United States v. Josleyn ( 1996 )


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    UNITED STATES COURT OF APPEALS
    FOR THE FIRST CIRCUIT

    ____________________

    No. 95-2146

    UNITED STATES OF AMERICA,

    Appellee,

    v.

    DENNIS JOSLEYN,

    Defendant, Appellant.

    ____________________

    No. 95-2147

    UNITED STATES OF AMERICA,

    Appellee,

    v.

    JOHN W. BILLMYER,

    Defendant, Appellant.

    ____________________


    APPEALS FROM THE UNITED STATES DISTRICT COURT

    FOR THE DISTRICT OF NEW HAMPSHIRE

    [Hon. Joseph A. DiClerico, Jr., U.S. District Judge] ___________________

    ____________________

    Before

    Selya, Cyr and Boudin,

    Circuit Judges. ______________

    ____________________





















    David W. Long, with whom Joseph E. Zeszotarski, and Poyner & _____________ _____________________ ________
    Spruill, LLP were on brief for appellant Billmyer. ____________
    Paul Twomey, with whom Twomey & Sisti Law Offices was on brief ___________ __________________________
    for appellant Josleyn.
    Michael J. Connolly and Donald A. Feith, Assistant United States ___________________ _______________
    Attorneys, with whom Paul M. Gagnon, United States Attorney, was on ______________
    brief for appellee.

    ____________________

    October 15, 1996
    ____________________





































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    CYR, Circuit Judge. A federal jury sitting in New CYR, Circuit Judge. ______________

    Hampshire returned guilty verdicts against appellants John W.

    Billmyer and Dennis R. Josleyn for conspiring to defraud their

    former employer, American Honda Motor Company ("Honda"), by

    accepting money and other valuable consideration from prospective

    Honda dealers in exchange for lucrative dealership rights and

    sundry advantage. See 18 U.S.C. 371 (conspiracy) & 1341 (mail ___

    fraud) (1994). Verdicts were returned also against Josleyn for

    racketeering, conspiracy, and mail fraud, see id. 1962(c), 371 ___ ___

    & 1341, relating, inter alia, to kickbacks received in connection _____ ____

    with national sales training seminars and dealer advertising

    programs for Honda dealers. On appeal, Billmyer and Josleyn

    principally contend that New Hampshire was an improper venue for

    the franchise conspiracy charge in Count II and that there was

    insufficient evidence to support the guilty verdicts. We affirm

    the district court judgments in all respects.

    I I

    BACKGROUND1 BACKGROUND __________

    Following the second OPEC oil embargo in 1979, American

    consumer demand for the energy-efficient automobiles manufactured

    by Honda skyrocketed, and remained strong for a decade thereaf-

    ter. Just as demand in the United States surged, the Japanese

    government imposed export restraints on its carmakers, and Honda

    ____________________

    1We recite the background facts the jury reasonably could
    have found, viewing the evidence in the light most favorable to
    the verdicts. See United States v. Bello-Perez, 977 F.2d 664, ___ ______________ ___________
    666 (1st Cir. 1992).

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    was unable to meet the demand for its automobiles in the United

    States. These uncommonly favorable market conditions endured

    throughout much of the 1980s, causing enterprising car dealers in

    the United States to compete fiercely (and sometimes unfairly)

    for exclusive Honda franchises in anticipation of the extraordi-

    narily large profit margins available on such popular Honda

    models as the Civic, Prelude, and Accord.

    Appellant John Billmyer joined Honda as a district

    sales representative in 1970, and rose rapidly through all four

    management levels in its field sales division.2 By 1977,

    Billmyer had been appointed regional sales manager for the

    eastern United States. By 1980, he held the top field sales

    position at Honda national sales manager and soon moved

    from its New Jersey office to headquarters in California. When

    Honda launched a line of luxury automobiles in 1985, Billmyer

    became national sales manager for the new Acura Division as well.

    He remained the top Honda field sales manager in the United

    States until he retired on March 31, 1988.

    After Billmyer retired, he was succeeded as national

    sales manager by S. James Cardiges, his closest associate at Hon-

    da. Billmyer had hired Cardiges as the Honda sales manager for

    the Baltimore/Washington D.C. district in 1977, and rapidly
    ____________________

    2At Honda, district sales managers in the field maintained
    day-to-day contact with their dealers and reported to their
    respective zone sales managers. Each zone manager was responsi-
    ble for Honda sales in several states. Zone managers in turn
    reported to their respective regional sales managers. The two
    regional managers each supervised Honda sales in the field for
    roughly one-half the country.

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    promoted him through the ranks: from zone manager for the mid-

    Atlantic states in 1979, to zone manager for the west coast (the

    largest and most prestigious zone) in 1981, to regional sales

    manager for the western United States in late 1982. While

    western regional sales manager, Cardiges worked closely with

    Billmyer. The two often traveled to work together and took

    business trips within the United States and overseas. Finally,

    Cardiges succeeded Billmyer as national sales manager in 1988.

    He resigned in April 1992 by "mutual agreement" with Honda, to

    forfend termination.

    Appellant Dennis R. Josleyn joined Honda in January

    1983, and followed a similar path: assistant sales manager for

    the mid-Atlantic zone in 1985; mid-Atlantic zone manager in March

    1987; and zone manager for the west coast, resident in Califor-

    nia, in early 1991, a position he held until he resigned from

    Honda in April 1992.

    Throughout appellants' tenure with Honda, corporate

    policy and procedures for awarding new Honda dealerships were set

    forth in the "Honda Automobile Dealer Appointment Procedures

    Manual." The first step was to identify a geographic area ripe

    for a new dealership in Honda terminology an "open point"

    through reference to marketing and demographic studies, data

    relating to competition, and an assortment of other information.

    Next, the district and zone sales managers for the area under

    consideration were to "prospect" for a qualified dealer to fill

    the "open point," then compose a slate of three or more suitable


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    candidates. Honda policy directed that sales managers evaluate

    candidates according to their experience in automobile retailing,

    available capital, personal reputation, and the quality of their

    location and facilities, all with the ultimate aim that Honda

    dealerships be awarded to the best candidates.

    Honda sales managers at each level, see supra note 2, _____ _____ ________ __ ____ _____ ___ _____

    were required to participate in recommending and approving candi- ____ ________ __ ___________ __ ____________ ___ _________ ______

    dates for any "open point." With the possible exception of _____ ___ ___ ____ _____

    Billmyer and Cardiges, in their respective capacities as national

    sales manager, no sales manager at any level possessed unilateral __ _____ _______ __ ___ _____ _________ __________

    authority to award a new dealership. Furthermore, approval was _________ __ _____ _ ___ __________

    required from managers representing the parts, service, and

    market-representation departments as well.

    Once selected for an "open point" dealership, with the

    approval of sales managers at the district, zone, regional, and

    national levels, a successful candidate received a "Letter of In-

    tent" ("LOI") from Honda via United States mail, authorizing the

    prospective dealer to open the new, exclusive dealership upon

    certain conditions, such as constructing a facility within a

    specified time. Until the franchise itself was issued to the

    prospective dealer, however, these LOI rights remained the

    property of Honda. Like its competitors, Honda exacted no fee

    for its dealership franchises. Nor were Honda personnel allowed

    to accept money or other consideration of significant value for

    assistance in obtaining a Honda franchise.

    In addition to Honda policy and procedures governing


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    new dealerships, its "conflict of interest" policy prohibited

    employees from accepting anything of significant value from a

    Honda dealer and from acquiring or holding any interest in a

    Honda or Acura dealership. The "conflict of interest" policy was

    disseminated among all Honda sales managers, who were required to

    sign disclosure forms indicating ongoing compliance. Sales

    managers at every level were duty-bound to ensure that their

    respective subordinates honored the policy prohibiting conflicts

    of interest, and report all violations to their senior manager or

    the Human Resources Department.

    Notwithstanding these rigorous internal procedures,

    however, there were numerous violations of the "conflict of

    interest" policy. From the late 1970s through the early 1990s,

    sales managers at every level commonly accepted money and valu-

    able gifts, including Rolex watches, furniture, and business

    suits, from prospective dealers vying for "open points" or from

    dealers seeking increased Honda automobile allocations. Yet

    their illicit activities apparently escaped notice by nonpartici-

    pating sales managers and dealers for years.

    Finally, in 1991 an internal investigation was trig-

    gered by an uninvolved district sales representative in Arkansas

    who provided a Honda executive vice-president with evidence of

    payoffs involving Cardiges, then the national sales manager, and

    a zone manager. By early 1992, Honda had begun "cleaning house"

    and Cardiges had resigned. An extensive federal criminal inves-

    tigation ensued.


