United States v. Grisel Arias , 431 F.3d 1327 ( 2005 )


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  •                                                           [PUBLISH]
    IN THE UNITED STATES COURT OF APPEALS
    FOR THE ELEVENTH CIRCUIT            FILED
    ________________________ U.S. COURT OF APPEALS
    ELEVENTH CIRCUIT
    No. 03-12185              DECEMBER 12, 2005
    ________________________         THOMAS K. KAHN
    CLERK
    D. C. Docket No. 00-00683-CR-JAL
    UNITED STATES OF AMERICA,
    Plaintiff-Appellee,
    versus
    GRISEL ARIAS,
    MARCO BURGOS,
    SUZANNE BURGOS,
    PEDRO SARDUY,
    IDANIA C. ARIAS,
    DALIA LANDROVE,
    MICHAEL IHEAGWARA,
    Defendants-Appellants.
    ________________________
    No. 03-14589
    ________________________
    D. C. Docket No. 00-00683-CR-JAL
    UNITED STATES OF AMERICA,
    Plaintiff-Appellee,
    versus
    GRISEL ARIAS,
    Defendant-Appellant.
    ________________________
    No. 04-14839
    ________________________
    D. C. Docket No. 00-00683-CR-JAL
    UNITED STATES OF AMERICA,
    Plaintiff-Appellee,
    versus
    SUZANNE BURGOS,
    Defendant-Appellant.
    ________________________
    Appeals from the United States District Court
    for the Southern District of Florida
    _________________________
    (December 12, 2005)
    Before TJOFLAT and BARKETT, Circuit Judges, and MILLS *, District
    Judge.
    *
    Honorable Richard Mills, United States District Judge for the Central District of Illinois, sitting
    by designation.
    2
    BARKETT, Circuit Judge:
    In consolidated appeals No. 03-12185 and No. 03-14589, Grisel Arias,
    Marco Burgos, Suzanne Burgos, Pedro Sarduy, Idania C. Arias, Dalia Landrove,
    and Michael Iheagwara appeal their convictions for conspiracy and other crimes
    relating to a scheme to defraud the Medicare program. With the exception of Dalia
    Landrove, each also appeals the sentence imposed by the district court.1
    I. Background
    The scheme to defraud Medicare involved the collusion of doctors and
    physicians’ assistants, pharmacists, recruited “patients,” and durable medical
    equipment (“DME”) companies.2 The alleged head of the scheme, Jose Arias
    (who was charged in the initial indictment, and subsequently pled guilty to the
    conspiracy count and cooperated with the government) incorporated several of the
    DME companies and owned two clinics, First Option Diagnostic Center and First
    Option Medical Center. The scheme operated as follows. The DME companies
    paid recruiters to locate Medicare-eligible persons to serve as patients. These
    recruited “patients” were paid to visit Arias’ clinics, where doctors or physician’s
    1
    In appeal No. 04-14839, Suzanne Burgos appeals the denial of her motion for a new trial, based
    on an alleged Brady violation. Finding no error, we affirm the ruling of the district court without
    further discussion.
    2
    DME companies supply medical equipment such as wheel chairs, hospital beds and, more
    specifically in this case, the nebulizer machines utilized by some patients to vaporize aerosol
    medication so that the patient can easily inhale it.
    3
    assistants falsely certified diagnoses. The principal diagnosis in the scheme was
    Chronic Obstructive Pulmonary Disease (“COPD”), a disease whose symptoms
    include shortness of breath, coughs, and decreased exercise capability. Once the
    false diagnosis was made, a certificate of medical necessity (“CMN”) was signed
    by a doctor stating that the Medicare beneficiary required certain medical
    equipment and respiratory medication. The CMN acted as a prescription for the
    required medicine and equipment. The CMNs were then sent to the DME
    companies, which billed Medicare for the unnecessary CMN-prescribed medical
    equipment and respiratory medications, particularly certain aerosol medications
    supplied by the pharmacies. As part of the scheme, the pharmacies supplied
    “compounded” respiratory aerosol medications to the DME companies.
    Compounding is a pharmacy procedure in which a pharmacist makes medication
    by mixing several raw materials at the pharmacy. Compounded medications are
    rarely prescribed by doctors and, according to expert testimony, should only be
    provided to a patient when specifically prescribed. However, the pharmacies
    involved in the scheme almost always provided compounded aerosol medications,
    even though commercially-manufactured, FDA-approved aerosol medications
    were available.3
    3
    According to the government, the compounding was more profitable, but would also benefit the
    fraudulent scheme by making it more difficult for an investigator to ascertain that the pharmacies
    4
    The DME companies participating in the scheme ostensibly procured the
    medication from the pharmacies on behalf of the patients, often obtaining the
    patient medications in mass quantity, bringing stacks of prescriptions to the
    pharmacies once a month.4 Sometimes the DME companies delivered the
    respiratory medications to patients; in other instances, the DME company never
    delivered the medication to the patient. Additionally, the pharmacies at times
    delivered only half the patients’ medication to the DME companies. In some
    instances, the pharmacies provided only labels and invoices to the DME
    companies, rather than any actual medication.
    Defendants Grisel Arias, Idania Arias, and Dalia Landrove operated DME
    companies involved in the scheme. Idania Arias also owned and operated J&A
    Billing Company, through which all Medicare claims from the DME companies
    were processed. Pedro Sarduy was a doctor at First Option Medical Center, where
    were purporting to supply a greater amount of medicine to the DME companies than would be
    possible, based on the amount of medicine or materials purchased from manufacturers.
    The evidence also indicated that the pharmacies did not follow proper procedures in making and
    storing the aerosol medication. The government argued that the sloppy compounding further
