United States v. Brennan ( 1993 )


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    United States Court of Appeals
    United States Court of Appeals
    For the First Circuit
    For the First Circuit
    ____________________

    No. 92-1169

    UNITED STATES,
    Appellee,

    v.

    JAMES F. BRENNAN,
    Defendant, Appellant.
    ____________________

    No. 92-1170

    UNITED STATES,
    Appellee,

    v.

    J. EDWARD MCHUGH,
    Defendant, Appellant.
    ____________________

    APPEALS FROM THE UNITED STATES DISTRICT COURT

    FOR THE DISTRICT OF MASSACHUSETTS

    [Hon. Mark L. Wolf, U.S. District Judge]
    ___________________
    ____________________
    Before

    Torruella, Cyr, and Stahl,
    Circuit Judges.
    ______________
    ____________________

    Philip X. Murray with whom Lorusso & Loud was on brief for
    __________________ ________________
    appellant Brennan.
    Wade M. Welch for appellant McHugh.
    _____________
    S. Theodore Merritt, Assistant United States Attorney, with whom
    ___________________
    A. John Pappalardo, United States Attorney, was on brief for appellee.
    __________________
    ____________________

    June 3, 1993
    ____________________





















    STAHL, Circuit Judge. On September 18, 1990, a
    _____________

    federal grand jury returned a multiple count indictment

    against defendant-appellant J. Edward McHugh, a former senior

    vice-president and loan officer of the Cambridgeport Savings

    Bank ("CSB"), and defendant-appellant James F. Brennan, a

    borrower of large sums of money from CSB. The indictment

    charged both defendants with one count of conspiracy to

    commit bank fraud and to willfully misapply bank funds;

    McHugh with one count of bank fraud, six counts of willful

    misapplication of bank funds, and four counts of making false

    entries in bank records; and Brennan with two counts of

    making false statements to a lending institution, one count

    of aiding and abetting McHugh's bank fraud, and six counts of

    aiding and abetting McHugh's willful misapplication of bank

    funds. After a twenty-day trial, a jury returned verdicts of

    guilty against both defendants on most of the counts. It

    did, however, acquit McHugh on two counts of willful

    misapplication and Brennan on one count of aiding and

    abetting a willful misapplication of bank funds.

    Following the verdict, the trial judge issued a

    comprehensive, twenty-seven page memorandum and order denying

    Brennan's pending motion for acquittal on all counts charged,

    but granting McHugh's pending motion for acquittal insofar as

    it related to the four counts for making false entries in





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    bank records.1 After a two-day sentencing hearing, Brennan

    was sentenced to forty-one months in prison and McHugh was

    sentenced to a year and a day in prison.

    On appeal, McHugh and Brennan raise a host of

    challenges to the trial proceedings. Their complaints can be

    loosely divided into two categories: (1) there was

    insufficient evidence to support certain of their

    convictions, and (2) a number of decisions of the trial judge

    regarding the parameters of the trial, the admissibility of

    certain disputed evidence, and the jury instructions

    constituted reversible error. Brennan also advances

    miscellaneous arguments that he was victimized by

    constitutionally infirm legal representation at trial and

    that his sentence was unlawful. After carefully reviewing

    the voluminous record in the light of appellants'

    contentions, we affirm.

    I.
    I.
    __

    BACKGROUND2
    BACKGROUND2
    __________

    Because attempting to recount the evidence in this

    case would be both unnecessary and inherently Sisyphean, we


    ____________________

    1. McHugh's motion, which sought acquittal on all counts
    charged, was otherwise denied.

    2. As is always the case when we consider whether there was
    sufficient evidence to support a conviction, we review the
    evidence in the light most favorable to the government and
    resolve all credibility issues in favor of the verdict. See,
    ___
    e.g., United States v. Guzman-Rivera, No. 92-1855, slip op.
    ____ ______________ _____________
    at 6 (1st Cir. April 9, 1993).

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    cut to the heart of the matter. McHugh was hired by CSB on

    May 24, 1987, as a senior vice-president and senior loan

    officer in charge of commercial lending. At the time of

    McHugh's hiring, CSB had a relatively small commercial

    lending department. Among other things, McHugh was charged

    with increasing the volume of commercial loans. To that end,

    CSB's Board of Investment ("the Board") provided McHugh with

    a personal lending authority of up to $500,000 per borrower.

    Commercial loans in excess of $500,000 to any single borrower

    could not, however, be made without prior Board approval.

    On June 5, 1987, Brennan met with McHugh and

    requested a $70,000 unsecured loan from CSB.3 In connection

    with the requested loan, Brennan provided CSB with a signed

    Personal Financial Statement ("PFS"). The PFS contained a

    preamble indicating that the borrower would notify the bank

    of material changes in his/her financial condition. Evidence

    introduced at trial revealed that Brennan made statements on

    his PFS pertaining to his income, real estate holdings, notes

    payable to others, and contingent liabilities that were false

    both at the time they were submitted and throughout Brennan's

    relationship with CSB. McHugh approved the loan and, in

    accordance with the agreed upon procedures, presented it to

    the Board. The Board subsequently signed off on it. On the



    ____________________

    3. McHugh and Brennan had a prior business relationship when
    McHugh was a senior lender at First Mutual Bank.

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    term sheet which was required for each loan made, McHugh

    noted that the purpose of the $70,000 loan was "[t]o assist

    in the purchase of stock in Harbor Group, Inc."4 Evidence

    suggested, however, that Brennan used the loan to cover

    overdrafts he had written at the Yankee Bank.

