United States v. Mitchell ( 1996 )


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    July 12, 1996 UNITED STATES COURT OF APPEALS
    FOR THE FIRST CIRCUIT


    ____________


    No. 94-2226

    UNITED STATES,
    Appellee,

    v.

    JAMES L. MITCHELL,
    Defendant - Appellant.

    ____________


    ERRATA SHEET


    The opinion of this Court issued on June 5, 1996, is amended
    as follows:

    Page 6, paragraph 1, is amended to read:

    Traditionally, in the context of a
    motion to suppress, we have reviewed the
    district court's findings of fact, as well as
    any mixed findings of law and fact, for clear
    error. See United States v. Schiavo, 29 F.3d ___ _____________ _______
    6, 8 (1st Cir. 1994); United States v. ______________
    Rodr guez-Morales, 929 F.2d 780, 783 (1st _________________
    Cir. 1991), cert. denied, 502 U.S. 1030 _____________
    (1992). A recent Supreme Court case,
    however, determines that "as a general matter
    determinations of reasonable suspicion and
    probable cause should be reviewed de novo on _______
    appeal." Ornelas v. United States, 116 _______ ______________
    S. Ct. 1657, 1663 (1996) (noting that
    findings of historical fact are reviewed only
    for clear error and that "due weight" should
    be given "to inferences drawn from those
    facts by resident judges and local law
    enforcement officers"). Therefore, to the
    extent that our analysis turns on making
    those determinations, our review is de novo, _______
    as is our review of the district court
    findings of law. See Mart nez-Molina, 64 ___ _______________
    F.3d at 726.
















    UNITED STATES COURT OF APPEALS
    FOR THE FIRST CIRCUIT
    ____________________

    No. 94-2226

    UNITED STATES,

    Appellee,

    v.

    JAMES L. MITCHELL,

    Defendant - Appellant.

    ____________________

    APPEAL FROM THE UNITED STATES DISTRICT COURT

    FOR THE DISTRICT OF MASSACHUSETTS

    [Hon. Mark L. Wolf, U.S. District Judge] ___________________
    [Hon. Lawrence P. Cohen, U.S. Magistrate Judge] _____________________

    ____________________

    Before

    Torruella, Chief Judge, ___________

    Coffin, Senior Circuit Judge, ____________________

    and Cyr, Circuit Judge. _____________

    _____________________

    Walter B. Prince, by Appointment of the Court, with whom ________________
    Peckham, Lobel, Casey, Prince & Tye was on brief for appellant. ___________________________________
    Kevin J. Cloherty, Assistant United States Attorney, ____________________
    Donald K. Stern, United States Attorney, and Sheila W. Sawyer, _______________ _________________
    Assistant United States Attorney, were on brief for appellee.



    ____________________

    June 5, 1996
    ____________________















    TORRUELLA, Chief Judge. The defendant in this arson TORRUELLA, Chief Judge. ____________

    case stands convicted by a jury of conspiracy and arson under 18

    U.S.C. 371 and 844(i), respectively. For the reasons stated

    herein, we affirm the decision of the district court on all

    points.

    I. BACKGROUND I. BACKGROUND

    On the evening of February 6, 1989, the Boston Fire

    Department responded to a multiple-alarm fire at 295-297 Franklin

    Street (the "Building"), in Boston, which was owned by Jack

    Gateman ("Gateman"). At that time, the defendant, James L.

    Mitchell ("Mitchell"), was a tenant occupying the Building's

    second, third and fourth floors, where he and his partner, Allen

    Gallant ("Gallant"), ran a private social club known as "Club

    297" (the "Club"). The Club had been ordered closed by the City

    of Boston for violation of City codes in January 1989. On the

    day of the fire, several men, including Ronald Wallace

    ("Wallace"), had been working on repairs at the Club. Wallace

    testified at trial that during the course of that day Mitchell

    told him he would pay him $11,000 to set fire to the Building,

    making an initial payment. Mitchell returned to his home in

    Vermont, while Wallace returned to the Club. Mitchell called the

    Club from his car telephone, and spoke to Wallace, who testified

    that Mitchell asked him whether he would set the fire. After the

    phone call, Wallace went to the fourth floor of the Building and

    set some mattresses stacked there on fire. He and the other men

    in the Club fled the Building.


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    Over the next months, Mitchell wired Wallace sums of

    money through Western Union. Evidence was entered that Gallant

    reported the loss the Club suffered in the fire to the Club's

    insurance broker, and pursued the claim through an insurance

    broker. Testimony at trial established that some $59,400 was

    paid out on the Club's policies, most of which went to the

    Internal Revenue Service.

    In November 1991, Mitchell was charged under a twenty-

    two count indictment with conspiracy, arson, use of fire to

    commit a felony, and wire fraud. He was prosecuted on six of

    those counts. After a jury trial, he was found guilty on the

    conspiracy and arson charges, but acquitted of the remaining

    counts. This appeal ensued.

    II. ADMISSION OF SEIZED EVIDENCE II. ADMISSION OF SEIZED EVIDENCE

    The district court adopted the report and

    recommendation of the magistrate judge, who found the following

    facts. See United States v. Mart nez-Molina, 64 F.3d 719, 723 ___ _____________ _______________

    (1st Cir. 1995) ("We recite the facts adduced at a suppression

    hearing in the light most favorable to the district court's

    ruling to the extent that they derive support from the record and

    are not clearly erroneous."). On the night of the fire,

    Lieutenant Paul R. LeBlanc ("Lt. LeBlanc") of the Fire

    Investigation Unit reported to the scene of the fire. After it

    was "put down," within an hour or so of being reported to the

    Fire Department at 9:15 p.m., Lt. LeBlanc entered the premises,

    along with two associates, in order to determine the cause and


    -3-












    origin of the fire. He seized carpet samples and sections of

    stair rises, later entered in evidence at trial. Irregular burn

    patterns prompted him to suspect that the fire was not

    accidental, and that it originated on the fourth floor. Adequate

    photographs could not be taken, however, since there was no light

    and the water on the floor precluded reliable flash photography.

    The following morning, between 8:00 and 9:00 a.m., Lieutenant Roy

    Burrill ("Lt. Burrill"), also of the Fire Investigation Unit, was

    sent to the site without a warrant. He seized two sections of

    flooring from the fourth floor. A third search was conducted by

    First Security Company, a private investigation company hired by

    Gateman to determine the cause of the fire. They also seized

    samples from the fourth floor.

