United States v. Guyon ( 1994 )


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    UNITED STATES COURT OF APPEALS
    FOR THE FIRST CIRCUIT
    ____________________

    No. 92-2452

    UNITED STATES,

    Appellee,

    v.

    RICHARD GUYON,

    Defendant, Appellant.

    ____________________

    APPEAL FROM THE UNITED STATES DISTRICT COURT

    FOR THE DISTRICT OF MASSACHUSETTS

    [Hon. Robert E. Keeton, U.S. District Judge]
    ___________________

    ____________________

    Before

    Breyer,* Chief Judge,
    ___________

    Torruella and Boudin, Circuit Judges.
    ______________

    _____________________

    Stephen J. Weymouth on brief for appellant.
    ___________________
    Kevin J. Cloherty, Assistant United States Attorney, and
    __________________
    Donald K. Stern, United States Attorney, on brief for appellee.
    _______________



    ____________________

    June 27, 1994
    ____________________



    ____________________

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














    TORRUELLA, Circuit Judge. On April 12, 1989, a federal
    _____________

    grand jury returned a one-count indictment charging Richard Guyon

    with bank fraud in violation of 13 U.S.C. 1344. Following a

    jury trial, Guyon was convicted in absentia. Guyon was
    ____________

    subsequently apprehended, placed in federal custody, and returned

    to Massachusetts. The court then sentenced Guyon to 30 months

    incarceration. Guyon now challenges his conviction and sentence

    on several grounds. We find that none of these grounds warrant

    reversal and thus affirm the district court.

    BACKGROUND
    BACKGROUND
    __________

    A. Statement of Facts
    A. Statement of Facts
    __________________

    The indictment alleged that from February 24, 1987 to

    approximately August 14, 1988, Guyon willfully and knowingly

    executed a scheme to defraud the Bank of Boston of $76,756.40.

    The testimony and other evidence properly introduced at trial,

    viewed in the light most favorable to the verdict, established

    the following facts. See United States v. Rivera-Santiago, 872
    ___ _____________ _______________

    F.2d 1073, 1078-79 (1st Cir.), cert. denied, 492 U.S. 910 (1989).
    ____________

    Guyon applied for a series of student loans from the

    Bank of Boston, called Alliance loans, listing his own name as

    the student applicant. In addition, Guyon applied for and

    received Alliance loans in the name of 1) his father, Raymond

    Guyon; 2) Mary Garber; and 3) Tonya Mayes. Guyon forged the

    applications and signatures for these loans. The loan

    applications also contained the forged certifications of a

    purported University official.


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    In addition to these Alliance loans, evidence was

    introduced regarding other loan applications which Guyon

    fraudulently filed. These other loans, however, were not the

    subject of the indictment. This evidence included: 1)

    applications for two Massachusetts Higher Education Loans through

    the Bank of Boston in November 1988, which were not granted; 2) a

    fraudulent application for a $20,000 Excel student loan filed in

    September 1988; 3) fraudulent applications for two $15,000

    "Consern" loans from the National Bank of Washington, one in

    Guyon's own name and one in the name of Mary Garber, as well as

    an application for a $25,000 "Consern" loan in the name of Tonya

    Mayes; 4) a fraudulent application for a guaranteed student loan

    for $7,500 through the First Security Bank of Idaho, which Guyon

    did in fact receive.

    B. The Proceedings in the District Court
    B. The Proceedings in the District Court
    _____________________________________

    Guyon was arraigned on June 29, 1989. On November 16,

    1989, Guyon filed a motion to dismiss the indictment based on a

    failure to comply with the Speedy Trial Act. At a hearing on

    December 8, 1989, Guyon withdrew this motion because the

    government stated it was going to dismiss the indictment. The

    case was never dismissed. On February 1, 1991, the case was

    reassigned to Judge Robert Keeton. Prior to reassignment, the

    case was "inadvertently" closed by the U.S. District Court

    Clerk's office, but was then reopened upon being reassigned to

    Judge Keeton.

    On February 1, 1991, the parties jointly filed a


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    "Status Report and Motion for Continuance Under the Speedy Trial

    Act," and this report informed the court that the case was still

    pending because subsequent to the December 8, 1989 hearing, the

    parties had learned that Guyon was the subject of a separate but

    related criminal investigation by the U.S. Attorney's Office in

    Virginia, and as a result the parties had then engaged in

    negotiations to resolve potential charges in both districts. The

    parties additionally requested a continuance from the court until

    such a resolution had been achieved and asked that the court

    designate all time from the date of indictment until resolution

    of the negotiations as excludable delay.

