United States v. Shifman ( 1997 )


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    UNITED STATES COURT OF APPEALS
    FOR THE FIRST CIRCUIT
    ____________________

    No. 96-2286

    UNITED STATES,

    Appellee,

    v.

    STANTON D. SHIFMAN,

    Defendant, Appellant.

    ____________________

    APPEAL FROM THE UNITED STATES DISTRICT COURT

    FOR THE DISTRICT OF MASSACHUSETTS

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

    ____________________

    Before

    Torruella, Chief Judge, ___________

    Campbell, Senior Circuit Judge, ____________________

    and Boudin, Circuit Judge. _____________
    ____________________


    Paul G. Holian for appellant. ______________
    Donald C. Lockhart, Trial Attorney, with whom Donald K. Stern, __________________ _______________
    United States Attorney, were on brief for appellee.

    ____________________

    August 19, 1997
    ____________________




















    CAMPBELL, Senior Circuit Judge. Stanton Shifman ____________________

    challenges his convictions on charges arising out of an

    illegal loan-sharking operation run by Joseph A Yerardi, Jr.

    He argues, inter alia, that there was insufficient evidence

    to support the convictions.

    I.

    Stanton Shifman and nine others were indicted on

    October 14, 1993 for multiple offenses based on their

    involvement in an illegal gambling and loan-sharking

    operation. Shifman, whose activities pertained only to the

    loan-sharking side of the operation, was charged with

    violation of, and conspiracy to violate, the Racketeer

    Influenced and Corrupt Organizations Act ("RICO"), 18 U.S.C.

    1962(c) & (d). He was also charged with four counts of

    aiding and abetting the making of extortionate extensions of

    credit, 18 U.S.C 892(a), and a single count of aiding and

    abetting the collection of an extension of credit by

    extortionate means, 18 U.S.C 894(a).

    Shifman was tried separately from the others. The

    government's evidence consisted primarily of the testimony of

    the alleged victims of the loan-sharking activities, seized

    records of loans, and admissions made by Shifman to law

    enforcement officials. We recite the facts in the light most

    favorable to the verdicts being appealed. United States v. _____________

    Valerio, 48 F.3d 58, 63 (1st Cir. 1995). _______



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    Joseph Yerardi operated a large-scale gambling and

    loan-sharking enterprise that made loans to borrowers at

    weekly interest rates of from 3 percent to 5 percent. These

    rates translate into annual interest rates of from 153

    percent to 260 percent. The maximum legal annual rate

    allowed in Massachusetts is 20 percent. Mass. Gen. Laws. ch.

    271, 49.

    Shifman first came into contact with Yerardi when

    he needed the loan shark's services because of his own

    mounting debts. Shifman subsequently borrowed from Yerardi

    numerous times and on each occasion made interest payments of

    3 percent or 4 percent a week. At times, Shifman fell behind

    in his weekly payments and was threatened with physical

    injury by a Yerardi employee, Jack Murphy, also known as Jack

    Kelley. At some point, Yerardi encouraged Shifman to refer

    anyone he knew in need of money to Yerardi. In return for

    these referrals, which totaled approximately ten over a

    twelve to sixteen month period, Shifman received either fees

    from the borrowers or "points" a reduction in the interest

    rate on his loan from Yerardi. Lieutenant-Detective

    William McDermott testified that Shifman admitted to him that

    Yerardi would reduce his debt after he referred a customer

    who proceeded to take out a loan from Yerardi.

    Much of the testimony came from the borrowers, Mark

    LaChance, Gerald Moore, Craig Inge, Randall Gasbarro, and



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    Paul Mahoney, whose loans were all documented by entries in

    the records seized from Yerardi.

    LaChance testified that he approached Shifman, who

    he knew to be in the mortgage business, for legitimate

    financing on his construction equipment. Shifman told him

    the financing would come through without a problem. After

    weeks of waiting, LaChance, desperately in need of money,

    approached Shifman for help in obtaining a short-term loan.

