United States v. Lachman ( 1995 )


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    UNITED STATES COURT OF APPEALS UNITED STATES COURT OF APPEALS
    FOR THE FIRST CIRCUIT FOR THE FIRST CIRCUIT
    ____________________

    No. 94-2005

    UNITED STATES OF AMERICA,

    Appellant,

    v.

    WALTER L. LACHMAN, MAURICE H. SUBILIA, JR.,
    FIBER MATERIALS, INC., MATERIALS INTERNATIONAL,

    Defendants, Appellees.

    ____________________

    APPEAL FROM THE UNITED STATES DISTRICT COURT

    FOR THE DISTRICT OF MASSACHUSETTS

    [Hon. Douglas P. Woodlock, U.S. District Judge] ___________________

    ____________________

    Before

    Selya, Boudin and Stahl,

    Circuit Judges. ______________

    ____________________

    James D. Herbert, Assistant United States Attorney, with _________________
    whom Donald K. Stern, United States Attorney, and Despena Fillios _______________ _______________
    Billings, Assistant United States Attorney, were on brief for the ________
    United States.
    Nicholas C. Theodorou with whom Anthony Mirenda, Michael _______________________ ________________ _______
    Boudett, Foley, Hoag & Eliot, Bruce A. Singal and Ferriter, _______ _____________________ _________________ _________
    Scobbo, Sikora, Singal, Caruso & Rodophele were on joint brief _______________ ___________________________
    for appellees.


    ____________________

    February 23, 1995
    ____________________


















    BOUDIN, Circuit Judge. This is an interlocutory appeal _____________

    by the government under 18 U.S.C. 3731 contesting an

    evidentiary ruling made prior to trial in a criminal case.

    In the challenged ruling, the district court excluded from

    the government's case-in-chief 13 exhibits that the

    government deems of great importance. Finding that the

    district court did not abuse the discretion it possesses

    under Fed. R. Evid. 403, we affirm.

    I.

    On July 8, 1993, a grand jury returned an indictment

    charging that four named defendants conspired to (count I),

    and did in fact (count II), violate the Export Administration

    Act of 1979 ("the Export Act"), 50 U.S.C. App. 2410(a), and

    its implementing regulations. The defendants were two

    corporations--Fiber Materials, Inc., and its subsidiary

    Materials International--and the two top executive officers

    of the companies: Walter L. Lachman and Maurice H. Subilia.

    The "facts" that follow largely reflect the government's

    allegations (as yet unproved).

    Fiber Materials has been engaged for 25 years in the

    production of composite materials for industrial and

    aerospace applications. Most of its business relates to

    technology for the manufacture of carbon/carbon, a category

    of materials that can be made to withstand intense heat and

    pressure. Over two-thirds of Fiber Materials' work is for



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    the U.S. military. Materials International markets its

    parent company's materials, technologies and services

    overseas.

    One of the technologies in which Fiber Materials is

    expert relates to the hot isostatic press; the press is a

    complex piece of industrial equipment that contains an

    internal cavity and uses high pressure gas or liquid to

    subject materials to intense pressure and a furnace to

    produce extreme heat. Carbon/carbon, when "densified" by

    this process, becomes suitable for use in rocket components,

    including ballistic missiles with nuclear capability. Fiber

    Materials generally subcontracts the manufacture of equipment

    such as the press to others but provides the expertise.

    In 1984, the Indian government's Defense Research and

    Development Laboratory ("the Indian Defense Laboratory")

    issued a request for proposals to outfit a carbon/carbon

    facility in India for use in rocket and missile development.

    Fiber Materials won the bid and in 1985 signed a contract

    with the Defense Laboratory. Among other things, the

    contract called for Fiber Materials to supply a hot isostatic

    press with a cavity 26 inches in diameter, and a control

    panel for the press; such a panel contains controls to heat,

    pressurize and otherwise operate the press.

    Under the Export Act, various goods and technologies are

    subject to different levels of export control for reasons of



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    foreign policy, national security or scarcity. As one facet

    of this regime, the Commerce Department maintains a list of

    commodities that may not be exported without an individual

    license. Item ECCN 1312A on this list, as the list existed

    in the late 1980s, covered hot isostatic presses with a

    cavity diameter of 5 inches or more and any "components, ___

    accessories and controls" that were "specially designed" for

    such presses. Export to any country except Canada required a

    license; and the stated reasons for the restriction were

    "national security" and "nuclear non-proliferation." 15

    C.F.R. 399.1, Supp. 1 (1988) (later revised and

    renumbered).

