United States v. Rivas , 528 F. App'x 784 ( 2013 )


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  •                                                                         FILED
    United States Court of Appeals
    Tenth Circuit
    UNITED STATES COURT OF APPEALS June 17, 2013
    Elisabeth A. Shumaker
    TENTH CIRCUIT                      Clerk of Court
    UNITED STATES OF AMERICA,
    Plaintiff - Appellee,                      No. 12-6159
    v.                                   (D.C. No. 5:11-CR-00234-HE-1)
    RAFAEL QUINTERO RIVAS, also                            W.D. Oklahoma
    known as Rafael Rivas, also known as
    Rafael Quintero, also known as Guero,
    Defendant - Appellant.
    ORDER AND JUDGMENT *
    Before HOLMES, MURPHY, and MATHESON, Circuit Judges.
    I. INTRODUCTION
    A jury convicted Rafael Quintero-Rivas on multiple counts of violating
    federal drug laws. 1 After the district court submitted the case to the jury,
    *
    This order and judgment is not binding precedent except under the
    doctrines of law of the case, res judicata, and collateral estoppel. It may be cited,
    however, for its persuasive value consistent with Fed. R. App. P. 32.1 and 10th
    Cir. R. 32.1.
    1
    The jury found Quintero-Rivas guilty of conspiracy to possess with intent
    to distribute methamphetamine, in violation of 
    21 U.S.C. § 846
    ; three counts of
    distribution of methamphetamine, in violation of 
    21 U.S.C. § 841
    (a)(1); one count
    of possession with intent to distribute methamphetamine, in violation of 21 U.S.C.
    (continued...)
    Quintero-Rivas moved for a mistrial, asserting counsel for a co-defendant
    “call[ed] him a drug dealer” during closing arguments, “much to [his] prejudice.”
    The district court denied the motion. On appeal, Quintero-Rivas asserts the
    district court erred in denying his motion for a mistrial and in failing to sua
    sponte reconsider a previously denied motion to sever. Exercising jurisdiction
    pursuant to 
    28 U.S.C. § 1291
    , this court affirms.
    II. BACKGROUND
    In 2010, the Drug Enforcement Administration (“DEA”) contacted
    Immigration and Customs Enforcement Homeland Security Investigations (“HSI”)
    for assistance with an investigation of methamphetamine distribution in
    Oklahoma City. As an outgrowth of this collaboration, HSI started investigating
    Quintero-Rivas. 2 HSI employed traditional physical surveillance, wiretap TT3, a
    pen register, and a pole camera that overlooked Quintero-Rivas’s apartment
    complex. This investigation established copious evidence Quintero-Rivas both
    1
    (...continued)
    § 841(a)(1); and seven counts of use of a communication facility to facilitate the
    distribution of methamphetamine, in violation of 
    21 U.S.C. § 843
    (b).
    2
    HSI Special Agent Austin Shaver testified the DEA sought HSI’s
    assistance because the large size of the criminal enterprise under investigation
    required extensive surveillance. Ultimately, when the original wiretap (“TT1”)
    identified an independent avenue for investigation centered around Quintero-
    Rivas, the matter was “spun off” to HSI. HSI then obtained a separate wiretap
    (“TT3”) of a phone utilized by Quintero-Rivas to facilitate the distribution of
    methamphetamine. The evidence adduced at the trial in this case flowed from the
    investigation surrounding wiretap TT3.
    -2-
    distributed methamphetamine to other dealers and facilitated drug deals between
    other distributors.
    Based on evidence obtained from this investigation, a grand jury returned a
    multi-count indictment charging Quintero-Rivas and others 3 with various drug
    offenses. Campos filed a pre-trial motion for severance; Quintero-Rivas joined
    the motion. 4 The motion principally asserted a joint trial would be unfair because
    most of the evidence pertained solely to Campos’s co-defendants, whose alleged
    culpability far exceeded his own asserted wrongdoing. 5 The district court denied
    3
    The indictment also set out charges against Valente Campos, Jesus
    Figueroa-Labrada, Irving Lechuga-Garcia, Eloy Villa, Jose Gonzalez-Gondarilla,
    and Ivan Guzman-Torres.