    evidenced the fraudulent scheme: the pharmacies were lax in their procedures because they knew
    that no patient actually needed or used the medication they were compounding.
    We do note that although compounding played an integral part in the overall scheme, the
    evidence relating to compounding provided only circumstantial evidence of the fraud. As the
    jury was properly instructed, the compounding alone was not illegal.
    4
    Although the DME companies picked up the prescriptions in bulk, the pharmacy would
    fraudulently date the labels to vary the dispensal dates, creating the appearance that the
    prescriptions were issued in the normal course of business.
    5
    he allegedly falsely diagnosed the “patients” with COPD. Marco and Suzanne
    Burgos, who were married during the time of the conspiracy, operated South Beach
    Pharmacy and La Moderna Pharmacy, two of the pharmacies supplying the aerosol
    medications to the fraudulent DME companies. Michael Iheagwara was a co-
    owner of La Moderna before leaving to create Maz Pharmacy. Iheagwara and
    Suzanne Burgos were both pharmacists.
    II. Discussion
    As noted earlier, Jose Arias, the alleged head of the scheme, pled guilty and
    cooperated with the government, although he did not testify at trial. After a joint
    trial before a jury, the Appellants were convicted.5 We consider all of the
    arguments of each Appellant in turn, but engage in an extended discussion
    regarding only Michael Iheagwara and Pedro Sarduy.6
    A. Grisel Arias
    Grisel Arias argues that her conviction should be reversed because: (1) the
    5
    Five additional co-defendants were tried jointly with the Appellants. The jury acquitted four:
    Reinaldo Landrove, an officer of a DME company; Janeide Regueiro, who worked at South
    Beach Pharmacy; and Azubueze Ikejiani and Magnus Ogbenna, the co-owners of Maz Pharmacy
    (with Michael Iheagwara). The fifth, Vincente Bouza, a doctor, was convicted but did not
    appeal.
    6
    Marco Burgos did not individually submit a brief, and instead adopted the arguments of the
    other Appellants. Other Appellants have variously adopted the arguments of their co-
    Appellants, as well. Because the only two arguments in which we find merit affect only the
    individuals who made them, there is no need for us to detail the parties’ adoption of arguments,
    and we do not do so.
    6
    evidence was not sufficient to support her conviction; (2) her Confrontation Clause
    rights were violated when the court refused to permit her to re-call a government
    witness who pled guilty to an unrelated drug charge subsequent to testifying in this
    case; (3) the government withheld exculpatory evidence in violation of Brady v.
    Maryland, 
    373 U.S. 83
     (1963); (4) the district court erred in denying her requested
    continuance when a superseding indictment was issued one month before trial; and
    (5) the court erroneously refused to give a requested jury instruction pertaining to
    the evidence that she had acted in “good faith” and not with fraudulent intent. She
    also argues that her sentence should be vacated because in calculating her guideline
    sentence, the district court incorrectly calculated the loss attributable to her.
    We have carefully considered the record and find no merit to any of these
    contentions. First, the evidence was clearly sufficient to support her conviction.
    Without cataloguing each piece of evidence against Grisel Arias, we note that the
    government submitted documents establishing that Grisel Arias was the original
    president and incorporator of two DME companies involved in the fraud scheme,
    Bird Road Medical Services and, subsequently, New Advanced Medical
    Equipment Corporation; on the evidence presented, the jury could have concluded
    that these companies were not conducting any legitimate transactions. Grisel
    authorized Medicare provider application forms for both these DME companies.
    7
    Although she alleged that some signatures were forged, the jury was entitled to
    determine that the documents were authentic. Additionally, Carlos Amador, a La
    Moderna pharmacy technician who pled guilty to the conspiracy, testified that
    Grisel would come to the La Moderna facility “[a]t least once a month” during the
    year he worked there, and that she picked up half-filled prescriptions of aerosol
    medications from him at the pharmacy.7
    Second, the district court did not abuse its discretion in refusing to allow the
    recall of Amador or the introduction of documents relating to the drug charge
    against him. The sole purpose in seeking further testimony from Amador was
    impeachment, the questioning would have been cumulative of that already
    permitted during cross examination, and Amador had represented that he would
    simply invoke his Fifth Amendment privilege if recalled.8 Third, Grisel Arias did
    not have a valid Brady claim, because when viewed in context, the purported
    contradictions between Jose Arias’ sentencing testimony and the prosecution’s
    7
    This evidence supporting Grisel Arias’ conviction on the conspiracy charge was also sufficient
    to support her conviction on the “kickback” counts. Under the Pinkerton theory of vicarious
    liability, Grisel could be convicted for the kickback offenses even without proof of her direct
    involvement, because the kickbacks were reasonably foreseeable and in furtherance of the
    conspiracy. See United States v. Mothersill, 
    87 F.3d 1214
    , 1218 (11th Cir. 1996).
    8
    Ordinarily, drug use is not a valid subject for impeachment. See United States v. Clemons, 
    32 F.3d 1504
    , 1511 (11th Cir. 1994) (“This circuit has long adhered to the proposition that a
    witness's use of drugs may not be used to attack his general credibility, but only his ability to
    perceive the underlying events and to testify lucidly at trial.”). Thus, had the government not
    opened the door to the subject of Amador’s drug use during direct examination, questions