    On February 15, 1991, the court held a status

    conference, at which it issued an order excluding all time from

    the date of indictment through February 15 because of the

    previous stay pending plea negotiations. Defense counsel did not

    object.

    On June 3, 1991, new counsel for Guyon, Mr. Evan

    Slavitt, filed a motion to dismiss the indictment based on a

    violation of the Speedy Trial Act. On June 13, 1991, the court

    held a hearing with respect to this motion, and after the court

    explained its excludable delay orders, denied the motion.

    Trial commenced on June 17, 1991, and Guyon was

    represented by a third counsel. On June 26, the fourth day of

    trial, the court adjourned for the day while the government was

    in the middle of its cross-examination of Guyon, who testified in

    his own defense. On June 27, Guyon did not appear in court and


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    the case was continued until the next day. On June 28, the court

    held an evidentiary hearing regarding Guyon's continued absence.

    Following this hearing, the court determined that Guyon's absence

    was voluntary and the court ordered that the trial be completed

    with Guyon in absentia. The court found:
    ___________

    [O]n the evidence before me I find it
    overwhelming that Mr. Guyon has
    voluntarily absented himself from this
    trial, so in accordance with Rule
    43(b)(1), I find that he is voluntarily
    absent after the trial is commenced and I
    will order that the proceedings continue
    through the return of a verdict under
    Rule 43 proceedings.

    Defense counsel refused to waive redirect of Guyon, and moved for

    a mistrial. The court denied the motion. The defense then

    rested, and the trial was completed that day. The jury returned

    a guilty verdict.

    Law enforcement officials apprehended Guyon on July 15,

    1991, in Wyoming, and returned him to Massachusetts. On December

    10, 1991, the court sentenced Guyon to 30 months imprisonment.

    Guyon now raises several issues on appeal.

    GUYON'S MOTION TO DISMISS
    GUYON'S MOTION TO DISMISS
    _________________________

    Guyon claims that the district court violated his

    statutory and due process rights by failing to rule on his motion

    to dismiss based on a violation of the Speedy Trial Act. As a

    basis for this argument, Guyon claims that he originally filed

    the motion to dismiss on November 16, 1989, and that this motion

    was never heard or decided by the court because the government




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    requested, and the court granted, a dismissal of the case.1

    Guyon claims that the case was then "reopened" fourteen months

    later in February 1991, but the court failed to rule upon the

    November 16, 1989 motion to dismiss.

    The government contends that Guyon's argument is based

    on an incorrect statement of the record below, and that the court

    did address and resolve the Speedy Trial Act issue.

    Guyon's contention that the district court deprived him

    of his statutory and due process rights is unfounded. Guyon's

    initial November 16, 1989 motion to dismiss was never expressly

    ruled upon because he withdrew that motion from the court's

    consideration, based on the government's representation that it

    would dismiss the indictment. When the government did not

    dismiss the indictment, Guyon's counsel filed a second motion to

    dismiss, which reargued some of Guyon's original Speedy Trial Act

    contentions. Glaringly absent from Guyon's brief is any

    reference to this second "Motion to Dismiss for Violation of the

    ____________________

    1 Guyon makes much of the fact that at the December 8, 1989
    hearing, the government stated that it would dismiss the
    indictment, and Guyon concludes that the case must have therefore
    been dismissed. Guyon's reading of the record is incorrect.
    While the government indicated orally in the December 8, 1991
    hearing that it would dismiss the indictment, the court then
    stated that it would entertain a dismissal if the government
    filed it in writing. The government never did file a written
    dismissal because it subsequently learned that the U.S.
    Attorney's Office in the Eastern District of Virginia was
    investigating similar charges against Guyon. The parties then
    attempted to negotiate a resolution of all charges against Guyon
    before any dismissal was filed in the District of Massachusetts
    or any other action was taken. The indictment was therefore
    never dismissed. Confusion regarding the record may stem from
    the fact that the Clerk's office inadvertently closed its file in
    this case and thereafter clerically "reopened" the case.

