United States v. Henry ( 1998 )


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    UNITED STATES COURT OF APPEALS
    FOR THE FIRST CIRCUIT
    ____________________

    Nos. 96-1775
    97-1400

    UNITED STATES,
    Appellee,

    v.

    MARK O. HENRY,
    Defendant - Appellant.

    ____________________

    APPEALS FROM THE UNITED STATES DISTRICT COURT

    FOR THE DISTRICT OF NEW HAMPSHIRE

    [Hon. Paul J. Barbadoro, U.S. District Judge] ___________________

    ____________________

    Before

    Selya and Boudin, Circuit Judges, ______________

    and Dowd, Jr.,* Senior District Judge. _____________________

    _____________________

    Bjorn Lange, Assistant Federal Public Defender, Federal ___________
    Defender Office, for appellant.
    Jeffrey C. Dobbins, Attorney, Department of Justice, with ___________________
    whom Lois J. Schiffer, Assistant Attorney General, Environment _________________
    and Natural Resources Division, Stephen R. Herm, Jeremy F. _________________ __________
    Korzenik and David C. Shilton, Attorneys, Department of Justice, ________ ________________
    were on brief for appellee.


    ____________________

    February 5, 1998
    ____________________

    AMENDED OPINION
    ____________________
    ____________________

    * Of the Northern District of Ohio, sitting by designation.












    DOWD, Senior District Judge. DOWD, Senior District Judge. _____________________

    I. INTRODUCTION I. INTRODUCTION

    The defendant-appellant Mark O. Henry (hereafter

    "Henry") prosecutes two appeals growing out of his indictment and

    conviction for one count of conspiracy to violate 42 U.S.C.

    6928(d)(l) which prohibits the transport of hazardous waste to a

    facility that does not have a permit to receive such waste, one

    count of mail fraud and three counts of wire fraud.

    Henry owned and operated Cash Energy, a corporation

    with offices in North Andover, Massachusetts. Cash Energy

    operated numerous affiliated businesses, including Beede Waste

    Oil ("Beede"), located primarily at Kelly Road in Plaistow, New

    Hampshire. Henry directed the affairs of both Cash Energy and

    Beede. Robert LaFlamme, an indicted co-conspirator who testified

    against Henry, managed Beede and oversaw its day-to-day

    operations.

    Beede applied to the New Hampshire Department of

    Environmental Services ("NHDES") in March 1990 for a permit to

    recycle virgin petroleum contaminated soil into cold mix asphalt.

    Virgin petroleum contaminated soil is soil contaminated with

    petroleum or petroleum products, petroleum sludge, and all liquid

    petroleum derived hydrocarbons, such as lubricating oil, heating

    oil, gasoline, kerosene, and diesel fuel. However, the

    definition excludes soil that is determined to be hazardous waste

    because it is contaminated with other chemicals or metals. Beede

    needed an NHDES permit because the recycling process emits air


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    pollutants. The recycling process required the use of a "pug

    mill" to mix contaminated soil with gravel and asphalt emulsion.

    Beede eventually obtained the permit in July. However, the

    permit capped the amount of contaminated soil that could be

    stored at the site at 3,000 tons.

    Beede entered into recycling contracts with several

    entities even before the permit was issued. Although the company

    sporadically recycled soil using a leased pug mill, the amount of

    contaminated soil stored at the site soon exceeded the permitted

    amount. Eventually, the amount of unrecycled soil grew to as

    much as 19,000 tons and at no time after May 1990 did Beede ever

    have less than 3,000 tons of soil at the site. By April 1991,

    Beede's failure to comply with the permit caused the New

    Hampshire Air Resources Division to issue an administrative order

    prohibiting Beede from accepting any more contaminated soil.

    This order was superseded by a new permit issued in June 1991

    that allowed Beede to begin receiving new soil only if it first

    recycled all of the soil that had accumulated at the site.

    Although Beede engaged in a small amount of soil recycling after

    the June 1991 permit was issued, it continued to receive new

    contaminated soil at the site in violation of the permit terms.

    The mail and wire fraud counts charged that Henry

    participated in a scheme to defraud several of Beede's customers

    of money by falsely representing that Beede could lawfully

    receive and recycle the customers' virgin petroleum contaminated

    soil. The conspiracy count charged that Henry participated in a


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    conspiracy to knowingly cause hazardous waste to be transported

    to a facility that was not permitted to receive such waste in

    violation of 42 U.S.C. 6928(d)(1). The conspiracy charge

    involved three overt acts.1

    The grand jury returned a 17 count indictment against

    Henry and LaFlamme on March 2, 1995 charging conspiracy, mail

    fraud and wire fraud. Later, on January 5, 1996 a superceding

    indictment was returned limiting the counts to a single count of

    conspiracy, six counts of mail fraud and three counts of wire

    fraud. LaFlamme pleaded guilty to one count of mail fraud and

    the conspiracy count and subsequently testified for the

    government at Henry's trial which was held over an eight day span

    in February of 1996.

