United States v. David Lynn Roberson ( 2021 )


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  •            USCA11 Case: 18-14654          Date Filed: 05/27/2021       Page: 1 of 37
    [PUBLISH]
    IN THE UNITED STATES COURT OF APPEALS
    FOR THE ELEVENTH CIRCUIT
    ________________________
    No. 18-14654
    ________________________
    D.C. Docket No. 2:17-cr-00419-AKK-TMP
    UNITED STATES OF AMERICA,
    Plaintiff-Appellee,
    versus
    DAVID LYNN ROBERSON,
    JOEL IVERSON GILBERT
    Defendants-Appellants,
    ________________________
    Appeals from the United States District Court
    for the Northern District of Alabama
    ________________________
    (May 27, 2021)
    Before WILSON and BRANCH, Circuit Judges, and RESTANI, * Judge.
    RESTANI, Judge:
    *
    The Honorable Jane A. Restani, United States Judge, U.S. Court of International Trade, sitting
    by designation.
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    The case involves the Defendants-Appellants’ concealed payments of
    hundreds of thousands of dollars to an Alabama Representative through his
    charitable foundation in exchange for “advocacy” and “community outreach”
    intended to undermine the Environmental Protection Agency’s (“EPA”) efforts to
    clean up a Superfund site. The Defendants-Appellants were convicted of bribery
    under 
    18 U.S.C. § 666
    (a)(2), among other charges, following a month-long trial with
    numerous witnesses, including the Representative himself, and hundreds of exhibits.
    Defendants-Appellants claim, inter alia, that the convictions should be overturned
    because no reasonable jury could find that the Representative committed an “official
    act,” an element required of a different flavor of federal bribery–
    18 U.S.C. § 201
    .
    The court concludes that the district court was correct not to equate these two federal
    statutes and that the Appellants’ remaining arguments regarding the jury instructions
    and the district court’s decision not to sever the Appellants’ trial are unavailing. The
    judgments of conviction are affirmed.
    BACKGROUND
    Joel Gilbert (“Gilbert”), a partner at Balch & Bingham LLP (“Balch”), and
    David Roberson (“Roberson”), a lobbyist and Vice-President of Governmental
    Affairs at Drummond Company (“Drummond”), appeal their guilty verdicts
    following a joint jury trial for conspiracy, 
    18 U.S.C. § 371
    ; bribery (aiding and
    abetting), 
    id.
     at §§ 2, 666(a)(2); honest services wire fraud (aiding and abetting), id.
    2
    USCA11 Case: 18-14654         Date Filed: 05/27/2021      Page: 3 of 37
    at §§ 2, 1343, 1346; and money laundering conspiracy, id. at § 1956(h). Gilbert and
    Roberson were involved in a scheme to thwart the EPA’s efforts to expand the
    geographical area of the 35th Avenue Superfund site (“35th Avenue site”) and the
    EPA’s proposed addition of the site to the National Priorities List (“NPL”) by paying
    Alabama Representative Oliver Robinson (“Representative Robinson”) to act
    counter to these efforts.1 In particular, the government highlighted three actions by
    Representative Robinson as violative of 
    18 U.S.C. § 666
    : (1) Representative
    Robinson attended a local EPA meeting with talking points about the Superfund site
    and its potential expansion, prepared by Gilbert, (2) Representative Robinson
    requested to attend and spoke at a meeting of the Alabama Environmental
    Management Commission (“AEMC”) to promote Drummond’s position against the
    EPA, and (3) Representative Robinson voted a resolution out of the Alabama House
    of Representative’s Rules Committee, which was drafted by Gilbert, opposing the
    EPA’s activities in Alabama.
    The 35th Avenue site is in North Birmingham, Alabama. Prior to the events at
    issue, the EPA established the 35th Avenue site and found the Walter Coke Company
    responsible for the pollution. In 2013, however, the EPA sent letters to five
    companies, including ABC Coke, a subsidiary of Drummond, naming those five
    1
    Representative Robinson pleaded guilty to bribery, conspiracy to commit bribery, and honest
    services wire fraud, among other offenses, for his involvement in the scheme.
    3
    USCA11 Case: 18-14654       Date Filed: 05/27/2021   Page: 4 of 37
    companies as additional potentially responsible parties (“PRP”) for the site’s soil
    contamination. In 2014, following a petition by a local environmental group, the
    Greater Birmingham Alliance to Stop Pollution (“GASP”), EPA Region 4 in Atlanta
    began to consider whether the site should be expanded into nearby Tarrant, where
    ABC Coke is located. The EPA also proposed adding the 35th Avenue site to the
    National Priorities List (“NPL”), which would allow access to additional federal
    funds for the cleanup.
    To add a site to the NPL, the EPA was required to reach an agreement with
    the State of Alabama to assure the provision of “all future maintenance of the
    removal and remedial actions” for the site, “assure the availability of a hazardous
    waste disposal facility,” and pay for, or otherwise assure payment of, ten percent of
    the cost of the cleanup. See 
    42 U.S.C. § 9604
    (c)(3). The Alabama Governor at that
    time, Robert Bentley, delegated the decision on whether to reach an agreement with
    the EPA to the Alabama Department of Environmental Management (“ADEM”).
    Although ADEM was the initial decisionmaker on this issue, the AEMC, a body that
    hears regulatory appeals from ADEM, selects the director of ADEM, implements
    applicable rules and regulations, and can make recommendations to ADEM, held a
    hearing attended by the ADEM director. Ultimately, the Alabama Legislature would
    be required to appropriate any money allocated from the State, if the site was to be
    listed on the NPL. See 
    42 U.S.C. § 9604
    (c)(3).
    4
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    Drummond, through Roberson, undertook efforts to hamper the EPA’s
    attempts to expand the site, add it to the NPL, and find ABC Coke responsible for
    the cleanup costs. These efforts included retaining Balch, and its partner Gilbert, to
    represent ABC Coke. Using Roberson’s preexisting lobbying relationship with
    Representative Robinson, Gilbert and Roberson enlisted him to help run a
    “community outreach program” aimed at garnering public support for Drummond’s
    position.2 In February 2015, Gilbert and Representative Robinson signed an
    agreement, which established a consulting relationship between Balch and the Oliver
    Robinson Foundation Inc. (“the Foundation” or “Robinson Foundation”),3
    retroactively effective to December 1, 2014, when Representative Robinson first met
    with the EPA.4 The Foundation Contract, which appears to be largely boilerplate,
    required Representative Robinson to abide by all applicable laws and ethical rules.
    2
    Representative Robinson testified that he did not fulfill, or even attempt to fulfill, many of the
    designated outreach efforts listed in the outreach proposal he submitted to Appellants.
    3
    Alliance for Jobs and the Economy (“AJE”) was incorporated in March 2015. AJE was headed
    by Roberson, who decided whether to pay Representative Robinson from AJE or Drummond funds
    that were then routed through Balch before being paid to the Foundation. AJE charged hefty annual
    membership fees to prominent industries in the area. AJE members testified that they were
    unaware that Representative Robinson or the Foundation were being compensated through AJE.
    In fact, Gilbert testified that all the donations and membership fees went to paying the Foundation.
    4
    In the September 2015, Robinson’s Foundation started a community outreach campaign called
    “Get Smart Tarrant.” This program, run by Representative Robinson’s daughter, focused its
    efforts on portraying the EPA involvement in Birmingham as bad for the local economy and
    scientifically unreliable. The work continued until May 2016 and was funded by Balch, which
    was reimbursed by AJE or Drummond as decided by Roberson.