    On appeal, Mitchell challenges the trial court's

    admission of the evidence seized by Lt. Burrill, on the basis

    that there were no exigent circumstances justifying his entrance

    without a warrant.1
    ____________________

    1 Although he does not clearly state that his appeal is limited
    to the evidence admitted from Lt. Burrill's search, Mitchell's
    argument does not address the other two searches, and so we limit
    our analysis to Lt. Burrill's search and seizure. We note in
    passing, however, that even if Mitchell has not waived the right
    to object to the admission of the evidence from the other
    searches, see infra, the district court undoubtedly did not err ___ _____
    in admitting that evidence, for the very reasons pronounced by
    the magistrate judge. First, Lt. LeBlanc's search was
    constitutional under the rationale of Michigan v. Tyler, 436 U.S. ________ _____
    499, 510 (1978) ("Officials need no warrant to remain in a
    building for a reasonable time to investigate the cause of a
    blaze after it has been extinguished."). Second, First Security
    Company's search was a purely private search and seizure that did
    not involve official action; as such, it does not come under the
    Fourth Amendment, which does not proscribe unreasonable searches
    and seizures by private persons. See United States v. Jacobsen, ___ _____________ ________

    -4-












    A. Waiver A. Waiver ______

    The United States claims that Mitchell waived the right

    to appeal the admission of this evidence by failing to object

    within ten days to the magistrate judge's report and

    recommendation on the defendant's Motion to Suppress the Physical

    Evidence. See Rule 3(b), Rules for United States Magistrates in ___

    the United States District Court for the District of

    Massachusetts. As the report and recommendation of the

    magistrate judge itself pointed out, we have repeatedly indicated

    that failure to comply with Rule 3(b) precludes review by this

    court. See, e.g., United States v. Valencia-Copete, 792 F.2d 4, ___ ____ _____________ _______________

    6 (1st Cir. 1986); United States v. Vega, 678 F.2d 376, 379 (1st _____________ ____

    Cir. 1982) ("There can be no appeal from a magistrate's report

    and recommendation unless objections are filed thereto.").

    Mitchell now maintains that his objection to the

    evidence seized by Lt. Burrill has been saved from waiver despite

    his failure to object because, subsequent to the report and

    recommendation, the district court issued an order stating it

    would reconsider the suppression issue as regards the evidence

    seized by Lt. Burrill. In that order, the district court

    requested, among other things, that Mitchell identify the

    portions of memoranda and evidence the court should consider in

    deciding the motion to suppress the evidence seized. All of the

    seized evidence offered was admitted at trial. We need not delve

    into the intricacies of whether the district court order
    ____________________

    466 U.S. 109, 113 (1984).

    -5-












    effectively revived Mitchell's motion to suppress the evidence

    seized by Lt. Burrill, however, as we find that the district

    court did not err in admitting the disputed evidence.
















































    -6-












    B. Analysis of Search and Seizure Issues B. Analysis of Search and Seizure Issues _____________________________________

    Traditionally, in the context of a motion to suppress,

    we have reviewed the district court's findings of fact, as well

    as any mixed findings of law and fact, for clear error. See ___

    United States v. Schiavo, 29 F.3d 6, 8 (1st Cir. 1994); United _____________ _______ ______

    States v. Rodr guez-Morales, 929 F.2d 780, 783 (1st Cir. 1991), ______ _________________

    cert. denied, 502 U.S. 1030 (1992). A recent Supreme Court case, ____________

    however, determines that "as a general matter determinations of

    reasonable suspicion and probable cause should be reviewed de __

    novo on appeal." Ornelas v. United States, 116 S. Ct. 1657, 1663 ____ _______ _____________

    (1996) (noting that findings of historical fact are reviewed only

    for clear error and that "due weight" should be given "to

    inferences drawn from those facts by resident judges and local

    law enforcement officers"). Therefore, to the extent that our

    analysis turns on making those determinations, our review is de __

    novo, as is our review of the district court findings of law. ____

    See Mart nez-Molina, 64 F.3d at 726. ___ _______________

    Our analysis is framed by two Supreme Court decisions:

    Michigan v. Tyler, 436 U.S. 499 (1978), and Michigan v. Clifford, ________ _____ ________ ________

    464 U.S. 287 (1984). The basic Fourth Amendment framework is

    clear. "Courts have consistently followed 'one governing

    principle' in interpreting [the Fourth Amendment]: 'except in

    certain carefully defined classes of cases, a search of private

    property without proper consent is 'unreasonable' unless it has

    been authorized by a valid search warrant.'" Mann v. Cannon, ____ ______

    731 F.2d 54, 58 (1st Cir. 1984) (quoting Camara v. Municipal ______ _________


    -7-












    Court, 387 U.S. 523, 528-29 (1967)). Nonetheless, "a warrantless _____

    entry by criminal law enforcement officials may be legal when

    there is compelling need for official action and no time to

    secure a warrant." Tyler, 436 U.S. at 509. Mitchell's core _____

    contention here is that there were no such exigent circumstances

    in the present case, and so Lt. Burrill's warrantless search was

    unconstitutional, and the evidence he seized should have been

    suppressed.

    The analysis in Michigan v. Tyler controls our ________ _____

    decision. In Tyler, a fire broke out in a furniture store _____

    shortly before midnight; the fire had been reduced to "smoldering

    embers" when the Fire Chief reported to the scene at 2:00 a.m.

    Id. at 501. He concluded that the fire was possibly the result ___

    of arson, and called a police detective, who took some

    photographs, but "abandoned his efforts because of the smoke and

    steam." Id. at 502. After a brief survey through the rest of ___

    the building to look for further evidence of the cause of the

    fire, the Chief and police detective left the site. Four hours

    later, the Chief returned with the Assistant Chief, whose task it

    was to determine the origin of all fires in the township. The

    fire was out, and the building was empty. They quickly left,

    returning with the police detective around 9:00 a.m. They found

    suspicious burn marks, not visible earlier, and took samples of

    carpet and stairs.

    Rejecting the premise that "the exigency justifying a

    warrantless entry to fight a fire ends, and the need to get a


    -8-












    warrant begins, with the dousing of the last flame," id. at 510, ___

    the Court found the two searches conducted on the morning after

    the fire were constitutionally permitted. After noting that the

    investigation on the night of the fire was hindered by the

    darkness as well as the steam and smoke, the Court found that the

    fire officials

    departed at 4 a.m. and returned shortly
    after daylight to continue their
    investigation. Little purpose would have
    been served by their remaining in the
    building, except to remove any doubt
    about the legality of the warrantless
    search and seizure later that same
    morning. Under these circumstances, we
    find that the morning entries were no
    more than an actual continuation of the
    first . . . .
    Id. at 511. ___

    The facts here closely parallel those of Tyler. _____

    Lt. LeBlanc entered the scene after the fire was "put down," and

    within roughly an hour of the time the fire was reported, in

    order to determine the cause and origin of the fire. The

    investigation was hampered by the lack of light and by the

    presence of water on the floor: photographs could not be taken.

    The following morning, between 8:00 and 9:00 a.m., roughly twelve

    hours after the fire had been reported, Lt. Burrill entered the

    scene in order to take additional samples. He removed the water

    and debris from the fourth floor, and then seized two sections of

    flooring, the challenged evidence. These facts speak for

    themselves: Lt. Burrill's search and seizure was clearly a

    continuation of the first search by Lt. LeBlanc. Unlike in

    Tyler, of course, the same individual did not conduct both _____

    -9-












    searches, but both fire officials were of the same Fire

    Investigation Unit. Ultimately, as in Tyler, the "investigation _____

    of the fire's origin was [] temporarily suspended on account of

    the conditions on the scene and resumed at the first opportunity

    when the conditions hampering the investigation subsided."

