Mexican Mafia's drug trafficking operations on the streets
and in prison were a main topic of the wiretap and videotape
evidence, and E. Castro's testimony. This evidence overwhelmingly
showed an extensive conspiracy to aid and abet the distribution
of narcotics.
a. Narcotic Distribution on the Streets
Appellants aided and abetted the distribution of narcotics
on the streets. First, the record shows that Appellants shared
information, drug connections, and proceeds of their drug trafficking.
Second, the record shows that Appellants assigned territory to
each member, thereby avoiding competition, and other members
would assist a member to resolve a territorial dispute. For instance,
at the videotaped January 4, 1995 meeting, the members present
tried to resolve a territorial dispute between Arias and co-defendant
Sammy Villalba because both had drug dealers working in the same
area.
Third, the record shows that Appellants used the reputation
and violence of the Mexican Mafia to establish control over their
territories. For example, the murders and attempted murders of
Ana Lizarraga, Manuel Luna, Ricardo Gonzales, Humberto Madrigal,
Eduardo Soriano, and Conrad Morales all stemmed from their interference
with Gallardo's drug trafficking in Ramona Gardens. Aguirre,
Arias, Therrien, and others helped Gallardo carry out these crimes.
After gaining control over a territory, Appellants also aided
and abetted narcotics trafficking by providing protection and
territorial monopolies to drug dealers in exchange for extorted
payments (taxes). For example, E. Castro testified that a drug
dealer named "Joanna" agreed to pay the Mexican Mafia
$15,000 over a six-month period, to be split between Aguirre,
Rodriguez, and E. Castro, in return for protection and the right
to sell drugs in a specific area. In a recorded telephone conversation
on May 19, 1994, Rodriguez told E. Castro that besides the $15,000
payment from Joanna, each of her drug dealers were going to pay
the Mexican Mafia $50 a week. In a recorded meeting on May 24,
1994, a Mexican Mafia associate delivered $900 from Joanna's
dealers to E. Castro and Rodriguez. In addition, in a recorded
meeting on June 1, 1994, Joanna delivered $7,000 to E. Castro
and Rodriguez.
b. Narcotic Distribution in California's Jails and Prisons
Appellants also aided and abetted the distribution of narcotics
in California's jails and prisons. For example, in a recorded
telephone call on March 21, 1995, two Mexican Mafia associates
called J. Hernandez from the Los Angeles County Jail and informed
him that all of Gallardo's drugs had arrived at the jail, and
that approximately $2,500 from the sale of those drugs had been
collected on Gallardo's behalf.
The indictment charged conspiracy to aid and abet the distribution
of narcotics as a racketeering act, and the jury found the crime
proven as to all Appellants except Moreno. The jury also convicted
the same Appellants of conspiracy to aid and abet the distribution
of narcotics.
17. Conspiracy to Extort
Overwhelming evidence in the record shows that Appellants
conspired to extort money and firearms from various street gangs.
Audiotaped and videotaped conversations, and E. Castro's testimony,
showed that the Mexican Mafia exerted control over street gangs
by setting rules of engagement (such as no drive-by shootings)
and mediating disputes between street gangs. The Mexican Mafia
also extorted regular payments of money and firearms from street
gangs. If a gang refused to pay the "tax," the Mexican
Mafia attacked or allowed attacks by other street gangs against
the offending gang. This meant that members of the offending
gang were attacked on the street and in jail until the street
gang agreed to pay the tax.
The indictment charged conspiracy to extort as a racketeering
act, and the jury found the crime proven as to all Appellants
except Mendez and Moreno. The jury also convicted the same Appellants
of conspiracy to extort.
DISCUSSION
On appeal, Appellants make numerous challenges to their convictions
and sentences. We address each challenge in turn. We affirm Appellants
convictions and sentences, except that we remand R. Hernandez's
sentence for re-sentencing.
I Jury Empanelment and Scope of Hearing on Juror Misconduct
Appellants argue that (1) the district court erred by sua
sponte empaneling an anonymous jury; and (2) the district court
abused its discretion by limiting the scope of a hearing on alleged
juror misconduct.
A. Anonymous Jury
On August 15, 1996, the district court sua sponte empaneled
an anonymous jury by ordering that the names, addresses, and
places of employment of prospective jurors and their spouses
not be disclosed to counsel, either before or after selection
of the jury panel. Normally, the parties have this information
and use it during voir dire to formulate questions probing for
potential biases, prejudices, or any other consideration that
might prevent a juror from rendering a fair and impartial decision.
Appellants contend that the district court erred by empaneling
an anonymous jury. We disagree.
Whether a district court can empanel an anonymous jury is
an issue of first impression in this circuit, but our analysis
is guided by the standards developed in other circuits. Every
circuit that has addressed this issue has held that a lower court's
decision to empanel an anonymous jury is entitled to deference
and is subject to abuse of discretion review. Unit ed
States v. DeLuca, 137 F.3d 24, 31 (1st Cir. 1998); United
States v. Thai, 29 F.3d 785, 801 (2d Cir. 1994); United
States v. Thornton, 1 F.3d 149, 153 (3d Cir. 1993); United
States v. Krout, 66 F.3d 1420, 1426 (5th Cir. 1995); United
States v. Talley, 164 F.3d 989, 1001 (6th Cir. 1999); United
States v. Mansoori, 304 F.3d 635, 650 (7th Cir. 2002); United
States v. Darden, 70 F.3d 1507, 1532-33 (8th Cir. 1995);
United States v. Ross, 33 F.3d 1507, 1519 (11th Cir. 1994);
United States v. Childress, 58 F.3d 693, 702-03 (D.C.
Cir. 1995) (per curiam) (rejecting a de novo standard of review
because the decision to empanel an anonymous jury "require[s]
a trial court to make a sensitive appraisal of the climate surrounding
a trial and a prediction as to the potential security or publicity
problems that may arise during the proceedings" ). We, too,
adopt the abuse of discretion standard of review and will afford
deference to the district court's decision to empanel an anonymous
jury. In determining whether the district court abused its discretion,
we may consider evidence available at the time the district court
empaneled the anonymous jury, and all relevant evidence introduced
at trial. DeLuca, 137 F.3d at 31; Krout, 66 F.3d at 1427.
We recognize that empaneling an anonymous jury is an unusual
measure that is warranted only where there is a strong reason
to believe the jury needs protection or to safeguard the integrity
of the justice system, so that the jury can perform its factfinding
function. DeLuca , 137 F.3d at 31. As Appellants correctly
note, anonymous juries may infer that the dangerousness of those
on trial required their anonymity, thereby implicating defendants'
Fifth Amendment right to a presumption of innocence. Also, as
Appellants correctly note, the use of an anonymous jury may interfere
with defendants' ability to conduct voir dire and to exercise
meaningful peremptory challenges, thereby implicating defendants'
Sixth Amendment right to an impartial jury. We nevertheless agree
with our sister circuits that the use of anonymous juries is
permissible in limited circumstances. Accordingly, we now adopt
the rule as articulated by the First Circuit: the trial court
may empanel an anonymous jury "where (1) there is a strong
reason for concluding that it is necessary to enable the jury
to perform its factfinding function, or to ensure juror protection;
and (2) reasonable safeguards are adopted by the trial court
to minimize any risk of infringement upon the fundamental rights
of the accused." Id.
The fact that the district court sua sponte empaneled an anonymous
jury does not change the analysis. United States v. Branch,
91 F.3d 699, 723-25 (5th Cir. 1996) (affirming the district court's
sua sponte order to empanel an anonymous jury); United States
v. Bowman , 302 F.3d 1228, 1236 (11th Cir. 2002) (per curiam)
(same); United States v. Edmond , 52 F.3d 1080, 1089-94
(D.C. Cir. 1995) (per curiam) (same). Because the purpose of
an anonymous jury is to protect that jury and the integrity of
the justice system, and is permissible so long as the district
court takes reasonable precautions to safeguard the defendants'
rights, no principle would distinguish an order to empanel an
anonymous jury made sua sponte from one based on a party's motion.