    So began a relationship that, throughout the

    remainder of 1987, led to the extension of nine additional

    loans by McHugh to Brennan, persons closely affiliated with

    Brennan, or Brennan-controlled entities. The dates, amounts,

    and persons/entities who received these subsequent loans we

    summarize as follows:

    1. A July 17, 1987, loan to Brennan for
    approximately $250,000;
    2. A July 20, 1987, loan to Brennan for
    approximately $100,000;
    3. An August 3, 1987, loan to Brennan for
    approximately $500,000;
    4. An August 11, 1987, loan to JoAnn Brennan, the
    defendant's wife, for approximately $332,000;
    5. A September 1, 1987, loan to Charles White, a
    friend of Brennan, for approximately $400,000;5
    6. A September 2, 1987, loan to Joseph Hoffman, a
    business associate of Brennan, for approximately
    $500,000;6
    7. A September 22, 1987, loan to the Harbor Group
    for approximately $500,000;



    ____________________

    4. The Harbor Group was a Brennan-controlled company
    organized primarily to acquire and sell other companies.

    5. Although White was the nominal borrower of the $400,000,
    the evidence reveals that the money was wired by CSB directly
    to an account maintained by Brennan at the Shore Bank.

    6. Again, although Hoffman was the nominal borrower of the
    $500,000, the evidence shows that the money was wired
    directly by CSB to Brennan's account at the Shore Bank.

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    8. An October 30, 1987, loan to the Harbor Group
    for approximately $550,000; and
    9. A December 31, 1987, loan to Brennan for
    approximately $225,000.

    Evidence at trial revealed that Brennan used the

    proceeds of many of these loans to pay off debts, both to CSB

    and elsewhere, rather than for the purposes recorded on the

    relevant term sheets. The evidence also indicated or tended

    to indicate (1) that many of Brennan's repayment checks

    bounced but were redeposited at McHugh's direction; (2) that

    McHugh did not bring these loans and their interconnected

    nature to the attention of either the Board or James Keegan,

    CSB's president; (3) that McHugh took affirmative steps to

    conceal from others at the bank Brennan's problems repaying

    the loans; (4) that McHugh exceeded his loan authority in

    making some of these loans; (5) that McHugh made and

    structured some of these loans in order to circumvent his

    lending authority, and so that he would not have to bring

    them to the Board's attention; (6) that no loan file or term

    sheet was created for the JoAnn Brennan loan; (7) that the

    loans to JoAnn Brennan and Charles White were made with

    little or no inquiry into or knowledge of the named debtors'

    actual abilities to repay the loans; (8) that McHugh

    knowingly caused false purposes for the White and Hoffman

    loans to be recorded on their respective term sheets; (9)

    that McHugh was aware that JoAnn Brennan, White, and Hoffman

    expected James Brennan to repay the loans taken out in their


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    names; (10) that the $550,000 loan to the Harbor Group, which

    was guaranteed by Brennan, was made to disguise the fact that

    certain loans to Brennan and Brennan-controlled interests

    were delinquent; (11) that, with regard to the White loan,

    McHugh directed that Brennan funds be used to make an overdue

    interest payment; and (12) that, with regard to the White

    loan, Brennan furnished CSB with a PFS, purportedly on

    White's behalf, which was riddled with false statements.

    During the first week in March of 1988, Keegan

    became aware that many of the aforementioned loans were both

    interconnected and delinquent, ordered internal and external

    audits, and instructed McHugh to send letters to the named

    borrowers demanding payment. McHugh was terminated on March

    11, 1988. The financial loss to CSB exceeded $2,200,000.

    II.
    II.
    ___

    DISCUSSION
    DISCUSSION
    __________

    A. Sufficiency of the Evidence
    A. Sufficiency of the Evidence
    _______________________________

    McHugh argues that there was insufficient evidence

    to support any of his convictions. Brennan contends that

    there was insufficient evidence to support his convictions on

    the counts charging conspiracy and making false statements to

    a lending institution.7 As we have noted, after the


    ____________________

    7. In his reply brief, Brennan also expresses a desire to
    join in McHugh's arguments "relative to misapplication and
    multiplicity." However, it is well settled that "a legal
    argument made for the first time in an appellant's reply
    brief comes too late and need not be addressed." Rivera-
    _______

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    conclusion of the trial, the district court issued a

    comprehensive, twenty-seven page memorandum and order which,

    among other things, responded to these very arguments. The

    memorandum and order surveyed authority pertinent to each of

    the defendants' arguments, reviewed the evidence in the

    manner mandated by the appropriate legal standard,8 and

    clearly articulated both its conclusions and its reasons

    therefor. We have carefully reviewed the record and, having

    employed a standard of review which mirrors that applied by

    the district court to defendants' motions for acquittal, see,
    ___

    e.g., United States v. St. Michael's Credit Union, 880 F.2d
    ____ _____________ __________________________

    579, 584 (1st Cir. 1989) ("[T]he standard of review for a

    judgment of acquittal notwithstanding the verdict is

    identical to the test employed to measure the sufficiency of

    evidence supporting a guilty verdict.") (brackets in

    original) (quoting McNatt, 813 F.2d at 502), find ourselves
    ______

    in complete agreement with the conclusions reached by the



    ____________________

    Muriente v. Agosto-Alicea, 959 F.2d 349, 354 (1st Cir. 1992).
    ________ _____________
    Accordingly, Brennan has waived the aforementioned arguments
    on appeal.

    8. Quoting United States v. McNatt, 813 F.2d 499, 502 (1st
    _____________ ______
    Cir. 1987), the district court correctly noted the standard
    under which the defendants' motions were properly evaluated:
    "The test is whether, considering the evidence as a whole,
    taken in the light most favorable to the government, together
    with all legitimate inferences that can be drawn from such
    evidence, a rational trier of fact could have found guilt
    beyond a reasonable doubt." United States v. Brennan, Cr.
    _____________ _______
    No. 90-10235-WF, slip op. at 3 (D. Mass. Oct. 3, 1991,
    corrected Oct. 29, 1991).

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    district court. We therefore reject defendants' sufficiency

    challenges substantially on the basis of the district court's

    opinion. We pause to address only one issue.

    In arguing that there was insufficient evidence to

    support his convictions for willful misapplication of bank

    funds9 arising out of the October 30, 1987, $550,000 loan to

    the Harbor Group and the loans extended to White, Hoffman,

    and JoAnn Brennan, McHugh contends that our previous opinion

    in Gens, see supra note 9, mandates a ruling in his favor.
    ____ ___ _____

    After careful consideration, we do not agree.

