United States v. Limberopoulos ( 1994 )


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  • USCA1 Opinion









    UNITED STATES COURT OF APPEALS
    FOR THE FIRST CIRCUIT

    ____________________


    No. 92-1954

    UNITED STATES,
    Appellee,

    v.

    NICHOLAS LIMBEROPOULOS,
    Defendant, Appellant.
    __________


    No. 92-1955

    UNITED STATES,
    Appellee,

    v.

    WILLIAM LIMBEROPOULOS,
    Defendant, Appellant.
    __________

    No. 92-2075

    UNITED STATES,
    Appellant,

    v.

    NICHOLAS LIMBEROPOULOS,
    Defendant, Appellee.
    __________

    No. 92-2076

    UNITED STATES,
    Appellant,

    v.

    WILLIAM LIMBEROPOULOS,
    Defendant, Appellee.
    ____________________



















    APPEALS FROM THE UNITED STATES DISTRICT COURT

    FOR THE DISTRICT OF MASSACHUSETTS

    [Hon. Rya W. Zobel, U.S. District Judge]
    ___________________


    ____________________

    Before

    Breyer,* Chief Judge,
    ___________
    Selya and Boudin, Circuit Judges.
    ______________

    ____________________

    Steven J. Rappaport with whom Rappaport, Freeman & Pinta was on
    ____________________ ____________________________
    briefs for Nicholas Limberopoulos.
    Barry P. Wilson with whom Craig A. Cellitti was on briefs for
    ________________ __________________
    William Limberopoulos.
    Michael Kendall, Assistant United States Attorney, and Frank A.
    _______________ _________
    Libby, Jr., Assistant United States Attorney, with whom A. John
    __________ ________
    Pappalardo, United States Attorney, was on briefs for United States of
    __________
    America.


    ____________________

    June 14, 1994
    ____________________

    ____________________
    *Chief Judge Stephen Breyer heard oral argument in this matter and
    participated in the drafting of the opinion, but did not participate
    in issuance of the panel's opinion. The remaining two panelists
    therefore issue this opinion pursuant to 28 U.S.C. 46(d).
















    2














    SELYA, Circuit Judge. A jury convicted Nicholas and
    ______________

    William Limberopoulos, both pharmacists, of conspiring to

    dispense, without proper prescriptions, approximately 18,000

    pills, about 12,000 of which were Percodan or Percocet and about

    4,000 of which were Valium. See 21 U.S.C. 841(a)(1)
    ___

    (distributing or dispensing addictive drugs); 21 U.S.C.

    843(a)(2) (false DEA numbers); 21 U.S.C. 843(a)(4)(A) (false

    prescriptions); 21 U.S.C. 846 (conspiracy). At sentencing, the

    district court departed from the specified guideline sentencing

    ranges (GSRs) 235-293 months for Nicholas and 188-235 months

    for his son, William and instead sentenced Nicholas to 36

    months in prison and William to 30 months in prison. The court

    departed because, in its view, the defendants' conduct fell

    outside the "heartland" of the unlawful-drug-trafficking statute,

    21 U.S.C. 841, but within the "heartland" of an unlawful-drug-

    prescribing statute, 21 U.S.C. 843. Since this latter statute,

    which is regulatory in nature, limits prison terms to a 48-month

    maximum, far less than the maximum under section 841, the court

    felt justified in departing downward.

    Both sides appeal. We agree with the government that

    the district court's "heartland" determinations rest upon an

    erroneous conception of the unlawful-drug-prescribing statute.

    We do not accept the defendants' arguments on this, or on any

    other issue. Consequently, we affirm the defendants' convictions

    and remand the case for resentencing. We specify that, even

    though we find the court's given ground for departure legally


    3














    inadequate, the court remains free to consider departure if

    other, legally adequate reasons exist.



    I

    Background
    __________

    A.

    The Trial
    _________

    As is well known, the unlawful-drug-trafficking

    statute, 21 U.S.C. 841, forbids, among other things, the

    distribution, dispensing, or possession with intent to distribute

    of highly addictive "Schedule II" drugs. Other less well-known

    statutes apply to pharmacists, requiring that they maintain

    inventory records, dispense drugs only in pursuance of proper

    prescriptions, and keep copies of all such prescriptions, duly

    canceled to prevent unauthorized reuse. See 21 U.S.C. 827-
    ___

    830. What we have called the unlawful-drug-prescribing statute,

    21 U.S.C. 843, makes it a crime, among other things, to violate

    certain of these record-keeping requirements.