    5
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    As indicated above, three actions undertaken by Representative Robinson, however,
    resulted in Roberson and Gilbert’s indictment on federal charges.
    First, in December 2014, Representative Robinson attended an EPA meeting
    about its “Make a Visible Difference” campaign with talking points prepared by
    Gilbert about the 35th Avenue site. Prior to the meeting, Representative Robinson
    informed Gilbert that he would be meeting with the EPA, which led to Gilbert
    contacting Roberson, who then approved the request for $7,000 a month for the
    Foundation, all in the span of a few short hours. Although some of the comments
    Representative Robinson made at the meeting were seemingly innocuous, others at
    best displayed a pro-business stance and at worst telegraphed to the EPA that the
    local business community, and potentially local government, were ready to stymie
    the EPA’s 35th Avenue site efforts.5 Without informing the EPA officials,
    5
    For instance, several of the questions read as follows:
    2. EPA has already made the area a superfund site. Why does EPA want it on the National
    Priorities List (NPL)? What benefit is there in placing it on the NPL?
    3. It is my understanding that to put the site on the NPL the state must agree. I've seen
    media reports that the state does not agree and is going to fight it. Why? What are the
    impacts of the state not agreeing?
    4. From what I understand this all started with Walter Coke contaminating the area and
    they were cleaning it up. If so, why isn't EPA just making them finish the job?
    5. From what I understand, EPA has identified several other companies it is going after
    right now to help with the cleanup. Why is there a need to try to bring in all these other
    companies into this? Seems like the only thing this will do is slow down the clean up
    because of litigation between all these companies about who is really responsible and them
    also fighting EPA. Is that not accurate?
    6
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    Representation Robinson recorded audio of the meeting on his iPhone and then sent
    a copy to Gilbert who forwarded it to Roberson. 6
    Second, Representative Robinson spoke at a public meeting of the AEMC
    after Gilbert drafted a letter on his behalf requesting permission to speak.
    Representative Robinson then met with Roberson and Gilbert to discuss the meeting
    and strategize. The Foundation Contract was signed on February 16, 2015, a few
    days before the meeting. Representative Robinson then attended the AEMC meeting
    as a local representative and spoke to the AEMC and an audience including the
    director of the ADEM, Lance LeFleur (“LeFleur”). Representative Robinson
    expressed concern regarding the EPA’s efforts in his legislative district and sought
    “answers from [the AEMC] – or the ADEM.” Representative Robinson remarked
    that he did not think expansion of the 35th Avenue site was supported by scientific
    evidence, that he did not think the area should be listed as a Superfund site or on the
    NPL, and that finding additional companies liable for the cleanup would harm
    residents given the “decades of litigation that will occur.” At no point did
    Representative Robinson disclose his affiliation with Drummond, Balch, or the
    Appellants. Following the meeting, at the behest of Roberson, Representative
    Robinson sent LeFleur a letter drafted by Gilbert asking for information regarding
    6
    The roughly thirty-minute recording was played in open court.
    7
    USCA11 Case: 18-14654           Date Filed: 05/27/2021       Page: 8 of 37
    LeFleur’s communications with the EPA and other public officials about the 35th
    Avenue site.
    Third, in May 2015, Representative Robinson helped vote a resolution out of
    the House Rules Committee, drafted by Gilbert, entitled “Urging Increased
    Oversight of and Opposition to the EPA’s Activities in Alabama” (“SJR-97”).7 As
    indicated by Gilbert’s timesheets, he met with Roberson and Representative
    Robinson the same day that he drafted the resolution. The resolution described EPA
    action in the area, in particular regarding the 35th Avenue site, stated that the EPA
    was operating on the basis of faulty science and was working against ADEM, urged
    the EPA to reconsider its actions, and asked that ADEM and the Alabama Attorney
    General “combat the EPA’s overreach.” The Resolution eventually passed both
    houses of the Legislature and was signed by the Governor.
    Representative Robinson pleaded guilty to his role in the scheme and testified
    to the events outlined above at Roberson and Gilbert’s trial. Representative
    Robinson’s testimony, along with other evidence, led the jury to convict Roberson
    and Gilbert on all counts. 8
    7
    Roberson disputes whether Representative Robinson voted on the measure. The measure passed
    by voice vote, so there is no written record of the vote, but Representative Robinson admitted
    during the trial that he voted on the measure.
    8
    Appellants were convicted for Count 1: conspiracy, 
    18 U.S.C. § 371
    ; Count 2: bribery (aiding
    and abetting), 
    id.
     at §§ 2, 666(a)(2); Counts 3, 4, and 5: honest services wire fraud (aiding and
    abetting), id. at §§ 2, 1343, 1346; and Count 6: money laundering conspiracy, id. at § 1956(h).
    8
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    JURISDICTION & STANDARD OF REVIEW
    We have jurisdiction under 
    28 U.S.C. § 1291
     of an appeal of a final judgment
    of conviction. The court reviews de novo the sufficiency of the evidence, see United
    States v. Garcia, 
    405 F.3d 1260
    , 1269 (11th Cir. 2005) (citation omitted), and
    “interpret[s] the facts in the light most favorable to the government.” United States
    v. Blankenship, 
    382 F.3d 1110
    , 1116 (11th Cir. 2004) (citation omitted). We review
    de novo whether jury instructions misstated the law or misled the jury. See United
    States v. Baston, 
    818 F.3d 651
    , 660 (11th Cir. 2016). The district court’s refusal to
    sever a case is reviewed for abuse of discretion. See United States v. Browne, 
    505 F.3d 1229
    , 1268 (11th Cir. 2007).
    DISCUSSION
    I.   Sufficiency of the Evidence
    Appellants argue9 that under the standard set forth in McDonnell v. United
    States, 
    136 S. Ct. 2355
     (2016), the actions taken by Representative Robinson to
    promote Drummond’s position on the EPA issue do not constitute “official acts” and
    thus do not satisfy 
    18 U.S.C. § 666
    (a)(2)’s requirement that acts be taken “as an
    agent of Alabama in connection with ‘business’ of the State.” At base, they argue
    9
    Appellants have adopted portions of each other’s briefs. For ease of reference, the opinion
    refers to such arguments as being made by Appellants and only specifies an individual Appellant
    when he alone is making an argument.
    9
    USCA11 Case: 18-14654          Date Filed: 05/27/2021       Page: 10 of 37
    that bribery under § 666 requires an official act as is required for bribery under 
    18 U.S.C. § 201
    , the statute at issue in McDonnell. According to Appellants, most of
    the actions undertaken by Representative Robinson were either not official acts or
    cannot be connected to Appellants.
    Appellants additionally claim that because it is unknown which acts the jury
    relied upon in convicting Gilbert and Roberson, a new trial is required to ensure that
    the jury did not convict for legal behavior. Appellants contend that Representative
    Robinson is not an agent of Alabama for the purposes of 
    18 U.S.C. § 666
    , because
    he had no authority over the executive agencies AEMC and ADEM. Finally,
    Appellants counter the government’s “retainer” theory 10 of culpability as
    unsupported and legally flawed in the wake of McCormick v. United States, 
    500 U.S. 257
     (1991) and United States v. Siegelman, 
    640 F.3d 1159
     (11th Cir. 2011) (per
    curiam).