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    On March 11, 1994, a federal grand jury in New Hamp-

    shire returned an indictment against Billmyer, Josleyn, Cardiges

    and two lower-level Honda sales managers responsible for the New

    England region, David L. Pedersen and Damien C. Budnick.3

    Superseding indictments were returned against Billmyer, Josleyn,

    and Cardiges in October 1994 and January 1995. Ultimately,

    Budnick, Cardiges, and Pedersen entered into plea agreements and

    cooperated with the government. Cardiges and Pedersen were key

    government witnesses at trial.

    The second superseding indictment charged Josleyn and

    Cardiges, in Count I, with a pattern of racketeering in violation

    of the Racketeer Influenced and Corrupt Organizations Act ("RI-

    CO"), 18 U.S.C. 1962(c) (1994). As Racketeering Act 1, it

    alleged that Josleyn and Cardiges had persuaded Honda to select a

    particular outside vendor (from which the defendants had received

    kickbacks) to conduct sales training seminars for Honda salespeo-

    ple employed in New Hampshire and elsewhere in the United States.

    Racketeering Acts 2 through 8 related to regional advertising

    associations which pooled monies advanced by individual Honda

    dealers to defray their local Honda advertising costs. Josleyn

    and Cardiges were charged with causing Honda to match the contri-
    ____________________

    3Pedersen had joined Honda in July 1979 as a district sales
    manager for Maine, New Hampshire, Vermont, and upstate New York.
    Within a year he was transferred to Minnesota. Around June 1982,
    he became a district sales manager in northern Ohio; in 1985, a
    district sales manager in the new Acura Division, responsible for
    a territory extending from Maine to Minnesota; and, in March
    1987, an assistant zone manager, responsible for the area which
    included New Hampshire. Budnick, a district sales manager also
    responsible for New Hampshire, reported directly to Pedersen.

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    butions made by the Honda dealers to these regional advertising

    associations, on the condition that the advertising associations

    hire a particular vendor (controlled by Josleyn's brother) to

    provide the advertising services. After receiving payments from

    the regional advertising associations, the vendor allegedly made

    kickbacks to Josleyn and Cardiges. Other Racketeering Acts

    described in Count I alleged, inter alia, that Josleyn and _____ ____

    Cardiges received kickbacks for awarding numerous LOIs to various

    dealership candidates in California, Maryland, New York, and

    other states.

    Count II charged Billmyer, Cardiges, and Josleyn with

    conspiring to defraud Honda by accepting payments and other

    valuable consideration from dealers and prospective dealers in

    exchange for LOIs or other preferred treatment. Count III

    (conspiracy) and Count IV (mail fraud) charged Josleyn and

    Cardiges with accepting kickbacks from 1989 through 1992, in

    relation to the sales training seminars. Overall, Josleyn was

    charged in all four counts, whereas Billmyer was charged with the

    Count II "dealer franchise" conspiracy only.

    Trial began on February 7, 1995, before Chief Judge

    Joseph A. DiClerico, Jr.4 After presenting thirty-five witness-

    es, including Cardiges and Pedersen and many Honda dealers from

    around the country, the government rested its case on May 10,

    1995. Billmyer opted to present no witnesses, while Josleyn
    ____________________

    4Three weeks into the trial, we were called upon to resolve
    a discovery dispute. See United States v. Billmyer, 57 F.3d 31 ___ ______________ ________
    (1st Cir. 1995).

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    mounted a defense based on the theory that top Japanese execu-

    tives in Honda had condoned the activities alleged in the indict-

    ment. At the close of the evidence, the district court denied

    appellants' renewed Rule 29 motions for judgments of acquittal.

    See Fed. R. Crim. P. 29(a). ___

    The case went to the jury on May 19. Seven days into

    the deliberations, guilty verdicts were returned against both

    Billmyer and Josleyn. After denying their motions for judgments

    of acquittal, the district court sentenced Billmyer to a five-

    year prison term and a $125,000 fine; and Josleyn to six and one-

    half years in prison on Count I and a five-year prison term on

    each of the three remaining counts, all to be served concurrent-

    ly.

    II II

    DISCUSSION DISCUSSION __________

    A. Joinder of Defendants A. Joinder of Defendants _____________________

    As in the district court, Josleyn and Billmyer contend

    on appeal that their joint indictment and trial violated Fed. R.

    Crim. P. 8.5
    ____________________

    5Rule 8 provides:

    (a) Joinder of Offenses. Two or more offenses may (a) Joinder of Offenses.
    be charged in the same indictment or information in a
    separate count for each offense if the offenses
    charged, whether felonies or misdemeanors or both, are
    of the same or similar character or are based on the ____ __ _______ _________
    same act or transaction or on two or more acts or ____ ___ __ ___________ __ ____ __
    transactions connected together or constituting parts ____________
    of a common scheme or plan. ______ ______ __ ____
    (b) Joinder of Defendants. Two or more defendants (b) Joinder of Defendants.
    may be charged in the same indictment or information if
    they are alleged to have participated in the same act _______ ____________ ____ ___

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    The federal courts have long recognized that consoli-

    dated trials tend to promote judicial economy, conserve prosecu-

    torial resources, and foster the consistent resolution of factual

    disputes common to properly joined defendants. See, e.g., United ___ ____ ______

    States v. MacDonald & Watson Waste Oil Co., 933 F.2d 35, 60 (1st ______ ________________________________

    Cir. 1991). In resolving a Rule 8(b) misjoinder claim, the trial

    court must examine the indictment to determine whether there is a

    factual basis for joining the defendants. United States v. ______________

    Boylan, 898 F.2d 230, 245 (1st Cir.), cert. denied, 498 U.S. 849 ______ _____ ______

    (1990). While Rule 8 harbors the potential for unfair prejudice

    in consolidated trials, see King v. United States, 355 F.2d 700, ___ ____ _____________

    703-04 (1st Cir. 1966) (Aldrich, C.J.) (noting risk that jury may

    infer guilt by association), the rule nonetheless may be gener-

    ously construed in favor of joinder, given the protective discre-

    tion vested in the trial court under Fed. R. Crim. P. 14.

    The district court apparently concluded that the Count

    II dealer franchise conspiracy charge against Billmyer and

    Josleyn warranted their joinder under Rule 8(b). Its conclusion

    plainly would have been unexceptionable had the indictment

    contained only Count II, see United States v. Morrow, 39 F.3d ___ _____________ ______

    1228, 1237-38 (1st Cir. 1994), cert. denied, 115 S. Ct. 1421 _____ ______

    (1995), or had the conspiracy alleged in Count II clearly encom-
    ____________________

    or transaction or in the same series of acts or trans- ____ ______ __ ____
    actions constituting an offense or offenses. Such ____________ __ _______
    defendants may be charged in one or more counts togeth-
    er or separately and all of the defendants need not be
    charged in each count.

    Fed. R. Crim. P. 8 (emphasis added).

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    passed all substantive offenses alleged in the indictment. See ___

    United States v. Arruda, 715 F.2d 671, 678 (1st Cir. 1983). ______________ ______

    Otherwise, joinder under Rule 8(b) was problematic unless the

    criminal acts alleged in all counts were part of the same series __ ___ ______ ____ ______

    of acts or transactions. See United States v. Yefsky, 994 F.2d ___ _____________ ______

    885, 895 (1st Cir. 1993).

    A misjoinder of defendants requires a reversal only if

    the resulting prejudice "``had substantial and injurious effect or

    influence in determining the jury's verdict.'" United States v. _____________

    Lane, 474 U.S. 438, 449 (1986) (mandating "harmless error" review ____

    of Rule 8(b) misjoinder) (quoting Kotteakos v. United States, 328 _________ _____________

    U.S. 750, 776 (1946)). As it would be incumbent upon this court

    in all events to conduct the "harmless error" analysis mandated

    in Lane were we to conclude that a misjoinder occurred, see id., ____ ___ __

    and since the misjoinder question itself is far from clear, we

    will assume, without deciding, that the misjoinder occurred as

    claimed by Billmyer, and proceed directly to the "harmless error"

    inquiry. See United States v. Edgar, 82 F.3d 499, 504 (1st Cir.) ___ _____________ _____

    (bypassing misjoinder question where any error ultimately would

    prove harmless), petition for cert. filed, 65 U.S.L.W. 3110 (U.S. ________ ___ _____ _____

    July 16, 1996) (No. 96-178). We conclude that any misjoinder was

    harmless.

    Not only did the parties marshal their evidentiary

    presentations to minimize prejudicial spillover, but throughout

    the trial the district court prudently and carefully cautioned

    the jury to consider the evidence against each individual defen-


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    dant. No less importantly, Billmyer's retirement from Honda,

    prior to the time Josleyn launched the dealer advertising associ-

    ation and sales training schemes, unquestionably facilitated the

    individualized factfinding focus to which each defendant was

    entitled from the jury. Cf. Morrow, 39 F.3d at 1235-36 (errone- ___ ______

    ous admission of hearsay under coconspirator exception held to be

    "harmless" given distinctiveness of two fraudulent schemes).