    In this case, the government charged the defendants

    both with violating the unlawful-drug-prescribing statute, 21

    U.S.C. 843, and with conspiring to violate the unlawful-drug-

    trafficking statute, 21 U.S.C. 841. It introduced evidence

    that, in essence, showed the following:

    1. In 1988 and again in 1989, Drug Enforcement
    Administration (DEA) agents found that Limby's Pharmacy
    in Lowell, Massachusetts had not kept inventory records
    of its addictive drugs. The agents seized a group of
    Limby's canceled prescriptions (written between 1986
    and 1988) and concluded that they were fraudulent.

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    2. Seven physicians testified that they had not signed
    their names to particular prescriptions, as the
    pharmacy's records indicated. Some of these witnesses
    pointed out that the prescriptions bore signatures or
    customer names that seemed not only false, but
    obviously so, as, for example, the customer name "Tin
    Can" on a prescription form falsely bearing the name of
    a Vietnamese physician. An eighth doctor had died
    before the time of the purported issuance of
    prescriptions bearing his name. Five of the
    "recipients" listed on the prescriptions, according to
    their own testimony or that of their relatives, had not
    requested, or received, the drugs purportedly
    prescribed.

    3. A drug addict testified that he had often bought
    addictive drugs at Limby's, without prescription,
    between 1986 and 1987. He added that Limby's clerk,
    from whom he bought the drugs, told him not to worry
    about the fact that Nicholas Limberopoulos knew that
    the clerk was selling him addictive drugs.

    On the basis of this, and related, evidence, the jury convicted

    Nicholas Limberopoulos, who owned Limby's Pharmacy and worked

    there occasionally, of writing 13 false prescriptions.1 See 21
    ___

    U.S.C. 843(a)(4)(A). It convicted his son, William, who worked

    at Limby's regularly, of writing 39 other false prescriptions.

    See id. It convicted William, but acquitted Nicholas, of using
    ___ __

    false DEA numbers. See 21 U.S.C. 843(a)(2). And it convicted
    ___

    both defendants of conspiring to distribute addictive drugs to

    others. See 21 U.S.C. 841, 846.
    ___

    B

    Sentencing
    __________

    At sentencing, the district court first calculated the

    GSRs, properly using the June 15, 1988 version of the guidelines


    ____________________

    1One of the counts of conviction has since been dismissed on
    motion of the government.

    5














    (to which we shall refer throughout). The court referred to the

    guideline applicable to a conspiracy to dispense Schedule II

    drugs unlawfully, see U.S.S.G. 2D1.4 & App. A-19, as that
    ___

    guideline instructs, found the weight of the various pills

    involved, and converted these weights into an equivalent weight

    in heroin. The court did so by aggregating the weight of all the

    pills listed on the false prescriptions underlying the

    substantive counts on which either Nicholas or William had been

    convicted (as well as a few other pills listed on a small group

    of related prescriptions). See U.S.S.G. 1B1.3(a)(2) & comment.
    ___

    (2). For example, the jury found Nicholas responsible for 13

    false prescriptions, which, taken together, accounted for the

    dispensing of 275 grams of Percocet and 392.7 grams of Valium.

    The jury found William responsible for 92 violations concerning

    false prescriptions and DEA numbers, which, taken together,

    involved 2145 grams of Percocet, 1720 grams of Percodan, and 50.5

    grams of Valium. The guidelines specified that these amounts

    (plus the weight of the few additional related pills) should be

    treated as the equivalent of between 3 and 9.9 kilograms of

    heroin, yielding a base offense level of 34. The court added two

    more levels for each defendant's "abuse of a position of trust,"

    U.S.S.G. 3B1.3, and it added two further levels for Nicholas's

    "obstruction of justice." Id. 3C1.1. The result level 38
    __

    for Nicholas and level 36 for William produced GSRs for these

    two first-time offenders of 235-293 months for Nicholas and 188-

    235 months for William.