    Clifford, 464 U.S. at 301. ________

    That Lt. Burrill's morning entrance onto the premises

    was in fact a continuation of the nighttime search is underscored

    by the distinctions the Court drew between its decision in

    Clifford and its Tyler holding. In Clifford, a fire broke out in ________ _____ ________

    a private residence and the fire department reported to the scene

    at about 5:42 in the morning. The fire was extinguished, and the

    fire officials and police left the premises at 7:04 a.m. At

    about 1:00 p.m. that afternoon a fire investigator arrived at the

    scene, having been informed that the fire department suspected

    arson. Despite the fact that the house was being boarded up on

    behalf of the out-of-town owners, the Cliffords, and despite

    their knowledge that the Cliffords did not plan to return that

    day, the fire investigator and his partner searched the house.

    After determining that the fire had been set in the basement, and

    how, the investigators searched the entire house, taking

    photographs. Id. at 289-91. In finding that the challenged ___

    search by the fire investigator was not a continuation of an

    earlier search, as in Tyler, and in distinguishing between the _____

    two cases, the Court noted:

    Between the time the firefighters had
    extinguished the blaze and left the scene

    -10-












    and the arson investigators first arrived
    about 1:00 p.m. to begin their
    investigation, the Cliffords had taken
    steps to secure the privacy interests
    that remained in their residence against
    further intrusion. These efforts
    separate the entry made to extinguish the
    blaze by that made later by different
    officers to investigate its origin.
    Second, the privacy interests in the
    residence -- particularly after the
    Cliffords had acted -- were significantly
    greater than those in the fire-damaged
    furniture store [in Tyler], making the _____
    delay between the fire and the mid-day
    search unreasonable absent a warrant,
    consent, or exigent circumstances.

    Id. at 296. These facts play no role here: there was no ___

    evidence of an effort to secure the burned-out premises, and the

    heightened privacy interests a property owner has in a home are

    not present. See id. at 297 (noting that "privacy interests are ___ ___

    especially strong in a private residence."). Unlike the private

    dwelling in Clifford, this was a commercial property. Mitchell ________

    points out that he was in Vermont at the time of the fire in the

    premises he had leased; however, he made no effort to arrange for

    the premises to be closed off, unlike the defendants in Clifford, ________

    who were similarly away from their home. These facts permitted

    the magistrate judge to conclude that the search by Lt. Burrill

    was merely a continuation of Lt. LeBlanc's search, and, thus,

    that "there was simply nothing unreasonable, in Fourth Amendment

    terms, to [sic] reentering the building and completing the

    already commenced investigation of the cause and origin of the

    fire when circumstances -- i.e., adequate lighting provided by

    daylight and removal of the debris and water -- first reasonably


    -11-












    permitted." (Report and Recommendation, page 11).

    In Clifford the Court laid out three factors for ________

    analyzing the constitutionality of warrantless searches of fire-

    damaged premises:

    whether there are legitimate privacy
    interests in the fire-damaged property
    that are protected by the Fourth
    Amendment; whether exigent circumstances
    justify the government intrusion
    regardless of any reasonable expectation
    of privacy; and, whether the object of
    the search is to determine the cause of
    the fire or to gather evidence of
    criminal activity.

    Clifford, 464 U.S. at 291; see Mann, 731 F.2d at 59-60 (weighing ________ ___ ____

    the Clifford factors in evaluating warrantless entry onto private ________

    premises for health and safety reasons). First, as noted,

    Mitchell can have had few privacy interests in the Building.

    "Privacy expectations will vary with the type of property, the

    amount of fire damage, the prior and continued use of the

    premises, and in some cases the owner's efforts to secure it

    against intruders." Clifford, 464 U.S. at 292; see Mann, 731 ________ ___ ____

    F.2d at 59 (noting that privacy considerations in virtually

    abandoned residence used as storehouse were minimal).

    Mitchell focuses his argument on the second factor,

    exigent circumstances. As he notes, at the time Lt. Burrill

    entered the grounds, the fire was out, there were no people in

    the building, and there was no danger of further damage, or of

    flammable materials being present. However, the Court has

    clearly established that "officials need no warrant to remain in

    a building for a reasonable time to investigate the cause of a

    -12-












    blaze after it has been extinguished." Tyler, 436 U.S. at 510; _____

    see Clifford, 464 U.S. at 293 (noting that "[b]ecause determining ___ ________

    the cause and origin of a fire serves a compelling public

    interest, the warrant requirement does not apply in such

    cases."). Because the magistrate judge properly found that Lt.

    Burrill's entrance onto the premises was in fact a continuation

    of Lt. LeBlanc's search, and there is no question as to that

    search's constitutionality, Mitchell's exigent circumstances

    argument fails. Indeed, this is precisely the level of exigency

    -- the fire was extinguished, the building was empty, and

    conditions had hampered investigations the night before -- whose

    constitutionality the Supreme Court upheld in Tyler. _____

    The third Clifford factor examines the purpose of the ________

    search. Here, the district court adopted the magistrate judge's

    finding that Lt. LeBlanc entered the site to determine the cause

    and origin of the fire, and that Lt. Burrill "was dispatched to

    the scene for the purpose of taking additional samples." The

    lower court concluded that there was no showing that the fire

    department suspected arson when Lt. Burrill was sent to the scene

    of the fire. Indeed, Lt. LeBlanc was only one of three

    investigators on the scene, and no evidence was presented that

    the other investigators shared his opinions, much less that any

    of them communicated their impressions to Lt. Burrill.

    In his brief, however, Mitchell seems to challenge that






    -13-












    finding, stating that Lt. Burrill2 "entered the premises without

    a warrant specifically to look for and seize evidence of arson."

    (Brief of Appellant, p. 14). Mitchell's counsel contended at

    oral argument that the magistrate judge's finding that Lt.

    Burrill did not suspect arson was improbable, and that common

    sense should indicate that Lt. LeBlanc communicated his findings

    to Lt. Burrill. We disagree. Lt. Burrill testified that as soon

    as he started his shift he was sent to the scene, and that

    "[f]requently after a fire has occurred at night, they send the

    day crew to the scene . . . because of the benefit of daylight,

    it [is] easier to get samples." (Day 1, p. 96). Lt. LeBlanc, in

    turn, testified that the Fire Investigation Unit reported to the

    fire because it was a multiple-alarm fire, to which the Unit's

    response is automatic. Based on this testimony and our

    deferential standard of review, we see no reason to find that the

    court erred in its finding of fact.

    Based on the above, we affirm the district court's

    refusal to suppress the evidence from Lt. Burrill's search.

    III. ADMISSION OF THE TAPED CONVERSATIONS III. ADMISSION OF THE TAPED CONVERSATIONS

    Prior to and after the fire, Mitchell tape-recorded a

    series of telephone conversations he had with other people,

    including Wallace and Gallant, without their consent or

    knowledge. Excerpted portions of three of these tapes were
    ____________________

    2 In fact, defendant's brief refers to nameless "Boston Fire
    Department Inspectors" who entered the building on the day
    following the fire. As Lt. Burrill is the only official fitting
    that description who seized evidence at issue here, we assume
    that defendant was describing him.

    -14-












    admitted at trial. On appeal, Mitchell argues that the district

    court committed reversible error in limiting the use of the

    tapes, for two reasons. First, he maintains, the taped

    conversations were admissible to show bias and inconsistent

    testimony. Second, he contends that all the tapes, not just

    fragments of them, were admissible for purposes of impeachment.