Courts have recognized the need for jury protection based
on some combination of factors, including: (1) the defendants'
involvement with organized crime; (2) the defendants' participation
in a group with the capacity to harm jurors; (3) the defendants'
past attempts to interfere with the judicial process or witnesses;
(4) the potential that the defendants will suffer a lengthy incarceration
if convicted; and (5) extensive publicity that could enhance
the possibility that jurors' names would become public and expose
them to intimidation and harassment. DeLuca , 137 F.3d
at 31-32; United States v. Brown, 303 F.3d 582, 602 (5th
Cir. 2002); Talley , 164 F.3d at 1002; Mansoori ,
304 F.3d at 650-51; Darden , 70 F.3d at 1532; Bowman
, 302 F.3d at 1238; Edmond , 52 F.3d at 1091. These
factors are neither exclusive nor dispositive, and the district
court should make its decision based on the totality of the circumstances.
Brown , 303 F.3d at 602.
Here, the district court found that the jury needed protection
because all five factors were met. The record amply supports
this conclusion. First, the record shows that Appellants were
involved with the Mexican Mafia, an extraordinarily violent organized
criminal enterprise. Cf. Mansoori , 304 F.3d at 649 (holding
that the district court erred by empaneling an anonymous jury
where the district court's principal concerns about the prospect
of interference with jurors were based on his experience with
another trial involving a gang unrelated to the gang to which
the defendants belonged, but finding the error harmless because:
(1) the district court conducted a thorough voir dire protecting
the defendants' right to an unbiased jury; (2) the district court's
instructions to the jury during voir dire and the trial emphasized
that the defendants' were presumed innocent; and (3) the record
contained a basis for concern over juror security); United
States v. Vario , 943 F.2d 236, 241 (2d Cir. 1991) (noting
that "[t]he invocation of the words ' organized crime,'
' mob,' or ' Mafia,' unless there is something more, does not
warrant an anonymous jury," but the "' something more,'
"which by itself is sufficient to justify an anonymous jury,
"can be a demonstrable history or likelihood of obstruction
of justice on the part of the defendant or others acting on his
behalf or a showing that trial evidence will depict a pattern
of violence by the defendants and his associates such as would
cause a juror to reasonably fear for his own safety" ).
Second, the record shows Appellants' involvement on behalf
of the Mexican Mafia in several murders, attempted murders, and
conspiracies to commit murder. At the time of trial, there were
hundreds of Mexican Mafia members and associates still at large.
Clearly, the Mexican Mafia was a group with the capacity to harm
jurors.
Third, the record shows that Appellants had previously attempted
to interfere with the judicial process by testifying falsely
and threatening, assaulting, killing, or attempting to kill potential
witnesses in other cases. For instance, E. Castro testified that
members of the Mexican Mafia maintained a "code of silence"
obligating members testifying in court to deny the existence
of and membership in the Mexican Mafia. The record also shows
that Aguirre threatened Humberto Madrigal not to identify Gallardo
as the person who shot him. The most obvious interference with
the judicial process occurred when members of the Mexican Mafia
blatantly subpoenaed individuals to penal institutions under
the guise of needing them as witnesses in their case, then attacked
those persons in attorney visiting rooms.
Fourth, all Appellants faced lengthy incarceration if convicted.
In fact, Appellants received sentences ranging from 384 months
to life plus 300 months. See DeLuca , 137 F.3d at 32 (finding
the mandatory life sentences defendants faced if convicted "surely
provided a strong inducement to resort to extreme measures in
any effort to influence the outcome of the trial" ). Finally,
a trial involving several alleged members and associates of the
Mexican Mafia could expect to receive extensive publicity, enhancing
the possibility that jurors' names would become public and expose
them to intimidation and harassment.
Moreover, the district court took reasonable precautions to
minimize any risk of infringement on Appellants' fundamental
rights. Appellants allege that the use of an anonymous jury was
prejudicial because it reinforced any preconceived impression
the jurors might have had about the dangerousness of the Appellants.
The district court, however, instructed the jury that the reason
for their anonymity was to protect their privacy from curiosity-seekers.
See Darden , 70 F.3d at 1530 (holding that the district
court took reasonable precautions to protect the defendants'
fundamental rights when it told the jurors that it would not
release their names to avoid harassment from the media). Also,
the district court instructed the jury that the use of anonymous
juries was commonplace in federal court, and that the reasons
for the use of such a jury here had nothing to do with the Appellants'
guilt or innocence. See Ross , 33 F.3d at 1521-22 (holding
that the district court's instruction to the jury that their
anonymity was to insulate them from improper communication from
either side and was not a reflection on the defendant "eviscerated
any possible inference of Appellant's guilt arising from the
use of an anonymous jury" ). Accordingly, we hold that the
district court did not abuse its discretion by empaneling an
anonymous jury in this case.
B. Scope of Hearing of Alleged Juror Misconduct
We review for an abuse of discretion the district court's
decisions regarding incidents of jury misconduct. United States
v. Beard, 161 F.3d 1190, 1194 (9th Cir. 1998). We review for
clear error the district court's factual findings relating to
the issue of juror misconduct. United States v. Matta- Ballesteros,
71 F.3d 754, 766 (9th Cir. 1995), as amended by 98 F.3d
1100 (9th Cir. 1996).
The verdicts were filed on Friday, May 30, 1997. On the following
Monday morning, the press officer for the United States Attorney's
Office received a phone call from an individual claiming that
Juror 69 discussed the case publicly during trial. The district
court held a hearing on June 17, 1997, where it questioned the
press officer and Juror 69. At the hearing, the press officer
stated that he had only one telephone conversation for approximately
four minutes with the caller (referred to as person "B"
). B told the press officer that Juror 69 had discussed his role
on the jury with person "A." B also told the press
officer that B was acquainted with A and not Juror 69, and had
no first-hand knowledge of the communications between Juror 69
and A.
The court then questioned Juror 69. Juror 69 stated that he
had told five work supervisors that he had to cancel certain
work commitments because he was a juror, and identified the trial
for which he served as a juror. During the hearing, Juror 69
repeatedly and unequivocally stated that (1) he did not know
B, (2) he had no direct contact with A concerning the trial,
(3) any information he provided his employers that they may have
conveyed to A was limited to the fact of his service on the jury,
and (4) he did not receive extrinsic information about the trial
from his employers.
The district court ruled that Juror 69 was credible, and that
the communications did not rise to the level of misconduct because
they were limited to Juror 69's need to be in court for jury
service. Furthermore, the district court ruled that even if the
communications constituted misconduct, no prejudice resulted
from the communications.
Appellants argue that the district court abused its discretion
by not revealing the identities of A, B, and Juror 69, thereby
precluding a full investigation of the misconduct allegations.
We have previously held that when a district court holds a hearing
in response to allegations of juror misconduct, "[t]he district
court has discretion to determine the extent and nature of the
hearing." Price v. Kramer , 200 F.3d 1237, 1254 (9th
Cir. 2000); United States v. Hendrix , 549 F.2d 1225,
1227 (9th Cir. 1977) (finding that "a trial judge in making
these decisions will necessarily be directed by the content of
the allegations, including the seriousness of the alleged misconduct
or bias, and the credibility of the source" ). Because of
the facts presented in the record and the district court's finding
of Juror 69's credibility, we hold that the district court's
decision concerning the nature of the evidentiary hearing was
not an abuse of discretion.
II Constitutional Right to a Public Trial and Courtroom Security
Procedures
Appellants contend that the limited audience seating in the
courtroom amounted to a " de facto closed courtroom"
that violated their right to a public trial, a right guaranteed
by the Sixth Amendment and emphasized in Waller v. Georgia
, 467 U.S. 39 (1984). Specifically, Appellants claim that
given the number of defendants, counsel, jurors, and alternates,
the space dedicated to electronic machinery used to play audio
and videotapes for the jury, and that the chairs in the courtroom
were frequently taken by members of the press, there remained
inadequate seating for Appellants' family members. They assert
also that security measures exacerbated the situation by discouraging
Appellants' family members from attending the trial. These security
measures were established by the district court in a November
16, 1995 order, which required everyone attending the trial to
pass through a metal detector, show identification, and sign
a log-in form.
We review de novo a Sixth Amendment claim for violation of
defendants' right to a public trial. United States v. Ivester,
316 F.3d 955, 958 (9th Cir. 2003). We review for an abuse of
discretion the district court's decision to impose security measures.
