United States v. Williams ( 1993 )


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  • USCA1 Opinion









    UNITED STATES COURT OF APPEALS
    FOR THE FIRST CIRCUIT

    ____________________

    No. 93-1661

    UNITED STATES OF AMERICA,

    Plaintiff, Appellee,

    v.

    STEPHEN E. WILLIAMS,

    Defendant, Appellant.

    ____________________


    APPEAL FROM THE UNITED STATES DISTRICT COURT

    FOR THE DISTRICT OF MASSACHUSETTS

    [Hon. William G. Young, U.S. District Judge]
    ___________________

    ____________________

    Before

    Torruella, Circuit Judge,
    _____________

    Bownes, Senior Circuit Judge,
    ____________________

    and Cyr, Circuit Judge.
    _____________

    ____________________


    William J. Genego for appellant.
    _________________
    Roberta T. Brown, Assistant United States Attorney, with whom A.
    _________________ __
    John Pappalardo, United States Attorney, and Michael K. Loucks,
    ________________ ___________________
    Assistant United States Attorney, were on brief for appellee.

    ____________________

    December 3, 1993

    ____________________



















    CYR, Circuit Judge. Pursuant to a plea agreement,
    CYR, Circuit Judge.
    _____________

    appellant Stephen Williams pled guilty to fourteen counts of mail

    fraud, whereupon other charges were dismissed and Williams was

    sentenced to seven months' imprisonment. On appeal, Williams

    challenges, among other things, the district court's denial of

    his request for an evidentiary hearing and its determination that

    certain criminal acts alleged in the dismissed counts constituted

    "relevant conduct" under the counts of conviction. Finding no

    error, we affirm.



    I
    I

    FACTS
    FACTS
    _____


    In 1980, Williams and codefendant Bruce Kotek founded

    S.E.R.V.E.S.S., Inc. (SERVESS), a Massachusetts not-for-profit
    ______________

    corporation which operated homes for the handicapped. SERVESS

    entered into at-cost contracts with the Commonwealth of Massa-
    _______

    chusetts (Commonwealth) for the placement of mentally handicapped

    persons in SERVESS group homes. These contracts entitled SERVESS

    to reimbursement for its expenses but prohibited it from realiz-

    ing a profit. In 1984, while serving on the SERVESS board of

    directors, Williams and Kotek established Community Services,

    Inc. (CSI), a for-profit corporation which would contract with
    __________

    companies like SERVESS to operate their group homes in return for

    a management fee. In July 1984, Williams and Kotek, in their

    capacity as SERVESS directors: (1) voted to enter into a manage-

    ment contract with CSI; (2) promoted a SERVESS employee, William
















    Polis, to serve as SERVESS's new executive director; and (3)

    resigned from the SERVESS Board effective August 31, 1984. On

    September 1, 1984, the day after the Williams and Kotek resigna-

    tions became effective, the SERVESS-CSI management contract was

    executed by Polis on behalf of SERVESS. In 1985, during Polis's

    tenure, at the instance of Williams and Kotek SERVESS entered

    into several long-term leases of property owned by real estate

    trusts controlled by the third codefendant, Robert Alexander.

    Although only Alexander received income from these properties,

    Kotek, Williams and Alexander were all residual beneficiaries

    under the real estate trusts.

    In January 1986, Williams and Kotek founded another

    not-for-profit corporation called D.A.R.S.O., Inc. (DARSO), which
    ______________

    operated day-care centers for mentally handicapped persons. Like

    SERVESS, DARSO contracted directly with the Commonwealth for

    reimbursement of its at-cost expenses, and leased several parcels

    of real property from the same real estate trusts. DARSO also

    purchased furniture from a company in which Williams held an

    interest. Williams served as a director of DARSO from its

    inception.