    Shifman referred LaChance to Yerardi, clearly conveying that

    Yerardi was a loan shark. The legitimate financing Shifman

    was allegedly procuring for LaChance never materialized.

    Gerald Moore testified that he too was introduced

    to Yerardi by Shifman. He also testified that he was paying

    4 percent interest a week on the money he borrowed from

    Yerardi, and that he knew that he could be physically hurt if

    he didn't repay the money. Moore gave a portion of the

    proceeds of his loan from Yerardi to Shifman. At one point,

    when Moore was behind in his payments, Jack Murphy and two

    other men visited Moore on Yerardi's behalf and attempted to

    break Moore's hand.

    Craig Inge testified that he went to Shifman with

    the hope of obtaining legitimate financing for his video

    business. When the financing failed to materialize, Shifman

    referred Inge to Yerardi. Shifman represented that the loan

    with Yerardi would serve only to meet Inge's needs until the



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    legitimate financing came through. Again, the legitimate

    financing never materialized. Inge paid Shifman $1,000 from

    the money he borrowed from Yerardi for what Shifman described

    as a fee for his services.

    Randall Gasbarro and Paul Mahoney both testified

    that Shifman referred them to Yerardi. They both understood,

    from Shifman's description, that Yerardi was a loan shark.

    Both men testified that they were paying 3 percent interest a

    week on the money they borrowed from Yerardi. Mahoney

    testified that he gave a portion of the money he borrowed

    from Yerardi to Shifman.

    Another witness, Paul Terranova, testified that he

    approached Shifman for a second mortgage on his home. When

    the mortgage didn't come through, Shifman referred Terranova

    to Yerardi suggesting that the loan would be a short-term

    loan to tide him over until the mortgage came through. He

    also testified that he paid Shifman approximately $2,500, and

    that the mortgage never came through, causing him to remain

    indebted to Yerardi.

    Shifman himself testified that he gave numerous

    people Yerardi's telephone number, and that these people

    would not have known about Yerardi, nor would they have taken

    out extortionate loans from Yerardi, had he not referred

    them. Shifman testified to knowing Yerardi to be a loan





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    shark, and that people could be physically injured if they

    did not repay the loans from Yerardi.

    The jury found Shifman guilty of both violating

    RICO and conspiring to violate RICO. The jury also found

    Shifman guilty on all four counts of aiding and abetting the

    making of extortionate extensions of credit. The jury

    acquitted Shifman on the charge that he had aided and abetted

    the collection of an extension of credit by extortionate

    means. Shifman was sentenced to 51 months imprisonment.

    This appeal followed.

    II.

    A. Sufficiency of the Evidence ___________________________

    Shifman contends that the evidence was insufficient

    as a matter of law to support his convictions. "In reviewing

    sufficiency claims, we consider the evidence 'in the light

    most favorable to the prosecution' and then ask whether the

    evidence 'would allow a rational jury to determine beyond a

    reasonable doubt that the defendant[] w[as] guilty as

    charged.'" United States v. Hurley, 63 F.3d 1, 11 (1st Cir. _____________ ______

    1995)(quoting United States v. Mena Robles, 4 F.3d 1026, 1031 _____________ ___________

    (1st Cir. 1993)), cert. denied, __ U.S. __, 116 S. Ct. 1322 ____________

    (1996).

    1. The RICO Counts _______________

    For a defendant to be found guilty of a substantive

    RICO violation, the government must prove beyond a reasonable



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    doubt that (1) the "enterprise affect[ed] interstate or

    foreign commerce, (2) that the defendant under consideration

    associated with the enterprise, (3) that [the] defendant

    participated in the conduct of the enterprise's affairs, and

    (4) that [the] defendant's participation was through a

    pattern of racketeering activity." Aetna Cas. Sur. Co. v. P ___________________ _

    & B Autobody, 43 F.3d 1546, 1558 (1st Cir. 1994).1 ____________

    For a defendant to be found guilty of conspiring to __________

    violate RICO, the government must prove "(1) the existence of

    an enterprise affecting interstate commerce, (2) that the

    defendant knowingly joined the conspiracy to participate in

    the conduct of the affairs of the enterprise, (3) that the

    defendant participated in the conduct of the affairs of the

    enterprise, and (4) that the defendant did so through a

    pattern of racketeering activity by agreeing to commit, or in

    fact committing, two or more predicate offenses." Id. at ___

    1561.