Wilson v. McCarthy , 770 F.2d 1482, 1485 (9th Cir. 1985);
see also United States v. Evans , 272 F.3d 1069, 1093
(8th Cir. 2001) ("[t]he need for and extent of security
measures in a courtroom during trial are within the sound discretion
of the trial court" ).
"The denial of a defendant's Sixth Amendment right to
a public trial requires some affirmative act by the trial court
meant to exclude persons from the courtroom." United
States v. Al-Smadi, 15 F.3d 153, 155 (10th Cir. 1994) (citations
omitted). Accordingly, a defendant's right to a public trial
is only implicated by a "closure." See Ivester ,
316 F.3d at 959-60 (holding that some closures are too trivial
to implicate the Sixth Amendment right to a public trial, and
finding (1) the closed courtroom discussions between the district
court and counsel concerning how to handle the questioning of
jurors, and (2) mid-trial questioning of a juror in a closed
courtroom with counsel and defendant present were trivial closures
that did not violate the right to a public trial).
In Estes v. Texas , 381 U.S. 532, 588-89 (1965), Justice
Harlan stated in concurrence:
Obviously, the public trial guarantee is not vio
lated if an individual member of the public cannot gain admittance
to a courtroom because there are no available seats. . . . A
public trial implies only that the court must be open to those
who wish to come, sit in the available seats, conduct themselves
with decorum, and observe the trial process.
See also United States v. Kobli , 172 F.2d 919, 923
(3d Cir. 1949) (stating that the constitutional right to a public
trial does not require holding trial in a place large enough
to accommodate all those who desire to attend).
We hold that the size of the courtroom did not amount to a
"closure," and therefore did not implicate Appellants'
Sixth Amendment right to a public trial. Appellants' trial was
always open to the public. Specifically, the district court always
allowed Appellants' family members and the general public to
use the available seating. Appellants only point to two occasions
were there was insufficient seating for family members, (1) when
the jury received their questionnaires, and (2) at the return
of the verdict. In fact, before opening statements, the district
court noted that "the greater bulk of the chairs in the
last three rows are basically reserved for the public including
the family. I' m glad to see that there are still vacant chairs
available in that sector. Although there was a hue and cry that
family members would not be accommodated." Appellants did
not have a Sixth Amendment right to force the district court
to expand what was sufficient courtroom seating to accommodate
family members who did not attend the trial.
We hold also that the district court did not abuse its discretion
by imposing appropriate security measures. The district court's
security measures were eminently reasonable in light of the large
number of defendants, the allegations of extraordinarily violent
crimes committed by the defendants, and the Mexican Mafia's history
of using violent actions to disrupt the judicial process. Requiring
members of the public to proceed through a metal detector, show
identification, and sign a log-in form are similar to the security
methods used in many government and private office buildings
in this country.
III Motions to Suppress the Wiretap and Videotape
Evidence
A. Wiretap Evidence
On September 22, 1994, the district court authorized the interception
of wire communications on J. Hernandez's telephone. Various district
judges subsequently approved seven applications for continued
authority to maintain the wiretap. The subsequent applications
incorporated a forty-five-page affidavit ("Affidavit"
) submitted by FBI Agent Joseph C. Ways ("Agent Ways"
) in support of the original wiretap. The wiretap terminated
on May 2, 1995.
Appellants contend that the Affidavit did not satisfy the
necessity requirement for issuing a wiretap. Appellants contend
also that the district court erred by denying them a hearing
pursuant to Franks v. Delaware , 438 U.S. 154 (1978),
to determine whether Agent Ways made false statements in the
Affidavit. We disagree.
We review motions to suppress de novo. United States v.
Jones, 286 F.3d 1146, 1150 (9th Cir. 2002). We review de
novo whether the government submitted the requisite full and
complete statement of facts in compliance with 18 U.S.C. §
2518(1)(c), and review for an abuse of discretion the district
judge's decision that the wiretap was necessary. United States
v. Blackmon , 273 F.3d 1204, 1207 (9th Cir. 2001). Moreover,
we review de novo the district court's denial of a Franks
hearing, and review for clear error the district court's
underlying finding that the government did not intentionally
or recklessly make false statements. United States v.
Jordan, 291 F.3d 1091, 1099 (9th Cir. 2002); United States
v. Reeves, 210 F.3d 1041, 1044 (9th Cir. 2000).
1. The Affidavit
To establish that a wiretap is necessary, the application
must provide a "full and complete statement as to whether
or not other investigative procedures have been tried and failed
or why they reasonably appear to be unlikely to succeed if tried
or to be too dangerous." 18 U.S.C. § 2518(1)(c). The
issuing judge must then determine whether "normal investigative
procedures have been tried and have failed or reasonably appear
to be unlikely to succeed if tried or to be too dangerous."
18 U.S.C. § 2518(3)(c).
The Affidavit averred that normal investigative procedures
had been tried and failed, and reasonably appeared to be unlikely
to succeed or were too dangerous. The Affidavit stated that traditional
investigative techniques were unlikely to "reveal the full
nature and extent of the criminal activities of all of the major
participants in [the Mexican Mafia] and to gather sufficient
evidence to successfully prosecute the participants for the target
offenses." In addition, the Affidavit stated that the government
had used seven cooperating individuals in the investigation who
had provided "a wealth of information and evidence,"
but "are not likely to realize[ ] all of the investigative
objectives."
With respect to E. Castro and his help in recording meetings
with the Mexican Mafia members and associates, the Affidavit
in which E. Castro was referred to CW#1 stated:
With CW #1's assistance, the investigating
agents have succeeded in consensually monitoring and recording
numerous contacts with members of the Mexican Mafia. However,
CW #1 is not [in] a position to be privy to all of the activities
of the targets of this investigation. In particular, CW #1 cannot
control, nor be a participant in, the numerous telephone calls
being made from the county jail to and through the [s]ubject
[t]elephone or the numerous calls made from the subject telephone
to people other than CW #1.
In regards to inmates' telephone calls, the Affidavit stated:
"The telephone calls made by inmates from the Los Angeles
[County] jail are not monitored or recorded on a regular basis.
Therefore, consensual recordings of these conversations are not
available to the government for use in this case."
Appellants contend that the Affidavit failed to satisfy the
necessity requirement because it misrepresented the success of
normal investigative techniques. Specifically, Appellants contend
that the Affidavit failed to disclose the government's video
surveillance of Appellants' meetings.
We have reviewed the factual allegations of the Affidavit
as a whole. Although not a flawless affidavit, we hold that the
Affidavit was sufficient to support a reasonable judge's conclusion
that the necessity requirement was satisfied. The Affidavit stated
that the government had monitored and recorded numerous contacts
between Mexican Mafia members. Moreover, the Mexican Mafia is
a broad-based organization with several hundred members and an
unknown number of associates. Several informants--including former
members of the Mexican Mafia such as E. Castro--could not possibly
reveal the full nature and extent of the enterprise and its countless,
and at times disjointed, criminal tentacles. Compare United
States v. McGuire , 307 F.3d 1192, 1196-99 (9th Cir. 2002)
(holding that necessity existed despite the existence of informants
because infiltration alone could not determine the scope of the
conspiracy), with Unit ed States v. Ippolito, 774 F.2d
1482, 1486-87 (9th Cir. 1985) (holding that necessity was absent
where an informant existed within the organization who was willing
to testify and had the potential for uncovering the entirety
of the conspiracy under investigation).
2. Franks Hearing
Appellants contend that the district court erred by denying
them a Franks hearing. Specifically, Appellants assert
a Franks hearing was appropriate because the Affidavit:
(1) omitted material information regarding the value of E. Castro's
cooperation and the government's video surveillance of Appellants'
meetings; (2) stated that the government needed a wiretap to
record inmates calls; and (3) relied on an informant, identified
as CW#1, but did not disclose that CW#1 was E. Castro.
A Franks hearing is appropriate where the defendant
makes a substantial preliminary showing that a false statement
was (1) deliberately or recklessly included in an affidavit submitted
in support of a wiretap, and (2) material to the district court's
finding of necessity. United States v. Bennett , 219 F.3d
1117, 1124 (9th Cir. 2000).