    relating to Amador’s drug use would clearly have been impermissible.
    8
    pretrial letter describing his statements are not material. Fourth, in this complex
    multi-defendant case, the district court did not abuse its discretion by denying
    Grisel a continuance after the second superseding indictment included additional
    details concerning the DME New Advanced Medical Equipment Corporation; the
    government had previously disclosed New Advanced materials during discovery,
    and the superseding indictment did not add new charges or alter the theory of
    prosecution. Fifth, the district court did not abuse its discretion by refusing
    Grisel’s request for a “good faith” instruction, as there is no foundation in the
    evidence for such an instruction.9 Finally, the district court did not err in
    calculating the amount of loss attributable to Grisel – in a jointly undertaken
    criminal activity, each defendant is responsible for “all reasonably foreseeable acts
    and omissions of others in furtherance of the jointly undertaken criminal activity.”
    U.S.S.G. § 1B1.3(a)(1)(B).
    B. Idania Arias
    Idania Arias argues that the district court erred by refusing to admit evidence
    to support her defense that she was completely subservient to her husband, Jose
    Arias, and therefore unable to formulate the mens rea for the crime and by refusing
    9
    Amador’s testimony that he delivered “legitimate” drugs to Grisel does not provide a
    foundation for us to find good faith, as his own testimony confirms that the delivery was of only
    a half portion of “legitimate” medication. It is the missing half-portion that establishes the fraud,
    here, not the “legitimate” half-portion that was delivered.
    9
    to dismiss the money laundering charge against her, where there existed a fatal
    variance between the crime charged in the indictment and the proof at trial.
    Regarding her sentence, she argues that the district court should have ordered a
    psychiatric evaluation after her counsel represented that she was unable to
    meaningfully assist in preparing for sentencing.
    The district court did not abuse its discretion in excluding Idania’s expert
    witness. In order to be admissible, the expert evidence must establish that Idania
    was not able to form the mens rea for the crime; however, Idania’s expert witness
    provided evidence of justification, not lack of mens rea. Nor did the district court
    abuse its discretion by excluding Idania’s other evidence regarding subservience,
    based on its determination that the evidence was not relevant.10 The court did not
    err in refusing to dismiss the money laundering charge against Idania. The facts
    proved at trial did not deviate materially from the language of the indictment, and
    bank records provided by the government in discovery sufficiently notified Idania
    that facts relating to Medicos Marketing transactions would be included in the
    money laundering case. Finally, after hearing testimony from Idania’s treating
    10
    The district court did allow Idania to present evidence of Jose Arias’ physical and mental
    abuse of Idania, as well as relevant evidence about Jose’s mistress’ involvement in business
    matters relating to the conspiracy. The excluded evidence offered by Idania related to, inter alia,
    a home invasion at the Arias residence, the kidnapping of Idania and her young sons, and
    Idania’s menstruation stopping at age thirty-two. Neither the home invasion nor the kidnapping
    was purported to have been committed by anyone involved in the conspiracy.
    10
    psychiatrist at FDC Miami, the district court had adequate information to evaluate
    Idania’s mental condition, and did not abuse its discretion in denying further
    psychiatric evaluation before sentencing.
    C. Dalia Landrove
    Dalia Landrove argues that the district court erred by failing to remove a
    juror for cause or to inquire more thoroughly into that juror’s ability to be fair and
    impartial, and by allowing the prosecution to characterize her tax returns as
    fraudulent with no evidentiary basis. We find that the district court’s inquiry into
    this juror’s misconduct was well within the court’s discretion, and that the
    prosecution’s use of Landrove’s tax returns cannot be deemed a harmful error.
    D. Suzanne Burgos
    Suzanne Burgos argues that the evidence was not sufficient to support her
    conviction; that the district court erred by admitting certain extrinsic evidence and
    by treating an inspector’s audit as intrinsic rather than extrinsic evidence; and that
    the district court should not have instructed the jury on deliberate ignorance.
    Burgos also argues that in determining her guideline range for sentencing, the
    district court incorrectly calculated the loss attributable to her.
    After careful review of the record, we find that the evidence was sufficient to
    support the jury’s conclusion that Suzanne Burgos knowingly participated in the
    11
    conspiracy. Documentary evidence established that Suzanne was a corporate
    officer of both La Moderna Pharmacy and South Beach Pharmacy, and several
    witnesses testified that Suzanne was involved in hiring personnel for those
    pharmacies, including personnel whose work involved filling the fraudulent
    aerosol prescriptions. Mary Ghabrial, who worked as a managing pharmacist at La
    Moderna and was not charged with any wrongdoing, testified that Suzanne Burgos
    was manager of the pharmacists at these pharmacies and “always made it a point to
    know what was going on in each pharmacy. . . . She called at the end of the day to
    get the sales and how many [prescriptions] . . . .” In her daily reports to Suzanne,
    Ghabrial was required to report aerosol sales separately.
    Ghabrial further testified that although she was hired to supervise only the
    prescription area at La Moderna, which did not include the aerosol compounding
    section, she became aware that significant quantities of aerosol medication were
    nonetheless being dispensed with La Moderna labels, often with Ghabrial’s initials