    The first appeal challenges his convictions and the

    resulting 37 month sentence; the second appeal contends that the

    district court should not have denied his motion for a new trial

    based on newly discovered evidence.

    For the reasons that follow we affirm the convictions

    and sentence and the denial of Henry's motion for a new trial.

    II. THE CHALLENGED CONSPIRACY CONVICTION II. THE CHALLENGED CONSPIRACY CONVICTION

    A. The Challenged Jury Instructions on the

    Conspiracy Count.

    ____________________

    1 Two of the overt acts charged that in the spring of 1991
    Henry, after receiving laboratory data showing contamination of
    the soils, either by cadmium or iron, caused the soils to be
    transported to Beede. One shipment of 243 tons came from a site
    in Lawrence, Massachusetts and the other shipment of 250 tons
    came from the Portsmouth Naval Shipyard in Kittery, Maine.

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    The conspiracy count, charged under 18 U.S.C. 371,

    alleged that Henry and LaFlamme conspired knowingly to

    transport and cause to be transported hazardous waste to a

    facility that did not have interim status and a permit to accept

    hazardous waste in violation of 42 U.S.C. 6928 (d)(l).2

    The indictment defined hazardous waste by reference to

    the substances and materials listed or identified in Title 40,

    Code of Federal Regulations, Part 261 and further alleged that

    under the regulation, "any waste containing concentrations of

    lead in excess of 5 parts per million or cadmium in excess of l

    part per million using appropriate test methods is a hazardous

    waste."

    The jury instructions relative to the conspiracy charge

    defined the offense of causing hazardous wastes to be transported

    to an unpermitted facility as requiring the following elements:
    ____________________

    2 Section 6928(d)(l) provides:

    (d) Criminal penalties (d) Criminal penalties

    Any person who--

    (1) knowingly transports or causes to
    be transported any hazardous waste
    identified or listed under this
    subchapter to a facility which does not
    have a permit under this subchapter, . .
    .

    . . . .

    shall, upon conviction, be subject to a
    fine of not more than $50,000 for each
    day of violation, or imprisonment not to
    exceed two years (five years in the case
    of a violation of paragraph (1) or (2)),
    or both. . . .

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    First, that the defendant transported or
    caused to be transported hazardous waste to a
    facility that was not authorized to receive
    such waste; and

    Second, that the defendant knew that the
    material transported was hazardous and that
    the facility that received the waste was not
    authorized to receive such waste.

    Then, over the defendant's timely objection, the court

    defined hazardous waste as follows:

    Solid waste qualifies as hazardous waste if __
    using the toxicity characteristic leaching _____________________________________________
    procedure, TCLP, extract from a __________________
    representative sample of the solid waste
    contains lead in concentrations greater than
    five parts per million or cadmium in
    concentrations greater than one part per
    million.

    (Emphasis added).

    The appellant couples the challenge to the definition

    of hazardous waste with the claim that the trial court improperly

    participated in the direct examination of the government witness

    Michael Wimsatt, a regulatory inspector with NHDES in the

    hazardous waste program.

    First, we observe that the court's definitional

    instruction as to what constitutes hazardous waste was correct as

    a matter of law. The government bears the burden of establishing

    that the defendant knew that the materials transported ____

    constituted hazardous waste. The Congress has delegated to the

    Administrator of the EPA the responsibility for listing the types

    and characteristics of substances considered to be hazardous

    wastes. 42 U.S.C. 6921(b). The ensuing regulation, found at

    40 C.F.R. 261.3, provides that soil is a hazardous waste if it

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    "exhibits any of the characteristics of hazardous waste

    identified in Subpart C." Subpart C includes the characteristic

    of "toxicity". 40 C.F.R. 261.24 introduces the Toxicity

    Characteristic Leaching Procedure (TCLP) as a means of testing

    for toxicity and provides that when this testing procedure shows

    that the waste contains any of the contaminants listed in table l

    at a concentration equal to or greater than the respective value

    given in the table, then the waste, by definition, constitutes

    hazardous waste. The table located at 40 C.F.R. 261.24(a)

    dictates that the regulatory limit for lead is 5 mg/L (or 5 parts

    per million) and the corresponding regulatory limit for cadmium

    is l mg/L (or l part per million).

    In the conference conducted by the district court prior

    to finalizing the jury instructions, counsel for the defendant

    argued that it should be left for the jury to determine if soils

    shipped contained hazardous waste without the benefit of the

    challenged definition. Defendant's counsel also disputed the

    delegation by the Congress to the EPA Director to promulgate

    regulations defining hazardous wastes and argued that because

    there had been changes in those regulations as to what

    constituted levels of toxicity, that an individual such as the

    defendant should not suffer criminal liability in such a setting.