    Hence liability for a substantive RICO violation

    under 1962(c) and liability for a RICO conspiracy violation

    under 1062(d) rest on very similar elements. There are,

    however, two notable differences. As stated in Aetna: _____

    ____________________

    1. Aetna dealt with a civil RICO claim, but it is _____
    appropriate to rely on civil RICO precedent when analyzing
    criminal RICO liability. The standard is the same for both
    criminal and civil RICO violations. See 18 U.S.C. 1962. ___
    The RICO Act differentiates between criminal and civil
    liability by providing for criminal penalties in 18 U.S.C.
    1963, and civil remedies in 18 U.S.C. 1964.

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    The major difference between a violation
    of 1962(c) itself . . . and a violation
    of 1962(d) based on 1962(c) . . . is
    the additional required element that the
    defendant knowingly joined a conspiracy
    to violate 1962(c). Another difference
    is that, to prove that a defendant
    violated 1962(c), it is necessary for
    the plaintiff to prove two predicate
    offenses; under 1962(d), in contrast,
    this is not an element required to be
    proved. To prove a violation of
    1962(d), it is enough to prove that a
    defendant agreed with one or more others ______
    that two predicate offenses be committed.

    Id. at 1562. ___

    a. The Substantive RICO Violation ______________________________

    i. Affecting Interstate Commerce _____________________________

    Shifman does not challenge the adequacy of the

    proof that Yerardi's loan-sharking enterprise affected

    interstate commerce.

    ii. Association with the Enterprise _______________________________

    The second element of the substantive RICO violation

    is "that the defendant under consideration associated with the

    enterprise." Id. at 1558. The jury could reasonably have found ___

    from the evidence presented that Shifman deliberately associated

    himself with Yerardi's enterprise. Not only did Shifman himself

    borrow from Yerardi, he referred borrowers to Yerardi with the

    goal of obtaining either a reduction in the interest rate on his

    own debt to Yerardi, or a cash fee from the borrower. Infra. _____

    iii. Participation in the Conduct ____________________________





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    The third element of the substantive RICO violation

    under 1962(c) requires that the defendant have participated in

    the conduct of the enterprise's affairs. The Supreme Court has

    interpreted the phrase "to participate in the conduct of the

    enterprise's affairs" to mean participation in the operation or

    management of the criminal enterprise. See Reves v. Ernst & ___ _____ _______

    Young, 507 U.S. 170, 185 (1993). Appellant argues that there was _____

    insufficient evidence for the jury to find that his conduct met

    the "operation or management" test. We disagree.

    Reves differs from the present case in that it _____

    addressed the civil RICO liability of an independent adviser

    outside of the RICO enterprise's chain of command. The Supreme

    Court held in Reves that an accounting firm employed by the _____

    enterprise could not be held civilly liable under RICO for

    preparing an inaccurate accounting statement as it had not

    "participate[d] in the operation or management of the enterprise

    itself." Id. Respecting Reves, we have said: ___ _____

    Special care is required in translating
    Reves' concern with "horizontal" _____
    connections--focusing on the liability of
    an outside adviser--into the "vertical"
    question of how far RICO liability may
    extend within the enterprise but down the
    organizational ladder. In our view, the
    reason the accountants were not liable in
    Reves is that, while they were undeniably _____
    involved in the enterprise's decisions,
    they neither made those decisions nor
    carried them out; in other words, the
    accountants were outside the chain of
    command through which the enterprise's
    affairs were conducted.