    In Gens, several bank officers were convicted of
    ____

    willful misapplication under 18 U.S.C. 65610 for making


    ____________________

    9. As one commentator has noted, "[W]illful misapplication
    is a term that carries no technical or precisely limited
    meaning." John K. Villa, Banking Crimes, 3.02[3][c][ii]
    ______________
    (1992); see also United States v. Gens, 493 F.2d 216, 221
    ___ ____ _____________ ____
    (1st Cir. 1974). It is established in this circuit, however,
    that "the sine qua non of charges of willful misapplication
    ____ ___ ___
    of bank funds is action taken with the knowledge of harm to,
    intent to harm, or reckless disregard for, the financial
    health of the bank." United States v. Fusaro, 708 F.2d 17,
    _____________ ______
    21 (1st Cir.), cert. denied, 464 U.S. 1007 (1983); see also
    _____ ______ ___ ____
    United States v. Cyr, 712 F.2d 729, 732 (1st Cir. 1983) ("[A]
    _____________ ___
    reckless disregard by a bank official of his bank's interest
    is sufficient to establish the requisite intent to defraud.")
    (quoting United States v. Larson, 581 F.2d 664, 667 (7th Cir.
    _____________ ______
    1980)). The probability that the debtor will repay the
    misapplied funds is not legally significant. Cyr, 712 F.2d
    ___
    at 732. This authority formed the foundation for the
    district court's jury instructions on the willful
    misapplication counts.

    10. In relevant part, 18 U.S.C. 656 provides:

    Whoever, being an officer, director, agent or
    employee of, or connected in any capacity with any
    . . . insured bank, . . . willfully misapplies any

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    loans to certain individuals while aware that the proceeds

    would be turned over to a borrower who, because he had

    reached the bank's lending limit, could not be loaned any

    more money. In surveying the indictment and charge to the

    jury in that case, we first determined that the jury had been

    instructed to find defendants guilty "if it . . . found that

    [defendants] granted the loans to the named debtors knowing

    that the proceeds would be turned over to [the off-limits

    borrower]." Id. at 221. We then reversed the convictions,
    ___

    noting that "such a finding by itself is not sufficient to
    __ ______

    constitute willful misapplication under 656." Id.
    ___

    (Emphasis supplied). In so doing, we made clear that "where

    the named debtor is both financially capable and fully

    understands that it is his responsibility to repay, a loan to

    him cannot -- absent other circumstances -- properly be
    ______ _____ _____________

    characterized as sham or dummy [and therefore illegal], even

    if bank officials know he will turn over the proceeds to a

    third party." Id. at 222. (Emphasis supplied).11
    ___



    ____________________

    of the moneys, funds or credits of such bank . . .
    shall be fined not more than $1,000,000 or
    imprisoned not more than 30 years, or both[.]

    11. On the one count where it was unclear whether the named
    debtor understood his repayment obligation on the loan at
    issue, we reversed the conviction but remanded for a new
    trial. Id. at 223-24. On all the other counts, because the
    ___
    evidence revealed that the loans at issue were to named
    debtors who clearly were financially capable and understood
    that it was their obligation to repay, we simply reversed the
    defendants' convictions. Id. at 223.
    ___

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    Although we did not specifically say so, clearly underpinning

    our holding was the belief that, without more, a rational

    factfinder cannot infer an intent to defraud the bank on the

    part of a bank official who simply makes a loan to a

    financially capable party who understands his/her repayment

    obligation. See generally id. at 222-23.
    ___ _________ ___

    The facts here are considerably different from those in

    Gens. As we have stated, there was evidence from which a
    ____

    rational jury could have concluded that JoAnn Brennan, White,

    and Hoffman did not themselves expect to repay CSB.

    Moreover, there was evidence suggesting that, with regard to

    the JoAnn Brennan and White loans, McHugh made little or no

    effort to determine the actual financial capabilities of the

    named debtors.12 Thus, with regard to the JoAnn Brennan,

    White, and Hoffman loans, the jury could have concluded that

    this was not a situation where, at the time the loans were

    extended, McHugh knew that the named debtors were both

    financially capable and fully understood their obligations to
    ___

    repay the loans. See id. at 222.
    ___ ___

    More importantly, this also is a case where there

    were "other circumstances," see id., which serve to render
    ___ ___

    the reasoning of Gens inapposite. There was evidence from
    ____



    ____________________

    12. Indeed, there was evidence which tended to indicate that
    White, JoAnn Brennan, and the Harbor Group were not
    ___
    financially capable of repaying the loans on which they were
    the named debtors.

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    which the jury could have inferred, among other things, (1)

    that McHugh knowingly caused false purposes for the loans to

    Charles White and Joseph Hoffman to be recorded on their

    respective term sheets; (2) that McHugh failed to follow

    customary bookkeeping procedures in extending the loan to

    JoAnn Brennan; (3) that McHugh exceeded his loan authority in

    making the loan to the Harbor Group; and (4) that the loan to

    the Harbor Group was made for the purpose of disguising the

    fact that certain loans to Brennan and Brennan-controlled

    interests were delinquent. Moreover, there was evidence from

    which a jury could have found that McHugh structured these

    loans so that he would not have to present them to the Board

    for prior approval.13 In our view, these are precisely the

    types of circumstances that could have led the jury to

    conclude that McHugh, in extending these loans, exhibited "a

    reckless disregard" of CSB's interests. See Cyr, 712 F.2d at
    ___ ___

    732; Fusaro, 708 F.2d at 21. Accordingly, we decline to
    ______

    upset McHugh's convictions on the misapplication counts.14


    ____________________

    13. Certainly, it is reasonable to infer from this that
    McHugh thought the Board might not approve of these loans.

    14. Relying on a passage in Gens where we took note of a
    ____
    category of cases in which the defendant officials had
    "assured the named debtor, regardless of his financial
    capabilities, that they would look for repayment only to the
    third party who actually received the loan proceeds[,]" see
    ___
    Gens, 493 F.2d at 222, McHugh also argues that because he
    ____
    neither made this type of assurance nor adopted any such
    assurance made by Brennan to a nominal debtor, his
    convictions cannot stand. The short answer to McHugh's
    argument is that, in making this statement in Gens, we were
    ____

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    B. Pretrial and Trial Issues
    B. Pretrial and Trial Issues
    _____________________________

    As we have stated, McHugh and Brennan raise a

    number of challenges to decisions the district court made

    regarding the parameters of the trial, the admissibility of

    certain evidence, and the jury instructions. We discuss each

    argument in turn.