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    The lower court then departed downward from the GSRs

    because it believed that the defendants' conduct amounted, not to

    unlawful drug trafficking, but, rather, to the kind of

    "regulatory" offense forbidden by the unlawful-drug-prescribing

    statute, with its maximum penalty of 48 months in prison. The

    court wrote:

    [I]t is the case here that the object of the
    conspiracy charged, the charged part of the
    conspiracy, is dispensing drugs pursuant to
    prescriptions not issued for [a] legitimate
    medical purpose. That is also the essence of
    the substantive offenses charged.

    Under these circumstances, the mechanical
    application of [the] guidelines with respect
    to count 1 [drug trafficking] significantly,
    significantly, overstates the seriousness of
    the predicate and substantive offenses. This
    case is not a typical drug conspiracy case.
    Indeed, all of the substantive offenses are
    violations of a regulatory statute [21 U.S.C.
    843], and Congress's intent with respect
    thereto was, in this case, overridden by the
    use of sections 846 [the conspiracy statute]
    and 841 [the drug trafficking statute] . . .
    . Accordingly, I shall depart for the reasons
    I have just mentioned.

    This said, the court imposed a 36-month prison term on Nicholas

    and a 30-month prison term on William. The government and the

    defendants now cross-appeal.

    II

    The Government's Appeal
    _______________________

    The government appeals the court's decision to depart

    downward. It acknowledges that the district court has broad

    power to depart from a properly calculated sentencing range in an

    unusual case a case that lies outside the "heartland" of the


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    base guideline that would otherwise apply. See United States v.
    ___ _____________

    Rivera, 994 F.2d 942, 947 (1st Cir. 1993); United States v. Diaz-
    ______ _____________ _____

    Villafane, 874 F.2d 43, 49 (1st Cir.), cert. denied, 493 U.S. 862
    _________ ____________

    (1989); see also U.S.S.G. Ch. I, Pt. A, intro. comment. 4(b).
    ___ ____

    But the sentencing court must give its reason(s) for departing,

    see 18 U.S.C. 3553(c)(2); and the government asks this court to
    ___

    review the legal adequacy of those reasons, as well as the

    reasonableness of the result. See Rivera, 994 F.2d at 950-52;
    ___ ______

    Diaz-Villafane, 874 F.2d at 50; see also 18 U.S.C. 3742(e)(3).
    ______________ ___ ____

    In particular, the government urges us to find that the district

    court's reason for departing reflects a misunderstanding of the

    basic aim that animates the unlawful-drug-prescribing statute.

    The district court's reason for departing here is its

    professed belief that defendants' conduct fell outside the

    "heartland" of the strict unlawful-drug-trafficking statute, 21

    U.S.C. 841, but within the "heartland" of the more lenient

    unlawful-drug-prescribing statute, 21 U.S.C. 843. That is to

    say, the court thought that the offenders' conduct, while

    technically falling within a specific statute and guideline, in

    reality more closely resembled conduct forbidden by a different

    statute and guideline (as, for example, a technical tax law

    conviction might involve conduct more appropriately described as

    "insider trading"). And, for that reason, it concluded that

    departure was appropriate.

    The district court misunderstood the relationship

    between the two relevant statutes the unlawful-drug-trafficking


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    statute, section 841, and the unlawful-drug-prescribing statute,

    section 843 and therefore, misapplied its theory of departure

    here. The court seemed to think that the former statute

    primarily targets non-pharmacists (those, say, who sell illegal

    drugs on the street), while the latter primarily targets

    pharmacists selling drugs unlawfully without prescriptions in

    their shops. For that reason, it felt that the defendants'

    conduct more appropriately fell within the "heartland" of section

    843, not section 841. Our examination of the history and use of

    the two statutes, however, indicates that they basically make a

    different distinction a distinction between unlawful drug

    distribution on one hand, and unlawful record-keeping on the

    other hand. Here, moreover, the defendants' conduct seems to

    involve the former considerably more than the latter.