    As he does not specify, in either his brief or at oral argument,

    which tapes he actually seeks to enter, why each portion should

    be played, or the purpose for which each excerpt not previously

    admitted should now be allowed, we limit our discussion to those

    tapes actually entered at trial.3

    ____________________

    3 Mitchell's counsel stated that there were twenty-one tapes in
    all, with roughly twenty-eight hours of recordings. Three tapes
    were actually entered at trial, but two other tapes were
    discussed. First, defense counsel offered a tape of a
    conversation between Mitchell and David Collins, an insurance
    broker, in his cross-examination of Collins during voir dire
    outside the jury's presence, in order to refresh his recollection
    and knowledge. At the prosecution objection to the tape being
    played, and after some discussion, the court excused the witness
    for the day so that the prosection could hear the tape. The next
    day, the following colloquy ensued (Mr. Prince is defense
    counsel; Mr. Cloherty is the prosecutor):

    THE COURT: . . . . Now, with regard
    to the Collins' [sic] telephone call,
    have you heard that tape?
    MR. CLOHERTY: Yes, Your Honor.
    MR. PRINCE: We have resolved that
    issue, Your Honor.
    MR. CLOHERTY: Mr. Prince isn't going
    to play it. That's withdrawn.
    THE COURT: All right.

    (Day 9, p. 12). Since the tape was withdrawn, we do not consider
    it here. Similarly, there was some discussion of a tape recorded
    on February 8, 1989, but defense counsel ultimately stated to the
    court that he would not be offering anything from that tape, and
    so we do not address it here.

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    A. The Legal Framework A. The Legal Framework ___________________

    A party waives a right when it makes an "'intentional

    relinquishment or abandonment'" of it. United States v. Olano, _____________ _____

    507 U.S. 725, 733 (1993) (quoting Johnson v. Zerbst, 304 U.S. _______ ______

    458, 464 (1938)); see United States v. Marder, 48 F.3d 564, 571 ___ _____________ ______

    (1st Cir.), cert. denied, 115 S. Ct. 1441 (1995). However, if a ____________

    defendant merely fails to make a timely assertion of that right,

    only forfeiture results. Olano, 507 U.S. at 733; see Fed. R. _____ ___

    Crim. P. 52(b). The distinction is a key one, for

    [m]ere forfeiture, as opposed to waiver,
    does not extinguish an "error" under Rule
    52(b). . . . If a legal rule was
    violated during the District Court
    proceedings, and if the defendant did not
    waive the rule, then there has been an
    "error" within the meaning of Rule 52(b)
    despite the absence of a timely
    objection.

    Id. at 773-74. In short, where there was forfeiture, we apply a ___

    plain error analysis; where there was waiver, we do not. See ___

    United States v. Lakich, 23 F.3d 1203, 1207 (7th Cir. 1994) ______________ ______

    (noting that the "'Plain Error Rule' may only be invoked in

    instances of 'forfeited-but-reversible error,' . . . . because if

    there has been a valid waiver, there is no 'error' for us to

    correct."); see, e.g., United States v. de la Cruz-Paulino, 61 ___ ______ _____________ ___________________

    F.3d 986, 995 (1st Cir. 1995) (holding that where defendant did

    not object to prosecution's use of taped conversations, the issue

    was not preserved for appeal, but plain error analysis applied);

    Marder, 48 F.3d at 571 (holding that, because there was no ______

    waiver, plain error analysis applied). See generally, United ______________ ______


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    States v. Taylor, 54 F.3d 967, 972-73 (1st Cir. 1995) (stating ______ ______

    the policy reasons and rationale for the raise-or-waive rule).4

    B. The Tapes B. The Tapes _________

    1. The February 7, 1989 Tape 1. The February 7, 1989 Tape

    Mitchell recorded two conversations between himself and

    Wallace on February 7, 1989. Defendant sought to enter portions

    from that tape as evidence of prior inconsistent statements. At

    a hearing on the admissibility of the tape outside of the jury's

    presence, the following colloquy ensued (Mr. Prince is the

    defense counsel, Mr. Cloherty the prosecutor).

    THE COURT: . . . . Mr. Cloherty, what
    is the Government's position on playing
    all of the February 7 tape with the
    exception of the two edits we discussed?
    MR. CLOHERTY: We would want the
    entire tape played with the exception of
    those edits.
    THE COURT: And that remains agreeable
    to the defendant?
    MR. PRINCE: Yes, Your Honor, and
    Mr. Cloherty and I will edit the
    conversation.

    (Day 5, pp. 112-13). At the start of the next day of trial, the

    court asked the attorneys whether the tapes had been "edited to

    [their] mutual satisfaction"; Mitchell's counsel did not disagree

    when the prosecution stated that they had. (Day 6, p. 5). Nor
    ____________________

    4 In United States v. Taylor, we stated that the "raise-or-waive _____________ ______
    rule is not absolute. But, rescue missions are restricted to the
    correction of 'plain' errors," 54 F.3d at 972, without delving
    into the difference between forfeiture and waiver. We therefore
    note that the distinction we draw today between them does not
    conflict with Taylor, in that Taylor was concerned with failure ______ ______
    to timely object -- i.e., forfeiture. Id. (noting that "a ___
    litigant who deems himself aggrieved . . . ordinarily must object
    then and there, or forfeit any right to complain at a later
    time.").

    -17-












    did he object when the tapes were offered.

    Clearly, Mitchell has waived any objection to the

    court's failure to play the entire tape. Not only did he not

    object to the use of the tape, but he affirmatively stated that

    he was agreeable to the use of the edited tape -- there was a

    "direct inquiry from the court" and an "unequivocal assent" from

    counsel for the defense. Marder, 48 F.3d at 571 (holding that ______

    defendant did not waive issue where there was no such clear

    colloquy, but merely a failure to object). That action raises

    his later silence from mere forfeiture to waiver.

    2. The February 1, 1989 Tape 2. The February 1, 1989 Tape

    Mitchell next sought to introduce excerpts from a

    conversation taped between Mitchell and Gallant prior to the

    fire. He offered the dialogue, which discussed re-opening the

    Club, as evidence of his then-existing state of mind. See Fed. ___

    R. Evid. 803(3). The court stated that the entire tape could not

    be played, on the basis that most of it was irrelevant and

    inadmissible. However, the next day, based on a transcript

    indicating what excerpts the defendant wanted to use, and which

    of those the government objected to, the court admitted all the

    excerpts Mitchell requested. Mitchell now appears to contend

    that the entire tape should have been admitted.

    Had Mitchell merely submitted the entire tape, and the

    court only admitted excerpts, the defense's failure to object

    that the remainder of the tape was not submitted to the jury may

    only have resulted in forfeiture, Olano, 507 U.S. at 733, as _____


    -18-












    there may have been no "'intentional relinquishment or

    abandonment of a known right,'" and so no waiver. Id. (quoting ___

    Johnson v. Zerbst, 304 U.S. 458, 464 (1938)). But the defense's _______ ______

    actions went beyond this: Mitchell took an active role in

    limiting the portions considered by the district court by

    providing the excerpts himself. Ultimately, the court admitted

    all the excerpts he submitted. This, paired with his failure to

    object, raises his acts to the level of waiver. See Marder, 48 ___ ______

    F.3d at 570-71. Indeed, Mitchell does not offer any argument as

    to why we should not deem the portions not actually offered as

    waived. We will not look beyond the waiver and ask whether the

    court committed plain error.