    1. Severance
    1. Severance
    _____________

    McHugh contends that the district court committed

    reversible error in denying his motion for severance. More

    particularly, McHugh asserts (1) that the number of counts in

    the indictment created jury confusion; (2) that there was a

    prejudicial spillover of evidence, particularly "Rule 404(b)

    evidence,"15 that was admitted solely against Brennan; and



    ____________________

    not setting forth the elements of the offense of
    misapplication. Instead, we were summarizing those instances
    where bank officials had been found guilty of willful
    misapplication for making loans while aware that the proceeds
    would be passed along to third parties. See generally id. at
    ___ _________ ___
    221-22.
    Moreover, despite McHugh's assertion to the contrary, a
    careful reading of the charge reveals that the trial judge
    did not instruct the jury that the existence of one of the
    two aforementioned types of assurances was an element of the
    crime of willful misapplication. Rather, the court merely
    informed the jury that if there had been one of these two
    types of assurances, "misapplication may be found." Thus,
    even if, as McHugh suggests, there was no evidence tending to
    indicate either that he assured the named debtors that he
    would look only to Brennan for repayment or that he had
    adopted such an assurance made by Brennan, the absence of
    this type of evidence would not mandate a reversal of his
    convictions.

    15. Fed. R. Evid. 404(b) provides:


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    (3) that the defendants were asserting such inconsistent

    defenses that severance was warranted. We do not agree.

    A trial court will grant severance "only upon a

    strong showing of prejudice." E.g., United States v. Tejeda,
    ____ _____________ ______

    974 F.2d 210, 219 (1st Cir. 1992). A district court's denial

    of a motion for relief from prejudicial joinder, see Fed. R.
    ___

    Crim. P. 14,16 is reviewed only for an abuse of discretion,

    e.g., United States v. Tracy, No. 92-1459, slip op. at 8 (1st
    ____ _____________ _____

    Cir.), cert. denied ___ U.S. ___, 61 U.S.L.W. 3773 (1993),
    _____ ______

    and we will reverse only if the district court's decision

    "``deprived defendant of a fair trial, resulting in a

    miscarriage of justice.'" Tejeda, 974 F.2d at 219 (quoting
    ______

    United States v. McLaughlin, 957 F.2d 12, 18 (1st Cir.
    ______________ __________

    1992)).



    ____________________

    Other crimes, wrongs, or acts. Evidence of
    Other crimes, wrongs, or acts.
    other crimes, wrongs, or acts is not admissible to
    prove the character of a person in order to show
    action in conformity therewith. It may, however,
    be admissible for other purposes, such as proof of
    motive, opportunity, intent, preparation, plan,
    knowledge, identity, or absence of mistake or
    accident, provided that upon request by the
    accused, the prosecution in a criminal case shall
    provide reasonable notice in advance of trial, or
    during trial if the court excuses pretrial notice
    on good cause shown, of the general nature of any
    such evidence it intends to introduce at trial.

    16. In relevant part, Fed. R. Crim P. 14 states: "If it
    appears that a defendant . . . is prejudiced by a joinder of
    offenses or of defendants in an indictment . . ., the court
    may order an election or separate trials of counts, grant a
    severance of defendants or provide whatever other relief
    justice requires. . . ."

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    Briefly stated, we can perceive no abuse of

    discretion resulting in a miscarriage of justice here.

    Although this was a complicated case, McHugh has provided us

    with absolutely no basis for concluding that the jury was

    confused. Rather, the discriminating verdict suggests to us

    that the jury was fully able to follow the court's

    instructions and differentiate between the counts and

    defendants. See United States v. Boylan, 898 F.2d 230, 246
    ___ ______________ ______

    (1st Cir.), cert. denied, 498 U.S. 849 (1990). Moreover, we
    _____ ______

    are persuaded that the district court's vigilant and

    persistent use of limiting instructions throughout the trial,

    when taken with its final charge instructing the jury to

    consider the defendants and the counts separately, adequately

    protected McHugh from the possible effects of prejudicial

    spillover. See Tejeda, 974 F.2d at 219.17 Finally, to the
    ___ ______


    ____________________

    17. With regard to each of the examples (i.e., the
    ____
    promissory notes to Gloria Campobasso and the Hokal Anstalt,
    the complaint filed by Judith Eissner, and the testimony of
    Kenneth D'Amato regarding two conversations with Brennan
    wherein Brennan stated that McHugh would someday wake up and
    find a new car in his driveway) McHugh cites where the
    district court did not deliver a limiting instruction despite
    McHugh's request for one, we note that the district court
    explicitly denied McHugh's request because, in its view, the
    evidence was probative on the question of whether there was a
    conspiracy between McHugh and Brennan. On appeal, McHugh
    does not challenge the correctness of this ruling.
    Accordingly, this evidence, far from being prejudicial
    because of its potential for "spilling over," must be
    construed as evidence properly admitted against McHugh on the
    conspiracy count.
    With regard to the evidence admitted only against
    Brennan but referred to by the Government in its closing
    argument against McHugh, we simply note that McHugh did not

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    extent that McHugh raised any defenses that were inconsistent

    with the ones presented by Brennan, McHugh has not

    articulated, nor can we discern, how the inconsistencies were

    "so prejudicial and the defenses so irreconcilable that the

    jury unjustifiably . . . infer[red] that this conflict alone

    demonstrates that both are guilty." United States v. Luciano
    _____________ _______

    Pacheco, 794 F.2d 7, 8 (1st Cir. 1986) (quoting United States
    _______ _____________

    v. Bautista, 731 F.2d 97, 100 (1st Cir. 1984)). Accordingly,
    ________

    we find that the district court did not abuse its discretion

    in refusing to grant McHugh's severance motion.