    as dispensing pharmacist, without her supervision. Ghabrial testified that she
    informed Suzanne Burgos about this. Additionally, according to Ghabrial’s
    testimony, Areta Ruiz, a pharmacy technician, was dispensing aerosol medication
    from Peripheral DME, a DME company located next door to and affiliated with La
    Moderna, with no apparent pharmacist supervision, as is required by law. On cross
    12
    examination, Ghabrial testified that Ruiz reported to either Marco or Suzanne
    Burgos. Additionally, Ghabrial testified that Janeide Reguiero, a pharmacy
    technician at South Beach Pharmacy, told Ghabrial that Suzanne Burgos knew that
    Reguiero was filling aerosol prescription vials with incorrect volumes of
    medication. In light of the evidence establishing the substantial fraudulent aerosol
    business ongoing at both La Moderna and South Beach Pharmacies,11 the jury was
    entitled to infer that Suzanne Burgos, a licensed pharmacist whom evidence
    established was active in managing both the personnel and day-to-day activities of
    both pharmacies, was a knowing participant in the fraudulent conspiracy.12
    Similarly, the district court did not err by instructing the jury on deliberate
    ignorance, as there was evidence to support an inference that Suzanne Burgos,
    11
    Pharmacy technician Odalys Regil, who pled guilty and cooperated with the prosecution,
    testified that La Moderna Pharmacy would borrow aerosol medication from South Beach
    Pharmacy to fill the prescriptions and that she knew the medications she was helping dispense
    were not for actual use by patients because “the DME owners would brag about [the fraud].”
    Ghabrial's testimony underscored the cooperation between the Burgos’ two pharmacies in filling
    the aerosol prescriptions for the DME companies, testifying that after La Moderna moved to a
    new location, the aerosol medications were no longer compounded or filled at La Moderna.
    Rather, the DME companies faxed prescriptions directly to South Beach, where medication was
    compounded, filled in boxes, and delivered to La Moderna for dispensal.
    12
    Additionally, Carlos Gomez, a La Moderna pharmacy technician, testified that Burgos was
    active in supervising the compounding, even directing him to modify the formula. Regil
    testified to the sloppy compounding and dispensal methods at La Moderna, as discussed below,
    Section II.E. Although Regil testified that Michael Iheagwara was her primary managing
    pharmacist at La Moderna, Suzanne Burgos would occasionally substitute as managing
    pharmacist and, like Iheagwara, failed to supervise Regil's work supplying prescriptions for the
    DME companies. Finally, Suzanne Burgos’ initials appear in La Moderna logs on numerous
    occasions as the dispensing pharmacist for aerosol medications.
    13
    through her role at South Beach and La Moderna Pharmacies, was aware of facts
    that should have put her on notice of the fraudulent activity, but deliberately
    insulated herself from positive knowledge. The district court did not abuse its
    discretion by admitting extrinsic evidence or by allowing Agent Cesar Arias to
    testify about his audit of La Moderna and South Beach Pharmacies, as the audit
    represented intrinsic evidence that the pharmacies had purported to sell more
    product during the time period of the conspiracy than the volume of supplies they
    purchased would have allowed.
    As to Suzanne Burgos’ sentence, the district court did not err in calculating
    the amount of loss attributable to Suzanne Burgos – in a jointly undertaken
    criminal activity, each defendant is responsible for “all reasonably foreseeable acts
    and omissions of others in furtherance of the jointly undertaken criminal activity.”
    U.S.S.G. § 1B1.3(a)(1)(B).
    E. Micheal Iheagwara
    Michael Iheagwara, a licensed pharmacist, incorporated two pharmacies
    that were allegedly involved in the fraud scheme, La Moderna and, later, Maz
    Pharmacy. He argues that his conviction for conspiracy must be vacated because
    the district court erred in finding that Rule 408 of the Federal Rules of Evidence
    14
    did not apply to criminal proceedings,13 and thus erroneously admitted evidence
    arising from a state administrative complaint against him. The administrative
    complaint at issue was brought by the Florida Department of Health against Maz
    Pharmacy. In his representative capacity as an owner of Maz Pharmaceuticals,
    Inc., Iheagwara signed a statement in response to the complaint wherein he agreed
    to: (i) admit as true the drug-alteration allegations made in the administrative
    complaint; and (ii) permit the Department of Health to enter a fine and final order
    in order to avoid more formal administrative proceedings and the potential
    penalties arising therefrom. The district court overruled Iheagwara’s objection to
    the admission of the statement, holding that Rule 408 did not bar its admission
    because Rule 408 does not apply to criminal proceedings.
    Rule 408 provides that “[e]vidence of . . . furnishing . . . a valuable
    consideration in compromising or attempting to compromise a claim which was
    disputed as to either validity or amount, is not admissible to prove liability for or
    invalidity of the claim or its amount.” Fed. R. Evid. 408. Our sister circuits are
    divided on the question of whether Rule 408 applies to criminal cases: the Second,
    Sixth, and Seventh Circuits have held that the Rule applies only in civil cases,
    13
    Iheagwara also argues that the district court erred at sentencing by departing upward under the
    sentencing guidelines and by ordering restitution so excessive as to violate the Eighth
    Amendment. We find no merit in either of these arguments.
    15
    while the Fifth and Tenth Circuits have held it applicable in both civil and
    criminal cases. Compare, Manko v. United States, 
    87 F.3d 50
    , 54-55 (2d Cir.
    1996) (holding Rule 408 inapplicable in criminal cases), United States v. Logan,
    