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    United States v. Oreto, 37 F.3d 739, 750 (1st Cir. 1994). _____________ _____

    We have held, post-Reves, however, that a defendant _____

    who is "plainly integral to carrying out" the enterprise's

    activities may be held criminally liable under RICO." See id. ___ ___

    In the present case, Shifman was "plainly integral to

    carrying out" Yerardi's loan-sharking plans. There was evidence

    that Yerardi encouraged Shifman to refer persons in need of money

    to the enterprise and that Shifman did so on a number of

    occasions. The evidence was plain that Shifman knew Yerardi to

    be engaged in illegal loan-sharking operations, that Shifman gave

    Yerardi's number to many people, and that the victims would not

    have known of Yerardi had Shifman not referred them. Shifman,

    moreover, could be found to have "set up" certain victims so as

    to make it more likely they would borrow from Yerardi. He did

    this by first promising legitimate financing, and when this was

    not forthcoming, and they were desperate, offering them Yerardi's

    services. The evidence also supported a finding that Shifman

    benefitted financially from the transactions by either receiving

    points on his debt to Yerardi, or else obtaining fees from the

    borrowers.

    The jury could infer that, but for Shifman's

    referrals, the extortionate loans to LaChance, Moore, Inge,

    Gasbarro, and Mahoney would not have taken place, and that these

    referrals were calculated and regular efforts taken by Shifman on

    behalf of the Yerardi enterprise. We are satisfied there was



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    sufficient proof of Shifman's participation in the conduct of the

    enterprise's affairs, albeit at a relatively low level, to

    support the verdict.

    iv. Pattern of Racketeering Activity ________________________________

    The final element for substantive RICO liability is

    that the defendant's participation was through a "pattern of

    racketeering activity."

    In order to have engaged in a "pattern" of

    racketeering activity, a defendant must have committed at least

    two racketeering acts within ten years of one another. See 18 ___

    U.S.C. 1961(5). These acts must be related and "amount to or

    pose a threat of continued criminal activity." H.J. Inc. v. _________

    Northwestern Bell Telephone Co., 492 U.S. 229, 239 (1989). _______________________________

    The definition of "racketeering activity" includes

    making or conspiring to make an extortionate extension of credit.

    See 18 U.S.C. 1961(1) (defining "racketeering activity" in part ___

    as including an offense indictable under 18 U.S.C. 892, which

    bans the making of extortionate extensions of credit). Aiding

    and abetting one of the activities listed in 1961(1) as

    racketeering activities makes one punishable as a principal and

    amounts to engaging in that racketeering activity. See 18 U.S.C. ___

    2.2

    ____________________

    2. (a) Whoever commits an offense against the United States
    or aids, abets, counsels, commands, induces or procures its
    commission, is punishable as a principal.
    (b) Whoever willfully causes an act to be done which if
    directly performed by him or another would be an offense

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    In this case, the racketeering acts that formed the

    basis of Shifman's RICO conviction were the four extortionate

    credit transactions he was convicted of aiding and abetting.

    Shifman contends there was insufficient evidence from which to

    find that he committed these racketeering acts.

    In order to convict Shifman of aiding and abetting

    the making of extortionate extensions of credit, the government

    had to prove Shifman aided and abetted "[a]ny extension of credit

    with respect to which it is the understanding of the creditor and

    the debtor at the time it is made that delay in making repayment

    or failure to make repayment could result in the use of violence

    or other criminal means to cause harm to the person, reputation,

    or property of any person." 18 U.S.C. 891(6).

    A basic element of aiding and abetting is proof "that

    the defendant consciously shared the principal's knowledge of the

    underlying criminal act, and intended to help the principal."

    United States v. Taylor, 54 F.3d 967, 975 (1st Cir. 1995). _____________ ______

    The present record provided sufficient evidence for

    the jury to find that Shifman aided and abetted the making of the

    four extortionate extensions of credit.

    There was ample evidence that Yerardi's loans to

    LaChance, Moore, Gasbarro, and Mahoney were extortionate. The

    jury could infer an understanding between Yerardi and the


    ____________________

    against the United States, is punishable as a principal.
    18 U.S.C. 2.