    In January 1987, Fiber Materials and the Indian Defense

    Laboratory modified their contract to call for a hot

    isostatic press with a cavity diameter of 4.9 inches and a

    control panel for the press. According to the government,

    Subilia wrote to the Indian Defense Laboratory to assure the

    laboratory that the control panel to be supplied under the

    new contract could in the future be used with a larger hot

    isostatic press. In early 1987, the defendants were

    allegedly told by the government that certain other items in

    their contract, which required individual licenses, would

    probably not be licensed because of security concerns.

    In March 1988, Materials International entered into a

    contract with the Indian Defense Laboratory to have a hot



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    isostatic press with a cavity diameter of 26 inches made by a

    third party in Switzerland (which did not prohibit such

    exports) and shipped directly to India. A month later,

    defendants exported the original 4.9 inch press, along with

    its control panel, from the United States to India without

    seeking or receiving a Commerce Department license. A year

    and a half later, the 26 inch press was sent from Switzerland

    to India. In 1991 and 1992, defendants sent employees of

    Fiber Materials to India to install the equipment and,

    specifically, to connect the U.S.-made control panel to the

    large Swiss-made hot isostatic press.

    On July 8, 1993, the four defendants were indicted in

    two counts for knowingly conspiring to violate, and knowing

    violation of, the Export Act and its regulations. 15 U.S.C.

    App. 2410(a). The commodity whose export was claimed to be

    unlawful was not the 4.9 inch press but the control panel.

    II.

    Pretrial proceedings were extensive. In June 1994, the

    district court set trial to begin on July 25 and ordered the

    government to provide a list of proposed exhibits to

    defendants by July 1. On July 1, the government filed a very

    lengthy list of exhibits. On July 19, the defendants filed a

    motion in limine aimed at excluding many of these exhibits __________

    relating to the alleged "end use" of the exported items for

    missiles and nuclear weapons. The government then discarded



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    many of its exhibits but opposed the exclusion of others

    objected to by defendants. In the meantime trial was

    deferred until August.

    Perceiving that judgments about relevance might be

    affected by the scienter instructions at trial, the district

    court addressed that issue. With the government acquiescing,

    the court ultimately adopted the defendants' theory of

    intent: the court held that the "knowing[] violat[ion]"

    requirement of 50 U.S.C. App. 2410(a) required the

    government to prove that the defendants knew that the control

    panel required an individual license. Compare United States _______ _____________

    v. Gregg, 829 F.2d 1430, 1437 (8th Cir. 1987) (imposing such _____

    a knowledge requirement) with United States v. Shetterly, 971 ____ _____________ _________

    F.2d 67, 73 (7th Cir. 1992) (rejecting it). This issue is

    not before us, and we express no view upon it.

    The district court held a hearing on August 3 and, in an

    oral ruling, excluded 13 of the governments' exhibits from

    use in its case-in-chief. As to nine other exhibits, the

    court declined to rule before the exhibits were offered at

    trial, but it expressed "intense skepticism" about admitting

    some of them. The government voluntarily withdrew 21 other

    challenged exhibits. Although the excluded exhibits number

    13, they actually comprise four different collections, one of

    which accounts for 10 of the exhibits:





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    The first (gov. ex. EK) is a 121-page file belonging to

    the Institute for Defense Analysis, a U.S. industry working

    group that assists the Defense Department with its own

    program to identify militarily critical technologies. The

    defendant Subilia was a member of the group. The 121-page

    file contained records of working group meetings in 1985.

    The records indicate that at one meeting Subilia attended,

    carbon/carbon was discussed and a copy of ECCN 1312A was

    distributed. The file contains many references to munitions

    and weapons, and considerable material relating to

    commodities not at issue in this case.

    The second file of excluded documents (gov. exs. DW

    through EF) consists of 10 newspaper clippings found in the

    files of Materials International. These articles discuss the

    Indian government's "AGNI" missile program. None refer to

    hot isostatic presses or their control panels. All but one

    of the articles are dated in 1989, more than a year after the

    export of the control panel in this case. Each of the 10

    newspaper articles was designated as a separate exhibit.