    Finally, at the close of all the evidence, the trial judge gave a

    careful cautionary instruction, once again reminding the jury to

    consider the evidence against each defendant individually. See ___

    Lane, 474 U.S. at 450 (limiting instructions mitigate prejudice ____

    from misjoinder).

    Although these safeguards may not have sufficed in

    another case, the evidence against both Billmyer and Josleyn can

    only be described as overwhelming. See Randazzo, 80 F.3d at 628. ___ ________

    An army of former Honda executives, including Cardiges,

    Billmyer's proteg and eventual successor, as well as numerous

    Honda dealers, presented a wealth of telling evidence against

    appellants. See Lane, 474 U.S. at 450 (noting overwhelming ___ ____

    evidence of guilt); see infra Section II.B.3. Consequently, we ___ _____

    are persuaded that no aspect of the jury's decision was substan-

    tially influenced by any misjoinder. See O'Neal v. McAninch, 115 ___ ______ ________

    S. Ct. 992, 995 (1995).

    B. Sufficiency of the Evidence and B. Sufficiency of the Evidence and _______________________________
    Venue (Franchise Conspiracy Count) Venue (Franchise Conspiracy Count) _________________________________

    The jury found that both appellants participated in the



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    dealership franchise conspiracy alleged in Count II.6 Neither

    appellant seriously disputes that he conspired with Cardiges.

    Rather, their principal contention is that there was insufficient

    evidence to prove, beyond a reasonable doubt, that they both ______ _ __________ _____

    participated in the same conspiracy with Pedersen, which, they

    maintain, was essential to establish both the substantive con-

    spiracy charge in Count II and proper venue in New Hampshire. As ___

    their contention confuses the standards of proof applicable to

    these two distinct issues, and the record demonstrates that the

    government readily met both, appellants' convictions under Count

    II must be affirmed.

    1. Standard of Proof 1. Standard of Proof _________________

    The unchallenged instructions apprised the jury that

    the government was required to prove four elements, beyond a

    reasonable doubt, in order to prevail on Count II: (i) two or

    more persons entered into the unlawful agreement charged in the

    indictment; (ii) the particular defendant, knowing the purpose of

    the agreement, knowingly and willfully became a member of the

    conspiracy; (iii) some member of the conspiracy knowingly commit-

    ted at least one alleged overt act; and (iv) at least one overt
    ____________________

    6Count II alleged that Billmyer, Josleyn, Cardiges, and
    others known and unknown, conspired to defraud Honda by accepting
    money and other valuable consideration in exchange for LOI rights
    and other preferential treatment to various Honda dealers and
    prospective dealers. Only one overt act in furtherance of the
    franchise conspiracy alleged in Count II took place in the
    District of New Hampshire. It alleged that David Pedersen, then
    an assistant zone sales manager responsible for New Hampshire,
    had recommended one Thomas Bohlander for an Acura dealership in
    Nashua, New Hampshire, in return for approximately $18,000 in
    college tuition payments for Pedersen's son.

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    act was committed in furtherance of the conspiracy. See, e.g., ___ ____

    United States v. Sawyer, 85 F.3d 713, 714 (1st Cir. 1996) (citing _____________ ______

    United States v. Frankhauser, 80 F.3d 641, 653 (1st Cir. 1996)); ______________ ___________

    United States v. Brandon, 17 F.3d 409, 428 (1st Cir.), cert. ______________ _______ _____

    denied, 115 S. Ct. 80 (1994). Thus, the jury need only have ______

    found beyond a reasonable doubt that each appellant conspired

    with at least one other person (e.g., Cardiges), and not neces-

    sarily with Pedersen as well.

    Putting aside for the moment the question of guilt, see ___

    infra Section II.B.3, it is clear that adequate evidence of _____

    Pedersen's role in the dealer franchise conspiracy was essential

    to establish New Hampshire as a proper venue for Count II.7

    Without objection, the district court instructed the jury that

    the government must establish, by a preponderance of the evidence _____________

    (rather than beyond a reasonable doubt), that Pedersen, Billmyer

    and Josleyn joined the Count II conspiracy and that Pedersen

    committed the alleged overt act involving the Acura dealership in

    Nashua, New Hampshire. See United States v. Cordero, 668 F.2d ___ _____________ _______

    32, 45 n.18 (1st Cir. 1981) (applying preponderance standard, as

    venue is not an element of conspiracy offense); supra note 6. _____
    ____________________

    7Venue rights are guaranteed by the Constitution, see U.S. ___
    Const. art. III, 2, cl. 3; United States v. Georgacarakos, 988 _____________ _____________
    F.2d 1289, 1293 (1st Cir. 1993), and prescribed by the Federal
    Rules of Criminal Procedure, see Fed. R. Crim. P. 18 ("Except as ___
    otherwise permitted by statute or by these rules, the prosecution
    shall be had in a district in which the offense was committed.").
    Venue "concerns only the place where the case may be tried[,]"
    whereas jurisdiction "has to do with the authority or power of a
    court to try a case." Wayne R. LaFave & Jerold H. Israel,
    Criminal Procedure 16.1, at 334 (1984 & Supp. 1991) (footnotes ___________________
    omitted).

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    Thus, consistent with the unchallenged jury instructions on

    conspiracy and venue, as well as applicable law, the government

    could establish venue in New Hampshire by only a preponderance of

    the evidence, but it was required to prove each appellant's

    participation in the conspiracy beyond a reasonable doubt.8

    2. Standard of Review 2. Standard of Review __________________

    We will uphold the verdicts under Count II if a ratio-

    nal juror could have found each substantive element of the

    alleged conspiracy beyond a reasonable doubt, United States v. ______________

    DiMarzo, 80 F.3d 656, 660 (1st Cir.), petition for cert. filed, _______ ________ ___ _____ _____

    No. 96-5578 (U.S. Aug. 13, 1996), and proper venue by a prepon-

    derance of the evidence, Cordero, 668 F.2d at 45 n.18. All _______

    credibility issues are to be resolved, and every reasonable

    inference drawn, in the light most favorable to the verdict.

    DiMarzo, 80 F.3d at 660; United States v. Lam Kwong-Wah, 924 F.2d _______ _____________ _____________

    298, 301 (D.C. Cir. 1991) (venue). A thorough review of the

    entire record discloses ample evidentiary support for the ver-
    ____________________

    8The following explanation exposes the fallacy in the
    unitary standard of proof urged by appellants.

    [T]he evidence may well be sufficient to
    permit reasonable inferences that a given
    individual was more likely than not a member
    of the alleged conspiracy and performed a
    given act in furtherance of the conspiracy
    within the district of prosecution, thereby
    satisfying the venue requirement, even if the
    jury finds the same evidence not sufficiently
    persuasive to cause it, for purposes of as-
    sessing guilt, to draw those inferences be-
    yond a reasonable doubt.

    United States v. Rosa, 17 F.3d 1531, 45 n.18 (2d Cir.) (citation ______________ ____
    omitted), cert. denied, 115 S. Ct. 211 (1994). _____ ______

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    dicts against each appellant.

    3. Guilt 3. Guilt _____

    The Count II conspiracy charge required proof that the

    particular defendant and at least one other person expressly or

    tacitly agreed to commit a federal offense. DiMarzo, 80 F.3d at _______

    660. The government must have shown that the defendant volun-

    tarily participated to promote a criminal objective. Brandon, 17 _______

    F.3d at 428. When, as in this case, mail fraud is an alleged

    goal of the conspiracy, the government must prove either the

    intent to use the mails or that such use was reasonably foresee-

    able. Yefsky, 994 F.2d at 890; see also United States v. Dray, ______ ___ ____ _____________ ____

    901 F.2d 1132, 1137 (1st Cir.) (noting that intent element in

    conspiracy differs from substantive mail fraud), cert. denied, _____ ______

    498 U.S. 895 (1990). A particular defendant need not have been

    familiar with all the details of the conspiracy or with the

    identities of all other conspirators. United States v. ______________

    Innamorati, 996 F.2d 456, 470 (1st Cir. 1993), cert. denied, 510 __________ _____ ______

    U.S. 1120 (1994); United States v. Bello-Perez, 977 F.2d 664, 668 _____________ ___________

    (1st Cir. 1992).