    4
    Quintero-Rivas asserts the district court erred, late in the trial, when it
    failed to sua sponte reconsider its pre-trial denial of this motion. He did not,
    however, include in the record a copy of the severance motion or the
    government’s response thereto. But cf. 10th Cir. R. 10.3(D)(2) (providing that
    when an appeal is from an order disposing of a motion, the motion and any
    response thereto must be included in the record). Although under no obligation to
    do so, this court has accessed the relevant materials through the district court’s
    electronic docket. Nevertheless, we do not recommend relying on this
    discretionary procedure. See Burnett v. Sw. Bell Tel., L.P., 
    555 F.3d 906
    , 908-10
    (10th Cir. 2009) (refusing to hear claims of error predicated on materials not
    included in the record).
    5
    Given this rationale, Quintero-Rivas’s joinder in the motion is puzzling.
    As reflected in the indictment, Quintero-Rivas was the central player in the
    alleged conspiracy. Quintero-Rivas was named in twelve of the twenty counts,
    while Campos was named in only three of the twenty counts. Furthermore, all
    twenty counts, including those that did not name him, revolved around Quintero-
    Rivas. It is simply not possible the type of spillover identified in the motion
    could have impacted Quintero-Rivas. His joinder might be explained by the fact
    the motion also argued severance would be appropriate if, after a James hearing,
    (continued...)
    -3-
    the motion, concluding the trial would be neither unusually lengthy nor so
    complex a jury would be unable to segregate the evidence as to each defendant.
    See United States v. Pack, 
    773 F.2d 261
    , 267 (10th Cir. 1985) (concluding trial
    court did not abuse its discretion in denying severance motion when “the trial was
    neither unusually lengthy nor complex and the jury could compartmentalize the
    evidence as to each of the defendants and properly apply it to the court’s
    instructions”).
    Eventually, Quintero-Rivas, Campos, Gonzalez-Gondarilla, and
    Figueroa-Labrada proceeded to trial. During its opening statement, the
    government told the jury the evidence would demonstrate each of the four
    defendants, “[a]lthough varying in degrees,” played a necessary role in the drug
    conspiracy set out in the first count of the indictment. Nevertheless, the
    government stated the evidence would show “there was one common factor in
    each and every transaction, and that person who was at the center of this
    5
    (...continued)
    the district court concluded certain statements were only admissible against some
    defendants. See United States v. James, 
    590 F.2d 575
    , 580-83 (5th Cir. 1979)
    (holding a trial court should ordinarily not allow a jury to hear out-of-court
    coconspirator declarations before holding a hearing, outside the jury’s presence,
    to determine whether such statements are admissible under Federal Rule of
    Evidence 801(d)(2)(E)). After holding a James hearing, however, the district
    court concluded the charged conspiracy existed, Quintero-Rivas and Campos were
    members of the conspiracy, and all the statements at issue were made in the
    course of and in furtherance of the conspiracy. See United States v. Lopez-
    Gutierrez, 
    83 F.3d 1235
    , 1242 (10th Cir. 1996) (setting forth standard for
    admitting evidence pursuant to Rule 801(d)(2)(E)).
    -4-
    organization was Rafael Rivas.” Consistent with its opening statement, the
    overwhelming bulk of the government’s extensive trial evidence centered around
    the drug trafficking activities of Quintero-Rivas. 6
    During closing arguments, counsel for Gonzalez-Gondarilla, Michael
    Johnson, stated the evidence demonstrated Quintero-Rivas sold drugs, but
    asserted there was no evidence Gonzalez-Gondarilla participated in any drug
    trafficking. After the remarks, and after Figueroa-Labrada’s counsel gave his
    closing, and after the government made its final closing, and after the district
    court submitted the matter to the jury, Quintero-Rivas objected to Johnson’s
    comments and moved for a mistrial. In support of the motion, Quintero-Rivas
    argued as follows:
    We had previously filed a motion to sever in this case. That motion
    was overruled. In that motion we set out that there’s the possibility
    of the inconsistent defenses. [7] In closing arguments those things
    6
    It is unnecessary for purposes of resolving this appeal to set out the
    extensive trial evidence supporting the jury’s guilty verdicts as to Quintero-Rivas.