Because Appellants do not meet either threshold requirement,
we hold that the district court correctly denied Appellants'
motion for a Franks hearing. First, the district court
ruled that Appellants did not make a substantial showing that
the government had made intentional or reckless misrepresentations
or omissions in the Affidavit. Appellants have not provided any
facts on which we could find that the district court clearly
erred. In fact, the opposite is true. Contrary to Appellants'
contention, the Affidavit stated that the informants had produced
a "wealth of information and evidence," that with the
help of CW#1 the government had monitored and recorded "numerous"
meetings with Mexican Mafia members, and that inmates' telephone
calls were not available because those calls were not monitored
on a "regular" basis.
Second, even assuming the Affidavit contained the misleading
statements and omissions asserted by Appellants, those statements
and omissions were not necessary to the district court's finding
of necessity. Even if the Affidavit disclosed E. Castro's identity,
more robustly described his contributions, and acknowledged that
the County Jail calls were sometimes monitored, the district
court would still have been reasonable to find the wiretap necessary.
As mentioned above, the Mexican Mafia is a broad-based organization
and investigators were unlikely to discovery the full nature
and extent of the enterprise without wiretaps.
B. Videotape Evidence
Pursuant to E. Castro's consent, the government videotaped
fourteen meetings of Mexican Mafia members between March 27,
1994 and April 9, 1995. All fourteen meetings took place in hotel
rooms. On most occasions, E. Castro rented the hotel rooms. Appellants
allege that Shryock rented the hotel room for the August 28,
1994 meeting and that Barela rented the room on "another"
occasion. Before trial, Appellants moved to suppress the videotapes.
Appellants argued before the district court and now on appeal
that the warrantless videotaping of those meetings violated Appellants'
Fourth Amendment right to be free from unreasonable searches
and seizures. The district court denied Appellants' motion to
suppress, holding that because E. Castro consented to the videotaping,
Appellants did not have an objectively reasonable expectation
of privacy and therefore the Fourth Amendment did not protect
them from being video recorded.
We review motions to suppress de novo. Jones , 286
F.3d at 1150. We review for clear error the district court's
underlying factual findings, and review de novo the lawfulness
of a search and seizure. United States v. Nerber , 222
F.3d 597, 599 (9th Cir. 2000). We review de novo whether a citizen's
expectation of privacy was objectively reasonable. Id.
The videotapes contained both video and audio portions. The
audio portions are governed by the federal wiretap statute, 18
U.S.C. § § 2510 et seq., which contains an exception
permitting warrantless audio-recording where one of the participants
in the monitored conversation consents. 18 U.S.C. § 2511(2)(c).
E. Castro consented to the videotapes. Thus, under the statutory
exception of § 2511(2)(c), the audio portions of the videotapes
would be admissible. Those portions must also be admissible under
the Constitution. United States v. Keen , 508 F.2d 986,
989 (9th Cir. 1974) (holding that to be admissible, wiretap evidence
must be "obtained in violation of neither the Constitution
nor federal law" ). We need not decide this constitutional
issue because, as we conclude hereafter, any error in admitting
the videotapes, which included the audio portions, was harmless
beyond a reasonable doubt as to the only Appellants with standing
to challenge their admissibility. Cf. United States v. Padilla,
520 F.2d 526, 527-28 (1st Cir. 1975); United States v.
Yonn, 702 F.2d 1341, 1346-47 (11th Cir. 1983).
Turning to the admissibility of the video portions of the
videotapes, the Fourth Amendment protects people not places.
Katz v. United States , 389 U.S. 347, 351 (1967). To invoke
the Fourth Amendment protections, a person must show that he
had a legitimate expectation of privacy. Smith v. Maryland,
442 U.S. 735, 740 (1979). A person demonstrates a legitimate
expectation of privacy when that person has a (1) subjective
expectation of privacy, and (2) an objectively reasonable expectation
of privacy. Id. Moreover, a person's expectation of privacy
may depend on the nature of the intrusion. Minnesota v. Carter
, 525 U.S. 83, 88 (1998).
In Nerber , we analyzed the circumstances under which
secret videotaping of events occurring in a hotel room may be
justified under the Fourth Amendment. 222 F.3d 597. There, the
FBI and local police rented a hotel room and installed a hidden
video camera without obtaining a warrant. Id. at 599.
Informants brought the defendants to the hotel room to conduct
a narcotics transaction. Id. The videotape captured six
minutes of the informants and defendants engaging in the narcotics
transaction, and three hours of the defendants' activity in the
hotel room after the informants left. Id. We noted that
the intrusion was severe, but stated that "[the defendants]
were not ' residents' of the hotel, they were not overnight guests
of the occupants, and they were there solely to conduct a business
transaction at the invitation of the occupants, with whom they
were only minimally acquainted." Id. at 604. As a
result, we held that the defendants did not have an objectively
reasonable expectation of privacy when the informants were present
because (1) the informants consented to the videotaping, (2)
and the defendants bore the risk that the government was monitoring
their activities with the informants. Id. We also held,
however, that the Fourth Amendment protected against the warrantless
video surveillance that continued after the informants left the
premises. Id. at 606.
Nerber governs the video recordings made when E. Castro
rented the hotel room. Although the video recordings were for
longer periods than those in Nerber , and captured some
peripheral conversations that did not strictly concern the Mexican
Mafia, Nerber turns on the fact that the defendants in
that case came to the hotel room to conduct a drug transaction
and bore the risk that the other parties were informants. Here,
Appellants were present at the hotel rooms to conduct the criminal
business of the Mexican Mafia, and they bore the risk that one
of their members was an informant. In any human conversation,
there is some peripheral discussion of matters not pertaining
to the main subject of the conversation (such as asking how one's
family is doing). In addition, the videotape only recorded while
the informant, E. Castro, was present.
Nerber , however, left open the novel issue of whether
defendants had an objectively reasonable expectation of privacy
where an informant consented to the video recording, but the
hotel room was rented by one of the defendants. [FOOTNOTE 5]
It is not necessary to decide this constitutional issue because
assuming the videotape was unconstitutional, the error is clearly
harmless beyond a reasonable doubt as to Shryock and Barela,
the Appellants who rented the rooms on two occasions and thus
had standing. Any evidence flowing from this error was inconsequential
when reviewed in light of the overwhelming evidence of their
guilt.
Appellants challenge also the district court's conclusion
that E. Castro consented to the video recordings. The district
court found that E. Castro consented to the videotape surveillance,
based on the testimony of a law enforcement officer. E. Castro
also testified at trial that he consented to the video recordings.
Appellants argue that the government failed to carry its burden
to show consent because E. Castro was a drug addict undergoing
methadone treatment and he could not voluntarily consent. Appellants,
however, do not offer any evidence to refute consent. Rather,
they merely argue that the government did not meet its burden.
Thus, we conclude that the district court did not clearly err
by holding that E. Castro consented.
IV The District Court's Trial Rulings
A. Rulings Regarding Cross-Examination
Appellants contend that the district court erred by issuing
rulings that limited their cross-examination of several witnesses.
We disagree.
1. Deputy Valdemar
Pursuant to Federal Rule of Evidence 705, Appellants moved
that the district court order Deputy Valdemar to produce the
records and identity of informants on which he relied in giving
his expert testimony. The records sought were held by the California
Department of Corrections ("CDC" ), which was not a
member of the task force investigating Appellants. Appellants
argue that the district court's denial of this motion limited
their cross-examination of Deputy Valdemar so severely as to
violate their constitutional right to confront witnesses testifying
against them.