    Defendant's argument is grounded in the nondelegation doctrine,

    which provides that Congress may not delegate its legislative

    power to another branch of the government. See U.S. Const. art. ___




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    I, 1 ("All legislative powers herein granted shall be vested in

    a Congress of the United States.").

    The district court responded to the improper delegation

    argument by reliance on Touby v. United States, 500 U.S. 160, 165 _____ _____________

    (1991), for the proposition that the delegation of legislative

    power to another branch of the government is permissible as long

    as Congress sets forth an "intelligible principle" to which the

    executive or judicial branch must conform. In Touby, the Supreme _____

    Court upheld Congress' delegation of the power to define criminal

    conduct to the Attorney General as constitutionally permissible.

    The Court held that "Congress does not violate the Constitution

    merely because it legislates in broad terms, leaving a certain

    degree of discretion to executive or judicial actors. So long as

    Congress 'lay[s] down by legislative act an intelligible

    principle to which the person or body authorized to [act] is

    directed to conform, such legislative action is not a forbidden

    delegation of legislative power.'" Touby, supra, at 165, quoting _____ _____

    J.W. Hampton, Jr., & Co. v. United States, 276 U.S. 394, 409, 48 ________________________ ______________

    S. Ct. 38, 352, 72 L. Ed. 624 (1928).

    The Touby Court then upheld the Controlled Substances _____

    Act at issue in that case on the ground that Congress had in fact

    set forth an "intelligible principle" which meaningfully

    constrained the Attorney General's discretion to define criminal

    conduct. The Court discussed several factors that rendered the

    statute constitutional: (1) requiring the Attorney General to

    determine that the expedited procedure is "necessary to avoid an


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    imminent hazard to the public safety," (2) specifying the factors

    that the Attorney General must consider in making such a

    determination; and (3) requiring publication of a 30-day notice

    of the proposed scheduling and consideration of any comments from

    the Secretary of Health and Human Services. Touby, supra, at 166. _____ _____

    We approve the district court's reliance on Touby in _____

    the instant case, and hold that the delegation by Congress to the

    EPA of the legislative authority to define hazardous waste was

    permissible given the fact that there existed several constraints

    upon the EPA's exercise of this authority that are similar to the

    constraints found to be determinative of constitutionality in

    Touby. First of all, we note that the Resource Conservation and _____

    Recovery Act sets forth a detailed procedure with which the EPA

    must comply before it may exercise this legislative power and

    list the types and characteristics of hazardous waste.

    Specifically, 42 U.S.C. 6921(a) requires the EPA to first

    provide notice and the opportunity for public hearing on the

    issue of what precisely are the characteristics of "hazardous

    waste," and further requires the EPA to consult with "appropriate

    Federal and State agencies" on this definitional issue. See ___

    Touby, supra, at 166 (delegation of legislative power to _____ _____

    executive constitutional in part due to requirement that

    executive consider comments from other authorities).

    Secondly, in addition to requiring the EPA to comply

    with these procedural steps, the statute specifies certain

    factors that the EPA must consider in developing the criteria:


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    "the Administrator shall. . . develop and promulgate criteria for

    identifying the characteristics of hazardous waste, . . . taking

    into account toxicity, persistence, and degradability in nature,

    potential for accumulation in tissue, and other related factors

    such as flammability, corrosiveness, and other hazardous

    characteristics." 42 U.S.C. 6921(a). See Touby, supra, at 166 ___ _____ _____

    (holding specification of three factors that the executive is

    "required to consider" constrains executive's legislative power

    and renders delegation constitutional).

    Furthermore, besides this detailed process for

    establishing the criteria to be used in identifying hazardous

    waste, the statute also constrains the EPA's discretion by

    listing specific characteristics which the statute directs "shall

    be subject to the provisions of this subchapter solely because of

    the presence in such wastes of certain constituents (such as

    identified carcinogens, mutagens, or teratagens) at levels in

    excess of levels which endanger human health." 42 U.S.C.

    6921(b)(1).

    In sum, we find no fault with the challenged

    definition. In fact, the district court in this case was

    sensitive to the knowledge component of the government's proof

    and the defendant's contention that he believed the soils in

    question did not constitute hazardous waste, and therefore

    instructed the jury on a good faith defense.3
    ____________________

    3 The jury was instructed as to the defense of good faith with
    respect to the conspiracy count as follows:


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    B. The Questioning of Wimsatt by the District Court.