    Massachusetts law requires that any not-for-profit

    corporation submitting expense reimbursement requests to the

    Commonwealth disclose whether the expense was incurred with a

    "related person," defined as "[a] person or organization which is

    associated or affiliated with or has control of or is controlled
    ___ _______ __

    by the [not-for-profit corporation] or is related to the [not-


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    for-profit corporation] or any director, stockholder, trustee,

    partner or administrator of the [not-for-profit corporation] by

    common ownership or control or in a manner specified in [I.R.C.

    267(b), (c).]" See 114.5 Mass. Reg. 3.02 (emphasis added).
    ___

    In November 1990, Williams, Kotek, Alexander, and the

    various corporate entities were indicted for RICO violations, 18

    U.S.C. 1962(c), RICO conspiracy, 18 U.S.C. 1962(d), and

    multiple counts of mail fraud, 18 U.S.C. 1341, in connection

    with the alleged SERVESS and DARSO schemes to defraud the Common-

    wealth. The indictment was based on Williams's failure to

    disclose: (1) that he and Kotek, through executive director

    Polis, "controlled" SERVESS at the time CSI and SERVESS entered
    __________

    into their management contract; and (2) that both corporations

    leased property from real estate trusts whose beneficiaries were

    "related parties." The government charged that the SERVESS and

    DARSO reimbursement requests exceeded their costs, and that

    Williams and Kotek defrauded the Commonwealth by using these

    "hidden profits" to improve, and acquire equity in, the real

    estate leased to SERVESS and DARSO by the real estate trusts.

    At sentencing, the government characterized the dis-

    missed SERVESS counts as "relevant conduct" under U.S.S.G.

    1B1.3 and introduced a transcript of the grand jury testimony

    of William Polis, to the effect that he was acting under Wil-

    liams's "control" when he signed the SERVESS-CSI management






    4














    contract in September 1984.1 Williams argued that the SERVESS

    scheme was too remote in time and context to constitute "relevant

    conduct" under the DARSO counts, and requested an evidentiary

    hearing for the purpose of cross-examining Polis on his grand

    jury testimony concerning the issue of "control." The district

    court denied the request for an evidentiary hearing and found the

    loss occasioned by the SERVESS counts to be "relevant conduct."

    Williams appeals the resulting seven-month prison sentence.2










    ____________________

    1The gross loss occasioned the Commonwealth by the mail
    fraud directly related to the SERVESS counts was estimated at
    between $500,000 and $1 million, while the DARSO counts involved
    estimated loss of $50,000 to $100,000. See U.S.S.G. 2F1.1.
    ___
    The district court imposed an 8-level enhancement, based on the
    $500,000 to $1 million loss occasioned by the SERVESS scheme, as
    "relevant conduct," see id. 1B1.3, in connection with Wil-
    ___ ___
    liams's sentencing on the DARSO scheme counts to which he pled
    guilty.

    2The pre-November 1989 Sentencing Guideline calculation was
    as follows:

    Base offense level ( 2F1.1) 6
    + Loss between $500,000 and $1 million +8
    + More than minimal planning +2
    + Abuse of trust position +2
    - Acceptance of responsibility -2

    Adjusted offense level 16
    Adjusted offense level 16

    GSR (Criminal History Category I) 21-27 mos.
    Downward departure for Substantial
    Assistance -14 mos.

    Sentence 7 mos.
    Sentence 7 mos.

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    II
    II

    DISCUSSION
    DISCUSSION
    __________


    The crux of Williams's grievance is that his plea

    agreement with the government, which led to the dismissal of the

    SERVESS counts, resulted in no lower sentence since the Common-

    wealth loss relating to the SERVESS counts was considered "rele-

    vant conduct" for purposes of sentencing on the DARSO counts.

    Our cases, see, e.g., United States v. Wright, 873 F.2d 437, 440-
    ___ ____ _____________ ______

    42 (1st Cir. 1989), long since have recognized the appropriate-

    ness of just such "relevant conduct" adjustments as these.