    3. The February 11, 1989 Tape 3. The February 11, 1989 Tape

    The third tape discussed at trial was a February 11,

    1989, recording of Mitchell's conversation with his partner

    Gallant about whether the Club had insurance at the time of the

    fire. At a hearing on the tape's admissibility prior to

    Gallant's testimony, the court characterized it as "a really

    transparent effort by the defendant, Mr. Mitchell, knowing that

    he was accused of setting the arsons [sic], . . . [to say] all

    sorts of things that would be very inadmissible and also things

    of doubtful admissibility on the stand." (Day 9, p. 7).

    Accordingly, the court ruled that the tape was inadmissible to

    prove state of mind under Fed. R. Evid. 803(3), as the

    conversation occurred after the fire. The defense objected on

    the basis that the tape was in fact relevant to the defendant's


    -19-












    state of mind regarding the alleged wire fraud, and the court

    reconsidered its ruling. Accordingly, it requested a marked-up

    transcript of the portions of the tape the defense sought to

    admit on that basis, so it could "see what is at issue." (Day 9,

    p. 141).

    The next day, the court held that the first of the two

    marked pages defendant submitted could be admitted; it was read

    to the jury later that day, without a limiting instruction. The

    court also allowed the second submitted page to be entered, but

    as a prior inconsistent statement, and gave a limiting

    instruction to the jury. Defense counsel did not object to the

    court's rulings. For the same reasons discussed above, as the

    only portions of the tape the defense actually submitted to the

    court were entered, and there was no objection entered, we find

    that the defense waived any appeal that the remainder of the tape

    should have been admitted. See id. ___ ___

    As we find that the defendant has waived the right to

    argue that these three tapes should have been admitted in their

    totality, we need not consider his contentions that they were

    admissible to show bias and inconsistent testimony or for

    purposes of impeachment.

    IV. THE JURY INSTRUCTIONS IV. THE JURY INSTRUCTIONS

    Mitchell challenges the district court's jury

    instructions regarding the conspiracy charge. We review the

    propriety of jury instructions for abuse of discretion. United ______

    States v. Cassiere, 4 F.3d 1006, 1022 (1st Cir. 1993); United ______ ________ ______


    -20-












    States v. Campusano, 947 F.2d 1, 5 (1st Cir. 1991). Accordingly, ______ _________

    "[w]e must look at the instructions in light of the evidence and

    determine whether they 'fairly and adequately submit[] the issues

    in the case to the jury.'" United States v. Picciandra, 788 F.2d _____________ __________

    39, 46 (1st Cir.) (quoting United States v. Fishbach and Moore, _____________ ____________________

    Inc., 750 F.2d 1183, 1195 (3d Cir. 1984), cert. denied, 470 U.S. ____ _____________

    1029 and sub nom. Sargent Elec. Co. v. United States, 470 U.S. ________ __________________ ______________

    1085)), cert. denied, 479 U.S. 847 (1986). For the reasons _____________

    stated below, we find the district court did not abuse its

    discretion in making its instructions to the jury.

    Count I of the indictment alleged that Mitchell

    conspired with Wallace to violate the arson statute, see 18 ___

    U.S.C. 844(i), and the wire fraud statute, see 18 U.S.C. ___

    1343.5 The charge was made in the conjunctive. The district

    court, however, instructed the jury in the disjunctive:

    The first count charges a conspiracy
    to commit arson and a conspiracy to
    commit wire fraud.

    In order to prove the defendant is
    guilty of Count 1, the government doesn't
    have to prove that any demonstrated
    conspiracy had both laws or a violation
    of both laws as its object.

    It's sufficient that the government
    prove either the conspiracy to commit
    arson or the conspiracy to commit wire
    fraud.

    But you have to unanimously agree.
    That is essential. When you deliberate,
    ____________________

    5 The remaining five counts charged Mitchell with arson, wire
    fraud, and use of a fire to commit a felony. See 18 U.S.C. ___
    844(i), 1343, & 844(h).

    -21-












    all 12 of you have to agree on
    everything. So it would be insufficient
    if six of you thought there was a
    conspiracy to commit arson and six of you
    thought there was a conspiracy to commit
    wire fraud. You have to unanimously
    agree, or try to.

    But if you agree unanimously that a
    conspiracy to violate one of those
    statutes has been proven beyond a
    reasonable doubt, that's sufficient to
    find the defendant guilty on Count 1.

    (Day 12, pp. 159-60).6 Mitchell contends that the court's

    instruction that finding him guilty of one of the two

    conspiracies is sufficient impermissibly broadened the

    allegations in Count I so as to create, in effect, two conspiracy

    counts.7

    In answering defendant's argument we take our lead from

    the Supreme Court. In Griffin v. United States, 502 U.S. 46 _______ ______________

    (1991), the petitioner was charged with a conspiracy alleged to

    have two objects, but was implicated in only one of those. The

    court instructed the jury that it could return a guilty verdict

    against petitioner if it found that she had participated in

    either of the two objects, and the jury returned a general

    verdict of guilty, without specifying on which count it relied.

    Id. at 47-48. Faced with the question whether the verdict should ___
    ____________________

    6 Mitchell specifically objected to the instruction at the close
    of the charge.

    7 In making this argument, Mitchell adds that the jury was left
    to speculate as to whether Mitchell conspired to commit arson
    with Wallace, to commit wire fraud with Wallace, and possibly
    Gallant, or to commit both charges involving Gallant. Neither
    the indictment nor the jury instructions mention Gallant,
    however.

    -22-












    be set aside because the evidence was insufficient for one of the

    objects, the Court affirmed the verdict. In so doing, it relied

    on a common law rule dating back to pre-revolutionary England

    stating that "'[w]hen a jury returns a guilty verdict on an

    indictment charging several acts in the conjunctive, . . . the

    verdict stands if the evidence is sufficient with respect to any

    one of the acts charged.'" Id. at 56-57 (quoting Turner v. ___ ______

    United States, 396 U.S. 398, 420 (1970)); see United States v. ______________ ___ _____________

    Nieves-Burgos, 62 F.3d 431, 436 (1st Cir. 1995) (discussing _____________

    Griffin and the relevant case law).8 Accordingly, in United _______ ______

    States v. Lanoue, 71 F.3d 966 (1st Cir. 1995), where the district ______ ______

    court instructed the jury "that it could convict Lanoue of

    conspiracy if it found he conspired to commit any one or more of

    six object offenses" listed in the conspiracy count, id. at 979, ___

    we held that, as there was sufficient evidence for one of the
    ____________________

    8 There is an important exception to the rule discussed in
    Griffin, however. "Griffin distinguishes cases . . . which _______ _______
    concern convictions that may have rested on a basis that was not
    supported by the evidence, from those concerning convictions
    possibly resting on an invalid ground as a result of an error of
    law." Nieves-Burgos, 62 F.3d at 436; see Griffin, 502 U.S. at 58 _____________ ___ _______
    (defining "legal error" as "a mistake about the law, as opposed
    to a mistake concerning the weight or the factual import of the
    evidence"). In the case of legal errors "'the proper rule to be
    applied is that which requires a verdict to be set aside where
    the verdict is supportable on one ground, but not on another, and
    it is impossible to tell which ground the jury selected.'" Id. ___
    at 52 (quoting Yates v. United States, 354 U.S. 298, 312 (1957), _____ _____________
    overruled by Burks v. United States, 437 U.S. 1 (1978)). _____________ _____ ______________
    However, appellant does not argue that the conviction rested on
    an invalid ground, due to an error of law; rather, he focuses on
    the sufficiency of the evidence of the charges, the very concern
    at issue in Griffin. Therefore, we need not discuss this _______
    exception here. See id. at 55 (noting that the exception has ___ ___
    generally been applied "to general-verdict convictions that may
    have rested on an unconstitutional ground.").