    The phrase “official act” is not in 
    18 U.S.C. § 666
    , which criminalizes “[t]heft
    or bribery concerning programs receiving Federal funds” and reads:
    (a) Whoever, if the circumstance described in subsection (b) of this
    section exists—
    ...
    10
    The “retainer,” “as opportunities arise,” or “stream of benefits” theory of bribery, occurs when
    a person bribes an individual or entity in exchange for a continuing course of conduct. See
    United States v. Ganim, 
    510 F.3d 134
    , 147–49 (2d Cir. 2007) (detailing a bribery scheme based
    on an ongoing course of conduct); see also United States v. Lopez-Cotto, 
    884 F.3d 1
    , 8 (1st Cir.
    2018) (same).
    10
    USCA11 Case: 18-14654            Date Filed: 05/27/2021        Page: 11 of 37
    (2) corruptly gives, offers, or agrees to give anything of value to any
    person, with intent to influence or reward an agent of an organization
    or of a State, local or Indian tribal government, or any agency thereof,
    in connection with any business, transaction, or series of transactions
    of such organization, government, or agency involving anything of
    value of $5,000 or more;
    shall be fined under this title, imprisoned not more than 10 years, or
    both.
    (b) The circumstance referred to in subsection (a) of this section is that the
    organization, government, or agency receives, in any one year period,
    benefits in excess of $10,000 under a Federal program involving a
    grant, contract, subsidy, loan, guarantee, insurance, or other form of
    Federal assistance.
    
    18 U.S.C. § 666
    . Appellants urge the court to read into this statute the “official act”
    requirement from 
    18 U.S.C. § 201
    , 11 a different federal bribery law covering
    11
    Like section 666, section 201 penalizes both giving bribes and accepting bribes and the relevant
    subsection regarding giving bribes says:
    (b) Whoever—
    (1) directly or indirectly, corruptly gives, offers or promises anything of value to
    any public official or person who has been selected to be a public official, or offers
    or promises any public official or any person who has been selected to be a public
    official to give anything of value to any other person or entity, with intent—
    (A) to influence any official act; or
    (B) to influence such public official or person who has been selected to be a public
    official to commit or aid in committing, or collude in, or allow, any fraud, or
    make opportunity for the commission of any fraud, on the United States; or
    (C) to induce such public official or such person who has been selected to be a
    public official to do or omit to do any act in violation of the lawful duty of such
    official or person;
    
    18 U.S.C. § 201
    (b)(1) (emphasis added).
    11
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    “[b]ribery of public officials and witnesses[.]” 
    18 U.S.C. § 201
    . We have previously
    held that 
    18 U.S.C. § 666
     has no such requirement and is distinguishable from 
    18 U.S.C. § 201
    :
    The Supreme Court in Sun–Diamond concluded that § 201(c) did
    require a link between the gratuity and a specific “official act” because
    the statutory text prohibited gratuities given or received “for or because
    of any official act performed or to be performed” and then defined
    “official act” as “any decision or action on any question, matter, cause,
    suit, proceeding or controversy ....” Id. at 406, 119 S. Ct. at 1407
    (quoting § 201(c)(1)(A) and (a)(3)). And it was specifically this text of
    the illegal gratuity statute—“for or because of any official act”—that
    the Supreme Court in Sun–Diamond found to be “pregnant with the
    requirement that some particular official act be identified and proved.”
    Id. at 406, 119 S. Ct. at 1407 (emphasis added). In stark contrast, none
    of these phrases are used in §§ 666(a)(1)(B) or 666(a)(2).
    United States v. McNair, 
    605 F.3d 1152
    , 1190 (11th Cir. 2010). The question is
    whether McNair remains good law after McDonnell.
    McDonnell involved an application of 
    18 U.S.C. § 201
     to certain actions by
    the former governor of Virginia. See 136 S. Ct. at 2361. The Supreme Court held
    that an “official act” under § 201(a)(3) 12 requires a jury to “identify a ‘question,
    12
    “[T]he term ‘official act’ means any decision or action on any question, matter, cause, suit,
    proceeding or controversy, which may at any time be pending, or which may by law be brought
    before any public official, in such official's official capacity, or in such official’s place of trust or
    profit.” 
    18 U.S.C. § 201
    (a)(3). In McDonnell, the parties agreed to “define honest services fraud
    with reference to the federal bribery statute, 
    18 U.S.C. § 201
    .” See 136 S. Ct. at 2365. Roberson
    argues that because the honest services statute does not use “official act,” either, it is sensible to
    extend the official act requirement to section 666. This misunderstands the procedural posture in
    McDonnell and, without statutory support, improperly attempts to require an “official act” for
    federal bribery laws generally.
    12
    USCA11 Case: 18-14654       Date Filed: 05/27/2021    Page: 13 of 37
    matter, cause, suit, proceeding or controversy’ involving the formal exercise of
    governmental power.” Id. at 2374 (quoting 
    18 U.S.C. § 201
    (a)(3)). The Court
    vacated and remanded McDonnell’s conviction because the jury instructions did not
    comport with this definition of “official act.” See 
    id. at 2375
    .
    The only Circuit Courts of Appeals to directly consider the issue in published
    cases post-McDonnell, the Second and Sixth, have not imported an “official act”
    requirement into section 666. See United States v. Ng Lap Seng, 
    934 F.3d 110
    , 134
    (2d Cir. 2019) (holding that “McDonnell’s ‘official act’ standard does not pertain to
    bribery as proscribed by § 666”); United States v. Porter, 
    886 F.3d 562
    , 565–66 (6th
    Cir. 2018) (holding that “[i]n McDonnell, the Supreme Court limited the
    interpretation of the term ‘official act’ as it appears in § 201, an entirely different
    statute than [§ 666]”); cf. United States v. Maggio, 
    862 F.3d 642
    , 646 n.8 (8th Cir.
    2017) (stating with regard to a separate issue, McDonnell “had nothing to do with §
    666”). In considering the purpose of section 666 to protect “the integrity of entities
    receiving substantial sums of federal funds” and the statute’s “expansive,
    unqualified language,” the court has repeatedly rejected statutory constructions
    aimed at narrowing section 666’s scope. United States v. Keen, 
    676 F.3d 981
    , 990–
    91 (11th Cir. 2012) (internal quotation and citations omitted) (collecting cases in
    which the court has rejected attempts to narrow the scope of section 666). Consistent
    with the views of our sister Circuits, we hold that McDonnell does not disturb this
    13
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    court’s holding in McNair and we do not read into section 666 limitations
    unsupported by the language of the statute.13
    Turning to the statute and facts at issue, there was sufficient evidence to
    convict Roberson and Gilbert under 
    18 U.S.C. § 666
    (a)(2). The statute provides that
    any person who (1) “corruptly gives, offers, or agrees to give anything of value to
    any person, with intent to influence or reward[,]” (2) “an agent of an organization or
    of a State, local or Indian tribal government, or any agency thereof,” (3) “in
    connection with any business, transaction, or series of transactions of such
    organization, government, or agency involving anything of value of $5,000 or
    more[,]” when (4) the “organization, government, or agency receives, in any one
    year period, benefits in excess of $10,000 under a Federal program involving a grant,
    contract, subsidy, loan, guarantee, insurance, or other form of Federal assistance[,]”
    is guilty of bribery. 