    The defendant combined his objection to the definition

    with an objection to the court's questioning of Michael Wimsatt,

    a regulatory inspector with the NHDES in its hazardous waste

    program. The court engaged in the following colloquy with

    Wimsatt that featured the toxicity characteristic leaching

    procedure:

    THE COURT: And the TCLP test uses water as
    the [leachate], right?
    WIMSATT: It's a water solution. It has
    some acid in it, obviously, and
    it has whatever contaminants, but
    it's still relatively dilute and
    it's essentially a water
    solution, that's right.
    THE COURT: Is it fair to say, then, with a
    TCLP test, something expressed as
    five milligrams per liter, could
    also be expressed as five parts
    per million?
    WIMSATT: Yes, that's correct, that's
    right. So we have a limit set
    under TCLP that says when you get
    an extract from our sample, it
    can't have more than five parts
    per million of lead in it, and if
    it does, it's going to be
    considered a hazardous waste.



    ____________________

    If the defendant had a good faith belief
    that Beede was authorized to transport the
    waste to its facility, he is not guilty of
    the crime of conspiracy even if it turns out
    that that belief was wrong.

    The burden of proving good faith does not
    rest with the defendant because the defendant
    does not have an obligation to prove anything
    in this case. It is the government's burden
    to prove beyond a reasonable doubt that the
    defendant is guilty of conspiracy.

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    The defendant's counsel first objected to the above

    questioning of Wimsatt during the jury charge conference, and

    when asked by the court what remedy did counsel propose, the

    response was to delete the hazardous waste definitional paragraph

    from the jury charge. The district judge declined, properly we

    hold, and observed that he had the authority pursuant to Evidence

    Rule 614 (b)4 to question witnesses and had done so to assist the

    jurors. Specifically, the district court opined:

    THE COURT: All right. I decline to do
    that for the reasons that I've outlined. Let
    me just note I think this issue of
    questioning of witnesses by the Court is a
    very important and - important matter that
    has to be handled carefully by the Court.
    Clearly, Rule 614(b) allows the Court to
    question witnesses. In a trial like this
    where I think much of the evidence has been
    confusing and concerns technical matters,
    terms that involve jargon, I think it is
    important where counsel does not ask
    questions clearly for the Court to clarify
    undefined terms, and therefore I have asked
    questions during the trial to that end.

    I think it's also important for me since -
    in order to protect the defendant's rights,
    that I understand the import of something
    that is being testified to. The jury has to
    make findings of fact here ultimately in
    deciding the defendant's guilt or innocence,
    but I have to pass on motions that deal with
    evidentiary sufficiency; such as, Rule 29
    motions.

    If I don't understand a particular point of
    testimony, I can't do my job with respect to
    a Rule 29 motion. So I feel it's important
    for me to ask questions when I don't
    understand some testimony and when the jury
    may potentially not understand testimony. I
    ____________________

    4 This rule states that "[t]he court may interrogate witnesses,
    whether called by itself or by a party." Fed. R. Evid. 614(b).

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    try to do it as little as possible, and I try
    my best not in any way to indicate in any
    sense that I'm taking sides.

    I also have in my jury instructions an
    instruction to the jury that they should not
    give any greater weight to the testimony of a
    witness in answer to my questions simply
    because the questions have come from me, and
    I have reiterated for the jury the fact that
    I am neutral, impartial and doesn't - don't
    have a stake in this case, and I don't
    believe that I've in any way adversely
    affected the defendant's right to a fair
    trial here by my questions.

    So I think the premise of your request is
    flawed, and I decline to grant the
    instruction that you propose.

    Transcript of Day 8 at p. 41.

    We agree with the district court that his questioning

    in this case was permissible. Initially, we note that the First

    Circuit recognizes the "well-settled" rule that the trial judge

    has a "perfect right" to participate in the trial and to question

    witnesses. United States v. Gonz lez-Soberal, 109 F.2d 64, 72 _____________ ________________

    (1st Cir. 1997). The limitations placed on this right are that

    the judge's questioning "must be balanced; he cannot become an

    advocate or otherwise use his judicial powers to advantage or

    disadvantage a party unfairly." Logue v. Dore, 103 F.3d 1040, _____ ____

    1045 (1st Cir. 1997). "An inquiry into the judge's conduct of

    the trial necessarily turns on the question of whether the

    complaining party can show serious prejudice." Id. ___

    In the instant case, our review of the transcript

    reveals that the judge's questioning of Wimsatt was nothing more

    that the sort of occasional "efforts to clarify testimony" that


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    falls squarely within the scope of the district judge's right and

    responsibility to manage the progress of the trial. See Logue, ___ _____

    supra, at 1045. Furthermore, we hold that any possible risk of _____

    prejudice to Henry as a result of the judge's questions was

    abated by the clear instruction to the jury that it should ignore

    any impression that his questions might have made on them.