Whether limitations on cross-examination are so severe as
to violate the Confrontation Clause is a question of law we review
de novo. United States v. Adamson , 291 F.3d 606, 612
(9th Cir. 2002). Confrontation Clause violations are subject
to harmless error analysis. United States v. Orellana- Blanco,
294 F.3d 1143, 1148 (9th Cir. 2002).
We need not decide the constitutional issue because assuming
that the district court's refusal to require Deputy Valdemar
to produce the CDC records and identity of informants on which
he relied violated the Appellants' constitutional rights of confrontation,
the error was harmless. The government offered Deputy Valdemar's
testimony solely to describe the history and operation of the
Mexican Mafia, and identify Appellants as members or associates
of the Mexican Mafia. The government had an overwhelming case
without this testimony. Specifically, the video recordings, wiretaps,
consensual recordings, prison tapes, and testimony of other witnesses,
such as E. Castro, provided ample evidence of the existence and
practices of the Mexican Mafia and each Appellant's participation
in its activities. See Unit ed States v. Bowman, 215 F.3d
951, 961 (9th Cir. 2000) ("Evidence erroneously admitted
in violation of the Confrontation Clause must be shown harmless
beyond a reasonable doubt, with courts considering the importance
of the evidence, whether the evidence was cumulative, the presence
of corroborating evidence, and the overall strength of the prosecution's
case" ).
2. E. Castro and Law Enforcement Officers
Appellants contend that the district court improperly sustained
objections to their cross-examination of E. Castro and various
law enforcement witnesses as argumentative. They contend also
that the district court precluded them from impeaching E. Castro
about several alleged prior inconsistent statements. We review
for an abuse of discretion the district court's limitation of
cross-examination. United States v. Castellanos-Garcia,
270 F.3d 773, 775 (9th Cir. 2001).
Appellants point to several instances where the district court
sustained the government's objection to Appellants' questions
on cross-examination of E. Castro and various law enforcement
witnesses. A review of the instances cited by Appellants shows
that the district court properly sustained the objections as
argumentative, and did not abuse its discretion. For example,
the following colloquy took place during Appellants' cross-examination
of E. Castro:
Q. Mr. Castro, isn' t that exactly what you did in
this case, didn' t you act like a friend with various of the
individuals who are charged here and then you stabbed everyone
in the back by going to the government and telling stories? [Government]:
Objection, Your Honor; argumentative. The Court: Sustained.
Sustaining the government's objection to this question as
argumentative was not an abuse of discretion.
Appellants point also to several instances where the district
court allegedly precluded them from impeaching E. Castro with
alleged prior inconsistent statements. A review of these instances
does not support Appellants' argument. For example, E. Castro
testified during cross-examination that around December 16, 1994,
he obtained a 9-millimeter handgun from J. Hernandez, and that
he did not record conversations between himself and J. Hernandez
about the gun. E. Castro testified further that he knew he did
not have permission to obtain the weapon, and that he did not
record the conversations because he did not have immunity from
prosecution if the officers found out about his possession of
the gun. Finally, E. Castro testified that he obtained an M1
rifle from J. Hernandez and also failed to record that conversation.
During Appellants' case-in-chief, Appellants asked FBI Agent
Myers whether E. Castro tape-recorded these particular conversations.
Appellants then asked Agent Myers whether E. Castro recorded
other conversations between himself and J. Hernandez, and the
district court sustained the government's objection that the
questions were cumulative and constituted improper impeachment
under Federal Rule of Evidence 608(b). Rule 608(b) prohibits
the introduction of specific instances of conduct of a witness
to attack or support the credibility of that witness.
On appeal, Appellants contend that they were trying to impeach
E. Castro's statement that he did not recall whether he recorded
the conversations regarding the 9-millimeter handgun and M1 rifle.
As discussed above, however, E. Castro testified that he did
not record the conversations. Appellants simply misread the record.
Because E. Castro testified that he did not record his conversations
concerning the gun, the district court correctly denied Appellants
an opportunity to elicit testimony from Agent Myers showing that
E. Castro failed to record those conversations under the guise
that E. Castro made prior inconsistent statements.
B. Evidentiary Rulings
Shryock and Gallardo contest certain evidentiary rulings made
by the district court. We review for an abuse of discretion the
district court's evidentiary rulings during trial, including
the exclusion of evidence under the hearsay rule. United States
v. Parks , 285 F.3d 1133, 1138 (9th Cir. 2002); Orr v.
Bank of America , 285 F.3d 764, 773 (9th Cir. 2002). We review
for an abuse of discretion the district court's decision to admit
coconspirators' statements, and review for clear error the district
court's underlying factual determinations that a conspiracy existed
and that the statements were made in furtherance of that conspiracy.
Bowman , 215 F.3d at 960.
1. Shryock
The indictment charged Shryock with the murder of Albert Orosco
and attempted murder of Hector Galvez, whom Larry Hernandez shot
at Hernandez's residence in Chino, California. Hernandez told
police he shot the victims in self-defense. Hernandez was not
available for trial, and Shryock sought to introduce Hernandez's
statement under the declaration-against-penal-interest and residual
exceptions to the hearsay rule. The district court ruled that
the statement was inadmissible.
a. Statement Against Penal Interest
Federal Rule of Evidence 804(b)(3) is an exception to the
hearsay rule that provides for the admissibility of statements
when the proponent shows that: "(1) the declarant is unavailable
as a witness; (2) the statement so far tended to subject the
declarant to criminal liability that a reasonable person in the
declarant's position would not have made the statement unless
he believes it to be true; and (3) corroborating circumstances
clearly indicate the trustworthiness of the statement."
United States v. Paguio , 114 F.3d 928, 932 (9th Cir.
1997). The government concedes that the first element is satisfied.
The district court did not abuse its discretion by excluding
Hernandez's statement that he shot the victims in self-defense
because the statement was exculpatory, and not against his penal
interest. In Paguio , we stated that the statement at
issue must be "examined in context, to see whether as a
matter of common sense the portion at issue was against interest
and would not have been made by a reasonable person unless he
believed it to be true." Id. at 934. Obviously, this
test is not met here. Hernandez could have made the statement
to serve his own penal interest--self defense would absolve him
of criminal liability--and not because he believed the statement
to be true. See, e.g., LaGrand v. Stew art, 133 F.3d 1253,
1268 (9th Cir. 1998) (noting that the reliability that attends
a declarant's inculpatory statement does not afford any reliability
to the part of the statement that merely exculpates another person).
b. Residual Hearsay Exception
Federal Rule of Evidence 807 is an exception to the hearsay
rule that provides for the admissibility of statements that have
"equivalent circumstantial guarantees of trustworthiness"
as the other hearsay exceptions. The district court did not abuse
its discretion by excluding Hernandez's statement under this
exception because the statement did not have circumstantial guarantees
of trustworthiness--Hernandez was merely exculpating himself.
It is clear that Larry Hernandez's words were so unreliable that
there was a need to subject them to adversarial testing in a
trial setting.
2. Gallardo
Gallardo argues that the district court erred by admitting
audio recordings of statements Peters made to his mother, Paz
Gutierrez, that Gallardo murdered Manuel Luna and Ricardo Gonzales.
The district court admitted this evidence under Federal Rule
of Evidence 801(d)(2)(E), which excludes from the definition
of "hearsay" those statements made by a coconspirator
during the course and in furtherance of the conspiracy.
Gallardo argues that the statements were mere "idle conversation,"
and not in furtherance of the conspiracy. See United States
v. Bibbero, 749 F.2d 581, 584 (9th Cir. 1984) (holding that idle
conversation is not in furtherance of the conspiracy). However,
Gallardo has not pointed us to any facts on which we could find
that the district court clearly erred.
Gallardo also argues that the district court improperly allowed
the government to call Humberto Madrigal solely to impeach him
with his prior identification as a guise to use the hearsay statement
as substantive evidence against Gallardo. United States v.
Couch , 731 F.2d 621, 623 (9th Cir. 1984). The indictment
charged Gallardo with the attempted murder of Madrigal. At trial,
Madrigal testified that he was shot but could not identify his
assailant or pick out the assailant from a photo lineup. Madrigal
testified also that at Gallardo's parole revocation hearing he
testified that Gallardo did not shoot him. On cross-examination,
Madrigal again testified that he could not identify the assailant.
Subsequently, the government called LAPD Detective Martinez who
testified that Madrigal identified Gallardo as the assailant
during an interview at the hospital, and when shown a later photo
line-up at Madrigal's home.
Madrigal's prior identification of Gallardo was admissible
nonhearsay under Federal Rule of Evidence 801(d)(1)(C), which
permits out-of-court statements of identification of a person
if the declarant is subject to cross-examination. Thus, the district
court did not abuse its discretion by admitting the evidence
of Madrigal's prior identification.