    2. Evidence Relating to Brennan's Dealings with Other
    2. Evidence Relating to Brennan's Dealings with Other
    ________________________________________________________
    Banks and Persons
    Banks and Persons
    _________________

    Brennan generally argues that "the Government was

    permitted to introduce excessive evidence relating to other

    transactions that were not a basis for the indictment." He

    goes on, however, to specify only three examples of such

    "excessive" evidence: (1) the testimony of Gloria Campobasso

    regarding an outstanding promissory note Brennan had given


    ____________________

    object to the Government's line of argument at that time.
    Accordingly, we review only for plain error. United States
    _____________
    v. Gonzales-Torres, 980 F.2d 788, 791 (1st Cir. 1992). To
    _______________
    establish plain error, McHugh must demonstrate that the error
    complained of is so compelling that he virtually is assured
    of succeeding in his appeal, and that the error affected the
    fundamental fairness and basic integrity of the proceedings
    in the lower court. See id.; see also Boylan, 898 F.2d at
    ___ ___ ___ ____ ______
    249 ("The [plain error] doctrine does not allow litigants to
    be relieved from the ``ordinary backfires . . . which may mar
    a trial record.'") (quoting United States v. Griffin, 818
    ______________ _______
    F.2d 97, 100 (1st Cir.), cert. denied, 484 U.S. 844 (1987)).
    _____ ______
    We find that the incident at issue, if erroneous, falls far
    short of the plain error threshold.

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    her, (2) the testimony of Donald Moscone regarding an

    outstanding promissory note Brennan had given him, and (3)

    the testimony of K. Dun Gifford regarding a certain loan he

    had taken out at the First American Bank on Brennan's behalf.

    At trial, Brennan neither objected to the introduction of any

    of this evidence nor did he request a limiting instruction.

    Thus, the admission of this evidence can serve as a basis for

    reversal only if plainly erroneous. Gonzales-Torres, 980
    _______________

    F.2d at 791. After carefully reviewing the entire record, we

    discern no plain error in the district court's admission of

    this evidence. Accordingly, we reject Brennan's argument for

    reversal on this ground.18

    3. Gifford's Testimony Characterizing Brennan's Actions
    3. Gifford's Testimony Characterizing Brennan's Actions
    ________________________________________________________
    Towards Him as "Illegal, Unlawful and Fraudulent"
    Towards Him as "Illegal, Unlawful and Fraudulent"
    _________________________________________________

    Brennan's next argument, that K. Dun Gifford's

    testimony that Brennan's dealings with him were "illegal,

    unlawful and fraudulent" prejudiced him, suffers a similar



    ____________________

    18. Without elaborating, McHugh also states that the
    admission of the above-referenced evidence without limiting
    instructions "was highly prejudicial" to him. However, he
    neither identifies a specific instance where he was denied a
    limiting instruction nor attempts to explain why the
    admission of this evidence was highly prejudicial.
    Accordingly, we view McHugh's "argument," to the extent that
    it can be so characterized, as waived. See, e.g., Cohen v.
    ___ ____ _____
    Brown Univ., No. 92-2483, slip op. at 30 (1st Cir. April 16,
    ___________
    1993) ("Litigants cannot preserve an issue for appeal by
    raising a pennant and then moving on to another subject.");
    Ryan v. Royal Ins. Co. of America, 916 F.2d 731, 734 (1st
    ____ __________________________
    Cir. 1990) ("[I]ssues adverted to on appeal in a perfunctory
    manner, unaccompanied by some developed argumentation, are
    deemed to have been abandoned.").

    -17-
    17















    fate. Even if we construe the admission of this statement as

    erroneous, Brennan's failure to object to it at trial limits

    our review to the now-familiar plain error rubric. Id. Once
    ___

    again, our review persuades us that the district court's

    admission of this evidence did not rise to the level of plain

    error. Accordingly, we decline to reverse on this ground.

    4. Prosecutorial Misconduct
    4. Prosecutorial Misconduct
    ____________________________

    Brennan makes two separate arguments that

    prosecutorial misconduct requires a reversal of his

    conviction. He first claims that he is entitled to a new

    trial because the prosecutor asked him on cross-examination,

    without a good faith basis for the question, whether he was

    terminated from prior employment as a stockbroker at Tucker,

    Anthony, and Day. The record reveals, however, that George

    Downey and Brian O'Rourke, who were interviewed by the

    Federal Bureau of Investigation prior to trial, stated to the

    interviewing agents that Brennan had been terminated from his

    employment at Tucker, Anthony, and Day for unauthorized

    trading. Brennan has not presented us with any evidence

    suggesting that the Government knew, or should have known,

    that these statements were false. Accordingly, there is no

    reason for us to conclude that the question posed to Brennan

    on cross-examination was not asked in good faith.19


    ____________________

    19. Brennan also argues, in a paragraph that can most
    charitably be described as cryptic, that one of the
    Government prosecutors made false representations to the

    -18-
    18















    Second, Brennan contends that the Government acted

    improperly in putting into issue, both in its cross-

    examination of Brennan and in its rebuttal argument, the fact

    that Brennan did not introduce into evidence any records

    corroborating certain aspects of his testimony. In Brennan's

    view, such actions apparently were tantamount to making a

    comment on Brennan's failure to testify and thereby shifted

    the burden of proof from the Government to Brennan. Again,

    we do not agree.

    Without question, clearly it is impermissible for a

    prosecutor to comment, either directly or by implication, on

    a defendant's failure to take the stand during a trial.