    A brief overview leaves no reasonable doubt that

    Billmyer, Cardiges, and other Honda sales executives, respec-

    tively, conspired to defraud Honda by accepting valuable consid-

    eration for awarding dealership franchises and other preferential

    treatment to Honda dealers and prospective dealers.

    a. Billmyer a. Billmyer ________

    As early as 1979, while Billmyer was the eastern


    17












    regional sales manager, Cardiges, as zone manager for the mid-

    Atlantic states, accepted a $10,000 payment from a Honda dealer

    in Philadelphia, and split it with Billmyer. In late 1979 or

    early 1980, Cardiges presented Billmyer with a gold Rolex watch

    worth as much as $15,000 from a large Honda dealer in the Wash-

    ington, D.C. area. Beginning with the 1984 holiday season and

    continuing through 1992, Cardiges received $20,000 to $25,000

    each year from John Rosatti, a Honda dealer in New York City.

    Rosatti told Cardiges that he was paying Billmyer also, because,

    as Cardiges testified at trial, like other dealers Rosatti wanted

    "favorable treatment, wanted more automobiles, more franchises,

    and wanted the ability to have the ear of the people who were in

    power at Honda."

    Cardiges and Billmyer both helped a dealer named Rick

    Hendrick acquire approximately thirty Honda and Acura franchises

    in various states, including Texas, Georgia, and the Carolinas.

    In return, Hendrick helped Cardiges buy a California residence

    from which Cardiges later realized a $250,000 gain. Thereafter,

    Hendrick defrayed approximately $150,000 in interest payments on

    a loan Cardiges had obtained to buy a $700,000 home in Laguna

    Hills, California. During this same 1989-92 time frame, Hendrick

    intimated to Cardiges that he was involved in financing

    Billmyer's home in Palm Springs as well. Cardiges also learned

    from Billmyer that Hendrick had provided Billmyer with a top-of-

    the-line BMW.

    Cardiges described periodic payoffs from one Marty


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    Luftgarten, who owned dealerships in New Jersey, Philadelphia,

    and southern California. For example, at the grand opening of a

    Luftgarten dealership during the mid-1980s, Billmyer, Cardiges,

    and two other Honda sales managers, Bill Kutchera and Jeff

    Conway, gathered in a conference room where Luftgarten handed

    each an envelope containing $5,000 in cash. Around the holiday

    season, another dealer customarily sent Cardiges $5,000 gift

    certificates from Neiman-Marcus for both Cardiges and Billmyer.

    See Boylan, 898 F.2d at 242 (noting that defendants often cooper- ___ ______

    ated with one another by collecting payments). The record is

    replete with other evidence of cash payments from dealers and

    lavish shopping trips to Hong Kong.

    b. Josleyn b. Josleyn _______

    Similarly, there was ample evidence to enable a ratio-

    nal jury to find beyond a reasonable doubt that Josleyn conspired

    with Cardiges and others to defraud Honda in connection with the

    Honda dealership franchises. In early 1991, while zone manager

    for the west coast, Josleyn arranged for a "friend" back east,

    Joe Pope, to pay $150,000 for the "open point" in Elk Grove,

    California. Josleyn approached Cardiges, national sales manager,

    and Robert Rivers, regional manager for the western United

    States, and advised that there would be money in it for all of

    them if Pope were to receive the Elk Grove dealership. Thereaf-

    ter, Cardiges, Rivers, and Josleyn, in direct violation of Honda

    procedure, decided not to prospect for suitable dealership

    candidates, and awarded the Elk Grove franchise outright to Pope.


    19












    As promised, Pope issued a $150,000 check payable to Gary &

    Associates, a company controlled by Josleyn and his brother Gary.

    Josleyn in turn gave Cardiges and Rivers each $50,000 in cash.

    Cardiges testified that Ed Temple, a former Honda zone

    manager, approached him in the summer of 1991 in behalf of Bob

    Frink, a dealer interested in the Folsom, California point.

    Temple had accepted payoffs from dealers while employed by Honda,

    and after leaving the company in 1989 established a firm

    Blakely Consultants to facilitate payments to Honda executives

    from dealers seeking new Honda franchises. Simply put, Temple

    told Cardiges that Frink was willing to pay Cardiges and Josleyn

    for the Folsom dealership. On August 5, 1991, Cardiges signed

    the Folsom LOI, and on the same day Frink paid Blakely Consul-

    tants $500,000 for services rendered. Three days later, Temple

    wrote a $166,666 check to Magnum Marketing, a company owned by

    Josleyn. Cardiges reported $166,666 from Blakely Consultants on

    his own 1991 income tax return, although Temple had agreed to

    hold Cardiges' one-third share until Cardiges left Honda.

    We need belabor the point no further, as there was

    ample evidence to enable the jury reasonably to conclude, beyond

    a reasonable doubt, that Josleyn was a member of the Count II

    dealership franchise conspiracy. See Boylan, 898 F.2d at 242. ___ ______

    4. Venue 4. Venue _____

    As a general rule, venue in a conspiracy case depends

    upon whether an overt act in furtherance of the alleged conspira-

    cy occurred in the trial district. United States v. Uribe, 890 _____________ _____


    20












    F.2d 554, 558 (1st Cir. 1989); see 18 U.S.C. 3237(a) (1994). ___

    The defendant need not have been physically present in the trial

    district during the conspiracy. United States v. Santiago, 83 _____________ ________

    F.3d 20, 24-25 (1st Cir. 1996); see, e.g., Cordero, 668 F.2d at ___ ____ _______

    43-44 (furthering drug importation conspiracy with phone calls to

    undercover DEA agent in Puerto Rico); cf. United States v. ___ ______________

    Georgacarakos, 988 F.2d 1289, 1294 (1st Cir. 1993) (contrasting _____________

    venue for "group" and "individual" crimes). The government

    acknowledges that venue was proper in the District of New Hamp-

    shire only if there was enough evidence for a rational jury to

    find it more likely than not that Pedersen, Josleyn and Billmyer

    belonged to the Count II conspiracy.

    Upon joining Honda as a district sales manager in July

    1979, see supra notes 2 & 3, Pedersen learned that Honda policy ___ _____

    prohibited sales executives from awarding LOIs for personal gain

    and from accepting gifts valued at more than $25 from dealers.

    In keeping with Honda policy, Pedersen objected in December 1979

    when Bill Lia, a dealer in upstate New York, stuffed an envelope

    containing cash into Pedersen's pocket. Although Pedersen

    threatened to report the incident, he relented when Lia told him

    not to worry because Lia had "already handled the zone." More-

    over, Pedersen knew at the time that both his immediate supervi-

    sor, Northeast Zone Manager Bill Kutchera, and Billmyer, regional

    manager for the eastern United States, as well as Cardiges,

    worked at Honda headquarters in New Jersey. In fact, when

    Pedersen told Kutchera about the cash bribe tendered by Lia,


    21












    Kutchera advised Pedersen to ask for a gift certificate in place

    of the cash. Accordingly, Pedersen ultimately accepted a $300

    gift certificate from Lia with Kutchera's explicit approval.

    Around this same time, Kutchera also told Pedersen that during

    the course of the previous year he had received two Rolex watch-

    es, a cruise, furniture, and other gifts, valued at $13,000, from

    various dealers.

    Pedersen testified that he frequently discussed dealer

    payoffs with Roger Novelly and Larry Finley, his Honda supervi-

    sors in Ohio. Novelly, the assistant zone manager, specifically

    told Pedersen that Billmyer and Cardiges were being "taken care

    of" by dealers, and Finley, the zone manager, admitted that Tom

    Bohlander had paid him for the Honda "open point" dealership

    franchise in West Cleveland.9 See, e.g., Boylan, 898 F.2d at 243 ___ ____ ______

    (noting that tacit accord among alleged conspirators is permissi-

    bly inferred from evidence that defendants "often spoke to their

    victims about other victims or other defendants in words which

    plainly revealed that the crimes were interdependent"). Based on

    this evidence, and there was more, the jury would have been

    permitted to draw the reasonable inference that Pedersen and his

    various supervisors over the years had developed a shared under- ______

    standing of an "unwritten policy" at Honda: dealers had to pay

    Billmyer and Cardiges, as well as other sales executives in the
    ____________________

    9Significantly, Cardiges identified Finley, Novelly, and
    Kutchera as fellow conspirators. In addition, Pedersen testified
    that he subsequently received $5,000 from John Rosatti, a New
    York Honda dealer who admittedly paid both Cardiges and Billmyer.
    See supra Section II.B.3(a). ___ _____

    22












    chain of command, in order to receive a Honda or Acura franchise

    or other favorable treatment. Id. __

    John Orsini, a Honda and Acura dealer in Connecticut,

    provided corroborative testimony at trial, characterizing the

    kickbacks he had made to Billmyer, Pedersen, and Damien Budnick,

    Pedersen's subordinate, as a "way of doing business" with Honda.