V Motion to Unseal and the District Court's Discovery Rulings
A. Motion to Unseal
On November 23, 1998, we entered an order remanding to the
district court for the limited purpose of considering whether
Appellants' request to unseal documents filed by the government
under seal and in camera should be granted. Subsequently in response
to a district court order, Appellants identified 583 sealed and
in camera documents at issue, of which 145 were arguably filed
under seal or in camera by the government. On May 29, 2000, the
district court entered an order unsealing several documents and
retaining others under seal. On January 24, 2001, Appellants
filed with this court a renewed motion to unseal the filings.
On April 13, 2001, we denied the motion without prejudice to
raising the issue in the opening briefs.
Although Appellants creatively argue for a constitutional
right of access, they are clearly challenging the district court's
discovery rulings regarding sealed and in camera documents. We
review a district court's discovery rulings for an abuse of discretion.
United States v. Chon , 210 F.3d 990, 994 (9th Cir. 2000).
We review for clear error the district court's decision to refuse
a defendant access to information in a government document produced
pursuant to Brady v. Maryland, 373 U.S. 83 (1963). United
States v. Monroe, 943 F.2d 1007, 1011 (9th Cir. 1991). We review
for an abuse of discretion the district court's denial of a motion
to produce documents pursuant to the Jencks Act. United States
v. Guagliardo, 278 F.3d 868, 871 (9th Cir. 2002). Because
the district court has the inherent power to seal documents,
we review for an abuse of discretion the district court's decision
to retain filings under seal. United States v. Mann ,
829 F.2d 849, 853 (9th Cir. 1987).
We have reviewed every document filed under seal or
in camera, and conclude that the district court did not err.
B. Discovery Rulings
We review for an abuse of discretion the district court's
discovery rulings. Chon , 210 F.3d at 994. "To reverse
a conviction for a discovery violation, we must find not only
that the district court abused its discretion, but that the error
resulted in prejudice to substantial rights." United
States v. Amlani, 111 F.3d 705, 712 (9th Cir. 1997). We review
de novo challenges to convictions based on alleged Brady vio
lations. United States v. Smith, 282 F.3d 758, 770 (9th Cir.
2002).
First, Appellants contend that the district court abused its
discretion by issuing protective orders for certain discovery
materials, whereby the government provided defense counsel with
one copy of the covered documents to be kept in a secure location
accessible only to defense counsel. The district court issued
five protective orders encompassing: (1) twenty-five pages; (2)
seven pages; (3) ten pages; (4) a copy of the transcript of the
proceeding concerning the first wiretap; and (5) early production
of certain witness statements. The covered documents were a minuscule
portion of the entire discovery for an eight-month trial, and
simply do not support Appellants' contention that they were "crippled"
by these protective orders. After reviewing the record, we conclude
that the district court did not abuse its discretion by issuing
the protective orders.
Appellants contend also that they were hampered by the government's
late discovery responses to which the district court acquiesced.
However, Appellants only cite a few isolated instances that do
not rise to the level of discovery violations. The district court
did not abuse its discretion.
Finally, Appellants maintain that the district court erred
by ruling that the government did not have to produce an alleged
CDC debriefing of E. Castro in the CDC's possession. Prosecutors
must turn over Brady materials when the prosecutors have
knowledge of and access to the documents sought by the defendant.
United States v. Santiago , 46 F.3d 885, 893 (9th Cir.
1995).
The district court correctly ruled that the government did
not have to turn over the alleged CDC debriefing of E. Castro.
First, CDC is a state agency and the government in this case
did not have access to its files. United States v. Aichele
, 941 F.2d 761, 764 (9th Cir. 1991) (holding that federal
prosecutors were not in possession of CDC materials). Second,
assuming that the government did have access to the debriefing,
the knowledge requirement is not satisfied. A government representative
testified that the government did not know whether the debriefing
took place, and Appellants do not cite any evidence to indicate
otherwise.
VI Jury Instructions
Appellants argue that the district court erred in several
of its jury instructions. We address each disputed instruction.
A. RICO's Interstate Commerce Jurisdictional
Element
18 U.S.C. § 1962(c) (RICO) contains the following jurisdiction
element: "It shall be unlawful for any person employed by
or associated with any enterprise engaged in, or the activities
of which affect, interstate or foreign commerce . . . ."
Appellants argue that the district court erroneously instructed
the jury that this element could be satisfied if the "the
activities of the enterprise affect interstate commerce in some
minimal way." According to Appellants, the correct standard
requires the jury to find that the enterprise had a "substantial"
effect on interstate commerce. Appellants also argue that the
district court's supplemental jury instruction defining a de
minimis effect did not accurately capture that standard. We disagree.
Whether a jury instruction misstates elements of a statutory
crime is a question of law, which we review de novo. United
States v. Patterson , 292 F.3d 615, 629-30 (9th Cir. 2002).
We review de novo claims of insufficient evidence. United
States v. Carranza , 289 F.3d 634, 641 (9th Cir. 2002). There
is sufficient evidence to support a conviction if, viewing the
evidence in the light most favorable to the prosecution, any
rational trier of fact could have found the essential elements
of the crime beyond a reasonable doubt. Id. at 641-42.
In United States v. Juvenile Male , we held that "all
that is required to establish federal jurisdiction in a RICO
prosecution is a showing that the individual predicate racketeering
acts have a de minimis impact on interstate commerce." 118
F.3d 1344, 1347-49 (9th Cir. 1997). The district court, therefore,
correctly instructed the jury that a de minimis affect on interstate
commerce was sufficient to establish jurisdiction under RICO.
[FOOTNOTE 6]
Appellants allege also that (1) the district court erred by
giving the following supplemental instruction: the jurisdiction
requirement is met if "the enterprise or its activities
engaged in or involved interstate or international drug trafficking,
use of interstate communication devices, or possession or use
of weapons which traveled in interstate commerce," and (2)
insufficient evidence supported the jury's finding that the jurisdictional
requirement was met. The district court did not err because this
instruction adequately reflected the jurisdiction requirement.
Moreover, sufficient evidence supported the jury's finding that
the crimes charged had at least a de minimis affect on interstate
commerce, including evidence offered by the government that:
(1) Appellants engaged in extensive drug trafficking; (2) firearms
manufactured outside California were found at J. Hernandez's
residence; (3) several Appellants sold narcotics grown outside
California; (4) Barela and Mendez had discussions with Mexican
drug traffickers regarding their possible involvement in an impending
narcotics transaction; (5) R. Castro was involved in a telephone
call from Oregon to California that discussed illegal activities;
and (6) Moreno made a comment regarding a future letter he might
receive from out of state.
B. Other RICO Elements
18 U.S.C. § 1962(c), provides in relevant part: "It
shall be unlawful for any person . . . associated with any enterprise
. . . to conduct or participate, directly or indirectly, in the
conduct of such enterprise's affairs through a pattern of racketeering
activity . . . ." Appellants contend that the district court's
jury instructions improperly defined the elements of (1) "to
conduct or participate, directly or indirectly, in the conduct
of such enterprise's affairs" ; and (2) "pattern of
racketeering activity."
Whether a jury instruction misstates elements of a statutory
crime is a question of law that we review de novo. Patterson
, 292 F.3d at 629-30. We review for an abuse of discretion
the district court's formulation of jury instructions. United
States v. Stapleton , 293 F.3d 1111, 1114 (9th Cir. 2002).
1. "[T]o conduct or participate, directly or indirectly,
in the conduct of such enterprise's affairs"
The district court gave the following instruction with respect
to the "to conduct or participate, directly or indirectly,
in the conduct of such enterprise's affairs" element:
The phrase "to conduct or participate in the
affairs of the enterprise" relates to the performance of
the acts, functions, or duties which are necessary or helpful
in the operation of the enterprise.
A defendant conducts or participates in the
affairs of the enterprise when that defendant participates, in
some degree, in the operation, direction or management of the
enterprise through a pattern of racketeering activity.
In Reves v. Ernst & Young , the Supreme Court held
"' to conduct or participate, directly or indirectly, in
the conduct of such enterprise's affairs,' one must participate
in the operation or management of the enterprise itself."