    250 F.3d 350
    , 367 (6th Cir. 2001) (same), and United States v. Prewitt, 
    34 F.3d 436
    , 439 (7th Cir. 1994) (same), with United States v. Hays, 
    872 F.2d 582
    , 588-59
    (5th Cir. 1989) (holding that Rule 408 prevents the introduction of settlement
    agreements in a criminal proceeding) and United States v. Bailey, 
    327 F.3d 1141
    ,
    1146 (10th Cir. 2003) (same). While we note the division of eminent authorities
    on this issue, we are persuaded that Rule 408 applies to both criminal and civil
    proceedings.
    First, the plain language of Rule 1101(b) renders each of the Federal Rules
    of Evidence – including Rule 408 – generally applicable to criminal cases and
    proceedings. Fed. R. Evid. 1101(b) (“These rules apply generally to civil actions
    and proceedings, including admiralty and maritime cases, [and] to criminal cases
    and proceedings . . . .”); see also, United States v. Meadows, 
    598 F.2d 984
    , 989
    (5th Cir. 1979) (“[W]e assume the applicability of Rule 408 to govern the
    admission of related civil settlement negotiations in a criminal trial.”).14
    14
    In Bonnard v. City of Prichard, 
    661 F.2d 1206
    , 1209 (11th Cir. 1981) (en banc), the Eleventh
    Circuit adopted as binding precedent all Fifth Circuit precedent handed down prior to the close
    of business on September 30, 1981.
    16
    Furthermore, where the drafters of the Rules intended to prevent the application of
    a particular Rule to criminal cases, they provided so expressly. See Bailey, 327
    F.3d at 1146 n.6 (citing Fed. R. Evid. 803(8)(b) as indicating that “the drafters of
    the Rules knew how to expressly exclude criminal proceedings from the Rules’
    application when they wanted to . . . .”). Where the drafters of Rule 408 did not
    expressly preclude application of Rule 408 to criminal cases, we are reluctant to
    construe that decision as inadvertent. While some courts have read the Rule’s use
    of the terms “claim” and “validity” to imply that Rule 408 was meant to apply
    only to civil cases, see, e.g., Prewitt, 
    34 F.3d at 439
    , we find the structure of the
    Rules and the express command of Rule 1101(b) more compelling.
    Second, the last sentence of Rule 408 specifically states that the Rule “does
    not require exclusion when the evidence is offered for another purpose, such as . .
    . proving an effort to obstruct a criminal investigation or prosecution.” Fed. R.
    Evid. 408. Indeed, the advisory committee’s notes explain that evidence of “an
    effort to ‘buy off’ the prosecution or a prosecuting witness in a criminal case”
    provides one example of evidence that is generally subject to Rule 408, but that is
    rendered admissible by the Rule’s last sentence. Fed. R. Evid. 408, advisory
    committee’s note (1972 proposed rules) (emphasis added). If the drafters of Rule
    408 intended the Rule to apply solely in civil cases, there would be no occasion to
    17
    carve out an exception for certain circumstances in criminal cases, much less to
    add an advisory note directly concerning the Rule’s effect in criminal cases. See
    United States v. Skeddle, 
    176 F.R.D. 254
    , 257 (N.D. Ohio 1997); see also State v.
    Gano, 
    988 P.2d 1153
    , 1159 (Haw. 1999) (holding that parallel state rule of
    evidence applied to criminal cases, because “constru[ing] the rule as applying only
    in civil proceedings would render the final sentence of the rule unnecessary”).
    Third, applying Rule 408 to criminal cases furthers the policy interests that
    undergird the Rule. The advisory committee’s notes clarify that there are two
    justifications for the exclusions that Rule 408 requires: (i) the evidence is
    irrelevant, as the compromise at issue may have been motivated by a desire for
    peace rather than any concession as to the merits of the party’s position; and (ii)
    the exclusion promotes settlement of disputes. Fed. R. Evid. 408, advisory
    committee’s note (1972 proposed rules). It is self-evident that a defendant in a
    civil suit is far less likely to offer to settle a claim if evidence of that offer can
    later be introduced to prove criminal liability for the same conduct. Limiting Rule
    408 to civil proceedings thus undermines the public policy in favor of
    compromise that the Rule aims to further. Moreover, while the Second Circuit has
    found that the interest in accurate determinations in criminal trials outweighs the
    interest in promoting civil settlements, this rationale overlooks a basic premise
    18
    underlying Rule 408: evidence of compromise is not necessarily probative of
    liability. Indeed, the advisory committee’s notes indicate that evidence of a
    settlement offer is often irrelevant to liability for the charged conduct, because
    “the [settlement] offer may be motivated by a desire for peace rather than from
    any concession of weakness of position.” Fed. R. Evid. 408, advisory
    committee’s note (1972 proposed rules). In this light, permitting the admission of
    civil settlement offers in subsequent criminal prosecutions actually compromises
    the accuracy of the jury’s determination. As the Fifth Circuit explained, “[i]t does
    not tax the imagination to envision the juror who retires to deliberate with the
    notion that[,] if the defendants had done nothing wrong, they would not have paid
    the money back.” United States v. Hays, 
    872 F.2d 582
    , 589 (5th Cir. 1989); see
    also, Bailey, 327 F.3d at 1145 (discussing “the dramatic effect [that] evidence of
    an admission of liability could have upon a criminal defendant”); Gano, 
    988 P.2d at 1159
     (“[T]he potential impact of evidence regarding a civil settlement
    agreement is even more profound in criminal proceedings than it is in civil
    proceedings.”).
    For these reasons, we join the Fifth and Tenth Circuits in holding that Rule
    408 applies to both civil and criminal proceedings. It follows that the evidence
    and testimony at issue was inadmissible under Rule 408, and that the district court
    19
    abused its discretion in admitting the evidence.15 See Koon v. United States, 
    518 U.S. 81
    , 100 (1996) (“A district court by definition abuses its discretion when it
    makes an error of law.”).
    However, a non-constitutional error is harmless if, viewing the proceedings
    in their entirety, a court determines that the error “did not affect the verdict, or had
    but very slight effect.” See United States v. Magluta, 
    418 F.3d 1166
    , 1180 (11th
    Cir. 2005) (internal marks omitted); see also Kotteakas v. United States, 
    328 U.S. 750
    , 762, 764 (1946). Here, as we detail below, the government presented
    overwhelming evidence of Iheagwara’s knowledge of and participation in the
    conspiracy. Therefore, we find that the admission of Iheagwara’s statement was
    merely cumulative and did not affect the verdict.
    The government presented evidence that Iheagwara incorporated both La