    18 U.S.C. §§ 666
    (a)(2), (b). The parties stipulated that the fourth
    requirement was met, the others are evaluated in turn.
    13
    The district court considered and dismissed concerns that part-time legislators, which exist in
    many states and may be required to supplement their income, may not have clear notice on what
    differentiates permissible paid advocacy work versus bribery. Although Alabama allows certain
    public officials to represent private interests in certain proceedings, provided they disclose their
    affiliation, see 
    Ala. Code § 36-25-10
    , legislators are prohibited from representing entities, at least
    before executive departments and agencies see 
    id.
     § 36-25-1.1. Further, Representative Robinson
    was contractually prohibited from disclosing and, in fact, never disclosed his affiliation with
    Drummond. Finally, 
    18 U.S.C. § 666
    (a)(1)(B) requires that an agent act “corruptly” to face
    liability. This scienter requirement serves as a backstop against convicting legislators who do not
    realize their conduct may cross sometimes obscure legal lines.
    14
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    The first element requires that the jury find that Roberson and Gilbert each
    acted with a corrupt state of mind in paying the Foundation. Although Gilbert
    testified 14 that he did not enter into a contract with Representative Robinson
    corruptly, given the vast paper trail and the testimony of Representative Robinson,
    the jury had sufficient evidence to find that Roberson and Gilbert were corruptly
    engaging Representative Robinson. The jury was free to disbelieve Gilbert’s
    testimony and to infer from Representative Robinson’s testimony that the Appellants
    acted corruptly in soliciting Representative Robinson.
    Representative Robinson testified that it was Roberson who first approached
    him and that Roberson was specifically interested in whether Robinson had any
    relationship with then Mayor of Birmingham, William Bell, and Congresswoman
    Sewell such that Representative Robinson could aid Drummond in enlisting their
    help regarding Drummond’s efforts. Although Representative Robinson did not end
    up attempting to influence these individuals, the jury could reasonably infer that
    from the start Roberson was interested in using Representative Robinson and his
    position to influence other decisionmakers. Before speaking at the AEMC meeting,
    Representative Robinson met with Appellants to discuss how to approach the
    meeting and discuss the possibility of arranging a meeting between the
    Representative and Lanier Brown, the head of the AEMC, and to ask ADEM
    14
    Roberson did not testify.
    15
    USCA11 Case: 18-14654       Date Filed: 05/27/2021    Page: 16 of 37
    Director LeFleur to come to Birmingham. Representative Robinson testified that
    during this meeting, Appellants expressed that the purpose of having the
    Representative speak at the AEMC meeting was to engage ADEM because it was
    “the only vehicle at that time . . . that could slow the process of the EPA[.]”
    Although one might argue that there was nothing improper or illegal about
    Robinson’s contract with Balch to provide consulting and community outreach work
    for clients like Drummond, Representative Robinson testified that the community
    outreach work did not start until September 2015, long after the contact was signed
    and after Representative Robinson had already been issued several checks for many
    thousands of dollars from Drummond or AJE through Balch. As Gilbert confirmed,
    Robinson’s proposal was the only one considered for the community work and there
    was no due diligence done to ensure his Foundation was even able to do the work.
    Further, it was just four days before the AEMC meeting that Representative
    Robinson signed the contract with Balch and was issued a rushed check for $14,000.
    The jury could reasonably infer from these facts that Appellants’ intention was not
    primarily to enlist the Representative’s community outreach services, but that he was
    engaged for his ability to use his position to influence other decisionmakers. Further,
    although it might be argued that ADEM had no official role to play by the time
    Representative Robinson spoke at the AEMC meeting, Appellants were exchanging
    emails discussing how they might be able to “influence ADEM’s position,” and to
    16
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    make sure to “preserve any issues we want raised in the [NPL] appeal process,” just
    a few days after the meeting. ADEM Director LeFleur testified that he was still
    engaging with EPA officials about the 35th Avenue site after the AEMC meeting, at
    least as late as October 2015.
    Further, Gilbert testified that the payments to the Robinson Foundation were
    handled by Roberson personally and that the payment process was such that it “[i]n
    a general sense” hid the relationship between Drummond and the Robinson
    Foundation by routing the payments through the law firm. The government proffered
    evidence that Appellants concealed Representative Robinson’s payments from both
    the AJE and Drummond by scrubbing invoices of information indicating his
    involvement, at Drummond’s behest and with Gilbert’s approval. Roberson, who
    headed the AJE and controlled its bank account, did not disclose to its members that
    their fees were being used to pay the Representative for his services.
    The nature and timing of the payments, the secret recording of meetings, the
    routing of these payments through a charitable foundation, the nondisclosure of the
    payments to AJE members, and the failure of the parties to inform the EPA or other
    agencies of their financial relationship support the inference that the payments were
    made with a corrupt state of mind. See McNair, 
    605 F.3d at 1197
    . (“[T]he extent to
    17
    USCA11 Case: 18-14654           Date Filed: 05/27/2021       Page: 18 of 37
    which the parties went to conceal their bribes is powerful evidence of their corrupt
    intent.”).15
    The second element of 
    18 U.S.C. § 666
    (a)(2) requires that the jury find that
    Representative Robinson was an agent of Alabama. Appellants argue that, at most,
    Representative Robinson was only an agent of the Alabama Legislature and not the
    State as a whole. This argument has been flatly rejected by both the First and Third
    Circuits and we reject it here. See United States v. Fernandez, 
    722 F.3d 1
    , 9 (1st Cir.
    2013) (finding that the Puerto Rico Senate is a constituent part of the Puerto Rican
    government and that its “members are thus part of the limited category of
    government officials who represent the ‘State’ as a whole”); United States v. Willis,
    
    844 F.3d 155
    , 166–67 (3d Cir. 2016) (holding that the President of the Virgin Islands
    Legislature was an agent of the government). The statute defines agent to mean “a
    person authorized to act on behalf of another person or a government and, in the case
    of an organization or government, includes a servant or employee, . . . and
    15
    Appellants are not aided by our opinion in United States v. McCarrick, 
    294 F.3d 1286
     (11th Cir.
    2002). There, the defendant used a business loan designated for a certain purchase to instead keep
    his business afloat and was subsequently charged with bank fraud. 
    Id. at 1289
    . We found that the
    government failed to prove that the defendant had the specific intent to defraud at the time he
    signed the loan documents and that the “evidence overwhelming contradicts such a conclusion.”
    
    Id. at 1293
    . We further noted that disbelief of the defendant’s testimony could not be “the sole
    basis to support” the conviction. 
    Id.
     Here, there was significant documentation and testimony by
    others involved, in addition to Gilbert’s testimony. It was reasonable for the jury to infer that
    Appellants had the requisite intent in engaging Representative Robinson to use his position to
    undermine the EPA’s efforts. See United States v. Vigil-Montanel, 
    753 F.2d 996
    , 999 (11th Cir.
    1985) (holding that a “defendant’s intent can be inferred from his conduct and all the surrounding
    circumstances”).
    18
    USCA11 Case: 18-14654            Date Filed: 05/27/2021       Page: 19 of 37
    representative.” 