507 U.S. 170, 185 (1993) (citation omitted). The Court concluded
that the word "conduct" indicated some degree of direction
over the affairs of the enterprise. Id. at 178. The Court
concluded also that the term "participate" meant "to
take part in," and not to "aid and abet." Id.
at 178-79. Appellants contend that to capture Reves 's
operation and management test, the district court should have
replaced the underlined language with "have some part in
the operation or management of the enterprise." [FOOTNOTE
7]
The district court improperly defined "to conduct or
participate, directly or indirectly, in the conduct of such enterprise's
affairs" because the instruction did not clarify that Appellants
had to be involved in the operation or management of the Mexican
Mafia. We conclude, however, that the error was harmless. The
district court's failure to instruct the jury on an element of
a crime is harmless if we conclude that it is "clear beyond
a reasonable doubt that a rational jury would have found the
defendant guilty absent the error." United States v.
Gracidas-Ulibarry , 231 F.3d 1188, 1197 (9th Cir. 2000) (en
banc) (internal quotation omitted). Here, the evidence overwhelmingly
demonstrated that each Appellant met Reves 's operation
and management test. For example, the evidence showed that during
meetings Appellants voted on membership and authorization to
assault or kill opponents, divided territory for the purpose
of taxing drug dealers and street gangs, planned several crimes
including murders, coordinated their drug trafficking activities,
resolved disputes among members, and made other important decisions
concerning the Mexican Mafia's affairs. The Appellants, except
J. Hernandez, were not only involved in the operation and management
of the Mexican Mafia, they were the members/leaders of the enterprise.
J. Hernandez, on the other hand, clearly participated in the
operation and management of the Mexican Mafia because he served
as a messenger between incarcerated members and members on the
street, and helped organize criminal activities on behalf of
the organization.
2. "Pattern of Racketeering Activity"
The district court gave the following instruction with respect
to the "pattern" element:
A person engages in a pattern of racketeering
activity if he commits at least two related acts of racketeering
within ten years. The two racketeering acts may not be isolated
or disconnected, but must be related to each other by a common
scheme, plan, or motive. The two racketeering acts must also
amount to, or pose a threat of, continued criminal activity.
In determining whether the racketeering acts
constitute a "pattern," you may consider, among other
things, whether the acts were closely related in time and whether
they shared a similarity of purpose or method.
Appellants contend that this instruction is deficient because
it failed to define "isolated."
We conclude that the district court did not abuse its discretion
by declining to define "isolated." In reviewing jury
instructions, the relevant inquiry is whether the instructions
as a whole are misleading or inadequate to guide the jury's deliberation.
United States v. Dixon , 201 F.3d 1223, 1230 (9th Cir.
2000). Accordingly, the district court need not define common
terms that are readily understandable to the jury. United
States v. Hicks , 217 F.3d 1038, 1045 (9th Cir. 2000) (holding
that "false" and "statement" were common
terms that the district court need not define). Here, Appellants
have not cited any case law for the proposition that the district
court had to define "isolated," nor is there any. The
term "isolated" is simply a common term that is readily
understandable to the jury.
C. Pinkerton Instruction
In the course of instructing on RICO conspiracy, the district
court gave a Pinkerton instruction (which allows the jury to
find a coconspirator guilty of a reasonably foreseeable substantive
offense committed by any of his coconspirators in furtherance
of the conspiracy). Pinkerton v. United States, 328 U.S.
640 (1946). Appellants contend that the instruction permitted
the jury impermissibly to find an Appellant guilty of the substantive
RICO charge without finding that he personally committed two
acts of racketeering.
The district court did not err by giving the Pinkerton instruction.
The district court repeatedly instructed the jury that it could
only convict Appellants of the substantive RICO charge if the
jury found that Appellants committed two racketeering acts. Furthermore,
the district court instructed that the substantive RICO charge
differed from the conspiracy RICO charge because the substantive
charge required a finding that each Appellant was guilty of at
least two of the charged racketeering acts. In light of these
instructions, we cannot read the Pinkerton instruction as permitting
the jury to find Appellants guilty of RICO conspiracy on less
than the required elements.
D. Accomplice Corroboration Requirement
Gallardo and Therrien argue that the district court erred
by failing to instruct the jury, in accordance with California
law, that it could not find a defendant guilty based on the testimony
of an accomplice unless other evidence corroborates the testimony.
We review de novo the district court's decision to preclude a
defendant's proffered defense. United States v. Ramirez-Valencia,
202 F.3d 1106, 1108 (2000). We conclude that the district court
properly instructed the jury using the federal rule, which provides
that uncorroborated testimony of an accomplice is sufficient
to sustain a conviction unless the testimony is incredible or
insubstantial on its face, United States v. Necoechea ,
986 F.2d 1273, 1282 (9th Cir. 1993). United States v. Erwin
, 739 F.2d 656, 669 (5th Cir. 1986) (holding that state accomplice-corroboration
rule does not apply with respect to predicate acts for RICO prosecutions
because the accomplice-corroboration rule is procedural, rather
than an element of the offense); United States v. Paone,
782 F.2d 386, 393 (2nd Cir. 1986) (same).
E. Duress Instruction
Arias argues that the district court erred by refusing to
give a duress instruction. We review de novo a district court's
decision to preclude the defense of duress. United State
v. Moreno, 102 F.3d 994, 997 (9th Cir. 1996). A defendant must
establish three elements to present a duress defense: "(1)
an immediate threat of death or serious bodily injury, (2) a
well-grounded fear that the threat will be carried out, and (3)
lack of a reasonable opportunity to escape the threatened harm."
Moreno , 102 F.3d at 997. Fear is not enough to establish
a prima facie case of duress. Id.
Here, the district court properly refused to instruct the
jury on duress. First, Arias failed to demonstrate an immediate
threat. For example, Arias claims that he attended Mexican Mafia
meetings because specific members told him that he had thirty
days to straighten out and regularly attend the meetings, or
else they would physically assault him. Because the threat was
for the possibility of action after thirty days, it did not meet
the requirement of "immediacy." Unit ed States
v. Becerra, 992 F.2d 960, 964 (9th Cir. 1993) (holding that immediacy
did not exist where a mobster threatened to "take care of"
defendant's family if deal did not go through); see also United
States v. Atencio , 586 F.2d 744, 746 (9th Cir. 1978) ("element
of immediacy requires some evidence that such injury was present,
immediate or impending" ). Arias simply has not presented
any facts on which we could conclude that he took certain actions
because the Mexican Mafia figuratively held a gun to his head.
Second, Arias failed to demonstrate a lack of reasonable opportunity
to escape the threat. Arias baldly asserts that he could not
flee the reach of the Mexican Mafia, and law enforcement could
not protect him. Mere assertions are not sufficient to establish
a prima facie case of duress. Moreno , 102 F.3d at 997.
F. Conspiracy to Extort Instruction
We review de novo whether a district court's jury instructions
constructively amend the indictment. United States v. Pisello,
877 F.2d 762, 764 (9th Cir. 1989).
Racketeering Act 22, alleged in the substantive RICO count,
charged that R. Hernandez and others "conspired to obtain
money and firearms from members of various street gangs . . .
." The district court gave the following instruction on
this crime:
Racketeering Act 22 charges [R. Hernandez]
with conspiring to extort money and firearms from others.
In order for a particular defendant to be found guilty of conspiring
to extort money or property from another as charged in
Racketeering Act 22, the government must prove each of the following
elements beyond a reasonable doubt:
1. On or about the date charged, there was an
agreement between two or more persons to ex tort money
or other property from another as charged in the indictment.
. . .
(Emphasis added). R. Hernandez argues that the instruction's
use of "money or other property" when the indictment
uses "money or firearms" amounts to a constructive
amendment to the indictment.
A constructive amendment requires reversal, and has been found
where "(1) there is a complex of facts [presented at trial]
distinctly different from those set forth in the charging instrument,
or (2) the crime charged [in the indictment] was substantially
altered at trial, so that it was impossible to know whether the
grand jury would have indicted for the crime actually proved."
Adamson , 291 F.3d at 615. Here, the district court's
instruction did not constructively amend the indictment by replacing
"firearms" with "property" because all the
evidence at trial proved the crime alleged in the indictment.