    We begin the process of adding flesh to this barebones

    legal conclusion about the interrelationship of the two statutes

    by remarking the obvious: the unlawful-drug-trafficking statute,

    21 U.S.C. 841, does not exempt pharmacists who sell narcotic

    drugs without prescriptions, nor does it suggest that their

    conduct is somehow less seriously wrong than the conduct of non-

    pharmacist drug dealers. On the contrary, the statute applies to

    the two groups' conduct in the same way. The statute's language

    simply makes it a crime "knowingly or intentionally" to

    "distribute or dispense" narcotic drugs. And this language is

    reinforced by well-established case law making clear that the

    statute applies to a pharmacist's (or physician's) drug-


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    dispensing activities so long as they fall outside the usual

    course of professional practice. See United States v. Moore, 423
    ___ _____________ _____

    U.S. 122, 142 (1975); United States v. DeBoer, 966 F.2d 1066,
    ______________ ______

    1068-69 (6th Cir. 1992); United States v. Hughes, 895 F.2d 1135,
    _____________ ______

    1143 (6th Cir. 1990); United States v. Vamos, 797 F.2d 1146, 1152
    _____________ _____

    (2d Cir. 1986), cert. denied, 479 U.S. 1036 (1987); United States
    ____________ _____________

    v. Norris, 780 F.2d 1207, 1209 (5th Cir. 1986); United States v.
    ______ _____________

    Lawson, 682 F.2d 480, 482 (4th Cir.), cert. denied, 459 U.S. 991
    ______ ____________

    (1982); United States v. Hayes, 595 F.2d 258, 260 (5th Cir.),
    _____________ _____

    cert. denied, 444 U.S. 866 (1979); United States v. Kirk, 584
    ____________ _____________ ____

    F.2d 773, 784 (6th Cir.), cert. denied, 439 U.S. 1048 (1978); see
    ____________ ___

    also 21 C.F.R. 1306.04(a) (explicitly subjecting a pharmacist
    ____

    to the penalties of section 841 if he knowingly fills a

    prescription "not issued in the usual course of professional

    treatment"); cf. 21 U.S.C. 822(b) (exempting pharmacists from
    ___

    section 841 but only "to the extent authorized by their

    registration").

    This standard might mean that a drug-dispensing

    pharmacist does not violate section 841 if he believes that a

    customer (even a customer who lacks a valid prescription) needs

    the drugs for legitimate medical treatment. Cf. Moore, 423 U.S.
    __ _____

    at 138-39 (implicitly approving a jury instruction explaining

    that a physician could be convicted if he knowingly distributed

    controlled drugs "other than in good faith . . . in the usual

    course of a professional practice"); United States v. Seelig, 622
    _____________ ______

    F.2d 207, 213 (6th Cir.) (stating that section 841(a)(1) requires


    10














    proof beyond a reasonable doubt "that the drugs were distributed

    outside the usual course of professional practice"), cert.
    _____

    denied, 449 U.S. 869 (1980). It is certainly arguable that, at
    ______

    the very least, that kind of "good faith" case would skirt

    section 841's heartland. But if the drug-dispensing pharmacist

    knows that a customer not only lacks a valid prescription but

    also will not use the drugs for legitimate medical purposes, then

    section 841 applies in full flower and treats the dispenser like

    a pusher. See Moore, 423 U.S. at 142-43. Indeed, it is
    ___ _____

    difficult to find a relevant difference between a pharmacist who,

    without proper prescriptions, knowingly supplies a drug addict or

    trafficker with narcotics, and any other drug dealer who does the

    same.

    Another line of reasoning leads to the same conclusion.

    The unlawful-drug-prescribing statute, 21 U.S.C. 843, is aimed

    for the most part at a pharmacist's knowing failure to use and

    maintain proper prescription forms, registration numbers, and

    kindred records. Such a failure might, or might not, come

    accompanied with the pharmacist's knowing sale of narcotics to

    addicts or traffickers. The pharmacist, for example, simply

    might have failed to report his drug supply properly, see, e.g.,
    ___ ____

    United States v. Sterber, 846 F.2d 842 (2d Cir. 1988); or he
    _____________ _______

    might have acquired the narcotics improperly, see, e.g., United
    ___ ____ ______

    States v. Pastor, 557 F.2d 930 (2d Cir. 1977); or, he might have
    ______ ______

    used an expired DEA registration number in filling a prescription

    for a customer whom he believed legitimately needed the drugs for


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    medicinal purposes, see, e.g., United States v. Carranza, 632 F.
    ___ ____ _____________ ________

    Supp. 1030 (S.D.N.Y. 1986). The provision's legislative history

    indicates that Congress intended it chiefly to address a threat

    to the integrity of the regulatory system, i.e., the system for
    __________ ____

    administrative control of the legitimate drug industry. See 116
    ___

    Cong. Rec. 996-98 (1970) (statements of Sen. Dodd and Sen.