    In conclusion, the trial transcript clearly

    demonstrates that the key issue on the conspiracy count was

    whether the defendant knew the soils constituted hazardous waste

    and his good faith defense was anchored in his assertion that he

    did not believe the soils constituted hazardous waste. We

    further hold that the district court's decision to define

    hazardous waste in the context of the indictment and the C.F.R.

    regulations, rather than offer no assistance to the jury on the

    question of what constitutes hazardous waste, as suggested by

    defendant's counsel, was proper, and in any event, in the setting

    of this case, clearly not prejudicial to the defendant.

    III. THE SENTENCING ISSUES III. THE SENTENCING ISSUES

    Two primary issues are raised. The court chose

    U.S.S.G. 2F1.1 as the guideline to be followed, but the

    defendant argued that U.S.S.G. 2Q1.2 was the better choice.5

    The latter guideline governs such environmental offenses as the

    ____________________

    5 Because the adjusted offense level for the conspiracy
    conviction was determined to be nine levels less serious than the
    level for the grouped fraud count, pursuant to U.S.S.G.
    3D1.4(c) the conspiracy conviction did not increase the total
    offense level of 22 as computed under the mail and wire fraud
    counts.

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    unlawful transportation of hazardous materials and the

    mishandling of hazardous or toxic substances. U.S.S.G. 2F1.1

    deals with fraud and deceit, and the use of this guideline

    resulted in a higher offense level calculation. A specific

    offense characteristic under 2F1.1 requires a judicial

    calculation of the loss caused by the fraud and deceit. Henry

    challenges the court's calculation even though it was reduced one

    level by the court from the pre-sentence recommendation.

    The judge departed downward one offense level after he

    concluded that the application of the Guidelines did not

    "correctly capture [] the true value of the loss in this case."

    The defendant was then sentenced to 37 months imprisonment, which

    is the low end of the applicable range based on the defendant's

    Criminal History of I.

    A. Should the defendant have been sentenced under
    Guideline 2Q1.2 rather than 2F1.1?

    Appendix A to the Sentencing Guidelines Manual provides

    a statutory index keyed to the applicable guideline. In the

    introduction to Appendix A, the statement is made that "if, in an

    atypical case, the Guideline section indicated for the statute of

    conviction is inappropriate because of the particular conduct

    involved, use the Guideline section most applicable to the Nature

    of the Offense conduct charged in the count of which the

    defendant was convicted." The reader is then referred to 1B1.2

    of the Guidelines which states in Application Note 1 that "when a

    particular statute proscribes a variety of conduct that might

    constitute the subject of different offense guidelines, the court

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    will determine which Guideline section applies based upon the

    nature of the offense conduct charged in the count of which the

    defendant was convicted." Building on the atypical case

    reference and Application Note 1 to 1B1.2, Henry contends that

    his convictions represent an atypical fraud prosecution because

    the gravamen of the convicted counts, including the conspiracy,

    was that the defendant violated environmental rules and

    regulations by transporting and storing contaminated soil which

    exceeded permitted levels in quantity and composition at the

    Beede Waste Oil facility in New Hampshire.

    The defendant suggests that the apparent dearth of

    cases involving simultaneous federal prosecution of both

    environmental offenses and wire and fraud counts suggests the

    claimed atypicality and argues that the commentary in application

    note 13 to U.S.S.G 2F1.1, which directs that "where the

    indictment...establishes an offense more aptly covered by another

    guideline, apply that guideline rather than 2F1.1," requires

    that U.S.S.G. 2Q1.2 should have been followed by the district

    court. The district court conducted a four hour sentencing

    hearing and rejected the defendant's 2Q1.2 argument, holding

    that the case was not about environmental crime, but rather "an

    effort by Mr. Henry to generate income." We review de novo the __ ____

    trial court's determinations on the issue of whether to apply

    2F1.1 rather than 2Q1.2. United States v. Ruiz, l05 F.3d 1492, _____________ ____

    l504 (1st Cir. 1997).




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    The defendant's reliance on United States v. Fulbright, _____________ _________

    105 F.3d 443 (9th Cir. 1996) is misplaced. In Fulbright, the _________

    defendant was convicted of conspiracy to impede federal officers

    in violation of 18 U.S.C. 372 and for obstruction of justice

    under 18 U.S.C. 1503. The district court there used the only

    guideline listed for 18 U.S.C. in the Statutory Index to the

    Guidelines Manual. Citing the atypicality language in Appendix

    A,6 the Ninth Circuit then remanded for resentencing under

    U.S.S.G 2A2.4 which is captioned "Obstructing or Impeding

    Officers," because the defendant's conduct was determined to be

    more analogous to impeding a federal officer than to obstruction

    of justice. Id. at 453. ___

    In this case, in contrast to Fulbright, and as _________

    recognized by the district court below, the defendant's conduct

    involved two classes of victims. With respect to the fraud

    counts, the victims were the companies to which Henry made

    promises that he never kept in exchange for the monies he

    extracted, while the conspiracy conviction victimized society as

    a whole. The decision in United States v. Rubin, 999 F.2d 194 ______________ _____