    At Budnick's suggestion, Orsini met with Billmyer in September

    1987 to discuss obtaining another Acura dealership. A few weeks

    later, Billmyer offered Orsini a franchise in Nanuet, New York,

    if Orsini created a "no-show" job for Billmyer's friend, Douglas

    T. Richert, at $1,000 per week. After Orsini accepted the

    Billmyer proposal, he received the Nanuet LOI.

    Around the same time, Orsini discussed with Budnick and

    Pedersen the possibility that Orsini might obtain a new dealer-

    ship franchise in Salem, New Hampshire. According to Pedersen,

    Orsini and other dealers routinely and unilaterally mentioned

    Billmyer's name in conversation, as a means of "impress[ing]" on

    Pedersen the dealers' established connections with higher-level

    Honda sales managers. Orsini told Pedersen that he would be

    willing to pay for the Salem franchise, but not the $50,000

    demanded by Budnick. After agreeing to help secure the Salem

    dealership for Orsini in February 1988, Pedersen received between

    $2,000 and $4,000 in cash from Orsini. Thus, given the circum-

    stantial evidence that both Billmyer and Pedersen shared a common

    goal or plan to defraud Honda by accepting illicit consideration

    for awarding new dealership franchises, the jury reasonably could


    23












    infer, by a preponderance of the evidence, that Billmyer and

    Pedersen defrauded Honda in connection with the Salem, New

    Hampshire LOI by accepting payoffs from a common source, Orsini.

    See, e.g., Brandon, 17 F.3d at 450 (finding single conspiracy, ___ ____ _______

    despite variations in details and tactics, where main objective,

    structure, intended victim, and modus operandi remained con-

    stant); supra Section I. _____

    In addition to accepting illicit payments from Lia and

    Orsini, the record demonstrates, by a preponderance of the

    evidence, that Pedersen committed an overt act in New Hampshire

    in furtherance of the Count II conspiracy, by accepting a free

    Acura Integra from Bohlander's West Cleveland, Ohio, dealership

    in 1986. After Bohlander and Pedersen became friends, Pedersen

    agreed to help Bohlander acquire more Acura dealerships in

    exchange for a silent ownership interest in a Nashua, New Hamp-

    shire, dealership. Pedersen recommended Bohlander for the new

    Nashua franchise, and in due course Bohlander received it.

    Although Pedersen later declined an ownership interest in the

    Nashua dealership, he nonetheless let Bohlander pay roughly

    $18,000 in college tuition fees for Pedersen's son. Thus, the

    evidence sufficed to demonstrate, by a preponderance, that venue

    was proper in the District of New Hampshire. See Uribe, 890 F.2d ___ _____

    at 558.

    Finally, there was evidence from which a rational jury

    reasonably could have inferred, by a preponderance of the evi-

    dence, that Bohlander routinely paid Billmyer and Cardiges as


    24












    well. Pedersen described a card game at Bohlander's Florida

    condominium in February 1991, during which Bohlander and Lou

    Tecco, a dealer associated with Marty Luftgarten, talked about

    paying bribes as a "way of doing business" with Honda, and noted

    that Billmyer and Cardiges had to be paid in order to get dealer-

    ships and other favorable treatment. Along with the evidence

    that Bohlander had paid Finley for the West Cleveland dealership

    and that dealers commonly bribed sales executives at each succes-

    sive level, see supra p. 22, Pedersen's testimony permitted the ___ _____

    jury reasonably to conclude that it was more likely than not that

    Bohlander had paid Billmyer, the Acura Division head, as well as

    Pedersen, in return for the Nashua dealership in 1987. Thus, the

    similarity in the pattern of fraudulent transactions relating to

    new dealership franchises, the common core of "insider" partici-

    pants, and the temporal overlap would enable a rational jury

    reasonably to infer, under the applicable preponderance standard,

    that Pedersen, Billmyer, Josleyn, and Cardiges agreed, at least

    tacitly, to defraud Honda by accepting illicit consideration from

    candidates for new Honda dealership franchises in direct viola-

    tion of established Honda policy and procedures. See Morrow, 39 ___ ______

    F.3d at 1233-34; Bello-Perez, 977 F.2d at 668 (noting that ___________

    conspirators need not know all coconspirators); see also United ___ ____ ______

    States v. Richerson, 833 F.2d 1147, 1152-54 (5th Cir. 1987). ______ _________

    C. Other Claims By Josleyn C. Other Claims By Josleyn _______________________

    1. Sufficiency of the Evidence 1. Sufficiency of the Evidence ___________________________
    (Counts I, III & IV) (Counts I, III & IV) __________________

    After the government rested its case, Josleyn moved for

    25












    acquittal under Counts I, III, and IV, claiming that the evidence

    was insufficient to establish, beyond a reasonable doubt, that

    the Honda dealers and their dealer advertising associations had

    been victimized by the alleged mail fraud since the dealers and

    advertising associations had received the sales training and

    advertising services for which they paid. This claim fails as

    well.

    In United States v. Allard, 926 F.2d 1237 (1st Cir. ______________ ______

    1991), we explained that it is no "defense that the victim

    received something in exchange even if it was equivalent in value _________

    to what the victim was deceived into relinquishing." Id. at 1242 ___

    (citing United States v. King, 860 F.2d 54, 55 (2d Cir. 1988), _____________ ____

    cert. denied, 490 U.S. 1065 (1989)). Given that the proper _____ ______

    inquiry under Allard is whether Josleyn intended to defraud the ______

    dealers and advertising associations into parting with their

    money, there was ample evidence, particularly the testimony of

    Cardiges, to support the jury verdicts against Josleyn under

    Counts I, III, and IV. 2. Jury Instructions on 2. Jury Instructions on _______________________

    Condonation Condonation ___________

    The district court rejected Josleyn's proposed jury

    instruction that the government must prove, beyond a reasonable

    doubt, that Honda had not condoned Josleyn's fraudulent activi-

    ties. Ordinarily, a defendant is entitled to an instruction on

    his theory of the case as long as it is legally valid and there

    is sufficient evidence, viewed in the light most favorable to the

    defendant, to permit a reasonable juror to credit the defendant's


    26












    theory. United States v. Flores, 968 F.2d 1366, 1368-69 (1st ______________ ______

    Cir. 1992); United States v. Shenker, 933 F.2d 61, 65 (1st Cir. _____________ _______

    1991). The government does not dispute that the evidence adduced

    at trial would have permitted the jury to find that native

    Japanese executives at the highest levels of Honda implicitly

    condoned the acceptance of bribes and kickbacks. Nevertheless,

    the trial court need not adopt the precise instructional language

    proposed by the defendant. United States v. DeStefano, 59 F.3d _____________ _________

    1, 3 (1st Cir. 1995).

    Viewed as a whole, we think the instruction given by

    the district court fairly summarized Josleyn's defense theory:

    Since the essential element of the crime
    charged is intent to defraud, it follows that
    good faith on the part of the defendant is a
    complete defense to a charge of mail fraud.
    A defendant, however has no burden to estab-
    lish a defense of good faith. The burden is
    on the government to prove fraudulent intent
    and the consequent lack of good faith beyond
    a reasonable doubt.
    . . . .

    It is the defendant Josleyn's theory of
    the case that American Honda knew of and con-
    doned; that is, gave tacit approval to the
    activities of its employees alleged in the
    indictment that were in violation of its
    policies. American Honda's knowledge or con-
    donation of the commission of an offense does
    not by itself constitute a defense or an __ ______
    excuse. However, any evidence of American ___ ________ __ ________
    Honda's actions or omissions, or evidence of _______ _______ __ _________ __ ________ __
    deficiencies in the manner in which it imple- ____________ __ ___ ______ __ _____ __ ______
    mented and enforced its policies and proce- ______ ___ ________ ___ ________ ___ ______
    dures, may be considered by you to the extent _____ ___ __ __________ __ ___ __ ___ ______
    that such evidence bears on the issue of ____ ____ ________ _____ __ ___ _____ __
    whether or not Mr. Josleyn formed the re- _______ __ ___ ___ _______ ______ ___ ___
    quired intent to commit the crimes with which ______ ______ __ ______ ___ ______ ____ _____
    he is charged. Mr. Josleyn contends that __ __ _______
    because he believed American Honda knew of
    and condoned the activities in question, he

    27












    did not possess the required intent to commit
    the offenses with which he is charged.
    The defendant has no obligation what-
    soever to prove to you that his theory is
    correct, but rather the burden is always on
    the government to prove all of the material
    elements of each offense charged beyond a
    reasonable doubt[,] including the element of
    intent with respect to each offense[,] as I
    have already explained to you. (Emphasis
    added.)