    Griffin v. California, 380 U.S. 609, 615 (1965). However,
    _______ __________

    when a defendant does take the stand, a prosecutor may attack



    ____________________

    district court at the sidebar conference during which the
    court addressed whether the Government could inquire into the
    circumstances surrounding Brennan's departure from Tucker,
    Anthony, and Day. In so doing, however, Brennan relies upon
    an affidavit which is not part of the record before us, has
    not been made part of any appendix (as no appendix was
    submitted by appellants), and was not included in his inutile
    addendum. Accordingly, we do not address this argument. See
    ___
    Commonwealth of Massachusetts, Dep't. of Pub. Welfare v.
    __________________________________________________________
    Secretary of Agric., 984 F.2d 514, 522-23 n.7 (1st Cir. 1993)
    ___________________
    (appellant who shirks his/her duty "to provide this court
    with an appendix sufficient to support his[/her] points on
    appeal" must bear the onus of any insufficiencies in the
    appellate record) (quoting United States v. One Motor Yacht
    _____________ _______________
    Named Mercury, 527 F.2d 1112, 1113 (1st Cir. 1975)).
    ______________
    Furthermore, we admonish Brennan's appellate counsel for his
    lack of professionalism in characterizing the Government's
    prosecutor's statements as "false," "fictitious," and
    "unconscionable" without providing us with even a scintilla
    of evidence to support his allegations.

    -19-
    19















    as weak the evidentiary foundation upon which a defendant's

    testimony rests. See United States v. Garcia, 818 F.2d 136,
    ___ _____________ ______

    143-44 (1st Cir. 1987); United States v. Savarese, 649 F.2d
    _____________ ________

    83, 87 (1st Cir. 1981). Moreover, we previously have held

    that a prosecutor's comments regarding a defendant's failure

    to produce documents corroborating a defense theory are

    proper if they are limited to assailing the strength or

    plausibility of the proffered theory. See United States v.
    ___ _____________

    Glantz, 810 F.2d 316, 321-22 (1st Cir.), cert. denied, 482
    ______ _____ ______

    U.S. 929 (1987).

    Having reviewed the questions and comments at issue

    here,20 we are persuaded that they were made solely for the

    purpose of calling into question the strength and

    plausibility of certain of Brennan's testimony. Moreover, we



    ____________________

    20. On direct, Brennan testified about a number of
    transactions and facts that normally would have been
    memorialized in writing during the ordinary course of
    business dealings. On cross-examination, after ascertaining
    that Brennan had reviewed the records of these transactions
    and facts prior to trial, the Government asked Brennan: "And
    some of those documents, I imagine, would corroborate what
    you have been saying on the stand for the last two days, is
    that right?" Later, in its rebuttal argument, the Government
    made the following comment:

    Then you have the suggestion that you should
    take Mr. Brennan at his word that he had $700,000
    in the bank. Well, first of all, ladies and
    gentlemen, I suggest that you have no reason based
    on his testimony, based on the evidence, to take
    him at his word.
    You may ask yourselves the question: Where is
    the bank statement? Where is the thing produced?
    Who corroborates his testimony?

    -20-
    20















    are convinced that the jury could not have drawn an improper

    inference from them. Accordingly, we reject Brennan's

    request for a new trial insofar as it is based upon these

    questions and comments.

    5. Deposition Testimony of Non-Testifying Codefendant
    5. Deposition Testimony of Non-Testifying Codefendant
    ______________________________________________________

    Brennan also argues that the district court's

    admission against him, pursuant to Fed. R. Evid.

    801(d)(2),21 of certain deposition testimony given by the

    non-testifying McHugh during the course of a civil case in

    1989 entitles him to a new trial.22 In Brennan's view, the

    admission of this material infringed on his Sixth Amendment

    right to conduct adequate cross-examination of an adverse

    witness and resulted in reversible error. We do not share

    Brennan's belief that reversible error was committed.

    As an initial matter, we agree with Brennan that

    because the disputed deposition testimony was not given

    "during the course and in furtherance of the conspiracy," it

    was not admissible under Fed. R. Evid. 801(d)(2)(E). See
    ___


    ____________________

    21. Although it did not so specify, it is apparent that the
    court admitted the statement as "a statement by a
    coconspirator of a party during the course and in furtherance
    of the conspiracy." See Fed. R. Evid. 801(d)(2)(E).
    ___

    22. During McHugh's cross-examination of Brennan, Brennan
    represented that, at the time he had requested two of the
    loans applied for at CSB, he told McHugh the reasons he
    needed the loans. In response, the Government, during its
    cross-examination of Brennan, successfully sought to
    introduce the prior testimony of McHugh that he did not know
    the purposes of the loans at issue at the time Brennan
    applied for them.

    -21-
    21















    United States v. Carper, 942 F.2d 1298, 1301 (8th Cir.)
    ______________ ______

    (statement made to officer after arrest of coconspirator not

    admissible under Fed. R. Evid. 801(d)(2)(E) because it was

    not made in furtherance of conspiracy), cert. denied, ___
    _____ ______

    U.S. ___, 112 S. Ct. 614 (1991). However, even if we

    construe the admission of the statement as erroneous, our

    review of the entire record persuades us that the error was

    harmless beyond a reasonable doubt.23 See Chapman v.
    ___ _______

    California, 386 U.S. 18, 22-24 (1967); Manocchio v. Moran,
    __________ _________ _____

    919 F.2d 770, 783-84 (1st Cir. 1990) (subjecting material

    which creates Sixth Amendment Confrontation Clause problems

    to harmless error analysis), cert. denied, ___ U.S. ___, 111
    _____ ______

    S. Ct. 1695 (1991); see also Carper, 942 F.2d at 1301-02
    ___ ____ ______

    (admission of statement to officer under Fed. R. Evid.

    801(d)(2)(E) held to be harmless error).