    Moreover, unlike "relevant conduct" adjustments that may appear

    to erode the intended benefit of a defendant's plea bargain, see
    ___

    United States v. Fox, 889 F.2d 357, 362-63 (1st Cir. 1989); see
    _____________ ___ ___

    also Kinder v. United States, 112 S. Ct. 2290, 2292-93 (1992)
    ____ ______ ______________

    (White, J., dissenting from a denial of certiorari) (collecting

    cases and noting circuit split), in this case Williams plainly

    was on notice that the government would request the court to

    treat the SERVESS-related loss as "relevant conduct" under the

    DARSO counts.3 Finally, while the government reserved its right

    ____________________

    3The plea agreement provides:

    Williams agrees that the United States may
    argue that the loss suffered . . . from all
    of the fifteen charged schemes to defraud set
    forth in predicate acts one through fifteen
    of Count One of the indictment [i.e., the
    ____
    SERVESS-related conduct] may be included by
    the court in its calculation of the loss
    suffered by the Commonwealth of Massachu-
    setts. The Government agrees that Mr. Wil-
    liams may argue that the Court should not do

    6














    to recommend a "relevant conduct" adjustment, the plea agreement

    afforded Williams significant benefit. The government agreed,

    inter alia, to move to dismiss all RICO and RICO-conspiracy
    _____ ____

    counts, and to recommend a sentence at the low-end of the appli-

    cable guideline sentencing range. The government also left the

    door open to a downward departure for substantial assistance.

    Ultimately, of course, the district court granted a downward

    departure for substantial assistance, see supra note 2, on the
    ___ _____

    government's recommendation. See U.S.S.G. 5K1.1.
    ___

    Thus, our review discloses that both the letter and

    spirit of the plea agreement was observed, resulting in substan-

    tial benefit to Williams. The fact that the district court, in

    scrupulous observance of the Sentencing Guidelines and our

    caselaw, did not grant appellant all he had hoped does not

    warrant appellate relief.


    1. "Relevant Conduct"
    1. "Relevant Conduct"
    ________________

    Absent a mistake of law, we review "relevant conduct"

    findings for clear error. United States v. Wood, 924 F.2d 399,
    _____________ ____

    403 (1st Cir. 1991). Only after the government has met its

    burden of establishing, by a preponderance of the evidence, "a

    sufficient nexus between the [extraneous] conduct and the offense
    __________ _____

    of conviction," may the sentencing court, in its sound discre-

    tion, make a "relevant conduct" adjustment. United States v.
    ______________




    ____________________

    so.

    7














    Sklar, 920 F.2d 107, 110 (1st Cir. 1990) (emphasis added). The
    _____

    district court supportably found the required nexus in this case.

    The principal argument advanced by Williams on appeal

    is that the conduct allegedly involved in the SERVESS scheme was

    too dissimilar to be considered "relevant" to the conduct of

    conviction involved in the DARSO counts.4 This supposed dissimi-

    larity springs from the fact that Williams's alleged criminal

    liability under the dismissed SERVESS counts was predicated on a

    determination that Williams controlled Polis, thereby causing

    SERVESS to violate its obligation to disclose "related parties,"

    whereas criminal liability for the DARSO scheme rested directly

    on the conduct of Williams and his codefendants.

    The SERVESS and DARSO schemes shared a great deal in

    common: (1) the same victim, i.e., the Commonwealth; (2) the
    ____

    same method of operation, i.e., SERVESS's improper requests for
    ____

    Commonwealth reimbursement of the management fees paid CSI, or

    the rental fees paid for the real estate trusts; (3) the same

    three principals, i.e., Williams and Kotek as influential "insid-
    ____

    ers," Alexander as the "outsider" recipient; and (4) the same

    underlying substantive offense, i.e., the fraudulent failure to
    ____

    identify the defendant's "related party" status in accordance

    ____________________

    4Appellant's other arguments warrant little discussion.
    First, he questions the temporal proximity between the DARSO and
    SERVESS schemes. But this argument ignores the nature of the
    underlying crime. Assuming arguendo that the SERVESS contract
    ________
    with CSI was executed before DARSO came into existence, the mail
    fraud, based on the continuing non-disclosure of Williams's
    ______________
    "related party" status, continued well beyond that date. Appel-
    lant's second contention that any control exercised over Polis
    was "intermittent" is likewise inapposite.