    The charge given by the trial judge unmistakably

    permitted the jury to consider all the condonation evidence in

    determining whether Josleyn had formed the requisite intent to

    defraud Honda. No more was required. See generally New England ___ _________ ___________

    Enters., Inc. v. United States, 400 F.2d 58, 71-72 (1st Cir. ______________ _____________

    1968) (discussing "good faith" defense to mail fraud), cert. _____

    denied, 393 U.S. 1036 (1969). Since Josleyn neither cites ______

    authority, nor demonstrates, that any condonation by Honda was

    relevant to an element of the charged offenses other than intent,

    see Yefsky, 994 F.2d at 890-91 (listing elements of mail fraud ___ ______

    conspiracy and substantive mail fraud); see also Aetna Cas. Sur. ___ ____ _______________

    Co. v. P & B Autobody, 43 F.3d 1546, 1558-60 (1st Cir. 1994) ___ _______________

    (RICO), we conclude that the jury instruction given by the

    district court was adequate. See DeStefano, 59 F.3d at 3; ___ _________

    Shenker, 933 F.2d at 65-66 (rejecting proposed instruction _______

    predicated on impermissibly broad defense); cf. United States v. ___ _____________

    Wallach, 935 F.2d 445, 464 (2d Cir. 1991) (mail fraud statute _______

    protects property interests of shareholders and corporation

    against officers' schemes).

    3. Impeachment of Cardiges 3. Impeachment of Cardiges _______________________


    28












    Josleyn contends that though the prosecutor was respon-

    sible for deliberately suborning false testimony from Cardiges,

    the district court unduly impeded Josleyn's efforts to impeach

    Cardiges on cross-examination. These claims are meritless. See ___

    generally United States v. Osorio, 929 F.2d 753, 759-60 (1st Cir. _________ _____________ ______

    1991) (approving reasonable restrictions by trial court on

    repetitive, harassing, unduly prejudicial, irrelevant, or other-

    wise improper cross-examination); cf. United States v. Tavares, ___ _____________ _______

    93 F.3d 10, 14-15 (1st Cir. 1996) (rejecting baseless perjury

    allegation).

    On cross-examination, defense counsel asked Cardiges to

    explain two newspaper articles in which his lawyer reportedly

    stated that the government had evidence that the top Japanese

    managers at Honda knew about the alleged criminal activities in

    its sales division. Cardiges testified that he neither autho-

    rized the press statements, nor knew their basis. On redirect,

    the prosecutor elicited testimony that though Cardiges and his

    attorney had been afforded "open access" to the government's

    file, Cardiges had seen "no documents that either indicated or

    show[ed] that the Japanese knew anything about kickbacks or gifts

    or anything like that." In response, Josleyn's counsel sought to

    confront Cardiges with several FBI interview reports obtained

    from the government's file which contained statements by Honda

    employees to the effect that the Japanese knew about the bribes

    and kickbacks.

    The district court permitted defense counsel to use the


    29












    FBI reports for impeachment purposes, i.e., to show that Cardiges ____

    either did not tell the truth, or had not reviewed the entire ______

    contents of the government file. But the court ruled that the

    FBI interview reports were inadmissible hearsay if offered for

    their truth. See Innamorati, 996 F.2d at 480-81; Fed. R. Evid. ___ __________

    801(c) (defining hearsay). On appeal, Josleyn argues that the

    district court impermissibly restricted recross-examination by

    refusing to allow the jury to consider all hearsay statements in ___

    the FBI interview reports.

    Our review of the trial transcripts satisfies us that

    the district court accorded Josleyn ample leeway to explore the

    FBI interview reports in sufficient detail to enable the jury

    fairly to weigh Cardiges' testimony relating to the government's

    file. For example, Cardiges admitted on recross that he had

    never seen the FBI interview reports, and was "quite sure" that

    he was not able to get through the "thousands and thousands of

    documents" during the four-hour period he spent reviewing the

    government file. The district court did sustain several hearsay

    objections when defense counsel attempted to delve more deeply

    into the contents of the FBI interview reports. It did so

    properly, however, since Josleyn proffered no relevant non-

    hearsay purpose for probing further. Cf. United States v. ___ ______________

    Hudson, 970 F.2d 948, 956-57 (1st Cir. 1992) (defense counsel ______

    responded to hearsay objection with impeachment proffer). Nor

    does Josleyn now challenge these hearsay rulings. Accordingly,

    we find no error. See Fed. R. Evid. 103(a)(2). ___


    30












    4. Delayed Disclosure of Condonation Evidence 4. Delayed Disclosure of Condonation Evidence __________________________________________

    Josleyn claims that he was deprived of a meaningful

    opportunity to cross-examine Cardiges and other prosecution

    witnesses due to the government's delayed disclosure of certain

    letters written to the government by Cecil Proulx, a former Honda

    executive, outlining his efforts in the late 1980s to bring the

    pervasive bribes and kickbacks to the attention of Honda's top

    Japanese executives. The government produced some of the Proulx

    materials before trial, including a summary of his FBI interview,

    but found and unseasonably produced additional material months

    later upon learning that Josleyn intended to call Proulx as a

    witness tending to show that Honda's Japanese managers had

    condoned the illegal activities in its sales division. Josleyn

    unsuccessfully moved to dismiss the indictment on due process

    grounds.

    Given the specific discovery request for condonation

    evidence, the government plainly had an obligation to furnish

    Josleyn with the Proulx materials in a more timely fashion. See ___

    United States v. Sepulveda, 15 F.3d 1161, 1178 (1st Cir. 1993), _____________ _________

    cert. denied, 114 S. Ct. 2714 (1994); see also Fed. R. Crim. P. _____ ______ ___ ____

    16(a)(1)(C) (discovery relating to documents material to de-

    fense); 16(c) (continuing duty to disclose). Since the govern-

    ment failed seasonably to disclose evidence "material to guilt or

    punishment," United States v. Devin, 918 F.2d 280, 289 (1st Cir. _____________ _____

    1990) (citing Brady v. Maryland, 373 U.S. 83, 87 (1963)), which _____ ________

    includes both exculpatory and impeachment evidence, we inquire


    31












    whether as a consequence of the delayed disclosure defense

    counsel was unable to use the material "effectively in preparing

    and presenting the defendant's case." Id. (quoting United States __ _____________

    v. Ingraldi, 793 F.2d 408, 411-12 (1st Cir. 1986)). Due to its ________

    greater familiarity with the dynamics of the case, we will not

    reverse a district court's ruling on delayed disclosure unless it

    amounts to a demonstrable abuse of discretion. Id. We discern ___

    no abuse of discretion.

    First, a principal concern in delayed disclosure cases

    whether the failure to supply the information in a seasonable

    fashion caused the defense to change its trial strategy, see id. ___ ___

    at 290 is not significantly implicated in this case. Josleyn

    consistently pursued the same defense theory both before and

    after the Proulx materials were provided, by arguing that the

    Japanese managers at Honda had condoned the charged conduct.

    Secondly, even though the Proulx materials unquestionably provid-

    ed additional support for the condonation "defense," we are not

    persuaded that the delay in disclosure adversely affected the

    defense in any important respect. In fact, while Cardiges was on

    the witness stand, Josleyn's counsel observed that "the

    government's file is like 100,000 pages or so." See also infra ___ ____ _____

    note 10. The defense took full advantage of the condonation

    evidence by using it in its own case, even before the tardily

    produced Proulx materials were made available, then featured the






    32












    government's delayed disclosure in its closing argument.10

    On this record, we think the district court soundly

    concluded that the Proulx materials added little to the evidence

    previously produced by the government, and therefore its late

    disclosure had not impeded Josleyn's defense to a significant

    degree. See United States v. Catano, 65 F.3d 219, 227 (1st Cir. ___ _____________ ______

    1995) (noting cumulativeness of impeachment materials);

    Sepulveda, 15 F.3d at 1179 (holding that failure to produce _________

    "incremental information" caused no prejudice). We note as well

    that Josleyn makes no claim that the prosecutor intentionally de-

    layed disclosure.

    Furthermore, and by no means least importantly, the

    only relief Josleyn requested was the outright dismissal of the

    indictment. The district court has broad discretion to redress

    discovery violations in light of their seriousness and any

    prejudice occasioned the defendant. Osorio, 929 F.2d at 762-63; ______

    see also Fed. R. Crim. P. 16(d)(2) (authorizing district court to ___ ____

    "permit the discovery or inspection, grant a continuance, or

    prohibit the party from introducing the evidence not disclosed,
    ____________________

    10Defense counsel argued in closing:

    When you ask [a witness] a question, when the
    question is asked [whether] you've gone through our
    files and there's nothing there to indicate that Ameri-
    can Honda executives knew about these activities, or a
    question of that type, and there's tons of things,
    reams of things in that file, that's wrong. When the
    file isn't even complete because you have a memorandum
    from Mr. Proulx that you haven't turned over to the
    defense at all and don't get turned over till weeks
    later, well, isn't that question kind of a little bit
    false?