    18 U.S.C. § 666
    (d)(1) (emphasis added). Representative Robinson,
    as a member of the House of Representatives, testified that his position entails voting
    on the budget for state agencies, including the ADEM, which is prototypical action
    on behalf of the state. See Keen, 
    676 F.3d at 990
     (concluding “that to qualify as an
    agent of an entity, an individual need only be authorized to act on behalf of that
    entity”). Further, Representative Robinson might have been in a position to
    ultimately vote on approving any funds allocated from the state treasury to the EPA.
    See 
    42 U.S.C. § 9604
    (c)(3); accord ALA. CONST. art. IV (delineating the
    Legislature’s role in appropriating state treasury funds). Finally, as the government
    notes, if a state legislator is not an agent of the state for purposes of section 666, it
    is unclear who would be. By the plain reading of its text, Representative Robinson
    is an agent of the State of Alabama for purposes of 
    18 U.S.C. § 666
    (a)(2).16
    The third element requires that the jury find that Roberson and Gilbert
    intended Representative Robinson to act “in connection with any business,
    transaction, or series of transactions” of the Alabama government. 
    18 U.S.C. § 666
    (a)(2). In order to list a site on the NPL, the EPA has to consult with the State
    impacted. See 
    42 U.S.C. § 9604
    (c)(2). During all three specified acts, whether to
    16
    To the extent Appellants argue that Representative Robinson can only be an agent for purposes
    of 
    18 U.S.C. § 666
     insofar as his conduct affects funds directly within his control as a legislator,
    the statute is not so narrow and requires no such nexus.
    19
    USCA11 Case: 18-14654            Date Filed: 05/27/2021         Page: 20 of 37
    expand the 35th Avenue site and the EPA’s proposal to add the site to the NPL were
    pending matters, as indicated by an EPA letter stating that the EPA did not finish its
    considered expansion and NPL assessments until July 14, 2016.17 It was reasonable
    for the jury to believe that Representative Robinson went to the EPA and AEMC
    meetings with the intention of influencing these decisions. This is supported not just
    by Representative Robinson’s attendance, but also email correspondence from
    Gilbert, which states that “[w]e need to discuss how we can influence ADEM’s
    position or have someone in the AG/Governor’s office attend the meeting as well to
    make sure ADEM does [not] throw in the towel[.]” In addition, Representative
    Robinson also testified that Roberson first asked him to discuss Drummond’s
    concerns about the EPA with Mayor Bell and Congresswoman Sewell, which further
    evinces that Roberson was hoping to use Representative Robinson’s position as a
    legislator to influence relevant decisionmakers. Although Appellants attempt to
    paint the agreement between Balch and the Oliver Robinson Foundation as some
    sort of permissible advocacy campaign, as indicated Gilbert testified that the
    Foundation was the only entity asked to submit a proposal and that Gilbert and the
    Balch firm did not do any due diligence on the Foundation’s ability to do the work.
    Considering this and other evidence presented showing that initially it was Oliver
    17
    At least at the time of the trial, an EPA official testified that the 35th Avenue site remained on
    the list of proposed sites to add to the NPL.
    20
    USCA11 Case: 18-14654       Date Filed: 05/27/2021    Page: 21 of 37
    Robinson’s Communication company that was enlisted, it was reasonable for the
    jury to find that the Foundation was enlisted not for its outreach capacity, but because
    it gave Drummond and Roberson, through Balch and Gilbert, access to
    Representative Robinson in his position as a legislator.
    Whether Representative Robinson impacted the ultimate decisions of AEMC
    or the EPA is immaterial. Rather, it is enough that Roberson and Gilbert intended
    Representative Robinson to act “in connection with any business” of the State of
    Alabama. 
    18 U.S.C. § 666
    (a)(2). Finally, although Appellants are correct that
    Representative Robinson voted on SJR-97 several months after entering into the
    contract, Gilbert’s timesheets demonstrate that he worked on drafting this resolution
    that he hoped would “influence the whole state” the same day he met with
    Representative Robinson regarding “community outreach” and the same day that
    Representative Robinson submitted an invoice to Balch for “community
    involvement.” It was not unreasonable for the jury to find that Representative
    Robinson was effectively on retainer and voted on the resolution given the continued
    payments by Balch. Accordingly, the evidence was sufficient for the jury to find that
    Gilbert and Roberson paid Representative Robinson intending to influence him “in
    connection with any business, transaction, or series of transactions” of the state
    government. See 
    18 U.S.C. § 666
    (a)(2).
    21
    USCA11 Case: 18-14654       Date Filed: 05/27/2021    Page: 22 of 37
    Finally, Roberson’s argument that a bribery conviction requires a specific act
    following
    McCormick and Siegelman fails. Those cases involved First Amendment concerns
    not at issue here, namely campaign donations. See McCormick, 
    500 U.S. at 273
    (Hobbs Act imposes liability only when campaign contributions are “made in return
    for an explicit promise or undertaking by the official to perform or not to perform
    an official act.”); Siegelman, 640 F.3d at 1169–70 (bribery case involving donations
    to Siegelman’s private education lottery campaign). McCormick and Siegelman
    stand for the unremarkable proposition that when a case implicates First Amendment
    concerns, an agreement must be explicit such that “[n]o generalized expectation of
    some future favorable action will do.” Siegelman, 640 F.3d at 1171.
    Appellants, citing Siegelman, argue that the court should have instructed the
    jury about an explicit quid pro quo agreement because the Appellants were engaging
    in protected political speech, as their “campaign” was also political in nature. The
    facts of this case, however, are distinguishable from Siegelman. The bribe at issue
    in Siegelman was a donation to the “Alabama Education Lottery Foundation” which
    was formed “to raise money to campaign for voter approval of a ballot initiative to
    establish a state lottery.” Id. at 1165. The entire purpose of the organization was for
    a specific and organized political campaign on a narrow issue. Here, while the
    contract was with a charitable organization with an educational focus, the money
    22
    USCA11 Case: 18-14654           Date Filed: 05/27/2021       Page: 23 of 37
    paid was not a “donation,” and it was not for the sole purpose of the organization.
    The alleged bribe here was a contract with an organization to purportedly perform
    community grassroots organization of a political nature different from what the
    organization typically did. Thus, these actions do not fall within the sort of political
    “campaign” that we were concerned with in Siegelman.
    Further, although Siegelman involved section 666, it did not explicitly extend
    McCormick’s express quid pro quo requirement to all convictions made under
    section 666. See id. at 1172 (assuming but not deciding in determining whether an
    error was reversible, that a quid pro quo instruction was required to convict under
    section 666). Moreover, although McDonnell specified that the “question or matter”
    to be influenced must be identified, that case did not reject the retainer theory of
    bribery. See 136 S. Ct. at 2369–70; see also United States v. Silver, 
    948 F.3d 538
    ,
    552–55 (2d Cir. 2020) (noting that McDonnell did not invalidate the “as the
    opportunities arise” theory of bribery). Thus, the retainer theory of liability is still a
    valid basis of conviction under section 666 in this type of case.
    In instructing the jury on honest services wire fraud, the district court defined
    the charge with reference to 
    18 U.S.C. § 201
    . No party challenges the instruction
    based on its reference to section 201. 18 That statute criminalizes the bribery of public
    18
    Because the parties do not dispute this point, the court does not decide whether an “official
    act” as defined in 
    18 U.S.C. § 201
     is required to sustain an honest services wire fraud conviction
    premised on section 666.
    23
    USCA11 Case: 18-14654            Date Filed: 05/27/2021      Page: 24 of 37
    officials with “intent . . . to influence any official act[.]” 