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    with 114.5 Mass. Reg. 3.02. Thus, the district court reasonably

    could conclude that the DARSO and SERVESS schemes, while not one

    and the same, were nonetheless sufficiently comparable in charac-

    ter, cast and plot, to warrant similar billing under U.S.S.G.

    1B1.3.


    2. Sufficiency of the Evidence
    2. Sufficiency of the Evidence
    ___________________________

    The second argument Williams makes is that the evidence

    was insufficient to link him to the SERVESS scheme. The eight-

    level adjustment under U.S.S.G. 1B1.3 was based exclusively on

    the government's contention that Williams controlled Polis's

    approval of the CSI management contract, and the long-term leases

    with the real estate trusts, on behalf of SERVESS. The only

    "control" evidence introduced at sentencing was Polis's grand

    jury testimony, which Williams correctly characterizes as hear-

    say. Williams insists that the grand jury testimony was rendered

    even less reliable because the prosecutor posed a series of

    hostile or leading questions to Polis on the issue of "control."

    Moreover, Williams argues, Polis testified that following their

    resignations from the SERVESS Board in August 1984 neither

    Williams nor Kotek had the power to remove Polis as the executive

    director of SERVESS, and that Polis named a new board of direc-

    tors, increased his own salary, and leased other properties in

    which Williams had no ownership interest.

    Given the deferential "clear error" standard of review,

    United States v. Zuleta-Alvarez, 922 F.2d 33, 36 (1st Cir. 1990),
    _____________ ______________

    cert. denied, 111 S. Ct. 2039 (1991), and the modest burden and
    _____ ______

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    quality of proof incumbent on the government at sentencing, id.
    ___

    at 37 (citing United States v. Mocciola, 891 F.2d 13, 17 (1st
    _____________ ________

    Cir. 1989)), Williams's claim founders on the plain language in

    U.S.S.G. 6A1.3(a):

    In resolving any reasonable dispute concern-
    ing a factor important to the sentencing
    determination, the court may consider rele-
    vant information without regard to its admis-
    sibility under the rules of evidence applic-
    able at trial, provided that the information
    has sufficient indicia of reliability to
    support its probable accuracy.

    Under U.S.S.G. 6A1.3(a), we repeatedly have upheld

    reliance on prior hearsay testimony never subjected to cross-

    examination, so long as there were other adequate indicia of

    reliability. See, e.g., Wright, 873 F.2d at 441. Here, the
    ___ ____ ______

    Polis testimony was given under oath, subject to the penalties of

    perjury, in a formal grand jury proceeding that resulted in

    Williams's indictment on the DARSO counts, as well as the SERVESS

    counts which were dismissed pursuant to the plea agreement. The

    district court was provided with the complete transcript of the

    Polis grand jury testimony, wherein Polis admitted, inter alia,
    _____ ____

    that Williams was still "calling the shots" during the first two

    years Polis served as President of SERVESS.5 The Polis testimo-

    ____________________

    5Polis testified as follows:
    Q: But, Mr. Polis, [why did you sign] a
    document [the SERVESS-CSI management con-
    tract] you had never seen before, a document
    in which you played no role in the negotia-
    tion of on your first day on the job, which
    obligated your entity to five years relation-
    ship with [CSI]. What is the reason you
    signed it?
    A: I didn't really feel I had the choice.