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    borrowers that if a borrower delayed in repaying, violence would

    be used to force repayment. The rate of interest on the loans

    far exceeded the legal rate; legal collection means were

    unavailable. LaChance, Moore, Gasbarro, and Mahoney all

    testified to knowing that Yerardi was a loan shark. LaChance and

    Gasbarro were each told by Shifman that Yerardi was a hard money

    lender, and that they should be aware of what type of person they

    were dealing with. Both understood this to mean that Yerardi was

    a loan shark. Moore was warned by Yerardi himself that violence

    would ensue if he did not make his payments on time. Mahoney

    testified that he understood Yerardi's business, as Shifman

    explained it, to be loan-sharking. Mahoney also understood that

    loan sharks would use force to collect payment. From this

    evidence the jury was entitled to find that there was an

    understanding between Yerardi and the borrowers that violence

    would be used if they failed to make their loan repayments.

    There was also sufficient evidence at trial for the

    jury to find beyond a reasonable doubt that Shifman aided and

    abetted the making of these extortionate loans. Shifman knew

    that the loans Yerardi would make to the borrowers Shifman

    referred to him would be extortionate, having himself borrowed

    from Yerardi at an illegal rate of interest and, when he fell

    behind, having been threatened with violence by Yerardi's

    henchmen. Shifman informed the borrowers of the realities of

    doing business with Yerardi, with its potential for violence. It



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    could be inferred that Shifman referred the borrowers to Yerardi

    fully expecting them to take out loans from him. There was also

    evidence, as explained above, that Shifman was actively helping

    Yerardi find new borrowers in order to gain fees from the

    borrowers or a reduction in the interest rate on his outstanding

    debt to Yerardi. Accordingly, the jury was warranted in

    concluding that Shifman knowingly rendered tangible aid to

    Yerardi's loan-sharking activities and was desirous, in the case

    of the four borrowers, that those illegal activities succeed.

    The jury's finding that Shifman was guilty of aiding and abetting

    the extortionate extensions of credit involving these four men

    was amply supported.

    b. The RICO Conspiracy ___________________

    i. Affecting Interstate Commerce _____________________________

    As noted, Shifman does not challenge the sufficiency

    of the evidence offered to prove that Yerardi's enterprise

    affected interstate commerce.

    ii. Knowingly Joining the Conspiracy ________________________________

    The second element of the conspiracy charge requires

    that the defendant "knowingly joined the conspiracy to

    participate in the conduct of the affairs of the enterprise."

    Aetna, 43 F.3d at 1561. "All that is necessary to prove this _____

    element of the RICO conspiracy . . . is to prove that [the

    defendant] agreed with one or more co-conspirators to participate

    in the conspiracy." Id. at 1562. The evidence showed an ___



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    agreement between Yerardi and Shifman for the latter to refer

    borrowers to Yerardi. The evidence also supported a finding of

    an understanding between Yerardi and Shifman that, at least in

    some cases, if Shifman referred a borrower to Yerardi who

    proceeded to take out a loan his own debt would be reduced.

    There was clearly sufficient proof of an agreement between

    Shifman and a co-conspirator for the former to have joined in the

    conspiracy.

    iii. Participation in the Conduct ____________________________

    This element is identical to the third element of the

    substantive RICO violation. As indicated in our discussion of

    that element, supra, there is sufficient evidence to prove this _____

    element of the RICO conspiracy count.

    iv. Pattern of Racketeering Activity ________________________________

    The fourth element of the RICO conspiracy violation

    is met if the defendant agrees to commit or actually commits two

    or more acts of racketeering activity. As discussed under the

    substantive RICO violation section, there was sufficient evidence

    for the jury to find that Shifman committed four of the charged

    racketeering acts. Accordingly, the fourth element is met.