    Simply put, we do not believe, as Brennan contends,

    that McHugh's testimony tended to prove that "Brennan was

    fabricating the purposes of the loans." McHugh's deposition

    testimony was that McHugh did not know why Brennan was

    seeking the loans; it was not that Brennan provided him with
    ___

    false purposes for the loans. Thus, the testimony had

    little, if any, probative value. This fact, when coupled


    ____________________

    23. On appeal, the Government makes a somewhat strained
    argument that the material was admissible under Fed. R. Evid.
    806. Because we find that the admission of this material, if
    erroneous, was harmless error, we need not reach the merits
    of the Government's position.

    -22-
    22















    with the abundance of evidence, completely independent of the

    material here at issue, to support each of Brennan's

    convictions, convinces us beyond a reasonable doubt that the

    jury "would have reached the same verdict without having

    received the tainted evidence." Clark v. Moran, 942 F.2d 24,
    _____ _____

    27 (1st Cir. 1991) (quoting Milton v. Wainwright, 407 U.S.
    ______ __________

    371, 377 (1972)); see also United States v. Hudson, 970 F.2d
    ___ ____ _____________ ______

    948, 953-54 (1st Cir. 1992) (overwhelming independent

    evidence of guilt renders erroneous failure to admit certain

    exculpatory evidence harmless error). Accordingly, we

    decline Brennan's request for a new trial insofar as it is

    premised on the allegedly erroneous admission of the McHugh

    deposition testimony.



    6. Jury Instructions
    6. Jury Instructions
    _____________________

    McHugh contends that, in three respects, the

    district court committed reversible error in its jury

    instructions. After carefully reviewing the record in light

    of McHugh's arguments, we do not agree.

    a. Ratification of Board as a Defense
    a. Ratification of Board as a Defense
    ______________________________________

    McHugh argues that the court erred in refusing to

    instruct the jury that ratification by the Board constitutes

    a complete defense to willful misapplication. In so doing,

    McHugh refers us to several cases which, without analysis,

    simply state that valid consent or ratification by the Board



    -23-
    23















    of Directors is a defense to a charge of misapplication.

    See, e.g., United States v. Gregory, 730 F.2d 692, 701 (11th
    ___ ____ _____________ _______

    Cir. 1984), cert. denied, 469 U.S. 1208 (1985); United States
    _____ ______ _____________

    v. Beran, 546 F.2d 1316, 1321 (8th Cir. 1976), cert. denied,
    _____ _____ ______

    430 U.S. 916 (1977).

    In contrast, courts which recently have had

    occasion to address the issue specifically have concluded

    that, absent special circumstances, "knowledge, ratification

    and consent [of the Board] are not per se defenses to the
    ___ __

    charge [of willful misapplication]." United States v.
    ______________

    Cauble, 706 F.2d 1322, 1353 (5th Cir. 1983) cert. denied, 465
    ______ _____ ______

    U.S. 1005 (1984); see generally Villa, Banking Crimes,
    ___ _________ ______________

    3.02[5][c]; accord United States v. Bailey, 859 F.2d 1265,
    ______ _____________ ______

    1279 (7th Cir. 1988), cert. denied, 488 U.S. 1010 (1989);
    _____ ______

    United States v. Castro, 837 F.2d 441, 442 (11th Cir.
    ______________ ______

    1988).24 Instead, they have determined that knowledge,

    ratification, and consent "are evidentiary matters that may

    be considered as part of the defense that there was either

    not willful misapplication or not intent to injure the bank."

    Cauble, 706 F.2d at 1353; see also United States v. Castro,
    ______ ___ ____ _____________ ______



    ____________________

    24. Of course, there may be peculiar circumstances where a
    finding of ratification by the Board would, per se, compel
    ___ __
    the defendant's acquittal. If, for example, the charge of
    willful misapplication were premised entirely upon a bank
    officer's non-disclosure of a loan to the Board, clearly a
    jury could not convict that officer of misapplication if it
    found that s/he had presented the loan to the Board and the
    Board had ratified it.

    -24-
    24















    887 F.2d 988, 995 (9th Cir. 1989). We are in full agreement

    with the rule established by these courts.

    In our view, the correctness of this recent line of

    authority is best demonstrated by a brief explication of the

    practical effects of its negation. If we were to adopt the

    absolute rule proposed by McHugh and hold that ratification

    by a Board of Directors per se exonerates a bank officer from
    ___ __

    charges of willful misapplication, then we would, for

    example, put beyond the reach of 656 a bank officer who, in

    collusion with a rogue Board, provides bank funds to an

    otherwise unqualified personal friend. We simply cannot

    discern any rational justification for reaching such a

    result.

    In the instant matter, the district court declined

    to instruct the jury that, as a matter of law, it could not

    convict McHugh of misapplication if it found that the Board

    had ratified the loans at issue. Instead, the court allowed

    McHugh to introduce evidence of ratification and to argue

    that this evidence suggested that McHugh had no intent to

    injure or defraud CSB. We believe that, in this case, the

    court's actions were entirely appropriate. Accordingly, we

    reject McHugh's claim of reversible error.

    b. Reference to False Entries in Overt Act Instructions
    b. Reference to False Entries in Overt Act Instructions
    ________________________________________________________

    McHugh next contends that because the district

    court entered a judgment of acquittal notwithstanding the



    -25-
    25















    verdict for McHugh on the false entry counts, it was

    reversible error for it to have allowed the jury to consider

    the incident underlying one of the false entries counts as an

    overt act in its conspiracy instruction. The error, in

    McHugh's view, arises from the fact that "the jury may have

    found [McHugh] guilty of conspiracy solely on the basis of an

    alleged act which was not criminal." However, it is well

    established that an overt act need not be a crime. Yates v.
    _____

    United States, 354 U.S. 298, 334 (1957), overruled on other
    _____________ _________ __ _____

    grounds, Burks v. United States, 437 U.S. 1 (1978); see also
    _______ _____ _____________ ___ ____

    United States v. Medina, 761 F.2d 12, 15 (1st Cir. 1985).
    _____________ ______

    Accordingly, McHugh's argument, limited as it is to the

    statement quoted above, fails as a matter of well-

    established law.

    c. Loan Authority Instruction
    c. Loan Authority Instruction
    ______________________________

    McHugh also takes issue with the district court's

    having instructed the jury: "In addition, with regard to

    these charges, you may also consider the evidence concerning

    Mr. McHugh's loan authority and question whether he acted

    with intent to injure [the CSB] in his dealings with Mr.