    18 U.S.C. § 201
    (b)(1)(A).
    There was sufficient evidence for the jury to find that an official act had occurred.
    Whether or not Representative Robinson’s actions in regard to the EPA and
    AEMC meetings are “official acts” under the standard set forth in McDonnell,19 his
    vote on SJR-97 is undeniably an official act as it involves “a formal exercise of
    governmental power that is similar in nature to a lawsuit before a court, a
    determination before an agency, or a hearing before a committee.” McDonnell, 136
    S. Ct. at 2372. Appellants do not meaningfully argue that the SJR-97 vote was not
    an official act. Instead they argue that (1) there is no evidence that Appellants bribed
    Representative Robinson to vote on the resolution, (2) Representative Robinson did
    not vote on the SJR-97, or (3) a single “official act, coupled with non-official acts
    and inadequate instructions, requires a new trial.”20
    Taking each of these three arguments in turn, first, as noted above, the
    government put on sufficient evidence under the “retainer” theory of liability for the
    19
    Given the jury instructions and facts that were established, the jury could properly find these to
    be “official acts.” McDonnell notes that an official act “may include using [an] official position to
    exert pressure on another official to perform an ‘official act,’ or to advise another official, knowing
    or intending that such advice will form the basis for an ‘official act’ by another official.”
    McDonnell, 136 S. Ct. at 2372. Although attending a meeting without more is not enough, there is
    sufficient evidence for the jury to find that Robinson attended the AEMC and EPA meetings
    intending and attempting to use his position as legislator to influence their decisions related to the
    35th Avenue site, particularly as the Alabama legislature would have to ultimately approve the ten
    percent funding contribution required to list a site on the NPL.
    20
    As indicated infra Part II, the jury instructions were adequate.
    24
    USCA11 Case: 18-14654          Date Filed: 05/27/2021      Page: 25 of 37
    jury to find that the Appellants had bribed Representative Robinson to vote on the
    resolution. McDonnell confirmed that an “agreement need not be explicit,” and that
    it is enough that “the public official received a thing of value knowing that it was
    given with the expectation that the official would perform an ‘official act’ in return.”
    136 S. Ct. at 2371. The second argument is easily disposed of as Representative
    Robinson admitted that he voted on the resolution in a voice vote. Although
    Representative Robinson had previously told investigators that he had not voted on
    the resolution, it was reasonable for the jury to find that his later statement was the
    truth. Finally, the third argument fails because “[a] conviction must be affirmed
    unless there is no reasonable construction of the evidence from which the jury could
    have found the defendant guilty beyond a reasonable doubt.” United States v.
    Ignasiak, 
    667 F.3d 1217
    , 1227 (11th Cir. 2012) (citation omitted).
    II.    Jury Instructions
    Roberson and Gilbert argue that the district court erroneously instructed the
    jury.21 First, Roberson argues that the district court should have instructed the jury
    that a federal bribery conviction required an “official act” and, accordingly, that
    Representative Robinson “expressing support” for a policy was insufficient under
    
    18 U.S.C. § 666
    (a)(2). Gilbert further contends that the district court was required
    21
    The jury was instructed on conspiracy and a variety of underlying substantive crimes. Only the
    bribery and honest services instructions are challenged.
    25
    USCA11 Case: 18-14654       Date Filed: 05/27/2021    Page: 26 of 37
    to supply the jury with a technical definition of when “advice” rises to the level of
    official action. Second, Roberson argues that the court was required to instruct the
    jury that a conviction required an “explicit” corrupt agreement, in order to avoid
    potential First Amendment complications. Finally, Gilbert argues that the district
    court constructively amended the indictment by instructing the jury on the “retainer”
    theory, requiring a new trial.
    As noted above, the district court was not required to give an instruction on
    an “official act” at least as to the section 666 bribery count. As we have already
    concluded that the First Amendment cases are not implicated here, we do not further
    address Roberson’s argument that the jury instructions should have required an
    “explicit” or more specific agreement to avoid such First Amendment concerns. To
    the extent “official acts” are referenced with respect to the honest services counts,
    no further instructions regarding the difference between “advice” or “expressing
    support” are necessary.
    In assessing whether the district court erred in refusing a jury instruction
    requested by a defendant the court considers whether the requested instruction “(1)
    is correct, (2) is not substantially covered by other instructions which were delivered,
    and (3) deals with some point in the trial so ‘vital’ that the failure to give the
    requested instruction seriously impaired the defendant’s ability to defend.” United
    States v. Opdahl, 
    930 F.2d 1530
    , 1533 (11th Cir. 1991) (quoting United States v.
    26
    USCA11 Case: 18-14654       Date Filed: 05/27/2021   Page: 27 of 37
    Lively, 
    803 F.2d 1124
    , 1125–26 (11th Cir. 1986)). The Appellants’ requested jury
    instruction regarding what an official act excludes read as follows:
    Not everything that a public official does in his official capacity is an
    “official
    act.” Under the law, certain actions by public officials are not
    considered official acts, even if those acts are performed in an official
    capacity.
    For example, the following are not, without more, official acts: meeting
    with
    other officials, speaking with interested parties, or expressing support
    for (or opposition to) a policy or course of action; setting up a meeting
    or talking to another official; giving a speech; lobbying government
    agencies or advocating for constituents; taking a public position on an
    issue; or sending a letter on official stationery.
    This may come as a surprise to you, and you may even feel
    uncomfortable with the idea that someone can give a public official
    something of value in exchange for
    these types of assistance–but, under the law, doing so is not a federal
    crime.
    The relevant portion of the jury instruction given was:
    The public official’s action or decision or agreement to make a decision
    or take an action on that question, matter, cause, suit, proceeding, or
    controversy may include using his official position to exert pressure on
    another official to perform an official act or to advise another official,
    knowing or intending that such advice will form the basis for an official
    act by another official.
    But setting up a meeting, talking to another official, or organizing an
    event or agreeing to do so without more is not an official act. When
    considering whether a public official exerted pressure or gave advice,
    you must consider what the public official actually did, not simply what
    his title or position was.
    27
    USCA11 Case: 18-14654       Date Filed: 05/27/2021    Page: 28 of 37
    Appellants contend that the court should have specified that “expressing support”
    without more is insufficient to sustain a bribery conviction and that the court was
    required to instruct the jury on this distinction between advising and merely
    expressing support. McDonnell states that “setting up a meeting, hosting an event or
    calling an official (or agreeing to do so) merely to talk . . . or to gather additional
    information,” or “expressing support” is not necessarily enough to show that a public
    official committed an official act or was providing advice or exerting pressure on
    another official to take an official act. 136 S. Ct. at 2371. The Court goes on to say,
    however, that if an official takes such action
    on a question or matter that is or could be pending before another
    official, that [action] could serve as evidence of an agreement to take
    an official act. A jury could conclude, for example, that the official was
    attempting to pressure or advise another official on a pending matter.
    And if the official agreed to exert that pressure or give that advice in
    exchange for a thing of value, that would be illegal.