    The third (gov. ex. AA1 through 5) is a group of

    documents comprising defendants' registrations and renewal

    applications filed with the State Department. That

    department maintains its own "munitions" list of controlled

    exports, a list distinct from that of the Commerce

    Department. The State Department list does not cover hot



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    isostatic presses or their control panels. The defendants'

    filings with the State Department pertained to their

    activities as exporters of carbon/carbon. The documents do

    identify the U.S. military as customers of Fiber Materials.

    The fourth (gov. ex. AE) is the Indian Defense

    Laboratory's 1984 request for proposals for the carbon/carbon

    processing facility. This was the proposal for which Fiber

    Materials submitted the winning bid; as earlier noted, the

    original arrangement for a larger hot isostatic press was

    modified in 1987 to call for one of 4.9 inches. The exhibit

    indicates that the Indian carbon/carbon facility would be

    used in connection with rocket and missile development.

    The district court's reasons for excluding these

    exhibits have to be discerned from the transcript of the

    hearing on August 3, a hearing that embraced issues and

    documents in addition to the 13 exhibits now in dispute. In

    excluding the 121-page file, the court referred to Rule 403

    and called the materials duplicative, redundant and

    potentially misleading. The State Department registration

    papers were described more briefly in the same terms. In

    excluding the 1984 request for proposals, the district court

    called it "preliminary."

    We think that a fair reading of the transcript as a

    whole indicates that the trial court thought that some of the

    material in the 13 exhibits was irrelevant and some of



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    marginal relevance; that it saw in the references to missiles

    and nuclear weapons a potential for jury prejudice; and that

    it was concerned also, in the case of the 121-page document

    and the State Department materials, with a problem of jury

    confusion because of the references to materials other than

    the press and controls at issue and references to regimes

    other than the Commerce Department licensing controls.

    At the same time, in the course of the hearing, the

    district court told the defense that the government would be

    given some latitude to present to the jury the defendants'

    "familiarity with the regime of regulation" and "the

    resistance that the Government may have to allowing awards of

    licenses in an area of some sensitivity." This, said the

    court, followed from the defendants' own success in making

    knowledge of the legal restrictions an element of the

    government's case. The court concluded by warning that "I

    haven't finally ruled on this issue."

    On August 5, the government asked the district court to

    reconsider its exclusion of the 13 exhibits and the court

    denied the motion. The government then announced that it

    would appeal the court's ruling, and the trial scheduled to

    begin three days later was continued indefinitely. A further

    request by the government to the district court to reconsider

    its ruling also failed. This appeal ensued.

    III.



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    Certain types of exclusionary rulings in criminal cases

    are commonly made before trial, such as rulings on the

    validity of a search and seizure or the voluntariness of a

    confession. In most other cases, judges are hesitant to rule

    finally on evidentiary questions in advance of trial. The

    role and importance of the disputed evidence, its fit with

    other evidence in the case, and even the precise nature of

    the evidence may all be affected by, or at least more clearly

    understood within, the context of the trial itself.

    At the same time, determining the admissibility of a

    piece of evidence may sometimes require a potentially lengthy

    factual inquiry (e.g., whether a new class of scientific ____

    evidence is admissible). Or the entire structure of the

    case, and the parties' preparations, may turn on whether a

    central piece of evidence is to be admitted. Thus, while

    caution needs to be exercised, trial judges have discretion

    to make purportedly final advance rulings to admit or exclude

    evidence. We say "purportedly" because judges in ongoing

    proceedings normally have some latitude to revisit their own

    earlier rulings.

    In this case, neither side disputes that the district

    court was entitled to rule in limine on the 13 exhibits in __________

    question. The only question is whether the court abused its

    discretion under Rule 403 in determining that these exhibits

    should be excluded. The government admits that the standard



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    of appellate review as to such rulings is deferential to the

    district court, but says that discretion is not unlimited.

    It is certainly true that essentially legal issues may be

    embedded in such a decision; and we agree that even the

    exercise of discretionary judgment is subject to outer

    limits. See United States v. Roberts, 978 F.2d 17, 21 (1st ___ ______________ _______

    Cir. 1992).

    Rule 403 calls upon the district court to weigh the

    probative value of evidence against the harms that it may

    cause--unfair prejudice, confusion, misleading the jury,

    delay or repetition--and to exclude the evidence if the

    probative value is "substantially outweighed" by the harms.

    The government does not argue that the trial judge misstated

    Rule 403 or misunderstood the factors; rather, the claim is

    that the court struck the wrong balance. One can start the

    analysis at either end of the balance scale. In this case,

    it is convenient to begin our discussion with the probative

    value of the evidence in question.