    -23-












    object offenses, we did not need to decide whether there was

    sufficient evidence of a conspiracy to commit any or all of the

    other object offenses, id. at 982-83 (holding that the fact that ___

    there was sufficient evidence allowed a new trial despite

    vacation of the conspiracy count on other grounds). Likewise, in

    United States v. Nieves-Burgos, we applied Griffin to uphold the _____________ _____________ _______

    jury verdict where there was sufficient evidence to find

    defendant guilty for only one of three violations alleged in one

    charge. 62 F.3d at 436.

    Mitchell does not frame his argument in terms of

    Griffin and its progeny, however. Rather, he seems to make two _______

    intertwined arguments. First, he contends that Count I must be

    read to charge him with only one offense, namely, agreeing to

    burn the Building and using interstate wire facilities to

    transfer money to Wallace. The instructions, he maintains,

    expanded this offense into two, opening him up to the danger of

    being convicted on facts different from those charged. A "court

    may not substantially amend the indictment through its

    instructions to the jury." United States v. Stewart Clinical ______________ ________________

    Lab., Inc., 652 F.2d 804, 807 (9th Cir. 1981) (reversing a ___________

    conviction where the indictment charged defendants with violating

    one subsection of 42 U.S.C. 1396h(b)(2) but the government's

    case proved a violation of another); see also United States v. ________ _____________

    Trexler, 474 F.2d 369, 371 (5th Cir.) (stating that "[a]s a _______

    general rule, the Government cannot broaden an indictment so as

    to convict the defendant on different facts from those charged in


    -24-












    the indictment"), cert. denied, 412 U.S. 929 (1973). As a result ____________

    of this broadening of the indictment, he states, the Government

    was allowed to argue a "grab bag" of theories and ask the jury to

    guess as to which agreement Mitchell contemplated.

    This argument is substantially answered by our

    discussion of Griffin above. It is manifest that the district _______

    court instruction that the jury could find Mitchell guilty on

    Count I if the government proved either of the objects of the

    conspiracy complies with Griffin. See Griffin, 502 U.S. at 56- _______ ___ _______

    57. Indeed, an instruction that both objects of the multi-object

    conspiracy had to be proved would go against the cited case law.

    As the district court did not err in presenting the charge in

    this manner, the fairness and integrity of the proceedings were

    not affected, contrary to Mitchell's contention otherwise.

    Similarly, Mitchell's argument that the instructions allowed the

    jury to use conjecture as to his role is quickly dismissed, as

    the instructions clearly limit the jury to the indictment,

    requiring them to reach unanimity to find guilt on either of the

    two objects of the conspiracy. Finally, to the extent that

    Mitchell's position is that the instructions were inconsistent

    with the Government's argument at trial, he is on shaky ground

    given that from the start of the trial the Government approached

    the conspiracy charge as a multiple object conspiracy, as

    demonstrated by its opening argument (describing the arson as

    "the first object of the conspiracy" and separately outlining the

    alleged wire fraud (Day 3, pp. 55 - 58)) and proposed jury


    -25-












    instructions ("you need not . . . find that the defendant . . .

    conspired to commit both arson and wire fraud.").

    Second, although he never states it in so many words,

    Mitchell seems to contend that there was insufficient evidence to

    prove the wire fraud charge of the conspiracy, and thus the jury

    verdict was against the weight of the evidence. As we have

    established that "'a guilty verdict on an indictment charging

    several acts in the conjunctive, . . . stands if the evidence is

    sufficient with respect to any one of the acts charged,'"

    Griffin, 502 U.S. at 56-57 (quoting Turner, 396 U.S. at 420), and _______ ______

    Mitchell does not contest the sufficiency of the evidence as to

    the charge of conspiracy to commit arson,9 this position must

    also fail.

    V. THE MOTION FOR ACQUITTAL V. THE MOTION FOR ACQUITTAL

    Mitchell's next contention also centers on the evidence

    -- or lack thereof -- regarding the alleged conspiracy to commit


    ____________________

    9 Mitchell lists the elements the Government had to prove for
    both objects of the conspiracy, but the only evidence he actually
    questions, regarding the use of interstate wire facilities, goes
    solely to the wire fraud claim.

    In a footnote, Mitchell also argues that the court expanded
    the conspiracy's scope "by allowing the Government to argue that
    Mitchell caused Gallant to file false and fraudulent information ______
    with the insurance company." (Appellant's Brief, p. 34 n.39).
    He maintains that the Government was allowed to prove its case
    against Mitchell by showing (1) that he was partners with
    Gallant, and (2) that Gallant filed a claim for insurance
    proceeds without Mitchell's assistance. As this argument also
    goes solely to the sufficiency of the evidence regarding wire
    fraud, and there is no challenge to the sufficiency of the
    evidence on the conspiracy to commit arson charge, we need not
    address it.

    -26-












    wire fraud. 18 U.S.C. 1343.10 He posits that the district

    court committed reversible error in denying his motion for

    judgment of acquittal because there was no evidence that the

    defendant filed, or caused to be filed, an insurance claim. As

    he does not specify which count or counts he contends should be

    reversed, we focus on Count I, the conspiracy count, as this

    evidence clearly goes to the insurance fraud claim, not the arson

    claim. We review Mitchell's "challenge to the evidentiary

    sufficiency of the government's case by examining 'whether the

    total evidence, taken in the light most amicable to the

    prosecution, together with all reasonable inferences favorable to

    it, would allow a rational factfinder to conclude beyond a

    reasonable doubt that the defendant was guilty as charged.'"

    United States v. Castro-Lara, 970 F.2d 976, 979 (1st Cir. 1992) _____________ ___________

    (upholding district court's denial of motion for judgment of

    acquittal), cert. denied sub nom. Sarraff v. United States, 508 ______________________ _______ ______________

    U.S. 962 (1993).
    ____________________

    10 That section states, in pertinent part:

    Whoever, having devised or intending
    to devise any scheme or artifice to
    defraud, or for obtaining money or
    property by means of false or fraudulent
    pretenses, representations, or promises,
    transmits or causes to be transmitted by
    means of wire, radio or television
    communication interstate or foreign
    commerce, any writings, signs, signals,
    pictures or sounds for the purpose of
    executing such scheme or artifice, shall
    be fined under this title or imprisoned
    not more than five years, or both.