    Moderna Pharmacy (a d/b/a for M&M Pharmacy), which he co-owned with
    Marco Burgos, and Maz Pharmacy. Pharmacy technician Odalys Regil, who pled
    guilty and cooperated with the prosecution, testified that Iheagwara hired her to
    work at La Moderna and trained her to compound the aerosol medication, and also
    described La Moderna’s standard procedures for compounding the aerosol
    medication under Iheagwara’s direction. According to Regil, she and Iheagwara
    15
    While Iheagwara argues for the first time on appeal that the evidence at issue also violates
    Rule 403, we need not reach this issue, as our holding on Rule 408 grounds is dispositive.
    20
    did not accurately weigh the chemicals mixed in the compounds; haphazardly
    dispensed the medication into individual dosage vials, often ignoring the amount
    specified on the prescription; did not clean the machine used to dispense
    medication into individual vials, so that it developed a green fungus in the
    dispensing hoses; allowed a night crew to label the medication, unsupervised by a
    pharmacist; and would print dates on medication labels that did not match the
    actual date dispensed (as they should). The jury could reasonably conclude that
    these egregious violations indicate Iheagwara’s knowledge that he was
    manufacturing and dispensing medication only to create a facade of legitimacy for
    the fraud scheme, and not to actually serve sick patients.
    Additionally, Regil testified that while she worked at La Moderna, she and
    Iheagwara sold half portions of medicine to Jose Arias, and that the two also sold
    unaffixed labels to Jose Arias on the side, receiving a cash payment which they
    shared. Later, Regil and Iheagwara left La Moderna, at which point they opened a
    DME company to continue the scheme, and Iheagwara established Maz
    Pharmacy. Mercedes Jerez, who worked at Sunshine Medical DME and also pled
    guilty in the case, testified that Maz Pharmacy would sell Sunshine labels
    unaffixed to medication, as well as labels backdated by several months.
    Special Agent Tony Illas testified that the compounding area at Maz
    21
    Pharmacy was “sloppy,” “sticky,” and “filthy.” Illas also told the jury that Maz
    Pharmacy labels were seized pursuant to a search of J&A Billing,16 and that the
    printed sheets contained prescription labels for patients from different months on
    the same sheet. These anomalous sheets provided evidence that the labels were
    not printed in conjunction with actual dispensations of medication to patients, but
    rather were generated simply to create an appearance of legitimacy in the records.
    Maz Pharmacy labels seized during a search of First Option Medical Center
    similarly included different months on the same printed sheet.
    Additionally, Investigator Louis Collado testified that when they visited
    Maz Pharmacy, he found pre- and post-dated aerosol medication prepared for
    dispensal; the pharmaceutical orders contained only half the contents indicated on
    the labels. The testimony of Agent Cesar Arias corroborates Collado’s testimony.
    Finally, while we have specifically described only the evidence implicating
    Iheagwara individually, we note that the government presented overwhelming
    evidence that a fraud conspiracy existed, generally. Because the substantial
    evidence incriminating Iheagwara assures us that the erroneous admission of the
    statement was harmless, we affirm Iheagwara’s conviction and sentence.17
    16
    J&A Billing submitted the DME companies’ claims to Medicare.
    17
    Iheagwara argues that because the district court instructed the jury that the settlement
    statement was admissible only against Iheagwara, and not Maz Pharmacy co-owners Magnus
    Ogbenna and Azubueze Ikejiani, the jury’s acquittal of Ogbenna and Ikejiani alone demonstrates
    22
    F. Pedro Sarduy
    Pedro Sarduy, a medical doctor who worked at the Arias-owned First
    Option Medical Center, was convicted of conspiracy based on the government’s
    allegations that he participated in the fraud scheme by certifying false diagnoses
    of COPD. Sarduy argues that the district court erred by refusing to instruct the
    jury on his defense of withdrawal from the conspiracy, because there was
    sufficient evidence to support the conclusion that he withdrew from the
    conspiracy more than five years before the government charged him. If the jury
    accepted his withdrawal defense, the statute of limitations would preclude
    conviction. Thus, he claims the district court erred by refusing to correctly
    that the statement was harmful to Iheagwara’s substantial rights. Our review of the record,
    however, indicates that Ogbenna and Ikejiani were not similarly situated, in terms of the
    evidence presented to the jury. Although they were co-owners of Maz Pharmacy, their similarity
    to Iheagwara ends there. Indeed, their co-ownership of Maz Pharmacy was virtually the only
    evidence implicating Ogbenna and Ikejiani. Regil testified that in her visits to Maz Pharmacy,
    “the only one I would actually see filling aerosol medications would be Michael [Iheagwara].”
    The government presented no evidence of personal knowledge or involvement by Ogbenna or
    Ikejiani. The evidence against Ikejiani and Ogbenna thus appears comparable to that presented
    against Reinaldo Landrove, who was also acquitted. This evidence did no more than establish
    that Ikejiani and Ogbenna were corporate officers for and were occasionally present at a business
    implicated in the fraud scheme, performing tasks such as compounding or delivering medicine
    that they could plausibly have executed with no personal knowledge of the underlying fraud.
    More comparable to Iheagwara were Marco and Suzanne Burgos, co-owners of La Moderna. As
    with Iheagwara, the evidence demonstrated that the Burgos were active in day-to-day
    management of businesses involved in the fraud over the course of several years. There was
    testimony establishing that both Marco and Suzanne had specific knowledge of fraudulent
    activity, and were active participants. The jury’s guilty verdicts for Marco and Suzanne, the
    evidence against whom was comparable to that against Iheagwara, bolsters our conclusion that
    the erroneous admission did not affect the jury’s verdict on Iheagwara.
    23
    instruct the jury on this defense, and that his conviction must be reversed.
    A criminal defendant has the right to a jury instruction on his theory of
    defense, separate and apart from instructions given on the elements of the charged
    offense. See Mathews v. United States, 
    485 U.S. 58
    , 63 (1988); United States v.
    Ruiz, 
    59 F.3d 1151
    , 1154 (11th Cir. 1995). If the proposed instruction presents a
    valid defense and there has been “some evidence” adduced at trial to support the
    defense, a trial court may not refuse to charge the jury on that defense. Ruiz, 