    Brennan." It is McHugh's opinion that this instruction

    improperly "focused the attention of the jury on resolution

    of one evidentiary issue as especially significant in their

    [sic] deliberations [concerning] whether [McHugh] acted with

    intent to injure and defraud." Our review of the record,



    -26-
    26















    however, persuades us that this instruction, far from being

    faulty, was an altogether proper exercise by the district

    judge of his authority to "assist the jury in arriving at a

    just conclusion by explaining and commenting upon the

    evidence, [and] by drawing their [sic] attention to the parts

    of it which he thinks important[.]" Querica v. United
    _______ ______

    States, 289 U.S. 466, 469 (1933). Accordingly, we reject
    ______

    McHugh's characterization of this instruction as erroneous.

    C. Miscellany
    C. Miscellany
    ______________

    Brennan raises three final arguments. First, he

    asserts that his representation at trial and at sentencing

    was constitutionally deficient. Next, he contends that the

    district court abused its discretion in sentencing him to the

    high end of the relevant guideline range. Finally, he

    maintains that the court abused its discretion in adjusting

    his sentence upward for obstruction of justice. None of

    Brennan's arguments requires extended discussion.

    1. Ineffective Assistance
    1. Ineffective Assistance
    __________________________

    Brennan claims that his representation at trial and

    at sentencing was ineffective and violated his Sixth

    Amendment rights. In so doing, Brennan points primarily to

    the failure of trial counsel to introduce certain documents

    into evidence and the failure of sentencing counsel to spend

    sufficient time preparing for the sentencing hearing.

    However, the appellate record does not indicate that either



    -27-
    27















    of these claims was properly raised before and/or addressed

    by the district court. Moreover, our review of the record

    persuades us that the record is not sufficiently developed

    for us to address the merits of Brennan's Sixth Amendment

    claim at this time. Accordingly, we do not reach it. See,
    ___

    e.g., United States v. Gray, 958 F.2d 9, 15 (1st Cir. 1992)
    ____ _____________ ____

    ("Time and again we have held that a claim of inadequate

    representation will not be resolved on direct appeal when the

    claim has not been raised in the district court, unless the

    critical facts are not in dispute and a sufficiently

    developed record exists."); see also United States v. Hoyos-
    ___ ____ _____________ ______

    Medina, 878 F.2d 21, 22 (1st Cir. 1989) ("Fairness to the
    ______

    parties and judicial economy both warrant that, absent

    extraordinary circumstances, an appellate court will not

    consider an ineffective assistance claim where no endeavor

    was first made to determine the claim at the district court

    level.").25

    2. Sentence at High End of Guidelines Range
    2. Sentence at High End of Guidelines Range
    ____________________________________________

    Brennan also contends that the district court

    abused its discretion in sentencing him to the high end of

    the relevant guideline range while departing downward in

    sentencing McHugh. The thrust of Brennan's argument is that

    the disparity between the sentences of McHugh and himself is


    ____________________

    25. Brennan may, of course, press his ineffective assistance
    claim in the district court by way of a collateral proceeding
    under 28 U.S.C. 2255.

    -28-
    28















    unfair. Established caselaw, however, makes clear that we

    have no jurisdiction to review a sentence that is within the

    applicable guideline range. E.g., United States v. Aubin,
    ____ _____________ _____

    961 F.2d 980, 984 (1st Cir.), cert. denied, 113 S. Ct. 248
    _____ ______

    (1992). Accordingly, we do not reach the merits of Brennan's

    argument.26

    3. Enhancement for Obstruction of Justice
    3. Enhancement for Obstruction of Justice
    __________________________________________

    Finally, Brennan asserts that the district court

    abused its discretion by enhancing his sentence two levels

    for obstruction of justice for perceived perjurious

    testimony. See U.S.S.G. 3C1.1 ("If the defendant willfully
    ___

    obstructed or impeded, or attempted to obstruct or impede,

    the administration of justice during the investigation,

    prosecution, or sentencing of the instant offense, increase

    the offense level by 2 levels.") (1991 version). A district
    2

    court's application of this guideline provision is reviewable

    only for clear error. E.g., United States v. Batista-
    ____ ______________ ________

    Polanco, 927 F.2d 14, 22 (1st Cir. 1991). Our review
    _______

    convinces us that the district court's application of

    U.S.S.G. 3C1.1, far from being clearly erroneous, is amply





    ____________________

    26. In his reply brief, Brennan also challenges the district
    court's calculation of loss. As noted above, see supra note
    ___ _____
    7, arguments made for the first time in an appellant's reply
    brief are deemed waived. See Rivera-Muriente, 959 F.2d at
    ___ _______________
    354. Thus, we do not address Brennan's loss calculation
    challenge.

    -29-
    29















    supported by the record.27 Accordingly, we reject

    Brennan's claim that the enhancement at issue was an abuse of

    discretion.

    III.
    III.
    ____

    CONCLUSION
    CONCLUSION
    __________

    Having rejected each of the arguments made on

    appeal by Brennan and McHugh, we affirm their convictions and

    sentences.

    Affirmed.
    Affirmed.
    _________





















    ____________________

    27. The district court explicitly found each of the
    following to be examples of Brennan's perjurious testimony:
    (1) Brennan's claim that he did not submit a PFS for purposes
    of influencing CSB's decision to provide him with the June 5,
    1987, $70,000 loan; (2) Brennan's assertion that he expected
    all of his bounced checks to be honored because he expected
    there to be sufficient funds in the appropriate accounts at
    the time the checks were presented for payment; and (3)
    Brennan's statement that he did not acknowledge having any
    notes payable to others on his PFS because of sufficient
    "offsetting assets." There was overwhelming evidence to
    support each of these findings.

    -30-
    30