    Id. Notably, in later describing the standard the Court states that “[s]etting up a
    meeting, talking to another official, or organizing an event (or agreeing to do so)—
    without more—does not fit that definition of ‘official act.’” Id. at 2372. Although
    the Appellants’ proposed jury instruction is not incorrect that expressing support
    alone is not necessarily enough to sustain a bribery conviction “without more,” the
    proposed instruction is vague as to what “without more” means in this context. What
    McDonnell makes clear is if an official attempts to “pressure or advise another
    28
    USCA11 Case: 18-14654           Date Filed: 05/27/2021       Page: 29 of 37
    official on a pending matter” the crucial “more” exists. Id. at 2371. Read as a whole,
    the proposed jury instruction is incomplete or misleading if not legally incorrect.
    But even if it might have behooved the district court to alter the standard
    language offered in McDonnell to include “expressing support” in its list of acts that
    do not necessarily rise to an official act, the remainder of the instruction sufficiently
    covered the issue. First, the instruction pulled language directly from McDonnell
    detailing what types of conduct are insufficient to constitute an official act such as
    “setting up a meeting, talking to another official, or organizing an event or agreeing
    to do so without more[.]” This list makes clear that not all conduct by an official that
    could in some way influence another official could properly sustain a bribery
    conviction. Further, the court urged the jury to “consider what the public official
    actually did, not simply what his title or position was.” This qualification further
    highlights that not everything an official does or says can sustain the charge. Finally,
    the court noted that the official either needed to take official action himself or use
    his official position to “exert pressure on another official” or “advise another
    official,22 knowing or intending that such advice will form the basis for an official
    22
    Appellants rely on United States v. Birdsall, 
    233 U.S. 223
     (1914), which formed the basis for
    McDonnell’s “advise or pressure” type of official act, see McDonnell, 136 S. Ct. at 2371–72, to
    argue that the advice must come from someone in a more formal advisory role. Birdsall was a
    bribery case where the government officials being bribed were subordinate employees to a
    commissioner and accepted bribes to change their reports and recommendations to that
    commissioner, who would in turn advise the President on an official action. See 233 U.S at 234–
    36. Thus, the subject of the bribe, the official act in that case, was a formal recommendation of
    action. See id. We, like the Sixth Circuit, cannot find any phrase in McDonnell which supports
    29
    USCA11 Case: 18-14654          Date Filed: 05/27/2021      Page: 30 of 37
    act by another official.” Although the line between expressing support and advising
    may be opaque, by adding the qualifying language “knowing or intending that such
    advice will form the basis for an official act by another official[,]” the instruction
    made clear that any advice rendered must have been intended to alter the other
    official’s conduct, not merely to express support. Thus, although the phrase
    “expressing support” was not included in the final instruction, the final jury
    instruction substantially covered the issue.
    Finally, the instruction was not “so ‘vital’ that the failure to give the requested
    instruction seriously impaired the defendant’s ability to defend.” Opdahl, 
    930 F.2d at 1533
     (quoting Lively, 
    803 F.2d at
    1125–26)). Even if the jury could have
    reasonably understood Robinson’s attendance at the EPA or AEMC meeting to be
    simply an expression of support for a position, it strains credulity that Robinson’s
    SJR-97 vote could be understood as merely an expression of support for a course of
    action rather than an explicit attempt to use his legislative authority to alter the
    course of the EPA’s or ADEM’s official conduct. A finding that a legislative
    resolution urging the EPA to reconsider its conduct and ADEM to “combat the
    EPA’s overreach” by taking “any and all steps within their power” to address the
    EPA’s actions is simply expressing support obliterates the line between pressuring
    the very narrow view of “advise” or “pressure” advocated by Appellants. See United States v.
    Lee, 
    919 F.3d 340
    , 352–53 (6th Cir. 2019).
    30
    USCA11 Case: 18-14654       Date Filed: 05/27/2021       Page: 31 of 37
    or advising and expressing support. No reasonable jury could have found that the
    vote on SJR-97 was merely expressing support and thus the requested language was
    not vital, and the district court did not abuse its discretion.
    The remaining jury instruction issue is whether the instructions constructively
    amended the indictment. Jury instructions constructively amend an indictment
    “when the essential elements of the offense contained in the indictment are altered
    to broaden the possible bases for conviction beyond what is contained in the
    indictment.” United States v. Madden, 
    733 F.3d 1314
    , 1318 (11th Cir. 2013)
    (internal quotation and citation omitted). The government points to several
    paragraphs in the indictment that support a retainer theory of liability, which each
    count incorporates by reference.23 Thus, the language in the indictment provided
    sufficient notice to Appellants that the government was pursuing a retainer theory of
    liability.
    23
    The government references multiple paragraphs in the Indictment, specifically ¶ 14 (“As part
    of the overall strategy, Balch & Bingham paid Representative Oliver L. Robinson, Jr., through a
    valuable consulting contract with the Oliver Robinson Foundation to, among other things, take
    official action favorable to Balch & Bingham’s and Drummond Company’s interests in matters
    related to EPA's actions in north Birmingham”), ¶ 18 (Appellants “would and did agree that the
    Oliver Robinson Foundation would be given a valuable consulting contract and monthly
    payments in exchange for, among other things, favorable official action by Representative
    Robinson in relation to the environmental issues in north Birmingham.”), ¶ 19 (Appellants
    offered a “lucrative contract and monthly payments between Balch & Bingham and the Oliver
    Robinson Foundation to corruptly influence and reward Representative Oliver L. Robinson, Jr.,
    in connection with the use of his position as a member of the Alabama House of
    Representatives”), and ¶ 21 (Representative Robinson agreed to “use his official position to
    pressure and advise other public officials, consistent with the position of Balch & Bingham and
    Drummond Company, to oppose EPA’s actions in north Birmingham.”)).
    31
    USCA11 Case: 18-14654            Date Filed: 05/27/2021       Page: 32 of 37
    The jury instructions state that Appellants could be found guilty if they “gave
    a thing of value to the Oliver Robinson Foundation with the intent to retain the
    services of Oliver Robinson on an as-needed basis so that Oliver Robinson would
    take actions as specific opportunities arose in his role as an agent of the State of
    Alabama[.]” This instruction does not broaden the possible basis of conviction
    beyond what was alleged in the indictment, but simply clarifies the law. Cf. United
    States v. Elbeblawy, 
    899 F.3d 925
    , 938 (11th Cir. 2018) (noting that “the slightly
    different wording of the jury instruction” in a fraud prosecution “did not amount to
    a constructive amendment of the indictment”). The facts relating to the applicable
    legal standard were repeated multiple times in the course of setting forth the law in
    the indictment and the judge’s slightly different wording of the facts does not amount
    to constructive amendment.
    III.   Refusal to Sever Trial or Grant a Mistrial
    Roberson also argues that the district court should have severed the trial
    pursuant to Federal Rule of Criminal Procedure 14(a), and failure to do so led to
    events requiring a new trial. Roberson states that because of joinder he was unable
    to properly present a reliance on the advice-of-counsel defense.24 Roberson argues
    24
    The National Association of Criminal Defense Lawyers (“NACDL”), appearing as amicus
    curiae, filed a brief supporting severance. See Br. of the Nat’l. Ass’n. of Criminal Defense Lawyers
    as Amicus Curiae in Supp. of Def.-Appellant David Lynn Roberson, Supporting Reversal (Mar.
    21, 2019).