    59 F.3d at 1154
    . The burden of presenting evidence sufficient to support a jury
    instruction on a theory of defense is “extremely low.” 
    Id.
     “[T]he defendant is
    entitled to have presented instructions relating to a theory of defense for which
    there is any foundation in the evidence, even though the evidence may be weak,
    insufficient, inconsistent, or of doubtful credibility.” United States v. Lively, 
    803 F.2d 1124
    , 1126 (11th Cir. 1986) (internal marks omitted). In reviewing the
    evidence adduced, the court must view the evidence in the light most favorable to
    the accused. Ruiz, 
    59 F.3d at 1154
    .
    An accused conspirator’s participation is presumed to have continued until
    all objects of the conspiracy have been accomplished or until the last overt act has
    been committed by any of the conspirators. United States v. Reed, 
    980 F.2d 1568
    ,
    1583 (11th Cir. 1993). However, if a conspirator establishes the affirmative
    24
    defense of withdrawal, the statute of limitations will begin to run at the time of
    withdrawal.18 
    Id. at 1584
    ; see also United States v. U.S. Gypsum Co., 
    438 U.S. 422
    , 465 n.38 (1978). Otherwise, the statute will not begin to run until the final
    act of the conspiracy has occurred. Reed, 
    980 F.2d at 1584
    .
    Because withdrawal constitutes a valid defense to the conspiracy charge,
    Sarduy was entitled to his requested instruction if there was “any foundation in the
    evidence” to demonstrate that he withdrew from the conspiracy more than five
    years before he was indicted. See Ruiz, 
    59 F.3d at 1154
    . Thus, Sarduy must
    demonstrate that the evidence provided a foundation to satisfy this circuit’s two-
    prong test for withdrawal: “first, the defendant must prove that he has taken
    affirmative steps to defeat the objectives of the conspiracy; and second, he must
    show either that he made a reasonable effort to communicate these acts to his co-
    18
    The government asserts that a conspirator cannot withdraw after an overt act has been
    committed. First, we note under the offense charged here, the conspiracy does not exist until the
    commission of an overt act. See 
    18 U.S.C. § 371
    . Second, while we have stated that
    “withdrawal [from a conspiracy] is impossible once an overt act is committed,” see United States
    v. Marolla, 
    766 F.2d 457
    , 461 (11th Cir. 1985), we clearly noted that “withdrawal is not
    altogether irrelevant” after the overt act, as “withdrawal precludes liability for acts occurring
    after the withdrawal.” 
    Id.
     Thus, an effective withdrawal insulates the defendant from Pinkerton
    liability for the substantive crimes of co-conspirators committed in furtherance of the conspiracy
    after his withdrawal. Finally, even though withdrawal will not absolve the defendant from
    liability for the inchoate crime of conspiracy, which is completed upon commission of an overt
    act, the statute of limitations for that charge will begin to run at the time of withdrawal. Here,
    Sarduy’s withdrawal from the conspiracy did not absolve him of criminal liability for the
    conspiracy charge. However, the subsequent running of the statute of limitations for that prior
    participation would preclude the government from prosecuting him for those acts. See 
    18 U.S.C. § 3282
    (a); United States v. Read, 
    658 F.2d 1225
    , 1232-33 (7th Cir. 1980) (“Withdrawal becomes
    a complete defense only when coupled with the defense of the statute of limitations.”).
    25
    conspirators or disclosed the scheme to law enforcement authorities. United
    States v. Young, 
    39 F.3d 1561
    , 1571 (11th Cir. 1994). Mere cessation of
    participation is not sufficient to establish withdrawal; the accused must also
    establish that he communicated his withdrawal either to his co-conspirators or to
    law enforcement. See United States v. Finestone, 
    816 F.2d 583
    , 589 (11th Cir.
    1987). The accused participant is not required to notify “each other member” that
    he will no longer participate, but the acts of withdrawal must be “communicated
    in a manner reasonably calculated to reach co-conspirators.” See United States v.
    U.S. Gypsum Co., 
    438 U.S. 422
    , 464-65 (1978).
    Sarduy argues that the evidence provides a sufficient foundation for a jury
    to infer that he had withdrawn from the conspiracy, and that withdrawal had been
    communicated to Jose Arias, the head of the scheme. First, he presents an August
    28, 1995 letter to Blue Cross/Blue Shield, as administrator for Medicare Part B,
    wherein he advised them that he was no longer seeing patients at First Option, and
    requested his cancellation as provider at First Option.19 Sarduy’s expert testified
    that a physician could reasonably assume that by notifying Medicare that he was
    no longer working for a particular clinic, Medicare would notify any other
    19
    Sarduy also notes the testimony of government witness Adolfo Baron, a former physician's
    assistant at First Option, who testified that Sarduy departed First Option during the first half of
    1995.
    26
    participating providers. Citing this expert testimony, Sarduy argues that the letter
    to Blue Cross/Blue Shield therefore constituted a communication “reasonably
    calculated” to reach Jose Arias, the scheme’s principal.
    Additional evidence indicates that his communication of withdrawal was
    indeed successful, bolstering his claim. Days after he mailed the August 28, 1995
    letter to Blue Cross/Blue Shield, his name was crossed out from the list of
    individual provider numbers on First Option Medical Center’s Medicare
    electronic billing enrollment form.20 Further, checks submitted by the
    government, as well as a chart of those checks submitted into evidence by the
    government, illustrate that the checks purportedly paying Sarduy for his
    involvement in the scheme cease in September 1995. Finally, Sarduy argues that
    testimony by his former office manager stating that Jose Arias acquired a
    subsequent October 16th “To whom it may concern” letter from Sarduy, in which
    Sarduy wrote that “I will be providing medical services at First Option Medical
    Center,” indicated that Arias had actually received Sarduy’s communicated
    withdrawal (in the August 28th letter), and was attempting to engage Sarduy’s
    continued participation. After this October exchange, a final December 4, 1995
    letter to Blue Cross/Blue Shield again requests Sarduy’s cancellation as a provider
    20
    These forms were signed by convicted co-conspirator Idania Arias.
    27
    for First Option, and advises Blue Cross/Blue Shield that he had not seen any
    patients since sending the previous cancellation letter in August.
    Viewing this evidence in the light most favorable to Sarduy, see Ruiz, 
    59 F.3d at 1154
    , and in light of the “extremely low” burden that Sarduy must meet,
    