    Griffin); see also Moore, 423 U.S. at 135. The statute's
    ___ ____ _____

    comparatively low maximum penalty provision suggests the same.

    Compare 21 U.S.C. 843(c) (48-month maximum) with id. 841(b)
    _______ ____ __

    (life imprisonment maximum).

    Our search of the case law confirms the regulatory

    thrust of section 843. Close perscrutation reveals that the

    government has used section 843, in separate prosecutions, where

    regulatory, not drug-trafficking, problems are at issue. See,
    ___

    e.g., Sterber, 846 F.2d at 842; United States v. Cantor, Crim.
    ____ _______ ______ ______ ______

    No. 91-00021, 1991 WL 161017 (E.D. Pa. Aug. 14, 1991); Carranza,
    ________

    632 F. Supp. at 1031. The fact that the government sometimes

    charges violations of both sections 841 and 843 in drug-

    trafficking cases, see, e.g., Vamos, 797 F.2d at 1148; United
    ___ ____ _____ ______

    States v. Devous, 764 F.2d 1349, 1351 (10th Cir. 1985); United
    ______ ______ ______

    States v. Goldfine, 538 F.2d 815,817 (9th Cir. 1976), does not
    ______ ________

    show the contrary, for in such instances, if the same conduct is

    involved, section 843 would be a lesser included offense.

    In the case before us, the government claimed that the

    defendants systematically and knowingly sold narcotic drugs,

    without proper prescriptions, to drug addicts and drug dealers


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    whom they knew had no legitimate medical need for the drugs. The

    court instructed the jury that it could acquit the defendants if

    it found that they had acted in "good faith," but the jury

    declined to do so; it thereby accepted the government's claims

    that the defendants acted with knowledge and evil intent. For

    this reason, one cannot easily characterize their conduct as

    involving, simply or only, the kind of record-keeping violations

    at which section 843 seems basically aimed, and which appear to

    provide the rationale for its 48-month ceiling on imprisonment.

    Thus, the district court's view that the defendants' conduct fell

    within the "heartland" of section 843, but not of section 841,

    reflects a misunderstanding of the basic objectives of the two

    statutes and their interplay.2 That being so, we must set aside

    the defendants' sentences and return the case for resentencing.


    ____________________

    2Our determination that the defendants' conduct, as charged and
    proven, fell within the "heartland" of section 841 bears a strong
    analytical resemblance to our recent decision in United States v.
    _____________
    LeBlanc, ___ F.3d ___, (1st Cir. 1994) [No. 93-1998]. There, the
    _______
    district court, confronted with bookmakers who had laundered
    gambling proceeds and who stood convicted of violating, inter
    _____
    alia, 18 U.S.C. 1956-1957 (proscribing "structuring" of
    ____
    certain monetary transactions), departed downward to make the
    sentences commensurate with the relatively modest GSR that
    customarily characterized gambling offenses (rather than the
    relatively steep GSR that customarily characterized money
    laundering offenses). The court premised the departure on the
    ground that the money laundering offenses "stem[med] from the
    prior specified unlawful activity of operating an illegal
    gambling business," and, therefore, fell "outside . . . the
    'heartland' of the money laundering guidelines." Id. at ___
    ___
    [slip op. at 11]. We reversed, holding that, since the
    proscribed conduct "not only comes within the plain meaning of
    [the anti-structuring statute], but also was within the full
    contemplation of Congress when it enacted that statute," id. at
    ___
    ___ [slip op. at 15], the court's stated ground of departure
    could not be upheld, id. at 16-17. So it is here.
    ___

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    See Rivera, 994 F.2d at 951 (explaining that an appellate court
    ___ ______

    will review a purely legal determination without deference to the

    district court).