    It would be an understatement, however, to call the evidence overwhelming. The
    government presented to the jury a multitude of wiretapped phone calls in coded
    language highly indicative of the drug trade. Extensive physical surveillance
    supported each alleged drug transaction identified in the indictment.
    Furthermore, as the investigation was coming to a close, officers arrested one of
    the co-conspirators leaving Quintero-Rivas’s apartment with a substantial quantity
    of methamphetamine. Finally, when agents eventually searched Quintero-Rivas’s
    apartment, they found a large sum of cash, a digital scale coated with
    methamphetamine residue, a drug ledger, and several cell phones.
    7
    As should be apparent from the discussion above, at no point did Campos’s
    motion to sever raise the potential for inconsistent defenses as a basis for
    (continued...)
    -5-
    came to life with Mr. Johnson pointing at Mr. Rivas and calling him
    a drug dealer, much to Mr. Quintero-Rivas’s prejudice. We would
    move for a mistrial.
    The district court denied the motion. The jury convicted Quintero-Rivas on all
    twelve counts.
    III. DISCUSSION
    On appeal, Quintero-Rivas “sets forth one proposition of error with two
    prongs.” Appellant’s Br. at 7. He asserts Johnson’s conduct entitles him to a new
    trial under two separate legal theories: the district court erred (1) in failing to
    grant his motion for a mistrial; and (2) in failing to sua sponte reconsider and
    grant his previously denied severance motion. Neither contention is meritorious.
    A. Mistrial
    In support of his assertion the district court erred in denying his request for
    a mistrial, Quintero-Rivas points to comments made by Johnson during opening
    and closing statements. In particular, Quintero-Rivas asserts Johnson sought to
    inculpate him, essentially acting as a second prosecutor. According to Quintero-
    Rivas, he was forced to defend himself against both the accusations of the
    government and from repeated, unsubstantiated statements from Johnson.
    Quintero-Rivas did not object to any of the comments he now identifies as
    improper. As a result, the district court was denied the opportunity to give a
    7
    (...continued)
    severance. See supra n.5 & accompanying text.
    -6-
    specific curative jury instruction, should it deem one appropriate. United States
    v. Martinez, 
    455 F.3d 1127
    , 1130 n.2 (10th Cir. 2006) (stating a defendant must
    object “at the first reasonable opportunity” so the district court may take curative
    actions less drastic than a mistrial). For that reason, this court should limit its
    review to plain error. United States v. Lamy, 
    521 F.3d 1257
    , 1265 (10th Cir.
    2008). Because, however, Quintero-Rivas is not entitled to relief even under the
    normally applicable abuse-of-discretion standard, United States v. Meridyth, 
    364 F.3d 1181
    , 1183 (10th Cir. 2004), this court need not further consider the
    question.
    A mistrial is appropriate only when a defendant’s right to a fair and
    impartial trial has been impaired. United States v. Caballero, 
    277 F.3d 1235
    ,
    1242 (10th Cir. 2002). In the context of this case, we consider (1) whether any of
    the district court’s instructions limited the effect of the improper statements and
    (2) “whether the improper remark[s] [were] inconsequential in light of the other
    evidence of the defendant’s guilt.” Meridyth, 
    364 F.3d at 1183
    .
    Applying this standard, we first note that Quintero-Rivas’s assertion
    Johnson acted like a second prosecutor is simply not supported by the record. It
    is certainly true Johnson stated on several occasions that Quintero-Rivas was
    dealing drugs. Johnson also, however, challenged key pieces of the evidence and
    pointed to evidence contradicting the government’s theory that Quintero-Rivas
    was a sophisticated drug distributor. Furthermore, Johnson spent much of his
    -7-
    closing argument attacking the credibility of Tomas Olivas, the government’s
    primary witnesses against Quintero-Rivas. In particular, he asserted the evidence
    showed the primary drug distributor in this case was Olivas, and that Olivas had
    set up a down-on-his luck Quintero-Rivas. 8 Likewise, Johnson asserted the
    evidence demonstrated a drug ledger the government attributed to Quintero-Rivas
    actually belonged to Olivas. Thus, while it is true that Johnson stated during his
    arguments to the jury that the evidence demonstrated Quintero-Rivas distributed
    drugs, it is simply not accurate to assert Johnson acted as a second prosecutor.