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    Speedy Trial Act (18 U.S.C. 3161 et. seq.)" which Attorney

    Slavitt filed on June 3, 1991. On June 13, 1991, the court held

    a hearing with respect to this motion. At this hearing, the

    court reminded Guyon that the court had entered an order

    excluding all time from the indictment until February 15 based on

    the stay pending plea negotiations, and that Guyon did not object

    to this order.2 The court then appropriately denied the motion.

    We are at a complete loss to understand how Guyon can argue that,

    based on the particular travels of this case, he was somehow

    denied his statutory or due process rights.

    PROCEEDING WITH THE TRIAL WITH GUYON IN ABSENTIA
    PROCEEDING WITH THE TRIAL WITH GUYON IN ABSENTIA
    ________________________________________________

    A criminal defendant has a constitutional right to be

    present at his trial. This right is rooted in the due process

    clause and the confrontation clause of the Constitution. United
    ______

    States v. Latham, 874 F.2d 852, 857 (1st Cir. 1989). The United
    ______ ______

    States Supreme Court has held, however, that during the course of

    a trial, if a defendant voluntarily absents himself from the

    proceedings, it "operates as a waiver of his right to be present

    and leaves the court free to proceed with the trial in like

    manner and with like effect as if he were present." Latham, 874
    ______

    F.2d at 857 (quoting D az v. United States, 223 U.S. 442, 455
    ____ ______________

    ____________________

    2 Guyon does not challenge the court's order excluding this time
    on appeal, nor could he because Guyon's counsel failed to take
    exception to the entry of the court's order in the district court
    and he has therefore waived his right to object. See United
    ___ ______
    States v. Brown, 736 F.2d 807, 808 n.1 (1st Cir. 1984) (stating
    ______ _____
    that the government's failure to object to court's order of
    excludable delay resulted in binding the government to the
    district court's unchallenged computation), appeal after remand,
    ____________________
    770 F.2d 241 (1st Cir. 1985), cert. denied, 474 U.S. 1064 (1986).
    ____________

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    (1912)); United States v. Lochan, 674 F.2d 960, 967 (1st Cir.
    _____________ ______

    1982). Fed. R. Crim. P. 43(b) also permits a court to continue

    with a trial if a defendant, who is initially present,

    voluntarily absents himself after the trial has commenced.3

    When a court is faced with the issue of whether or not

    to proceed with a trial, the court must first determine whether

    the defendant is, in fact, "voluntarily" absent from the

    proceedings. Lochan, 674 F.2d at 967; Latham, 874 F.2d at 857.
    ______ ______

    If so, the court must next analyze a "complex of issues," which

    include: the ability to apprehend the defendant; the difficulty

    of rescheduling the trial until the defendant is present; and the

    burden on the government in holding two trials. Latham, 874 F.2d
    ______

    at 857-58. The court should only allow the trial to proceed if

    the interest of the public in proceeding with the trial clearly

    outweighs the interest of the absent defendant. Id. at 857. We
    __

    review a district court's decision to proceed with trial for an

    abuse of discretion. See Latham, 874 F.2d at 857; Lochan, 674
    ___ ______ ______

    F.2d at 968.


    ____________________

    3 Fed. R. Crim. P. 43(b) provides in pertinent part:

    The further progress of the trial to and
    including the return of the verdict shall
    not be prevented and the defendant shall
    be considered to have waived the right to
    be present whenever a defendant,
    initially present,

    1) is voluntarily absent after the trial
    has commenced (whether or not the
    defendant has been informed by the court
    of the obligation to remain during the
    trial), . . .

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    Guyon contends that the district court abused its

    discretion by proceeding with the trial after Guyon had

    "voluntarily absented" himself from the trial proceedings. Guyon

    apparently does not take issue with the court's finding that

    Guyon's absence from the proceedings was voluntary.4 Rather,

    Guyon contends that the court committed reversible error by

    failing to inquire into the "complex of issues" to determine if

    the trial should proceed.

    The government concedes that the court did not

    explicitly articulate its findings or reasoning with respect to

    this second inquiry, but argues that the facts clearly support

    the court's decision to proceed with the trial under this

    analysis.

    Despite the absence of an express finding by the

    district court with respect to the "complex of issues" inquiry,

    the facts support the court's decision to proceed with trial.