VII Sufficiency Arguments
We review de novo claims of insufficient evidence. Car
ranza, 289 F.3d at 641. There is sufficient evidence to support
a conviction if, viewing the evidence in the light most favorable
to the prosecution, any rational trier of fact could find facts
fulfilling the essential elements of the crime beyond a reasonable
doubt. Id. at 641-42. We also review de novo sufficiency
of the indictment claims. United States v. Pernillo-Fuentes,
252 F.3d 1030, 1032 (9th Cir. 2001).
Appellants argue that there was insufficient evidence (1)
that Appellants participated in a RICO enterprise, and (2) that
Appellants aided and abetted the distribution of narcotics. Gallardo
argues that there was insufficient evidence (1) that he murdered
Ricardo Gonzales, and (2) that he conspired and attempted to
murder Eduardo Soriano. Mendez argues that there was insufficient
evidence (1) that he conspired to violate RICO, (2) that he aided
and abetted the distribution of narcotics, (3) that he conspired
to murder Donald Ortiz, and (4) that the RICO pattern element
was satisfied because the racketeering acts proven against Mendez
were unrelated. Mendez also argues that the indictment insufficiently
alleged that he conspired to distribute narcotics. Aguirre argues
that insufficient evidence supported the jury's conclusion that
his interest in a 1992 Honda Accord was forfeitable because he
obtained the car as a result of the narcotics distribution conspiracy.
In light of the powerful corroborated evidence viewed most
favorably to the government, these sufficiency claims are patently
meritless and border on frivolous. Accordingly, we need not address
these claims in detail. We hold that sufficient evidence exists
to support the convictions of each Appellant and Aguirre's forfeiture.
We also hold that the indictment sufficiently alleged that Mendez
conspired to distribute narcotics.
VIII Sentencing Issues
Appellants raise numerous issues regarding their sentencing.
We review de novo the district court's interpretation of the
Sentencing Guidelines, and review for an abuse of discretion
the district court's application of the guidelines to the specific
facts of a case. United States v. Alexander , 287 F.3d
811, 818 (9th Cir. 2002). We review for clear error the district
court's factual findings in the sentencing phase. United States
v. Williams, 291 F.3d 1180, 1196 (9th Cir. 2002). A preponderance
of the evidence must support these factual findings. United
States v. Montano , 250 F.3d 709, 713 (9th Cir. 2001).
A. Sentences Based on Murder Predicate Acts
The district court imposed life sentences on the following
Appellants for first-degree murder: (1) Aguirre; (2) Gallardo;
(3) Shryock; and (4) Therrien.
1. Life Sentence Under U.S.S.G. § 2A1.1
Gallardo and Therrien argue that the district court erred
by applying U.S.S.G. § 2A1.1 ("2A1.1" ) for first-degree
murder, rather than U.S.S.G. § 2A1.2 ("2A1.2"
) for second-degree murder, because the jury did not return any
findings that the murder predicate acts were in the first degree.
We disagree. First, the district court has authority to find
by a preponderance of the evidence that 2A1.1 rather than 2A1.2
applies. See United States v. Carter , 300 F.3d 415, 426-27
(4th Cir. 2002) (per curiam) (holding that the district court
can sentence a defendant convicted for distributing narcotics
under 2A1.1 for a drug-related murder even if the jury did not
find the defendant guilty of such murder, provided that the district
court found the murder to have occurred by a preponderance of
the evidence). Second, Apprendi v. New Jer sey, 530 U.S.
466 (2000) does not prevent the district court from applying
2A1.1 on these facts. In Apprendi , the Supreme Court
held that "[o]ther than the fact of a prior conviction,
any fact that increases the penalty for a crime beyond the prescribed
statutory maximum must be submitted to a jury, and proved beyond
a reasonable doubt." 530 U.S. at 490. The jury convicted
Appellants of murder under California state law, which provided
a maximum term of life imprisonment whether the murder was in
the first or second degree. Accordingly, the district court's
decision to apply 2A1.1 rather than 2A1.2 did not change the
statutory maximum sentence.
2. District Court's Determination that Shryock
Committed First-Degree Murder
Shryock argues that the district court mistakenly applied
2A1.1 based on its clearly erroneous finding that the murder
of Albert Orosco was in the first degree. We disagree because
sufficient evidence in the record supported the district court's
conclusion of premeditation where the evidence at trial showed
that Shryock directed the killing of Orosco.
B. Sentences Based on Drug Trafficking
In sentencing Arias, Barela, R. Castro, J. Hernandez, R. Hernandez,
and Mendez, the district court relied on their convictions for
aiding and abetting the distribution of narcotics. The district
court applied U.S.S.G. § 2D1.1 to the offenses, finding
by a preponderance of the evidence that the amount of drugs involved
was sufficient to meet the requirements for offense level 38,
the highest level. The jury did not make findings as to the amount
of drugs involved. Instead, the district court made the drug
quantity determinations that increased Appellants' statutory
maximum sentences under 18 U.S.C. § 841(b).
Arias, Barela, R. Castro, J. Hernandez, R. Hernandez, and
Mendez make several arguments that the district court erred in
sentencing them based on its drug quantity finding, including
that (1) their sentences violate Apprendi , (2) the district
court used the wrong standard in determining drug quantity, (3)
the amount of drugs sold was not "foreseeable," and
(4) the district court did not individualize its determination
as to responsibility. We need not address these issues because,
assuming any error, Arias, Barela, R. Castro, J. Hernandez, and
Mendez's sentences were justified by the doctrine of "stacking."
U.S.S.G. § 5G1.2(d); Buckland , 289 F.3d at 570-71.
Stacking applies when a defendant is convicted of multiple counts,
one of which is a drug count. In such a case, the district court
may determine the quantity of drugs by a preponderance of the
evidence and sentence the defendant based on that quantity determination.
The sentence imposed may go as high as the sum of the maximum
sentence for each count of conviction as if those sentences were
imposed consecutively. Buckland , 289 F.3d at 570-71.
Such a sentence does not violate Apprendi .
Here, stacking allowed the district court to impose sentences
up to life imprisonment on Arias, Barela, R. Castro, J. Hernandez,
and Mendez. The jury convicted these Appellants of--among other
counts--a substantive RICO violation under 18 U.S.C. § 1962(c)
based on predicate acts that included murder. The maximum sentence
for a RICO conviction is twenty years, or life if the underlying
violation has a maximum sentence of life. 18 U.S.C. § 1963(a).
Murder is punishable by up to life imprisonment (regardless of
whether it is first- or second-degree murder). 18 U.S.C. §
1111(b). Because the jury convicted these Appellants of RICO
violations based on predicate acts of murder, and the district
court did not sentence them to more than life imprisonment, we
affirm their sentences.
As the government concedes, however, the district court erred
by sentencing R. Hernandez to life imprisonment. The jury convicted
R. Hernandez of (1) a substantive RICO violation, based on predicate
acts of conspiracy to distribute narcotics, in violation of 21
U.S.C. § 841(a)(1), and conspiracy to extort, in violation
of Cal. Penal Code § § 182, 518; (2) a conspiracy RICO
violation for the same predicate acts in the substantive RICO
violation; and (3) conspiracy to distribute narcotics in violation
of 21 U.S.C. § 846. The statutory maximum sentence supported
by the jury verdicts against R. Hernandez was twenty years for
each count. 18 U.S.C. § 1963(a); 21 U.S.C. § 841(b)(1)(C).
Under the stacking rule, the district court may only sentence
R. Hernandez to a maximum of sixty years. Accordingly, we vacate
R. Hernandez's sentence and remand for re-sentencing.
IX Forfeiture
On June 20, 1997, the jury found by a preponderance of the
evidence that Aguirre's interest in a 1992 Honda Accord was forfeitable
under 21 U.S.C. § 853 because he obtained it as a result
of the conspiracy to aid and abet the distribution of narcotics.
Aguirre argues that we should reconsider our cases holding that
the standard of proof in criminal forfeiture cases is the preponderance
of the evidence. United States v. Hernandez-Escarsega,
886 F.2d 1560, 1576-77 (9th Cir. 1989). Aguirre asserts that
in light of the Supreme Court's decision in Apprendi v. New
Jersey , 530 U.S. 466 (2000), the appropria |