    33












    or . . . enter such other order as it deems just under the

    circumstances"). On the other hand, the draconian relief demand-

    ed by Josleyn was grossly disproportionate both to the

    prosecution's nonfeasance and any prejudice to the defense. See ___

    Bello-Perez, 977 F.2d at 670 (favoring continuance over dismiss- ___________

    al); accord Devin, 918 F.2d at 290-91. As Josleyn eschewed ______ _____

    various alternative remedies more consonant with the government's

    culpability and any prejudice to the defense, see, e.g., Osorio, ___ ____ ______

    929 F.2d at 762-63 (noting, as alternative remedies, recalling

    witness for additional cross-examination, affording defense

    greater leeway with witnesses, and instructing jury that govern-

    ment failed to meet discovery obligations), we find no abuse of

    discretion in refusing to dismiss the indictment.

    5. Closing Argument 5. Closing Argument ________________

    Josleyn claims that the lead prosecutor improperly

    vouched for the credibility of government witnesses, and Cardiges

    in particular, during rebuttal. Absent contemporaneous objec-

    tion, we may notice only "plain error." United States v. Tuesta- _____________ _______

    Toro, 29 F.3d 771, 776-77 (1st Cir. 1994), cert. denied, 115 S. ____ _____ ______

    Ct. 947 (1995); Fed. R. Crim. P. 52(b). Viewed in the context of

    the entire trial, United States v. Smith, 982 F.2d 681, 682 (1st _____________ _____

    Cir. 1993), the prosecutor's remarks, though plainly inappropri-

    ate, did not undermine the fundamental fairness of Josleyn's

    trial. See United States v. Young, 470 U.S. 1, 16 (1985). ___ _____________ _____

    Although at times it may be difficult to distinguish

    improper vouching from zealous advocacy, there can be no doubt


    34












    that the statements at issue here constituted improper rebuttal:

    Now there was a lot of suggestion of false
    play in this case. I want to say this. I'm
    a married person with a family, and I go home
    at night with a sound conscience. I have
    worked very hard on this case. Mr. Feith has
    worked very hard on this case. Mr. Mulvaney
    and Miss Roux have worked very hard on this
    case. And we are very proud of what we have
    done. We have done nothing to be ashamed
    of.11

    Injecting the prosecutor's personal life and individual efforts

    into the decisional mix not only invited the jury to consider

    irrelevant matters beyond the record, but unfairly evoked jury

    sympathy and diverted attention from the relevant evidence. See ___

    United States v. Rosales, 19 F.3d 763, 767 (1st Cir. 1994) ______________ _______

    (prosecutor denied fabricating evidence against defendant).

    There should be no need to remind federal prosecutors

    that they are not free to disregard the bounds of proper argument

    even in response to perceived provocation. See Young, 470 U.S. ___ _____

    at 18-19. The important precept that the prosecutor may not

    vouch for the credibility of a government witness is deeply

    rooted in American law. See Rosales, 19 F.3d at 767 ("When the ___ _______

    ____________________

    11Nor have we any doubt that defense counsel provoked the
    prosecution to these excesses. See United States v. Grabiec, __ ___ _____________ _______
    F.3d __, __ (1st Cir. 1996) [No. 96-1131, slip op. at 4 (1st Cir.
    Sept. 25, 1996)]. Referring to Cardiges' testimony, Josleyn's
    counsel argued: "It's wrong to lie, and it's also wrong to help
    you lie; to ask them questions [when you know] that the answers
    are going to be untrue. . . . I call it disgusting." Later, he
    added: "You want to see mail fraud? Stick this indictment in
    the mail and you'll see a mail fraud." Josleyn's counsel made an
    improper appeal for jury nullification as well: "People aren't
    born and the Almighty says you may be a prosecutor. That's a
    right that's given by the people. It's a trust. And when it's
    abused, somebody's got to do something about it."

    35












    prosecutor places the credibility of counsel at issue, the

    advantage lies with the government . . . .") (citations omitted).

    Thus, a prosecutor may not lend the prestige of the government to

    buttress a witness, nor indicate to the jury that information

    known to the prosecutor, but not admitted in evidence, supports

    the government's theory of the case. Young, 470 U.S. at 18-19. _____

    The appropriate response for the prosecutor in these

    circumstances is to lodge a contemporaneous objection and request

    an appropriate curative instruction. See id. at 13. Failing ___ ___

    that, the prosecutor is constrained to a fair discussion of the

    evidence. But for the brief passage challenged on appeal, see ___

    supra p. 34, the prosecution adhered to the appropriate standard. _____

    Under the "plain error" standard, appellants bear the

    burden of showing that the prosecutor's remarks resulted in

    prejudice, i.e., affected their substantial rights. See United ___ ______

    States v. Olano, 507 U.S. 725, 732-34 (1993). Even then, howev- ______ _____

    er, we will not notice error unless it caused "a miscarriage of

    justice" or seriously undermined "the integrity or public reputa-

    tion of judicial proceedings." Id. We must consider the likely ___

    impact the prosecutor's remarks had on the jury in light of the

    entire record, including the closing argument presented by the

    defense. Young, 470 U.S. at 16-17. _____

    Compared with defense counsel's attack against the

    integrity of the prosecuting attorneys throughout closing argu-

    ment, see supra note 11, their rebuttal was moderate. See United ___ _____ ___ ______

    States v. Oreto, 37 F.3d 739, 746 (1st Cir. 1994) (tolerating ______ _____


    36












    measured response to repeated attempts to magnify government mis-

    conduct), cert. denied, 115 S. Ct. 1161 (1995). In all events, _____ ______

    the district court prudently countered the risk of serious

    residual prejudice by promptly cautioning the jury that counsel's

    arguments are not evidence, and directing the jury to base its

    verdicts solely on the evidence. See United States v. Mejia- ___ ______________ ______

    Lozano, 829 F.2d 268, 274 (1st Cir. 1987). Given the over- ______

    whelming evidence against Josleyn, see supra Section II.B.3(b), ___ _____

    the provocative excesses in the closing argument presented by his

    own counsel, and the timely jury instructions by the district

    court, the improper remarks by the prosecutor in rebuttal did not

    rise to the level of plain error. See Rosales, 19 F.3d at 767-68 ___ _______

    (finding similar vouching harmless error).12 ________

    D. The Billmyer Sentencing Claim D. The Billmyer Sentencing Claim _____________________________

    Billmyer challenges a two-level enhancement of his base

    offense level ("BOL") for abusing a position of private trust.

    See U.S.S.G. 3B1.3 (1995). We review the 3B1.3 ruling de ___ __

    novo. United States v. Tardiff, 969 F.2d 1283, 1289 (1st Cir. ____ _____________ _______

    ____________________

    12Citing United States v. DiLoreto, 888 F.2d 996, 999 (3d ______________ ________
    Cir. 1989), Josleyn suggests that prosecutorial vouching requires
    reversal per se. DiLoreto was not only inconsistent with First ___ __ ________
    Circuit case law, it has been overruled. See United States v. ___ ______________
    Zehrbach, 47 F.3d 1252, 1264-65 (3d Cir.) (en banc), cert. ________ _____
    denied, 115 S. Ct. 1699 (1995). Furthermore, Josleyn's strongest ______
    authority, see United States v. Smith, 962 F.2d 923, 933-36 (9th ___ _____________ _____
    Cir. 1992) (finding plain error), is readily distinguishable.
    There, defense counsel did not allege that the prosecutor either
    withheld evidence or suborned perjury, id. at 934; moreover, the ___
    prosecutor had invoked both the prestige of the government and ___
    the authority of the court in rebuttal, id. at 936; cf. United ___ __ ______
    States v. Perez, 67 F.3d 1371, 1379 (9th Cir. 1995) (distinguish- ______ _____
    ing Smith on latter ground). _____

    37












    1992). As Billmyer acknowledges a sound factual basis for the

    3B1.3 enhancement, we need only apply the pertinent guideline

    language.

    If the defendant abused a position of public
    or private trust, or used a special skill, in
    a manner that significantly facilitated the
    commission or concealment of the offense,
    increase by 2 levels. This adjustment may 2 ____ __________ ___
    not be employed if an abuse of trust or skill ___ __ ________ __ __ _____ __ _____ __ _____
    is included in the base offense level or __ ________ __ ___ ____ _______ _____ __
    specific offense characteristic. ________ _______ ______________


    U.S.S.G. 3B1.3 (Nov. 1995) (emphasis added).