    See, e.g., United States v. Muzevsky, 760 F.2d 83, 85 (4th Cir.
    ___ ____ _____________ ________

    1985). The public's interest in proceeding with trial clearly

    outweighed Guyon's interest in delaying the proceedings. First,

    there appeared to be little possibility that the trial could soon

    take place with Guyon present. The evidence that Guyon was

    voluntarily absent was, as the district court noted,


    ____________________

    4 A trial court's finding pursuant to Fed. R. Crim. P. 43(b)
    that a defendant has voluntarily absented himself from trial
    should be upheld unless clearly erroneous. Lochan, 674 F.2d at
    ______
    967. There is ample evidence in the record to support the
    court's finding that after the fourth day of trial, Guyon checked
    out of his hotel room and fled.

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    "overwhelming." The record indicates that after the court

    postponed the trial for one day in order to locate Guyon, an FBI

    agent testified that Guyon had checked out of the hotel where he

    had been staying on June 27, 1991. Moreover, the FBI had

    conducted a thorough, yet unsuccessful, search to find Guyon, and

    there was no indication that government agents would soon

    apprehend him.

    There also would have been a heavy burden on the

    government to retry this case. Guyon fled at the end of a five

    day trial. The government had rested, after presenting 18

    witnesses, a number of whom were from out of state. Guyon made a

    number of admissions on direct examination, and then fled in the

    middle of his own cross-examination. For example, Guyon admitted

    forging school certifications. He also admitted that he obtained

    multiple loans in the name of other individuals. To retry the

    case, the government would be required to remarshall its

    resources and repeat its entire presentation.

    Guyon's interest in delaying the trial did not outweigh

    the public's interest in having the case proceed to verdict.

    Guyon fled at the eleventh hour, in an apparent attempt to

    manipulate the trial process in the exact manner that Fed. R.

    Crim. P. 43(b) is designed to prevent. See Crosby v. United
    ___ ______ ______

    States, 113 S. Ct. 748, 751 (1993) (Fed. R. Crim. P. 43(b) is
    ______

    designed to preclude a defendant from manipulating the

    proceedings against him by voluntarily absenting himself from

    trial, thus thwarting a trial that has already begun). Guyon


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    argues that the court's decision to proceed unfairly prejudiced

    him because his testimony on redirect examination could have been

    "particularly significant" to his defense. Guyon fails, however,

    to shore up this speculation and state what testimony would have

    been elicited on redirect which would have aided his defense and

    would have explained, rebutted or otherwise counterbalanced the

    damaging admissions he made during the course of his own direct

    examination. Based on these facts, we do not believe that the

    court abused its discretion by proceeding with the trial, and any

    error the court made in failing to make explicit findings with

    respect to the "complex of issues" analysis was harmless.

    FEDERAL RULE OF EVIDENCE 404(b) - OTHER CRIMES EVIDENCE
    FEDERAL RULE OF EVIDENCE 404(b) - OTHER CRIMES EVIDENCE
    _______________________________________________________

    Guyon argues that the district court abused its

    discretion by admitting evidence of applications for loans which

    were not charged in the indictment, as evidence of other acts and

    crimes pursuant to Fed. R. Evid. 404(b). Guyon contends that the

    court failed to engage in the appropriate two prong analysis

    under Fed. R. Evid. 404(b) when it admitted the evidence. Guyon

    further argues that the evidence was unduly prejudicial, and

    therefore, the court's decision to admit it was an abuse of

    discretion. Guyon also claims that the court abused its

    discretion by admitting evidence of his credit history.

    The government argues that Guyon's contentions ignore

    the record below, and that the challenged evidence was admissible

    pursuant to Fed. R. Evid. 404(b).

    Evidence is admissible under Fed. R. Evid. 404(b) when


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    it satisfies a two step analysis by the district court.5 First,

    the court must determine if the evidence is being offered to show

    something other than that the defendant acted in conformity with

    a "bad" character. United States v. Rivera-Medina, 845 F.2d 12,
    _____________ _____________

    15 (1st Cir.), cert. denied, 488 U.S. 862 (1988); United States
    _____________ _____________

    v. Gonz lez-S nchez, 825 F.2d 572, 579-80 (1st Cir.), cert.
    ________________ _____

    denied, 484 U.S. 989 (1987). The court must find that the
    ______

    "evidence has some 'special' probative value showing intent,

    preparation, knowledge or absence of mistake." United States v.
    _____________