    Counsel for the defendants have argued that there are

    several other special features of this case that make departure

    appropriate. We express no view about whether that is, or is

    not, so. Departure decisions are for the sentencing court in the

    first instance. On remand, the district court remains free to

    consider departure for other reasons. See id. at 956.
    ___ ___

    III

    Nicholas Limberopoulos's Appeal
    _______________________________

    In Nicholas Limberopoulos's appeal, he claims primarily

    that the district court did not correctly calculate the GSR (from

    which it then departed). We find no legal error in the

    challenged calculations.

    1. The Number of Pills. The guideline applicable to
    ____________________

    drug trafficking conspiracies3 relates base offense levels to

    the amount of "heroin-equivalent" drug involved in the

    conspiracy. See U.S.S.G. 2D1.1 (Drug Quantity Table). The
    ___

    amount of heroin-equivalent drug depends upon the total weight of

    the Percodan, Percocet, and other pills, which is then converted

    into heroin equivalents. See, id., comment. (n.10) (Drug
    ___ ___


    ____________________

    3Technically, there are two statutes involved in the count of
    conviction here. 21 U.S.C. 846 outlaws conspiracies to violate
    drug trafficking laws, while 21 U.S.C. 841 is the particular
    drug trafficking law that these defendants allegedly conspired to
    violate. For ease in reference, we shall refer to the conspiracy
    as a "section 841 conspiracy."

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    Equivalency Table). Recognizing that, in this instance, the

    total weight of the pills depends upon the total number of pills

    for which each defendant is responsible, Nicholas Limberopoulos

    argues that the district court wrongly attributed to him pills

    for which William, not he, should have been held accountable. He

    rests this conclusion on the premise that the jury might have

    thought that he was involved in a conspiracy not with William,

    but with others; and that, if the jury did think so, it would

    also have thought that William's pills had nothing to do with the

    conspiracy underbracing Nicholas's conviction.

    The problem with this thesis is that the guidelines

    normally leave to the sentencing judge, not the jury, the

    determination of the "conduct" that is "relevant" to sentencing.

    See U.S.S.G. 6A1.3. Nothing the jury decided prevented the
    ___

    judge from finding a conspiracy between Nicholas and William.

    Furthermore, the evidence to support a finding of such a

    conspiracy, whether by judge or jury, is ample.

    The evidence showed, for example, that Nicholas owned

    Limby's Pharmacy. He worked there on weekends and some weekdays.

    William, his son, worked there most weekdays and occasionally on

    weekends. The only other employee involved in drug-dispensing

    was a clerk. The unlawful sales involved a large number of pills

    and took place at frequent intervals over a period of two years.

    The clerk told a drug-addict customer (who had obvious physical

    symptoms of drug withdrawal) that it did not matter if Nicholas

    knew that the clerk was selling drugs to the addict without a


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    proper prescription. From this evidence the court (and the jury,

    too) might reasonably have concluded that Nicholas and William

    each knew the other was dispensing drugs unlawfully, and that

    each agreed to help the other do so through the ownership and

    operation of the pharmacy, the maintenance of false records, and

    the like. Such an implicit agreement amounts to a conspiracy.

    See, e.g., Direct Sales Co. v. United States, 319 U.S. 703, 714
    ___ ____ ________________ _____________

    (1943). The court, therefore, could reasonably attribute to

    Nicholas the pills that William sold, having found them to be

    "part of the same . . . common scheme or plan." U.S.S.G.

    1B1.3(a)(2). By like token, the court could attribute to

    Nicholas pills that William improperly dispensed prior to

    February 10, 1987 (the earliest date of a prescription that

    Nicholas canceled).

    2. The Weight. Nicholas also argues that the court
    __________

    erred in calculating drug weight by, in effect, weighing the

    entire pill, and, thus, counting the weight of both narcotic and

    nonnarcotic ingredients (increasing the weight, say, of a single

    Percocet pill from roughly five one-thousandths to five-tenths of

    a gram). In doing so, however, the court simply followed the

    instructions of the Sentencing Commission, which tells judges

    that the

    scale amounts for all controlled substances
    refer to the total weight of the controlled
    substance. Consistent with the provisions of
    the Anti-Drug Abuse Act, if any mixture of a
    compound contains any detectable amount of a
    controlled substance, the entire amount of
    the mixture or compound shall be considered
    in measuring the quantity.