    (7th Cir. 1993), tracks the single victim analysis as the victims

    in connection with the mail fraud and price-fixing were the

    same. Accepting the separate victim analysis and applying the

    ____________________

    6 "If, in an atypical case, the guideline section indicated for
    the statute of conviction is inappropriate because of the
    particular conduct involved, [the court should] use the guideline
    section most applicable to the nature of the offense conduct
    charged in the count of which the defendant was convicted."
    U.S.S.G. Appendix A. See also U.S.S.G. 1B1.2, comment (n.1). ________

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    appropriate standard of review, we find no error in the

    determination that the principal crime came under the fraud

    analysis of U.S.S.G. 2F1.1. We find no fault in the district

    court's analysis that the main motivation for the criminal

    conduct was to obtain money. There is no indication that the

    defendant was embarked on a crusade to engage in committing

    environmental crimes. Rather, it is clear that his objective was

    to make money, and in the process he engaged in an environmental

    crime, which conduct was an incidental by-product of his

    fraudulent conduct. We therefore find no error in the

    application of the guidelines under the aegis of 2F1.1.

    B. The Loss Calculation under U.S.S.G. 2F1.1.

    The computation of the Offense Level under 2F1.1

    requires a determination of the loss. A sliding scale has been

    adopted in 2F1.1(b)(1). The presentence report fixed the loss

    at $1,282,718, which required an addition of eleven levels. The

    court refused to consider the Mobil Oil soil transactions, which

    were the subject of count one, and deducted $740,642 from the

    loss figure with a resulting total loss figure of $542,076. That

    final calculation of the loss added ten levels to the loss.

    Henry suggested that the remediation costs, while exceeding

    $200,000 were less than the next dollar figure of $350,000 on the

    sliding scale, and inferentially argued that the loss addition

    should be computed at an increase of eight levels, rather than

    the ten levels fixed by the court. United States v. Kelley, 76 _____________ ______

    F.3d 436, 439 (1st Cir. 1996), teaches that a sentencing court's


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    valuation of loss is subject to the clearly erroneous standard.

    Given the reality that some of the Beede customers may face

    additional costs in the remediation context, the "benefit" to the

    defrauded customers arising from the transportation of the soils

    from their sites is at best speculative. We find no fault in the

    ignoring of that possible benefit in the calculation.

    Application Note 8 to 2F1.1 teaches that the (b)(1) loss need

    not be determined with precision, but rather that the court need

    only make a reasonable estimate of the loss given the available

    information. Finally, we note that the district court departed

    downward one level due to its uncertainty as to whether the loss

    had been properly determined. We find no prejudicial error in

    ignoring the "benefit."

    The defendant also complains that the district court

    improperly shifted the burden of demonstrating the value of the

    services provided to the Beede customers to the defendant. In

    view of the fact that the district court departed one level to

    accommodate the "loss" issue,7 it is not necessary to address the

    ____________________

    7 The district court, in granting the one-level downward
    departure, explained that had he accepted Henry's argument that
    the loss level should be reduced by the "benefit" claimed by
    Henry, the resulting enhancement required by U.S.S.G.
    2F1.1(b)(1) would have been eight rather than ten levels. The
    district court further explained that had the loss level been
    calculated at eight levels, then the grouping rules for multiple
    counts, U.S.S.G. 3D1.1, et. seq., would have come into play
    with the consequence that the total offense level would have been
    reduced only one level, i.e., from 22 to 21. In recognition of
    the controversy over the calculation of the loss, the court then
    departed downward one level from the total offense level of 22
    that included ten levels for the loss to a total offense level of
    21. See transcript of sentencing hearing at 153-156. ___

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    final sentencing issue raised by Henry challenging the district

    court's holding that the defendant had the burden of proof as to

    the benefit provided the defrauded victims. In any event, we see

    no error on these facts.














































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    IV. ALLEGED ERRORS IN THE CONDUCT OF THE TRIAL IV. ALLEGED ERRORS IN THE CONDUCT OF THE TRIAL

    A. Questioning of Witnesses by the District Court.

    The defendant objects to the questioning by the court

    of the co-defendant LaFlamme and Michael Wimsatt.8 The defendant

    points to the fact that the district court questioned LaFlamme

    about the presence and use of the pug mill on the site, the fact

    that soil had not been recycled even though Beede had produced

    manifests to the contrary and the role of Beede in the production

    and mailing of manifests. The fact questions in this case were

    not within the every day experience of jurors such as they are in

    the case of an automobile accident nor did it involve a subject

    such as homicide, rape or robbery that are unfortunately

    commonplace in our society. Against that background, it is

    appropriate to again emphasize the previously discussed "well

    settled" rule that a trial judge has a "perfect right" to

    participate in the trial and to question witnesses. United ______

    States v. Gonz lez-Soberal, 109 F.3d 64, 72 (1st Cir. 1997). We ______ ________________

    therefore view the district court's questioning of LaFlamme, in

    the context of this case, as a judicial effort to assist the jury

    in a comprehensive and balanced understanding of relevant facts

    in a complicated setting and within the permission acknowledged

    by Fed. R. Evid. 614(b). We find no error.