    Normally, in order to have probative value, evidence

    must be "relevant" under Fed. R. Evid. P. 401, that is, it

    must tend to make an issue in the case ("a fact of

    consequence") more or less likely than would be so without

    the evidence. United States v. Tavares, 21 F.3d 1, 5 (1st _____________ _______

    Cir. 1994) (en banc). Other factors that may bear on

    probative value are the importance of the issue and the force



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    of the evidence. 22 C. Wright & K. Graham, Federal Practice ________________

    and Procedure 5214 (1978). In this case, the government's ______________

    most difficult problem throughout has been explaining why and

    how the exhibits in question are relevant to an issue in the

    case.

    The core of the charges in the indictment are that the

    defendants knowingly agreed to, and did in fact, export a

    commodity that requires an individual license without

    obtaining such a license. A commodity requires such a

    license if it appears on the Commerce Department list of such

    commodities. See 50 U.S.C. App. 2403(b), 24049(a); 15 ___

    C.F.R. 372.2(b)(1) (1988). The listed item in question--a

    specially designed control panel--is described primarily in

    terms of its relationship to another, technically described

    item (a hot isostatic press with a cavity of 5 inches or

    more). The end use of the products to be made by the control

    panel and press is not an explicit element in the definition.

    By contrast, the most prominent feature of the exhibits

    in question--and the aspect most objected to by defendants--

    is their tendency to show that the control panel might well

    be used to foster the development of weaponry including

    nuclear missiles. This is the gist of the 10 newspaper

    clippings concerning the Indian government's AGNI missile

    program. Military uses of the carbon/carbon materials

    produced by the hot isostatic press are one subject of the



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    121-page file. The State Department registration papers

    serve to associate Fiber Materials with military projects.

    The 1984 request for proposals suggest that the original

    larger press was sought for missile development.

    The government seeks to connect the offense with the

    exhibits primarily by arguing that the evidence helps to show

    scienter. The government here has acquiesced in a stringent,

    and relatively rare, instruction that--to make out a

    violation--the defendants must not only have known what they

    did, but also have known that it was forbidden. Where the

    offense is one grounded in technical regulations and the

    conduct not inherently likely to be unlawful--the legal tag

    is malum prohibitum--this burden will often be a heavy one ________________

    for the government.

    Although the government's brief does not spell out the

    connections systematically, we think that such a scienter

    requirement might arguably make portions of the exhibits in

    question relevant in several different ways. The broadest

    utility would be to suggest that, knowing of the potential

    military use of the press and the Indian government's

    interest in such a use, the defendants had more reason in

    prudence, and were therefore more likely in fact, to have

    reviewed and considered the general state of the law and the

    specific regulations governing the export of the commodity.





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    Of course, a jury might assume that a company in the

    business of high-tech developments and their export would

    make itself aware of the pertinent export regulations. But

    the government is expected to prove each separate element of

    the offense beyond a reasonable doubt; and where knowledge

    must be proved by inference, the government is quite right

    not to take a casual view of its burden. The skull-and-

    crossbones insignia on the medicine bottle does not prove

    that the defendant read the small print instructions; but it

    does tend to increase the likelihood.

    Two other, more specific uses have been suggested by the

    government for certain materials in the exhibits: to show, in

    the case of one page in the 121-page compilation, that

    Subilia was given a copy of item ECCN 1312A; and to indicate,

    by showing who signed the State Department registration

    papers, which persons in the corporate defendants took

    responsibility for compliance. These uses, however, could be

    satisfied by far less the full offerings made by the

    government--the item page in the former case and the

    signature page in the latter, together with context

    testimony.

    Lastly, the government's brief suggests or implies that

    the exhibits (especially the news clippings and the 1984

    request for proposals)--by implicating the likely military

    end uses of the larger press and control panel--support a



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    double proposition: that the Commerce Department would not

    have granted a license for the control panel in this case if

    a license had been sought, and that the defendants (being

    aware of the exhibits) knew this to be true. This argument

    raises the subtlest problem in the case.

    The defendants say indignantly (and correctly) that the

    crime charged relates to exporting listed commodities without

    a license, not to exporting commodities that the government

    would decline to license. Put differently, if a commodity is

    not listed, its export does not violate this statute no

    matter how vehemently the government objects to its export or

    how swiftly it would deny a license if asked. The

    government's opening brief is so framed as to invite this

    response and to make it difficult to tell what other, more

    defensible use of the double inference might be available.