    Garc a, 983 F.2d 1160, 1172 (1st Cir. 1993) (citations omitted);
    ______

    Rivera-Medina, 845 F.2d at 15; Gonz lez-S nchez, 825 F.2d at 579.
    _____________ ________________

    Second, the court must balance the probative value of the

    evidence against the danger of undue prejudice to the defendant,

    which may arise from admitting the evidence. Garc a, 983 F.2d at
    ______

    1172; Rivera-Medina, 845 F.2d at 15-16; Gonz lez-S nchez, 825
    _____________ ________________

    F.2d at 580. The decision to admit Fed. R. Evid. 404(b) evidence

    is committed to the sound discretion of the district court, and

    we will only disturb such a ruling on appeal if the court abused

    its discretion. Garc a, 983 F.2d at 1172.
    ______

    Pursuant to Fed. R. Evid. 404(b), the government

    introduced evidence at trial of Guyon's applications for the

    ____________________

    5 Fed. R. Evid. 404(b) provides in pertinent part:

    Evidence of other crimes, wrongs, or acts
    is not admissible to prove the character
    of a person in order to show action in
    conformity therewith. It may, however,
    be admissible for other purposes, such as
    proof of motive, opportunity, intent,
    preparation, plan, knowledge . . .

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    Massachusetts Higher Education Loans, the Excel loan, the

    "Consern" loans, and the First Security Bank of Idaho student

    loans. As a preliminary matter, the record belies Guyon's

    contention that the district court applied an incorrect legal

    standard by failing to engage in the second step of the Rule

    404(b) analysis, which requires that the court balance the

    probative value of the evidence against its prejudicial impact.

    When the court addressed the admissibility of the uncharged loan

    evidence generally at a hearing before trial, the court stated

    that it would "address 404(b) problems with a twofold analysis,"

    making it clear that the court was cognizant of the appropriate

    mode of evaluation. Moreover, on one occasion when specific

    uncharged loan evidence was offered during the course of the

    trial and then objected to by defense counsel, the court

    indicated that the probative value of the evidence outweighed any

    prejudice.

    The court did not abuse its discretion by admitting the

    uncharged loan evidence. First, the evidence had "special"

    relevance in that it was probative of Guyon's intent when he

    applied for the various loans. Intent was a disputed issue that

    was central to this case. During trial, Guyon's counsel

    repeatedly argued that Guyon did not intend to defraud anyone.

    To counter this defense and prove its allegations, the government

    proffered evidence of the uncharged loans to establish intent and

    modus operandi. There was a striking similarity between the
    _______________

    evidence of charged and uncharged loans, and this evidence helped


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    show that Guyon was engaged in a widespread scheme to

    fraudulently apply for a number of loans, using the same pattern

    of activity in each instance, in order to defraud various banks.

    For example, Guyon forged the name of "Tonya Mayes" and "Mary

    Garber" on both charged and uncharged loan applications. This

    evidence was therefore precisely the type of evidence that Fed.

    R.Evid. 404(b)permits inorder tohelp proveGuyon's planand intent.

    With respect to the second step in the Rule 404(b)

    analysis, Guyon argues that this evidence was unfairly

    prejudicial to him, and he argues that the jury was likely to

    have attributed much significance to this uncharged loan

    evidence. We agree that this evidence, like most evidence

    offered against a defendant, is prejudicial. That is not,

    however, the issue. Rather, the question is whether the

    probative value of the evidence was substantially outweighed by

    the danger of unfair prejudice. Garc a, 983 F.2d at 1173;
    ______

    Gonz lez-S nchez, 825 F.2d at 581.
    ________________

    The district court concluded that the probative value

    of the evidence outweighed the possibility of unfair

    consideration by the jury. We believe that the record supports

    the court's conclusion, and that the court's instructions to the

    jury regarding the limited purpose of this evidence, to show

    intent, cushioned the impact and reduced any possible prejudice.

    We will therefore not disturb the ruling.

    Guyon next argues that the court abused its discretion

    in admitting evidence of the two uncharged Massachusetts Higher


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    Education loans that Guyon applied for through the Bank of

    Boston, which included credit reports compiled by the bank.

    Guyon's counsel objected to the admission of these credit

    reports, arguing that adverse credit information in the reports

    was unfairly prejudicial. Counsel additionally requested that

    the credit histories be redacted. The court overruled the

    objection, but gave a limiting instruction that the only purpose

    of the evidence was to help understand what information the bank

    had when it decided whether or not to make the loan.