    id.,
     we find that he has provided a sufficient foundation in the evidence from
    which a jury could conclude that he took affirmative steps to withdraw from the
    conspiracy and to communicate that withdrawal to his co-conspirators. Because
    Sarduy adduced evidence supporting his valid theory of defense, he was entitled
    to the jury instruction he requested. The district court’s erroneous refusal to
    charge the jury as requested mandates that we vacate Sarduy’s conviction.
    CONCLUSION
    Having considered the record and argument of counsel, we find no
    reversible error as to Grisel Arias, Marco Burgos, Suzanne Burgos, Idania C.
    Arias, Dalia Landrove, or Michael Iheagwara, and affirm their convictions and
    sentences. However, for the reasons set out above, we vacate the conviction and
    sentence of Pedro Sarduy and remand for a new trial.
    AFFIRMED in part VACATED in part.
    28
    

Document Info

Docket Number: 03-12185, 03-14589 and 04-14839

Citation Numbers: 431 F.3d 1327, 2005 WL 3354934

Judges: Tjoflat, Barkett, Mills

Filed Date: 12/12/2005

Precedential Status: Precedential

Modified Date: 10/19/2024

Authorities (19)

United States v. Michael Marolla, John Henry Kittles, A/K/A ... , 766 F.2d 457 ( 1985 )

United States v. James L. Hays and Weldon J. Hays , 872 F.2d 582 ( 1989 )

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

United States v. Jack Carlton Reed, Donald Kenneth Lady, ... , 980 F.2d 1568 ( 1993 )

United States v. William David Lively , 803 F.2d 1124 ( 1986 )

United States v. Ana Dolores Ruiz, Jose Aviles, and William ... , 59 F.3d 1151 ( 1995 )

united-states-v-norris-mothersill-aka-warren-c-whylley-errol-morrison , 87 F.3d 1214 ( 1996 )

united-states-v-norman-l-young-clyde-edward-young-jr-aka-peanuts , 39 F.3d 1561 ( 1994 )

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

United States v. John M. Logan (99-6176) Alan Michael Laws(... , 250 F.3d 350 ( 2001 )

United States v. Jack R. Prewitt and Joseph v. Smillie , 34 F.3d 436 ( 1994 )

United States v. Salvador Magluta , 418 F.3d 1166 ( 2005 )

Bernhard Fred Manko v. United States , 87 F.3d 50 ( 1996 )

Koon v. United States , 116 S. Ct. 2035 ( 1996 )

Mathews v. United States , 108 S. Ct. 883 ( 1988 )

Larry Bonner v. City of Prichard, Alabama , 661 F.2d 1206 ( 1981 )

United States v. Leonard Finestone , 816 F.2d 583 ( 1987 )

State v. Gano , 92 Haw. 161 ( 1999 )

United States v. Eugene Milton Clemons, Ii, A/K/A "Gene", A/... , 32 F.3d 1504 ( 1994 )

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