    The government's reply brief, however, offers (in a

    lengthy footnote) two rebuttal arguments. One is that

    defendants' knowledge that a license would likely be refused

    helps, as part of a pattern of other evidence, to show that

    the defendants' failure to apply for the license was out of

    design and not a mistake of law. The other is that the known

    intended end use has some bearing on the purpose for which

    the control panel was designed and thus on whether it was

    "specially designed" for use with a larger press; this last





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    argument, needless to say, turns partly on how the phrase

    "specially designed" is to be read.

    Against these arguments for relevance must be set two

    major concerns voiced by the district court. The first

    involves the likelihood of undue prejudice, which the

    district judge summed up by saying that he would not allow

    this to become a missile case. Evidence is not unduly

    prejudicial merely because it tends toward conviction; most

    useful evidence for the government does that. The concern is

    with any pronounced tendency of evidence to lead the jury,

    often for emotional reasons, to desire to convict a defendant

    for reasons other than the defendant's guilt. United States _____________

    v. Moccia, 681 F.2d 61, 63 (1st Cir. 1982). ______

    In this case the district court had every reason to be

    alert to this possibility. The government's disputed

    exhibits (apart from the State Department papers) tend to

    suggest that the defendants knew that they were aiding a

    project to develop missile technology for the Indian

    government. We can ignore, for present purposes, the

    arguable chronological flaw in relying on the nine clippings

    that post-date the exports in question (and the government's

    interesting counter-argument). The 1984 request for

    proposals, the 121-page compilation and the earliest press

    clipping are potent enough.





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    A jury, conscious of the risks of nuclear proliferation

    and of U.S. government efforts to halt it, could easily

    regard the defendants' alleged conduct as highly unattractive

    even if it turned out to be technically legal. Other aspects

    of the defendants' conduct (the 4.9 inch figure, the export

    from Switzerland) could reinforce the adverse impression.

    Any effort to dwell at length on the Indian government's

    nuclear missile program and potential use of the press and

    control panel in this case risks throwing gasoline on a

    flickering flame. A judge would be blind not to see this

    danger and to fear it.

    Prejudice is not the only threat. There is also a

    potential for confusing and misleading the jury. Quite apart

    from prejudice, there is a risk that an undue emphasis on the

    end use of the exported commodities could divert the jury's

    attention from whether the commodity is listed and known to

    be so, to whether the commodity is to be used for military

    purposes. This deflection might seem like a gross error,

    fairly easy to guard against in the instructions so far as

    confusion is concerned (prejudice is a different matter); but

    it is not the only problem.

    As our discussion has already shown, the government is

    interested in proving the known and intended military uses

    not only to support its skull-and-crossbones theory of

    heightened awareness but also to show that the government



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    would have denied a license. This, in turn, invokes

    arguments as to how this alleged fact--at first seemingly

    irrelevant to the offense of not asking for a required

    license--may help the government show scienter and even help

    it show why the control panel should be deemed a listed

    commodity. These arguments, raised tersely in the government

    reply brief, may or may not have some basis in law and logic.

    What is clear is that ample opportunity exists for jury

    confusion if exhibits are justified and used in order to show

    that the government would not have issued a license. It

    would be quite a task to explain to a jury that this "fact"

    is not an element in the violation but merely part of a

    subtle and debatable chain of inferences designed to use this

    license denial to show scienter and, more doubtfully, the

    character of the control panel. We ourselves have had some

    difficulty disentangling the government's theory of the

    offense from these more recherche relevance arguments.

    What we have said so far is that the district court was

    balancing claims in which there was weight on both sides of

    the scale. The evidence in question has some relevance--most

    clearly on the skull-and-crossbones theory; but (putting

    aside the single document page quoting item ECCN 1312A) it is

    not direct evidence of knowledge of the law. At the same

    time, the risks of undue prejudice are quite evident; and

    risks of confusion are real too, especially if the government



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    is allowed to develop and argue some of its more subtle and

    questionable inferences. This dual threat of prejudice and

    confusion is alone enough to lend support to the district

    court's decision.

    Our discussion thus far has not touched upon the

    government's need for this evidence and the closely related ____

    question of alternatives available to it. In applying Rule

    403, it is plainly pertinent whether a litigant has some

    alternative way to establish a fact that involves no (or at

    least a lesser) risk of prejudice or confusion. 22 Wright &

    Graham, supra, 5214 (citing cases). But here, in an _____

    interlocutory appeal, we do not know very much about how else

    the government might at trial seek to establish the

    defendants' knowledge of the regulatory regime and the finer

    shades of its likely interpretation.