    The district court applied U.S.S.G. 2B4.1 (commercial

    bribery) to determine Billmyer's BOL. As the specific offense

    characteristics listed in 2B4.1(b) are not germane,13 we must

    consider whether the BOL prescribed in 2B4.1 "included" an

    ____________________

    13Section 2B4.1(b) provides:

    Specific Offense Characteristics

    (1) If the greater of the value of the bribe or the
    improper benefit conferred exceeded $2,000, in-
    crease the offense level by the corresponding
    number of levels from the table in 2F1.1 [of-
    fense-conduct guideline for fraud and de-
    ceit/forgery].

    (2) If the offense --

    (A) substantially jeopardizes the safety and
    soundness of a financial institution; or

    (B) affected a financial institution and the
    defendant derived more than $1,000,000 in
    gross receipts from the offense,

    increase by 4 levels. If the resulting offense 4
    level is less than 24, increase to level 24. 24 24

    U.S.S.G. 2B4.1(b).

    38












    abuse-of-trust component which would render the offense level

    enhancement invalid under the second sentence in 3B1.3.

    The Guidelines prohibit the sentencing court from

    imposing an abuse-of-trust enhancement in a public bribery case, ______

    see U.S.S.G. 2C1.1, comment. (n.3), unless special circumstanc- ___

    es require reference to other offense guidelines, see id. ___ ___

    2C1.1(c). Thus, in its main thrust the present challenge at-

    tempts to equate Billmyer's commercial bribery offense with

    bribery of a public official. According to Billmyer, the same

    general rule must apply because public bribery and private

    bribery are "virtually identical" offenses. We are not persuad-

    ed.

    The absence of an explicit provision restricting the ________

    application of the abuse-of-trust enhancement in commercial

    bribery cases severely undercuts the analogy urged by Billmyer.

    See United States v. Newman, 982 F.2d 665, 673-74 (1st Cir. 1992) ___ _____________ ______

    (applying expressio unius est exclusio alterius principle in this _________ _____ ___ ________ ________

    sentencing context), cert. denied, 510 U.S. 812 (1993). Further- _____ ______

    more, the Sentencing Commission took pains throughout the Guide-

    lines to specify the circumstances in which courts should not

    impose enhancements for abuse of trust.14 In sum, the overall

    structure of the Guidelines simply does not warrant the categori-
    ____________________

    14See, e.g., U.S.S.G. 2A3.1(b)(3), comment. (n.4) (sexual ___ ____
    abuse); id. 2H1.1(b)(1), comment. (n.5) (violating civil ___
    rights); id. 2P1.1(b)(1), comment. (n.3) (prison escape); id. ___ ___
    2T1.4(b)(1), comment. (n.2) (aiding tax fraud); see also Newman, ___ ____ ______
    982 F.2d at 673-74; cf. United States v. Wong, 3 F.3d 667, 670 ___ ______________ ____
    (3d Cir. 1993) (noting Commission's awareness of potential for
    "double counting").

    39












    cal ban advocated by Billmyer.

    Moreover, not only does Billmyer cite no supporting

    case law, but our research discloses ample authority for imposing

    an abuse-of-trust enhancement in such a case. For example, in

    United States v. Butt, 955 F.2d 77 (1st Cir. 1992), the court _____________ ____

    provided clear explication of its rationale for upholding an

    abuse-of-trust enhancement in the case of a police officer

    convicted on a RICO charge, even though the underlying racketeer-

    ing activity included extortion under color of right.

    The base offense level prescribed by the
    guidelines for a particular crime presumably
    reflects, or "includes," those characteris-
    tics considered by Congress to inhere in the
    crime at issue. In the case of extortion
    under color of right, abuse of trust would be
    one such characteristic, since Congress could
    reasonably have determined that every act of
    extortion under color of right involves an
    abuse of public trust. Because the RICO
    statute, by contrast, can be violated in
    innumerable ways, there are, arguably, no of-
    fense characteristics common to all RICO
    offenses.

    Id. at 89. The same holds true here. ___

    Billmyer was convicted of mail fraud conspiracy in

    violation of 18 U.S.C. 371. As not every mail fraud conspiracy

    involves an abuse of trust, we cannot conclude that the BOL for

    commercial bribery necessarily includes an abuse-of-trust element

    so as to preclude an enhancement pursuant to 3B1.3. See United ___ ______

    States v. Kummer, 89 F.3d 1536, 1546-47 (11th Cir. 1996) (reject- ______ ______

    ing similar argument under U.S.S.G. 2E5.1 (bribe affecting

    employee benefit plan)); cf. United States v. Connell, 960 F.2d ___ _____________ _______

    191, 199 (1st Cir. 1992) (finding that BOL applicable to currency

    40












    reporting violations did not encompass stockbroker's special

    skill).15 United States v. Sinclair, 74 F.3d 753, 762- _____________ ________

    63 (7th Cir. 1996), likewise demonstrates that the commercial

    bribery guideline does not take into account an abuse of trust.16

    Sinclair, a bank officer, was convicted of accepting a bribe in

    violation of 18 U.S.C. 215(a)(2), a crime that would seem

    almost invariably to entail an abuse of trust. Yet the court

    noted that the statute did not define a single crime, see id. ___ ___

    215(a)(1) (prohibiting person from offering bribe to bank offi- ________

    cer), and reasoned that it would be wrong to require that the _______

    briber, who did not necessarily breach a position of trust,

    receive the same sentence as the bank-officer recipient.

    Sinclair, 74 F.3d at 763. Similarly, we think Billmyer's greater ________

    culpability, relative to other defendants who need not necessari-

    ly have abused a position of trust in the course of a mail fraud

    conspiracy, entitled the district court to impose the 3B1.3

    adjustment in this case. Accordingly, we affirm the enhancement.





    ____________________

    15One reasonable explanation for the two-level difference
    between the BOL for private bribery, see U.S.S.G. 2B4.1 (level ___
    8), and public bribery, see U.S.S.G. 2C1.1 (level 10), may lie ___
    in the fact that the Sentencing Commission factored the abuse-of-
    trust element into the BOL for public bribery only.

    16Sinclair is the only case involving an abuse-of-trust ________
    enhancement under U.S.S.G. 2B4.1. We note, however, that other
    courts commonly allow an abuse-of-trust enhancement in embezzle-
    ment cases under U.S.S.G. 2B1.1. See, e.g., United States v. ___ ____ _____________
    Broumas, 69 F.3d 1178, 1182 (D.C. Cir. 1995), cert. denied, 116 _______ _____ ______
    S. Ct. 1447 (1996).

    41












    III III

    CONCLUSION CONCLUSION __________

    Finding no reversible error, the district court judg-

    ments are affirmed.

    AFFIRMED. AFFIRMED. ________












































    42






Document Info

Docket Number: 95-2146

Filed Date: 10/15/1996

Precedential Status: Precedential

Modified Date: 9/21/2015

Authorities (48)

united-states-v-peter-boylan-united-states-of-america-v-john-e-carey , 898 F.2d 230 ( 1990 )

united-states-v-david-sepulveda-united-states-of-america-v-edgar , 15 F.3d 1161 ( 1993 )

United States v. Catano , 65 F.3d 219 ( 1995 )

United States v. John W. Billmyer, American Honda Motor ... , 57 F.3d 31 ( 1995 )

united-states-v-macdonald-watson-waste-oil-company-united-states-of , 933 F.2d 35 ( 1991 )

O'NEAL v. McAninch , 115 S. Ct. 992 ( 1995 )

united-states-v-peter-rosa-also-known-as-pete-rosa-howard-lipson-also , 17 F.3d 1531 ( 1994 )

United States v. Frankhauser , 80 F.3d 641 ( 1996 )

United States v. Peter F. Ingraldi , 793 F.2d 408 ( 1986 )

Kotteakos v. United States , 66 S. Ct. 1239 ( 1946 )

United States v. Roger King , 860 F.2d 54 ( 1988 )

United States v. Raymond P. Allard , 926 F.2d 1237 ( 1991 )

United States v. John M. Arruda, United States of America v.... , 715 F.2d 671 ( 1983 )

aetna-casualty-surety-company-v-p-b-autobody-arsenal-auto-repairs , 43 F.3d 1546 ( 1994 )

UNITED STATES of America, Plaintiff-Appellee, v. Louise Han ... , 67 F.3d 1371 ( 1995 )

United States v. Francis E. Devin , 918 F.2d 280 ( 1990 )

United States v. Herbert Alan Butt, A/K/A Alan Butt, United ... , 955 F.2d 77 ( 1992 )

United States v. Sheldon Arthur Yefsky , 994 F.2d 885 ( 1993 )

united-states-v-kenneth-innamorati-united-states-v-william-thompson , 996 F.2d 456 ( 1993 )

Brady v. Maryland , 83 S. Ct. 1194 ( 1963 )

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