    ____________________

    8 The challenged questioning of Wimsatt has been addressed
    previously and we see no need to revisit the issue. See supra ___ _____
    discussion at 11-14.

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    B. The Refusal of the District Court to Exclude the
    Testimony of Matthew Kelly.

    The court issued a sequestration order as to the

    witnesses and despite that order, the government witness, Matthew

    Kelly was present for approximately 15 minutes of the testimony

    of the co-defendant and cooperating witness, Robert LaFlamme.

    Before allowing Kelly to testify, the trial court engaged in a

    voir dire of Kelly and then concluded that Kelly could testify. _________

    We find neither an abuse of discretion nor prejudice to the

    defendant in that the defendant was acquitted on the count to

    which LaFlamme's testimony was directed while Kelly was present.

    See United States v. Sep lveda, 15 F.3d 1161, 1177 (1st Cir. ___ _____________ _________

    1993) and United States v. Blasco, 702 F.2d 1315, 1327 (11th Cir. _____________ ______

    1983).

    V. ISSUES RAISED BY THE DEFENDANT IN HIS PRO SE BRIEF V. ISSUES RAISED BY THE DEFENDANT IN HIS PRO SE BRIEF ______

    A. Was the defendant impermissibly convicted?

    The defendant filed a separate brief with this court

    and argues that the United States Code is not "real" law, and

    also that he was impermissibly convicted of a violation of the

    wire fraud statute, 18 U.S.C. 1343 because the legislative

    history does not explicitly anticipate that telephones and

    facsimile machines could serve as a basis for a violation of the

    statute. We find no merit in either argument.

    VI. THE DENIAL OF THE DEFENDANT'S MOTION FOR A NEW VI. THE DENIAL OF THE DEFENDANT'S MOTION FOR A NEW
    TRIAL BASED ON NEWLY DISCOVERED EVIDENCE TRIAL BASED ON NEWLY DISCOVERED EVIDENCE

    The defendant filed a motion for a new trial two weeks

    before his sentencing. The court went forward with the


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    sentencing on June 25, 1996, and then heard the motion on July

    24, 1996 and overruled the motion on March 13, 1997. The

    defendant then appealed the denial. This court then combined the

    two appeals for a single appellate argument.

    Recognizing that the standard of review is a "manifest

    abuse of discretion" as set forth in United States v. Montilla- ______________ _________

    Rivera, 115 F.3d 1060, 1064 (1st Cir. 1982), citing United States ______ _____________

    v. Andrade, 94 F.3d 9, 14 (1st Cir. 1996), the defendant argues _______

    that the denial of the motion based on newly discovered evidence

    was such an abuse of discretion.

    The motion for a new trial based on newly discovered

    evidence was accompanied by a number of exhibits and affidavits

    in support of the motion. The main thrust of the materials was

    anchored in the proposition that had the evidence been presented

    to the jury, the jury would more likely have believed the defense

    that Henry did not believe the soils constituted hazardous waste

    and that he did intend to remediate the soils. The judge

    conducted a lengthy hearing in which he invited discussion on

    each of the exhibits and affidavits from counsel and then denied

    the motion in a carefully crafted 26 page order.

    A motion for a new trial based on newly discovered

    evidence, to be successful, faces a difficult test. The defendant

    must demonstrate that the evidence was unknown or unavailable at

    the time of trial despite due diligence and that the evidence was

    material and likely to result in an acquittal upon retrial.

    United States v. Tibolt, 72 F.3d 965, 971 (1st Cir. 1995). _____________ ______


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    The district court found that much of the evidence

    could have been discovered with due diligence. In that context,

    we note that the initial indictment was returned on March 2, 1995

    and the superceding indictment was filed on January 5, 1996. The

    trial began on February 6, 1996. Henry and his counsel, whose

    defense of Henry appears to have been thorough and intense, had

    nearly a year to prepare for the trial.9 We see no basis to

    disturb the district court's denial of the motion as it related

    to the evidence that could have been discovered prior to trial in

    light of our teachings that an order denying a motion for a new

    trial will not be reversed except where we find a "manifest abuse

    of discretion." United States v. Montilla-Rivera, 115 F.3d 1060, _____________ _______________

    1064 (1st Cir. 1997).