    18 U.S.C. 1343.

    -27-












    Essentially, Mitchell argues the following. To prove

    wire fraud the Government had to prove: "1) a scheme to defraud

    by means of false pretenses, 2) the defendant's knowing and

    willful participation in the scheme with the intent to defraud,

    and 3) the use of interstate wire communications in furtherance

    of the scheme." Cassiere, 4 F.3d at 1011. The Government failed ________

    to prove the first prong of the test because it did not show that

    Mitchell made any false representations to the insurance

    carriers, and so there was no false pretense. Instead, Gallant

    was responsible for preparing and presenting the insurance claim

    and proof of loss to the insurers. The prosecution did not show

    Mitchell knew or reasonably foresaw the filing of the claims as

    the consequence of his conduct. Since the Government's theory

    was that Mitchell hired Wallace to burn the Building because it

    had been closed by the city and he could no longer operate it, it

    was essential to the Government's claim to show that Mitchell

    knew the Club was insured and made a claim for the proceeds, or

    caused another to do so. However, Gallant testified that he made

    the claim without Mitchell's assistance, and that he actually had

    a dispute with Mitchell as to whether a claim should be

    processed. The only evidence that Mitchell filed an insurance

    claim was a letter from an Edward Garguilo to David Collins, the

    insurance broker, but there was no evidence connecting Mitchell

    to this letter, and no evidence showing that the letter formed

    the basis for a request for payment, and so it cannot form the

    basisfor anargument thatMitchell attemptedto consummatethe fraud.


    -28-












    Even if we accept all of his contentions as true, at

    most they establish that there was insufficient evidence to find

    Mitchell guilty of the wire fraud object of the conspiracy

    charge. As we have noted, "'if a jury returns a guilty verdict

    on an indictment charging several acts in the conjunctive,'" as

    the arson and wire fraud charges were made here, "'the verdict

    stands if the evidence is sufficient with respect to any one of

    the acts charged.'" Griffin, 502 U.S. at 56-57 (quoting Turner, _______ ______

    396 U.S. at 420); see, e.g., Lanoue, 71 F.3d at 982-83; Nieves- ___ ____ ______ _______

    Burgos, 62 F.3d at 436. As Mitchell does not argue that there ______

    was insufficient evidence for the arson charge, we deem that he

    has waived the opportunity to do so. See United States v. ___ _____________

    Zannino, 895 F.2d 1, 17 (1st Cir.) (applying "the settled _______

    appellate rule that issues adverted to in a perfunctory manner,

    unaccompanied by some effort at developed argumentation, are

    deemed waived."), cert. denied, 494 U.S. 1082 (1990). Thus the ____________

    court did not err in refusing to grant the motion to acquit.11
    ____________________

    11 Mitchell argues that the court erred in allowing the letter
    sent by Garguilo in evidence under the "business records"
    exception to the hearsay rule, see Fed. R. Evid. 803(6), because ___
    Garguilo did not testify regarding the authenticity of the letter
    or its accuracy, and there was no testimony regarding what
    happened to the letter after Collins received it. However,
    Sharon Motyl, a claims technician for Insurance Innovators,
    testified that the claims files were maintained in the ordinary
    course of business and included documents received from a third
    party. She specifically stated that the Garguilo letter was
    maintained as part of the pertinent claim file in the ordinary
    course of business. Given this, we doubt that the district court
    abused its discretion in admitting the letter. See United States ___ _____________
    v. Moore, 923 F.2d 910, 915 (1st Cir. 1991) (noting that review _____
    of admission of evidence under the business records exception is
    for abuse of discretion). Even if it had, its error would not be
    prejudicial, as the letter was not relevant to the arson object

    -29-












    VI. MITCHELL'S SENTENCE VI. MITCHELL'S SENTENCE

    Mitchell's final contention on appeal is that the

    district court erred by enhancing his Basic Offense Level12

    ("B.O.L.") by four points: two points for his role in the

    offense as an organizer, leader, manager or supervisor, see ___

    U.S.S.G. 3B1.1(c), and two points for obstruction of justice,

    see U.S.S.G. 3C1.1. After noting our standard of review, we ___

    address each of these enhancements in turn. For the reasons

    given below, we affirm the sentence given by the district court.

    A. Standard of Review A. Standard of Review __________________

    "When we review a district court's application of a

    sentencing guideline, we utilize a bifurcated process. First, we

    review the guideline's legal meaning and scope de novo. Next, we _______

    review the court's factfinding for clear error, giving due

    deference to the court's application of the guidelines to the

    facts." United States v. Thompson, 32 F.3d 1, 4 (1st Cir. 1994) _____________ ________

    (citations omitted). "'Due deference' in this context means that,

    absent mistake of law, we will review the sentencing court's fact

    based application of the guidelines only for clear error.'"

    United States v. McDonough, 959 F.2d 1137, 1141 (1st Cir. 1992) _____________ _________

    ____________________

    of the conspiracy count.

    12 As the sentencing guidelines in effect at the time of the
    sentencing were more onerous than those in effect at the time of
    the offense (Oct. 15, 1988), the district court applied the
    latter set of guidelines. The court found a base offense level
    of 6, see U.S.S.G. 2K1.4(a), and enhanced it 18 levels for ___
    knowing creation of a substantial risk of death or serious bodily
    injury, see U.S.S.G. 2K1.4(b)(1). With the disputed ___
    enhancements, the total adjusted offense level was 28.

    -30-












    (quotingUnited Statesv. Mart nez,922F.2d 914,925 (1stCir. 1991)). _____________ ________

    B. Manager or Supervisor of a Criminal Activity B. Manager or Supervisor of a Criminal Activity ____________________________________________

    The district court enhanced Mitchell's B.O.L. because

    it found he acted as Wallace's organizer in committing the crime.

    See U.S.S.G. 3B1.1(c).13 In order to apply section 3B1.1(c), ___

    a court must first determine that there were at least two

    participants in the crime. See United States v. Akitoye, 923 ___ _____________ _______

    F.2d 221, 227 (1st Cir. 1991). Here, the two participants were

    Wallace and Mitchell himself. See United States v. Morillo, 8 ___ _____________ _______

    F.3d 864, 872 n.13 (1st Cir. 1993) ("The defendant himself may

    be counted in determining the overall number of participants.").

    "The second requirement for the application of section

    3B1.1(c) is that the defendant exercised control over, or was

    otherwise responsible for organizing the activities of, at least

    one other individual in committing the crime." Akitoye, 923 F.2d _______

    at 227. Here, the district court found at sentencing that

    Mitchell hired Wallace to burn the Club, as he was concerned that

    the City of Boston would not let the Club reopen, and he wanted

    to collect the insurance proceeds. It also found that Mitchell

    called the Club the night of the fire and, in effect, instructed

    Wallace to start the fire. Mitchell challenges these factual
    ____________________

    13 At the time of the offense that section stated:

    If the defendant was an organizer,
    leader, manager, or supervisor in any
    criminal activity [involving four or
    fewer participants], increase by 2
    levels.

    U.S.S.G. 3B1.1(c) (1987).