    What we do know is that the district court thought that

    the government did have some less dangerous, if perhaps less

    potent, means of establishing the defendants' familiarity

    with the regulations and with the delicacy of their position.

    As already noted, the court said that it was prepared to give

    the government some leeway in this area. One can hardly

    doubt that some evidence is available: merely as an example,

    the selection of a 4.9 inch figure for the press pretty much

    shows that someone in the organization knew about item ECCN

    1312A.



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    We think that the district court further showed a wise

    flexibility in two other respects. It limited its exclusion

    of the 13 exhibits in question to the government's case-in-

    chief, knowing that positions taken or testimony offered by

    the defense might warrant the court in relaxing the ban for

    purposes of cross-examination or rebuttal. On a substantial

    number of other exhibits objected to by defendants, the court

    reserved its ruling, most likely until the evidence is

    actually offered at trial. The court's exclusion of 13

    exhibits certainly did not reflect a heavy-handed and

    inflexible constraint.

    We turn finally to a narrow concern that bolsters the

    district court's decision on one remaining open point. In

    the 121-page file a copy appears of item ECCN 1312A itself.

    Unlike much of the excluded material, this page is directly

    pertinent to the knowledge of at least one individual

    defendant as to the existence of this item, and one might

    think that this part of the exhibit ought to have made it

    through the filter. The government mentions the page but

    lays no special stress upon it. Perhaps it does not expect

    the defendants to deny that they were aware of the

    regulations.

    The district court expressed concern that this exhibit

    as a whole was a jumble of material, some rather patently

    unrelated to anything in this case. The government had, and



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    presumably still has, the option of identifying specific

    pieces of information in the exhibit and urging that they be

    considered separately from the rest. Without generalizing

    too broadly, it is normally the case that this kind of

    segregation is the job of counsel and not an already burdened

    district judge. See Brooks v. Chrysler Corp., 786 F.2d 1191, ___ ______ ______________

    1199 (D.C. Cir.), cert. denied, 479 U.S. 853 (1986). ____________

    We conclude that the district court had an ample basis

    under Rule 403 for excluding the 13 exhibits in question. We

    commend the trial judge's thoughtful approach to the problems

    presented and his efforts to balance the legitimate interests

    on both side. The government may on reflection think that it

    has cause to be grateful to the district court--both for

    eliminating possible errors that could infect a trial and,

    hopefully, for forcing the government to consider its

    theories of the offense and of relevance with somewhat

    greater precision before they are exposed to a jury.

    IV.

    Problems that can be treated with some confidence in

    context are often very difficult to solve before other pieces

    of the puzzle have been assembled. This, as we have said, is

    why district courts are often hesitant to decide evidentiary

    questions before trial. A like difficulty arises for an

    appellate court where, as here, an interlocutory appeal

    brings to the court only a part of the case. Thus, our task



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    might be simplified if we could speak with assurance about

    the standard of scienter or, for that matter, the definition

    of "specially designed."

    But these are not issues that have been briefed in this

    court, we have not sought to address them, and nothing in

    this opinion should be taken to suggest any view whatever as

    to how those issues should be resolved. Similarly, we stress

    again that what we have taken to be facts depends almost

    entirely on the indictment and other descriptions of what the

    government thinks it can prove. Any assertions of "fact" in

    this opinion, including descriptions of documents or the

    inferences to be drawn from them, are without prejudice to

    what the trial may show or what may emerge after more context

    has been supplied.

    All that we hold is that the district court did not ____

    abuse its discretion in excluding at this time from the

    government's case in chief the 13 disputed exhibits, each

    taken as a whole. Within very broad limits, the district

    court is free to reexamine its position on any issue as the

    case develops. See generally United States v. Uccio, 940 ______________ _____________ _____

    F.2d 753, 758 (2d Cir. 1991). We say this not to suggest any

    disagreement whatever with the district court's rulings but

    simply to underscore the limits on what this court has ____

    decided.





    -22- -22-













    With these stipulations, the order under review

    excluding the 13 exhibits is affirmed. ________

















































    -23- -23-






Document Info

Docket Number: 94-2005

Filed Date: 2/23/1995

Precedential Status: Precedential

Modified Date: 9/21/2015