    With respect to the Rule 404(b) two prong analysis, we

    agree that the evidence was relevant as to how the Bank of Boston

    made its loan decisions, and the evidence was not admitted to

    show that Guyon had a bad character. Second, the probative value

    of this evidence was not outweighed by any unfair prejudice.

    Credit histories are fairly routine evidence, and are not the

    type of evidence that typically elicits an irrational reaction

    from the jury. Moreover, Guyon has not pointed to anything

    specific in his credit history that was particularly prejudicial.

    Consequently, Guyon has not shown that the court abused its

    discretion in admitting the evidence. We therefore uphold the

    district court's ruling.

    CALCULATING LOSS UNDER THE SENTENCING GUIDELINES
    CALCULATING LOSS UNDER THE SENTENCING GUIDELINES
    ________________________________________________

    At sentencing, the court determined that the

    appropriate guideline to be applied in this case was the 1988

    version of U.S.S.G. 2F1.1, for crimes involving fraud and

    deceit. The court found that the loss involved in this case,


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    including consummated and unconsummated loans, exceeded $200,001

    and was less than $500,000, and therefore pursuant to U.S.S.G.

    2F1.1(b)(1)(H), the base offense level of six was to be increased

    seven levels. Guyon objected to the court's calculation and

    argued that the court should not include unconsummated loans in

    the loss calculation. Accordingly, Guyon argued that the correct

    figure was $200,000 or less, thus yielding an increase of only

    six levels. The court then made the following findings:

    [W]hen I look at the offense
    characteristics and take account of what
    the other victims of the offenses that
    were part of this pattern, excluding the
    Virginia offenses, have suffered, it's
    pretty clear it gets above two hundred
    thousand.

    In deciding to include the unconsummated loans, the court found

    as a factual matter that Guyon intended to defraud the banks of

    the amount of the loan applications and refused to discount this

    amount by assuming that had Guyon actually obtained the loan, he

    would have used the proceeds to pay off other loans. The court

    stated:

    I am very clear that at least the
    guidelines authorize me in the exercise
    of discretion to take those into account
    and when I do we're way above the
    $200,001 floor.

    On appeal, Guyon now raises the issue of the meaning of

    "loss" in the sentencing guidelines covering fraud. Guyon

    seemingly argues that the court committed an error of law by

    measuring loss by the amount that Guyon intended to obtain
    ________

    fraudulently from the various banks. Guyon maintains that


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    instead the correct legal basis for increasing the sentence was

    the actual loss resulting from his criminal conduct.
    ______

    The court did not commit any error in calculating loss

    on the basis of intended loss. U.S.S.G. 2F1.1 applies to

    crimes involving fraud and deceit, and the offense level

    increases commensurately with the magnitude of the loss.

    U.S.S.G. 2F1.1(b)(1)(H) (1988) mandates an increase of seven

    levels to the base offense level when the "loss" is between

    $200,001 and $500,000. Application Note 7 of the Commentary to

    this Guideline deals with the valuation of loss. The 1988

    version of Application Note 7 provided in pertinent part:

    In keeping with the Commission's policy
    on attempts, if a probable or intended
    loss that the defendant was attempting to
    inflict can be determined, that figure
    would be used if it was larger than the
    actual loss . . .

    U.S.S.G. 2F1.1, comment (n.7) (1988). The court therefore

    correctly applied the law and acted well within its discretion

    when it calculated loss on the basis of intended loss instead of

    actual loss, and found that the unconsummated loans Guyon applied

    for should have been included in the intended loss figure.6


    ____________________

    6 On appeal, Guyon seemingly does not challenge the court's
    factual finding with respect to the unconsummated loans, that
    Guyon intended to cause the banks loss in the amount that he
    requested in the loan applications, and the court's refusal to
    accept Guyon's contention that he would have used the loan
    proceeds to pay off other loans. Even assuming that Guyon did
    make such a challenge, the court's factual finding would not be
    disturbed unless it was clearly erroneous. 18 U.S.C. 3742(e);
    United States v. Ruiz, 905 F.2d 499, 507 (1st Cir. 1990). There
    _____________ ____
    is evidence in the record which supports this finding and we do
    not believe that it is clearly erroneous.

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    For the foregoing reasons, we affirm Guyon's conviction
    _______________________________________________________

    and sentence.
    ____________


















































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