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    U.S.S.G. 2D1.1 (Drug Quantity Table, n.*).

    All seven circuits that have considered the matter have

    held that this language (or the language of a substantially

    similar amended version of the note, see id. (Nov. 1989)), means
    ___ __

    what it says, namely, that the sentencing court must include the

    weight of an entire pharmaceutical pill and not just the weight

    of the active narcotic ingredients. See United States v.
    ___ ______________

    Crowell, 9 F.3d 1452, 1454 (9th Cir. 1993); United States v.
    _______ ______________

    Young, 992 F.2d 207, 209 (8th Cir. 1993); United States v.
    _____ ______________

    Blythe, 944 F.2d 356, 362 (7th Cir. 1991); United States v.
    ______ ______________

    Shabazz, 933 F.2d 1029, 1032-33 (D.C. Cir.), cert. denied, 112 S.
    _______ ____________

    Ct. 431 (1991); United States v. Lazarchik, 924 F.2d 211, 214
    _____________ _________

    (11th Cir.), cert. denied, 112 S. Ct. 96 (1991); United States v.
    ____________ _____________

    Meitinger, 901 F.2d 27, 29 (4th Cir.), cert. denied, 498 U.S. 985
    _________ ____________

    (1990); United States v. Bayerle, 898 F.2d 28, 31 (4th Cir.
    ______________ _______

    1989), cert. denied, 498 U.S. 819 (1990); United States v.
    _____________ _____________

    Gurgiolo, 894 F.2d 56, 61 (3d Cir. 1990). We agree with this
    ________

    authority.

    The defendants sing one esoteric tune which, they tell

    us, the other courts did not fully consider. They point out that

    the instruction we have quoted prefaces its statement with the

    words "[c]onsistent with the provisions of the Anti-Drug Abuse

    Act." They then assert that that Act specifies weighing the

    "entire mixture or compound" for street drugs, such as heroin,
    ______

    but says nothing about pharmaceutical drugs. The defendants add
    ______________

    that the rationale the Supreme Court has identified as underlying


    17














    the use of gross, as opposed to net, weights namely,

    maintaining serious punishment for street pushers of diluted

    mixtures, see Chapman v. United States, 111 S. Ct. 1919, 1927
    ___ _______ ______________

    (1991) does not make sense, and, hence, should not apply, when

    pharmaceutical drugs are at issue.

    The chief problem with this construct is that it does

    not show an inconsistency between the Act and the Sentencing

    Commission's instruction. The Act does not forbid use of gross

    pharmaceutical drug weights as a way to measure just how many

    pills, say of Percodan, warrant the same punishment as a given

    amount of heroin. Nor have defendants convinced us that it is

    irrational to tie these punishment equivalencies to gross pill

    weight, rather than applying some mechanical operation to net

    weight (say, multiplying active ingredient weight by 100) and

    thereby reaching approximately the same punishment results.4

    Nor, finally, is it clear to us what the use of gross weight for

    purposes of conversion has to do with the existence, or

    nonexistence, of street pushers of pharmaceutical drugs.

    IV

    William Limberopoulos's Appeal
    ______________________________

    William's appeal repeats various of Nicholas's

    arguments, which we reject for reasons previously stated.

    William also makes two fresh arguments. First, he points to

    Bruton v. United States, 391 U.S. 123 (1968), a case in which the
    ______ _____________

    ____________________

    4Other circuits have found this approach to be rational and,
    consequently, have rejected similar importunings. See, e.g.,
    ___ ____
    Crowell, 9 F.3d at 1454; Shabazz, 933 F.2d at 1036-37.
    _______ _______

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    Court held that admission of incriminating statements made out-

    of-court by a nontestifying codefendant (unavailable for cross-

    examination) entitled the defendant to a new, and separate,

    trial. He then claims that three such pieces of evidence were

    admitted against him here, namely, (1) portions of Nicholas's

    grand jury testimony, (2) a false exculpatory statement made by

    Nicholas to his attorney, and (3) Nicholas's action in giving up

    Limby's DEA license, which in William's view amounted to an

    admission of guilt.