    Henry did offer a March 28, 1996 report that was

    clearly new evidence in that the report was not available prior

    to that time. Sanborn, Head & Associates, a consultant for the

    State of New Hampshire, released a report assessing various

    remedial alternatives for the contaminated soil remaining at the

    Beede site. That report, in an appendix, contained copies of

    test results conducted by Beede's laboratory that used the 3040

    test method. Henry contends that the SHA report was important

    new evidence as it demonstrated reliance by the State's

    environment consultant on the same 3040 test method that Henry

    claimed he had relied on in concluding that the soil removed from
    ____________________

    9 Henry was represented by Bjorn R. Lange, an Assistant Federal
    Defender, who was appointed on March 9, 1995 and remained as
    Henry's counsel throughout the trial and on appeal.

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    the Stoneham Laundry site was nonhazardous. The judge

    acknowledged that the report was new evidence, but concluded it

    was impeaching and cumulative and not sufficiently probative to

    warrant a new trial. In reaching that conclusion, the district

    court opined:

    Henry has submitted no direct evidence to
    support his claim that either NHDES [New
    Hampshire Department of Environmental Safety]
    or SHA [Sanborn, Head & Associates] relied on
    the 3040 test results included in the SHA
    report. Thus, I am asked to infer this
    reliance from the bare inclusion of the
    documents in the appendix of the SHA report.

    The SHA report itself sheds little light on
    the extent of SHA's reliance on the 3040 test
    results. These test results were all
    produced by Beede's own laboratory. SHA
    included these analyticals in Appendix C of
    its report. Appendix C is referenced on
    pages 3-4 of the SHA report under the heading
    "Soil Pile Descriptions" which states:
    "Analytical results provided by NHDES for
    soil collected from piles Nos. 5A, 53, 8 and
    10 are included in Appendix C." Appendix C
    itself consists mainly of numerous test
    results from Chem Test Lab, apparently
    ordered by NHDES. In addition to the Chem
    Test results, there are four test results
    produced by Beede's laboratory which analyze
    halogens using the 9020 method, TPH using the
    GCFID method, and metals levels using the
    3040 method. Although these test reports are
    included in Appendix C, it is unclear to what
    extent, if any, they were relied upon by SHA.
    Henry's contention, therefore, that the state
    relied on his 3040 test analyticals in its
    assessment of the Beede site's contamination
    is, at best, uncertain.

    Even assuming Henry could show that the
    state relied on Beede's 3040 test analyticals
    through the SHA report, Henry cannot show
    that this new evidence is material. Henry
    bases his argument that the SHA report
    justifies a new trial mainly on the grounds
    that it would have assisted him in his

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    impeachment of the testimony of Michael
    Wimsatt. This new impeachment evidence is
    not probative enough to suffice as grounds
    for a new trial. See Pelegrina v. United ___ _________ ______
    States, 601 F.2d 18, 21 (1st Cir. 1979) ______
    ("impeaching evidence is generally treated as
    immaterial" on motion for new trial).

    Finally, even if the SHA report
    demonstrated that the state relied on the
    3040 test and that Henry may also have been
    justified in relying upon it himself, I
    cannot conclude that the jury would likely
    have acquitted Henry if it had been presented
    with this new evidence. At trial, the
    government's evidence was not just that Henry
    mistakenly used the 3040 test as opposed to
    the TCLP test, but that Henry was provided
    with TCLP test results showing the soil he
    was about to transport was hazardous. The
    likely inference from these facts is that
    Henry used the 3040 test to convince his
    customers that the soil was not hazardous and
    could be accepted at the Beede facility. All
    these machinations were performed as a part
    of a scheme whereby Henry agreed to transport
    soil from New Jersey to a hazardous waste
    facility in Michigan, but actually had no
    intention of doing so. Instead, he
    transported the soil to the Beede facility,
    dumped it there and then performed the 3040 ____
    tests. Henry showed these new test results
    to his customer in an attempt to convince it
    that the soil was acceptable for recycling at
    the Beede facility. Henry's effort to show
    that he might have reasonably relied on the
    3040 test results is unlikely to overcome
    this evidence of willful deceit.

    Appendix at pp. 18-21.

    Our standard of review is anchored in an acknowledgment

    that the judge who tried the case is best equipped to examine the

    issue of whether the new evidence would likely result in an

    acquittal. In our view, the district court, consistent with his

    deliberate and thoughtful management of this case, carefully



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    analyzed the impact of the Sanborn, Head & Associates report and

    we see no basis for disturbing his findings.

    For the reasons discussed, we affirm the defendant's

    conviction and sentence, and we also affirm the district court's

    denial of the defendant's post-trial motion for a new trial.

    AFFIRMED. AFFIRMED










































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