    10














    ny was the only direct evidence before the district court on

    Williams's influence upon Polis. So far as the record discloses,

    the Polis testimony was also the only direct evidence before the

    grand jury on the issue of Williams's "control," and would appear

    to have been critical to the "probable cause" determination on

    which Williams's indictment on the SERVESS counts was based. In

    ____________________

    Q: And what was what was it that was
    taking away your ability to have a choice?
    A: Stephen Williams and Bruce Kotek.
    Q: How?
    A: The fact that they had the contracts and
    the control.
    * * *
    Q: Mr. Polis, in the sort of natural scheme
    of human relationships, two people who are
    running an entity don't voluntarily relin-
    quish all control over it to somebody else on
    the faint hope that person will turn control
    right back to them in a consulting agreement
    or leave control with them by letting them do
    what they want to do in terms of who they
    execute leases with and the like.
    Is it your testimony that there was no
    conversation . . . in which you indicated
    that you would continue to do their bidding
    as director of SERVESS?
    A: There was a discussion about they had
    gone to the state, they had gone to an attor-
    ney, they were coming up with an agreement
    and that they wanted it signed and that they
    would become the management entity and I
    would run the programs.
    Q: Well didn't somebody ever say at any
    point in time you're going to continue to do
    as we tell you to do, Bill. We're making you
    executive-director but we still call the
    _____ ____ ___
    shots here.
    _____
    A: That's obviously how they felt.
    Q: And that for a while, that's obviously
    what happened Mr. Polis?
    A: Yes.
    Q: True?
    A: True.

    (emphasis added).

    11














    these circumstances, we think there can be little question that

    the Polis grand jury testimony was sufficiently reliable to

    permit reliance by the sentencing court. Compare, e.g., Zuleta-
    _______ ____ _______

    Alvarez, 922 F.2d at 37 (upholding consideration of grand jury
    _______

    testimony where sentencing judge presided over trial and formed

    independent assessment of reliability), with United States v.
    ____ ______________

    Harris, 982 F.2d 317 (8th Cir. 1992) (upholding refusal to rely
    ______

    on grand jury testimony where sentencing judge doubted its

    veracity).

    The sentencing judge was highly conversant both with

    the facts of the case and Williams's association and involvement

    with his codefendants in the SERVESS scheme. By the time Wil-

    liams was sentenced, the judge not only had the benefit of the

    presentence investigation report and Williams's written response,

    but the understanding gained from more than two years of pretrial

    proceedings. Indeed, a few weeks earlier the same judge had

    sentenced Alexander and Kotek on the SERVESS and the DARSO
    ___

    counts. Cf. Zuleta-Alvarez, 922 F.2d at 37 (holding that en-
    ___ ______________

    hanced deference was due findings of fact where sentencing judge

    had presided at trial).

    The district court supportably found that Polis's

    actions on behalf of SERVESS in entering into the CSI management

    contract were controlled by Williams.


    3. Evidentiary Hearing
    3. Evidentiary Hearing
    ___________________

    Finally, Williams argues that the district court's

    refusal to allow an evidentiary hearing, at which Polis could

    12














    have been cross-examined, constituted an abuse of discretion. We

    have yet to hold that it is an abuse of discretion to deny cross-

    examination in the sentencing context. See United States v.
    ___ ______________

    Regan, 989 F.2d 44, 47 (1st Cir. 1993).
    _____

    Williams has not demonstrated an abuse of discretion

    here. See Garcia, 954 F.2d at 19. Even though, as Williams
    ___ ______

    alleges, the Polis grand jury testimony on "control" was central

    to the "relevant conduct" adjustment relating to the SERVESS

    counts, we cannot say that the district court, which had the

    benefit of the grand jury transcript and its own long-term famil-

    iarity with these proceedings, was presented with a compelling

    basis for conducting an evidentiary hearing to revisit the same

    ground. Williams was accorded an opportunity to contest, in

    writing, the government's evidence of "control." Yet he neither

    proffered rebuttal evidence nor alleged or identified any false

    grand jury testimony by Polis, but simply disputed the import of

    Polis's testimony by denying "control" without suggesting what

    additional or different information might be gleaned from cross-

    examining Polis. Williams's sheer earnestness in pursuing the

    request was not enough. In these circumstances, and absent some

    more concrete proffer, the district court did not abuse its

    discretion in denying an evidentiary hearing.

    Affirmed.
    Affirmed.
    ________








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