    32
    USCA11 Case: 18-14654          Date Filed: 05/27/2021       Page: 33 of 37
    that certain evidence was excluded at trial because it inculpated Gilbert, even though
    that evidence supported Roberson’s defense that he relied on counsel, Gilbert, in
    believing his actions were legal. Specifically, the trial court excluded a portion of an
    FBI agent’s written summary of Roberson’s interview with the FBI in which
    Roberson states that he had checked with Gilbert to ensure “there was no problem
    with what they were doing.” The full passage at issue, with the portions excluded at
    trial underlined, states:
    After the Hubbard trial, 25 Roberson considered what they were doing,
    i.e., contracting with a state representative, in light of the ethics law
    but determined that the area targeted by the campaign was not in
    Robinson’s district. Roberson stated that they (Drummond) have
    always been very careful, and he (Roberson) has a reputation to
    maintain. Roberson had a conversation with Gilbert about ethics
    considerations. Roberson wanted to know if it was a problem for him
    (Roberson) to be associated with the effort because he was a lobbyist.
    Gilbert later told Roberson that he checked with Greg Butrus and
    Chad Pilcher at Balch, and there was no problem with what they were
    doing.
    Roberson argues that pursuant to the rule of completeness, but for the fact that
    Gilbert was his co-defendant,26 the omitted passage would have been read into
    evidence. See FED. R. EVID. 106. Roberson claims this exculpatory evidence was
    25
    In 2016, Mike Hubbard, the former Speaker of the Alabama House of Representatives, was
    tried and convicted of ethics violations unrelated to this case. See Brian Lyman, Mike Hubbard
    Sentencing Hearing Set to Begin, MONTGOMERY ADVERTISER, July 8, 2016.
    26
    The Confrontation Clause prohibits the admission of a non-testifying defendant’s confession if
    that confession directly inculpates another defendant. See Bruton v. United States, 
    391 U.S. 123
    ,
    126 (1968). The district court redacted the portions of the FBI’s Roberson interview at issue
    pursuant to Bruton.
    33
    USCA11 Case: 18-14654       Date Filed: 05/27/2021    Page: 34 of 37
    critically important to his advice-of-counsel defense. Roberson also argues that the
    exclusion of portions of the FBI interview distorted the meaning conveyed by the
    admitted portions and rejects that any other evidence presented at trial was curative
    of this omission as the government undermined that evidence in its closing, when
    “[i]n its final arguments to the jury, the Government dismissed [the relevance of]
    that 2014 meeting because ‘[i]t was Mike Tracy, the CEO of Drummond,’ who asked
    Gilbert for advice: ‘[i]t wasn’t David Roberson.’”
    Although Roberson raised the motion to sever early in the district court’s
    proceedings, we focus first on the district court’s later denial of a motion for a new
    trial because if the district court was correct in denying the motion for a new trial
    then “its earlier rulings not to sever–when it had even less evidence of potential
    prejudice before it–were necessarily correct.” Blankenship, 
    382 F.3d at
    1121–22. In
    evaluating whether a motion for a new trial should have been granted, first the court
    must assess whether there is a risk of prejudice. See Zafiro v. United States, 
    506 U.S. 534
    , 538–40 (1993). Next the court must ascertain whether severance was the
    necessary remedy, as “[t]here are only two circumstances in which severance is the
    only permissible remedy[;]” (1) when “there is a serious risk that a joint trial would
    compromise a specific trial right of one of the defendants,” or (2) to “prevent the
    jury from making a reliable judgment about guilt or innocence.” Blankenship, 
    382 F.3d at
    1122–23 (quoting Zafiro, 
    506 U.S. at 539
    ). Here, Roberson’s central
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    argument is that he was denied his constitutional right to present a complete
    defense. 27 See U.S. CONST. amend. VI.
    Amicus NACDL urges the court to exercise caution when considering trying
    attorneys and their clients jointly, averring that severance is often the only way to
    avoid a severe risk of prejudice. For support, it cites United States v. Walters, 
    913 F.2d 388
    , 393 (7th Cir. 1990). Walters involved the joint trial of two business
    partners involved in a college football recruitment and representation scheme. See
    
    913 F.2d at
    389–90. One of the partners, Walters, wished to pursue an advice-of-
    counsel defense whereas the other, Bloom, did not. See 
    id.
     at 392–93. The district
    court refused to sever the trial and subsequently Walters called their joint attorney
    to testify, forcing Bloom to waive his attorney-client privilege and “skittle along
    behind [the defense] of Walters.” 
    Id. at 393
    . Whatever force Walters has, it does not
    counsel so broad a rule favoring severance that it would apply here. In this case,
    Roberson was not only prepared to waive his attorney-client privilege, but his
    motion for severance was in part predicated on ensuring that Gilbert testified as to
    the legal advice he gave Roberson. Given the possibility that Gilbert might invoke
    his Fifth Amendment right against self-incrimination, Roberson argued that severing
    the trial was required to secure Gilbert’s testimony.
    27
    As the jury instructions noted, “[e]vidence that a defendant in good faith followed the advice of
    counsel would be inconsistent with the unlawful intent required for each charge in this case.”
    35
    USCA11 Case: 18-14654          Date Filed: 05/27/2021      Page: 36 of 37
    Instead Gilbert and others testified consistently with Roberson’s advice-of-
    counsel defense. 28 The only evidence Roberson claims he was prevented from
    introducing at trial were the redacted portions of the FBI report. Although this
    evidence lends additional support to Roberson’s advice-of-counsel defense, its
    exclusion is not misleading with respect to the portion that was admitted, given the
    other evidence presented, and essentially was cumulative. Additionally, Roberson’s
    statements to the FBI are of little probative value in comparison to the other evidence
    on point considering their self-serving nature, that they were made after the conduct
    at issue took place, and given that they do not clearly demonstrate that Roberson
    asked about the legality of his actions before the conduct had occurred. See Browne,
    
    505 F.3d at 1270
     (“If the testimony is purely cumulative, or of negligible weight or
    probative value, the court is not required to sever.”) (citation omitted); see also
    United States v. Novaton, 
    271 F.3d 968
    , 990 (11th Cir. 2001) (holding that
    “statements concerning the testimony that would become available by severing trials
    must be specific and exonerative, rather than conclusory or self-serving, in order to
    justify severance”). In sum, the exclusion was not so prejudicial as to compromise
    Roberson’s ability to present his defense or deny him a fair trial. See Novaton, 271
    28
    In particular, James Tracy, the CEO of Drummond Company, stated that Gilbert told him that
    the arrangement with Representative Robinson was legal, during a meeting in which Roberson
    was present. That the government downplayed the relationship to Roberson during its closing is
    of no moment. The jury was free to evaluate the testimony. Additionally, Gilbert stated during
    cross-examination that he assured both Tracy and Roberson that everything was legal and
    ethical.
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    USCA11 Case: 18-14654        Date Filed: 05/27/2021    Page: 37 of 37
    F.3d at 989 (citation omitted) (requiring an appellant to show “compelling prejudice”
    for a court to find an abuse of discretion in the district court’s refusal to sever); cf.
    United States v. Cobb, 
    185 F.3d 1193
    , 1197–98 (11th Cir. 1999) (holding that it was
    an abuse of discretion to deny severance in a case where a joint trial prevented the
    admittance of exculpatory testimony evidence that contradicted the sole evidence
    against the defendant seeking severance). Thus, the district court’s decisions not to
    sever the cases for trial or subsequently grant a mistrial were not abuses of discretion.
    CONCLUSION
    For the reasons stated above, we affirm the convictions of Gilbert and
    Roberson. AFFIRMED.
    37