    It is unclear whether William objected to this evidence

    at the time of its admission (though he did move for a severance

    with regard to the grand jury testimony before trial). We have

    nonetheless reviewed the record before us to determine whether

    this evidence is of the sort to which Bruton applies, that is,
    ______

    evidence that has the "'powerfully incriminating' effect of one

    accomplice pointing the finger directly at another, without

    subjecting himself to cross-examination." United States v.
    ______________

    DiGregorio, 605 F.2d 1184, 1190 (1st Cir.) (quoting Bruton, 391
    __________ ______

    U.S. at 135), cert. denied, 444 U.S. 937 (1979); see also United
    ____________ ___ ____ ______

    States v. Nason, 9 F.3d 155, 160 (1st Cir. 1993), cert. denied,
    ______ _____ ____________

    114 S. Ct. 1331 (1994); United States v. Barnett, 989 F.2d 546,
    ______________ _______

    558 (1st Cir.), cert. denied, 114 S. Ct. 148 (1993). We conclude
    ____________

    that it is not.

    The grand jury testimony that the government read at

    trial does not implicate William. The remaining portions of that

    testimony suggest that some of the false prescriptions may have
    ___


    19














    been in William's handwriting, but they add little to other

    evidence on this point. Similarly, Nicholas's exculpatory

    statements to his lawyer and his surrender of Limby's license do

    not directly show William's guilt. Rather, their relevance in

    this respect requires a considerable chain of subsidiary

    inferences (i.e., that the exculpatory statement was an obvious
    ____

    attempt at deceit and coverup, or the surrender of the license a

    kind of confession, both showing Nicholas's consciousness of his

    own guilt, which knowledge, through association, implies

    William's guilt as well). Such out-of-court statements neither

    name nor impugn William directly, and thus cannot be supposed to

    have implanted in the jurors' minds the kinds of powerfully

    incriminating impressions against which Bruton protects. See
    ______ ___

    Richardson v. Marsh, 481 U.S. 200, 208-11 (1986) (explaining that
    __________ _____

    Bruton applies to evidence incriminating on its face, not to
    ______

    inferential incrimination, which can be cured by limiting

    instructions); cf. DiGregorio, 605 F.2d at 1190 (ruling the
    __ __________

    unadorned fact that a codefendant's out-of-court admission tended

    to corroborate the government's case against the defendant to be

    insufficient to trigger Bruton). Again, in context, this out-of-
    ______

    court evidence is weak, adding little, if anything, to the weight

    of the remaining evidence. Nor can we find anything else about

    the admission of this evidence that deprived William of a fair

    trial, "resulting in a miscarriage of justice." United States v.
    _____________

    McLaughlin, 957 F.2d 12, 18 (1st Cir. 1992) (citation omitted).
    __________

    Consequently, the law does not require relief on this ground.


    20














    Second, William complains that the sentencing court

    should have ordered a mental examination under 18 U.S.C.

    3552(c). That provision, however, says that a district court

    "may" order a psychological examination of the defendant if it
    ___

    "desires more information than is otherwise available to it as a

    basis for determining the mental condition of the defendant."

    Id. (emphasis supplied). In this case, the court was keenly
    ___

    aware of William's psychological difficulties. The records he

    placed before the district judge showed a history of drug and

    alcohol abuse as well as personality disorders, such as

    narcissism. The judge could reasonably have concluded that the

    first set of matters was not directly related to the sentencing

    decision, see U.S.S.G. 5H1.4, p.s., while a mental examination
    ___

    would add little or nothing of value to what it already knew

    about the second. In our view, the court did not exceed its

    discretionary authority to decide not to order the examination.5

    V
    V

    Conclusion
    Conclusion
    __________

    We need go no further. Though the combination

    comprises a bitter pill, defendants' convictions appear lawful,

    but their reduced sentences appear to have been inappropriately

    conceived. Consequently, for the reasons we have discussed, we

    affirm the convictions but vacate the defendants' sentences. We

    ____________________

    5We note, moreover, that William does not claim financial
    inability to arrange for such an examination at his own expense.
    Cf. 18 U.S.C. 3006A(e)(1) (instructing courts to appoint
    __
    "investigative, expert, or other services" where such services
    are necessary and the defendant cannot otherwise afford them).

    21














    remand the matter to the district court for resentencing

    consistent with this opinion.



    So ordered.
    ___________














































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