    -31-












    findings. He notes that Wallace testified that, when Mitchell

    called him at the Club on the night of the fire, he asked "are

    you going to do it?" The inference, Mitchell argues, is that

    Wallace was a free agent. Indeed, he maintains, their contact

    was almost casual, and it was up to Wallace to burn the Club or

    not. His argument is of no avail. There was evidence at trial

    that Mitchell initiated discussion of the arson, recruited

    Wallace to carry it out, told him specifically how to do it, and

    promised to pay him. Given the record, we find no clear error in

    the district court's factual findings. Compare United States v. _______ _____________

    Balogun, 989 F.2d 20, 23 (1st Cir. 1993) (finding no clear error _______

    in trial court's application of 3B1.1(c) where the facts showed

    defendant initiated the conspiracy, received more money than his

    co-conspirator, paid his co-conspirator for his cooperation in

    the scheme, and used cars fraudulently registered to the co-

    conspirator to stage accidents) with United States v. Castellone, ____ _____________ __________

    985 F.2d 21, 26 (1st Cir. 1993) (refusing to uphold application

    of 3B1.1(c) where the district court did not find defendant

    controlled anyone else's movements) and United States v. Fuller, ___ _____________ ______

    897 F.2d 1217, 1221 (1st Cir. 1990) (holding that "in the absence

    of any evidence that [defendant] exercised control over [other]

    persons or was otherwise responsible for organizing them in the

    commission of the offense, the mere fact that [defendant] had

    dealt with a large quantity of marijuana does not support a

    finding that he was an organizer, leader, supervisor, or manager"

    in conspiracy to distribute marijuana).


    -32-












    Mitchell seeks to rely on the Second Circuit's decision

    in United States v. McGregor, 11 F.3d 1133, 1139 (2d Cir. 1993), _____________ ________

    in arguing that section 3B1.1(a) does not apply here. In that

    case, the court found that a drug dealer who asked his wife to

    give a package to buyers was not an organizer under section

    3B1.1, since it was an isolated occurrence. Mitchell relies on

    McGregor to argue that the isolated request for assistance he ________

    made to Wallace did not rise to the level the Guideline requires,

    noting that there was no evidence that they had acted in concert

    for any other criminal activity. His reliance is misplaced,

    however. The dealer in McGregor bought and resold at least four ________

    ounces of cocaine a week for over a year, and involved his wife

    on only one occasion. His sentence reflected all his prior drug

    dealing activity. In this context, the court held that "against

    the whole background of the case" McGregor's use of his wife did

    not rise to the level of an organizer, leader, manager or

    supervisor. Id. at 1138 (noting that "[i]f McGregor had been ___

    charged with drug activity on any other day during the preceding

    year, he would have received a sentence without enhancement.").

    In the present case, the district court found that Mitchell hired

    Wallace to burn the Club and instructed him how and when to do

    it. Clearly, these facts are distinguishable from the husband in

    McGregor who asks his wife to give buyers a package since he ________

    would not be home to do it himself. As the McGregor court noted, ________

    "[i]n the usual case, obtaining the services of a participant

    would make one a supervisor subject to an enhanced sentence."


    -33-












    Id. This is just such a usual case.14 ___

    C. Obstruction of Justice C. Obstruction of Justice ______________________

    The district court concluded that Mitchell obstructed

    justice through his use of his tape recordings to attempt to

    cover up the conspiracy to commit arson, finding that they were

    made in an effort to create a false record, and were "intended to

    mislead authorities investigating this case and to deceive the

    jury, indeed, a judge, should the matter develop to that point."

    (Sentencing hearing, at 45). The court accordingly increased the

    B.O.L. by two additional points. See U.S.S.G. 3C1.1.15 In ___

    his brief, Mitchell does not contest the district court's factual

    findings. Instead, he makes three arguments designed to show

    that his use of the tapes did not rise to the level of

    obstruction required to apply this section. We address each in

    turn.

    First, Mitchell points out that the investigation was

    not obstructed in any manner, as the investigators did not know

    ____________________

    14 Mitchell's point that he did not conduct other criminal
    activity in concert with Wallace is irrelevant: when weighing
    application of section 3B1.1(a), the sentencing court looks to
    the criminal activity charged. See, e.g., Balogun, 989 F.2d at ___ ____ _______
    23.

    15 At the time of the offense that section stated:

    If the defendant willfully impeded or
    obstructed, or attempted to impede or
    obstruct the administration of justice
    during the investigation or prosecution
    of the instant offense, increase the
    offense level . . . by 2 levels.

    U.S.S.G. 3C1.1 (1987).

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    of the tapes' existence until after his arrest. They were not

    misled by them in any way. See United States v. Manning, 955 ___ _____________ _______

    F.2d 770 (1st Cir. 1992) (finding that giving false name to

    arresting officers did not amount to obstruction of justice under

    3C1.1, as it did not mislead them). This argument is a red

    herring, however: the guideline itself provides that it applies

    if a defendant attempts to obstruct the administration of justice

    not only during the investigation, but also during the

    prosecution of an offense. Thus, whether or not the

    investigation was impacted by the tapes is irrelevant, since

    Mitchell used them at trial.

    Mitchell's second argument is that his use of the tapes

    did not thwart the administration of justice, since there was no

    intimidation of the witnesses, and no attempt to prevent them

    from testifying at trial. This, too, is a red herring, since

    intimidating or influencing a witness is not required in order to

    find obstruction of justice under section 3C1.1. Of course, it

    is one method that the commentary to that section notes may

    provide a basis for finding a defendant obstructed justice, see ___

    U.S.S.G. 3C1.1 comment. (n. 1(d)), but the commentary's list

    is, by its terms, not exclusive.

    Finally, Mitchell argues that his use of the tapes does

    not qualify for an enhancement under section 3C1.1 because he did

    not use them as an affirmative weapon, since they were only used

    for impeachment purposes. The trial court's decision, he

    maintains, seeks to punish passive, defensive conduct designed to


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    protect the cross-examination process. However, as the

    Government points out, Mitchell's use of the tapes was not

    passive. He used portions of the February 1 and February 11

    tapes to demonstrate his state of mind, and used the February 7

    tape to cross-examine Wallace.

    Indeed, Mitchell does not challenge the district

    court's factual finding that the tapes were made in an attempt to

    create a false record, and we find no clear error in the court's

    finding. Given that, the court's application of section 3C1.1

    was clearly proper. As the current commentary to that section

    notes, "producing or attempting to produce a false . . . record

    during a . . . judicial proceeding" rises to the level of

    obstructing justice. U.S.S.G. 3C1.1 comment. (n. 3(c)) (1995);

    see U.S.S.G. 3C1.1 comment. (n. 1(c)) (1987) ("producing or ___

    attempting to produce an altered, forced, or counterfeit . . .

    record during a . . . trial" may be a basis for applying

    3C1.1); see, e.g., United States v. Rojo-Alvarez, 944 F.2d 959, ___ ____ _____________ ____________

    969 (1st Cir. 1991) (finding that submission of altered passport

    as verification of defendant's identity met obstruction of

    justice standard); cf. United States v. Ruiz-Batista, 956 F.2d ___ ______________ ____________

    351, 353-54 (1st Cir.) (upholding use of sentencing guideline

    commentary added after date of offense where commentary clarified

    what conduct could be considered in determining defendant's

    role), cert. denied, 506 U.S. 834 (1992). As Mitchell produced a ____________

    falsified record at trial, we uphold the district court's

    enhancement of his sentence for obstruction of justice.


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    VII. CONCLUSION VII. CONCLUSION

    For the reasons stated above, the decision of the

    district court is affirmed. affirmed ________
















































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