    2. Aiding and Abetting Extortionate Extensions of Credit _____________________________________________________

    Appellant contends that there was insufficient

    evidence to convict him of the four substantive counts of aiding

    and abetting the extortionate extensions of credit. We have





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    already considered and rejected this argument in the course of

    discussing the substantive RICO violations, supra. _____

    B. Miscellaneous Trial Issues __________________________

    1. The Cooperation Evidence

    Appellant argues that the court erroneously excluded

    certain evidence showing his cooperation with government

    authorities; that the court unduly limited his counsel's opening

    statement; and that the pretrial stipulation that the government

    would not attempt to show that Shifman participated in Yerardi's

    enterprise after he began cooperating with law enforcement

    officials in June of 1991 should have been read to the jury. All

    these matters, Shifman argues, tended to show a "consciousness of

    innocence" that he should have been able to place before the

    jury. We find no reversible error.

    Turning first to the cooperation evidence, the jury

    was ultimately allowed to hear and to consider extensive evidence

    of Shifman's cooperation with law enforcement officials. It is

    not clear to us that the court excluded any significant amount of

    this evidence. We see no abuse of discretion in the court's

    handling of the cooperation evidence.

    As for the alleged restriction on defense counsel's

    opening statement, we found no such restriction in the record.

    The court merely stated:

    I'm not going to preclude [appellant's
    attorney] from saying what he wishes in
    light of what I have said previously,
    that of course I have instructed and will


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    instruct the jury again that what counsel
    says in opening statement is not
    evidence, and if he makes any promises to
    offer in evidence something that I have
    not ruled on, he's doing it at his peril.

    We see nothing improper in these remarks.

    Regarding the stipulation, appellant argues that it

    should have been read to the jury after the government said in

    its opening statement that Shifman told authorities "half the

    story." The government plausibly argues, however, that the "half

    the story" remark had to do with Shifman's pre-June conduct,

    unrelated to the stipulation. Shifman, however, did not then

    request that the stipulation be read at trial, so we review for

    plain error. Fed. R. Crim. P. 52(b). Under the plain error

    standard of review, appellant bears "the burden of persuasion" to

    establish that there was an error, that the error was "clear" or

    "obvious," and that the error "affect[ed] substantial rights."

    United States v. Olano, 507 U.S. 725, 734 (1993). _____________ _____

    We do not see how the district court's failure, on

    its own initiative, and without request, to read the pretrial

    stipulation to the jury amounted to an error of any kind. Nor

    has appellant met the burden of showing prejudice under Rule

    52(b).3 In accordance with the stipulation, he was not

    prosecuted for any offenses after his cooperation with law

    enforcement officials began in June of 1991. The government

    ____________________

    3. Normally, "the defendant must make a specific showing of
    prejudice to satisfy the 'affecting substantial rights' prong
    of Rule 52(b). Olano, 507 U.S. at 735. _____

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    presented evidence pertaining to Shifman's conversations with

    police after June, but only to rebut Shifman's direct testimony

    concerning these conversations and his state of mind during the

    alleged offenses. We find no prejudice to Shifman from the

    district judge's failure to advise the jury of the stipulation.

    2. The Response to the Jury Question _________________________________

    Appellant contends that the court erred when, with

    his counsel's approval, it referred the jury to the written jury

    instructions in response to a question about conducting or

    participating in an enterprise's affairs. The government

    responds that Shifman waived any objection to the answer when his

    attorney explicitly agreed to the district judge's response to

    the jury question. See United States v. Rojo-Alvarez, 944 F.2d ___ _____________ ____________

    959, 971 (1st Cir. 1991) (holding that there was waiver when

    defense counsel stated he was satisfied with the reworded

    instruction); see also United States v. Lakich, 23 F.3d 1203 (7th ___ ____ _____________ ______

    Cir. 1994) (holding that there was waiver when counsel explicitly

    agreed to the court's instruction). But see United States v. _______ _____________

    Marder, 48 F.3d 564, 571 (1st Cir. 1995) (waiver in these ______

    circumstances is an open question), cert. denied, 514 U.S. 1056 ____________

    (1995). Regardless whether an actual waiver took place, we see

    nothing even remotely close to an error meeting the plain error

    standard.

    Affirmed. ________





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