    In any event, Quintero-Rivas’s assertion he was prejudiced by Johnson’s
    statements is unconvincing given the overwhelming evidence presented at trial.
    See supra n.6 (summarizing overwhelming nature of evidence of Quintero-Rivas’s
    guilt); Lamy, 
    521 F.3d at
    1266 . Moreover, the district court’s general jury
    instructions specifically informed the jury as follows: “The evidence in this case
    consists of the sworn testimony of the witnesses, all exhibits which have been
    received in evidence, and all facts which have been admitted or stipulated. The
    arguments and statements of the attorneys are not evidence.” This court presumes
    the jury followed these instructions. United States v. Davis, 
    40 F.3d 1069
    , 1079
    (10th Cir. 1994) (“This court has held that potentially prejudicial statements by a
    8
    The record reveals that at the time Olivas met Quintero-Rivas and brought
    him into the drug trade, Quintero-Rivas was unemployed because his restaurant
    had just gone out of business.
    -8-
    codefendant’s counsel can be remedied through jury instructions.”). Given the
    overwhelming evidence against Quintero-Rivas and the district court’s instruction
    regarding the attorneys’ opening and closing statements, this court easily
    concludes the district court did not abuse its discretion in denying Quintero-
    Rivas’s mistrial motion.
    B. Severance
    Quintero-Rivas argues the district court erred in failing to sua sponte
    reconsider and grant his previously denied motion to sever. In so arguing, he
    misstates the substance of his severance motion. The motion was based
    exclusively, at least in relevant part, on the potential for prejudice from spillover.
    See supra n.5 & accompanying text. In the motion for mistrial made after the
    case was submitted to the jury, however, Quintero-Rivas asserted the previously
    denied motion was based on the possibility of inconsistent defenses. Quintero-
    Rivas has not argued a severance motion based on the potential for prejudice from
    spillover preserves for appellate review an inconsistent-defenses theory. Thus,
    Quintero-Rivas has forfeited any severance claim based on inconsistent defenses.
    To obtain appellate relief on a claim of error forfeited in the district court, an
    appellant must satisfy the exacting dictates of Federal Rule of Criminal Procedure
    52(b) by demonstrating the existence of plain error.
    Quintero-Rivas cannot show error, let alone plain error. The Federal Rules
    of Criminal Procedure express a “preference in the federal system for joint trials
    -9-
    of defendants who are indicted together.” Zafiro v. United States, 
    506 U.S. 534
    ,
    537 (1993). “Prejudicial joinder occurs only when an individual’s right to a fair
    trial is threatened or actually deprived.” United States v. Johnson, 
    130 F.3d 1420
    ,
    1427 (10th Cir. 1997). To establish “real prejudice, the defendant must
    demonstrate that the alleged prejudice he suffered outweighed the expense and
    inconvenience of separate trials.” United States v. Martin, 
    18 F.3d 1515
    , 1518
    (10th Cir. 1994) (quotation omitted). The trial record reveals no antagonism of
    defenses among any of the co-defendants. Each defendant simply asserted the
    government failed to prove its case. No defendant tried to blame any other
    defendant for drugs the government attributed to him. For the reasons set forth in
    Section III.A. of this opinion, Quintero-Rivas cannot show any real prejudice
    flowing from Johnson’s opening and closing statements.
    IV. CONCLUSION
    The judgment of conviction entered by the United States District court for
    the District of Western Oklahoma is hereby affirmed.
    ENTERED FOR THE COURT
    Michael R. Murphy
    Circuit Judge
    -10-