United States v. Vanhoesen , 366 F. App'x 264 ( 2010 )


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  • 08-5955-cr(L), 09-0954-cr(Con)
    USA v. Vanhoesen
    UNITED STATES COURT OF APPEALS
    FOR THE SECOND CIRCUIT
    SUMMARY ORDER
    RULINGS BY SUMMARY ORDER DO NOT HAVE PRECEDENTIAL EFFECT . CITATION TO A SUMM ARY ORDER
    FILED ON OR AFTER JANUARY 1, 2007, IS PERMITTED AND IS GOVERNED BY FEDERAL RULE OF APPELLATE
    PROCEDURE 32.1 AND THIS COURT ’S LOCAL RULE 32.1.1. WH EN CITING A SUMMARY ORDER IN A
    DOCUMENT FILED W ITH THIS COURT , A PARTY MUST CITE EITHER THE FEDERAL APPENDIX OR AN
    ELECTRONIC DATABASE (W ITH THE NOTATION “SUMMARY ORDER ”). A PARTY CITING A SUMMARY ORDER
    MUST SERVE A COPY OF IT ON ANY PARTY NOT REPRESENTED BY COUNSEL .
    At a stated term of the United States Court of Appeals for the Second Circuit, held at the
    Daniel Patrick Moynihan Courthouse, 500 Pearl Street, in the City of New York, on the 18th day
    of February, two thousand ten.
    Present:
    ROBERT A. KATZMANN,
    REENA RAGGI,
    Circuit Judges,
    JOHN G. KOELTL,
    District Judge.*
    ________________________________________________
    UNITED STATES OF AMERICA,
    Appellee,
    v.                                    Nos. 08-5955-cr(L), 09-0954-cr(Con)
    RAYMOND VANHOESEN, also known as Sham,
    JERMAINE VANHOESEN, also known as Waleek,
    Defendants-Appellants.
    ________________________________________________
    *
    The Honorable John G. Koeltl, United States District Judge for the Southern District of
    New York, sitting by designation.
    For Defendant-Appellant Raymond            GASPAR M. CASTILLO , JR., Parker & Castillo,
    Vanhoesen:                                 Albany, NY
    For Defendant-Appellant Jermaine           GEORGE E. BAIRD , Assistant Federal Public Defender
    Vanhoesen:                                 (Molly Corbett, on the brief), Albany, NY
    For Appellee:                              PAUL D. SILVER , Assistant United States Attorney
    (Richard S. Hartunian, Daniel Hanlon, Assistant
    United States Attorneys, on the brief), for Andrew T.
    Baxter, United States Attorney for the Northern
    District of New York, Albany, NY
    Appeal from the United States District Court for the Northern District of New York
    (Kahn, J.).
    ON CONSIDERATION WHEREOF, it is hereby ORDERED, ADJUDGED, and
    DECREED that the judgment of the district court against defendant Raymond Vanhoesen
    entered November 17, 2008, and the judgment of the district court against Jermaine Vanhoesen
    entered March 4, 2009, are AFFIRMED.
    Defendant-Appellant Raymond Vanhoesen (“Raymond”) appeals from a judgment of the
    United States District Court for the Northern District of New York (Kahn, J.), entered November
    17, 2008, convicting him, following a jury trial, of possession with intent to distribute more than
    5 grams of cocaine base, and sentencing him principally to 190 months’ imprisonment.
    Defendant-Appellant Jermaine Vanhoesen (“Jermaine”) appeals from a judgment of the United
    States District Court for the Northern District of New York (Kahn, J.), entered March 4, 2009,
    convicting him, following a jury trial, of possession with intent to distribute more than 5 grams
    of cocaine base, and sentencing him principally to 127 months’ imprisonment. We assume the
    parties’ familiarity with the facts, procedural history, and specification of issues on appeal.
    2
    We begin with the arguments raised by Raymond.
    First, Raymond argues that his rights under the Double Jeopardy Clause of the Fifth
    Amendment were violated when the federal government brought him to trial after he had already
    faced, and pleaded guilty in part to, state charges based on the same conduct. We review double
    jeopardy claims de novo. United States v. McCourty, 
    562 F.3d 458
    , 469 (2d Cir. 2009). The
    Double Jeopardy Clause “confers its protections in three different situations—where there is a
    second prosecution for the same offense after acquittal of that offense; where there is a second
    prosecution for the same offense after conviction of the offense; and where there are multiple
    punishments for the same offense.” United States v. Estrada, 
    320 F.3d 173
    , 180 (2d Cir. 2003).
    Jeopardy attaches when “there has been a fact-based resolution of elements of the offense
    charged as a result of a process in which the defendant risked conviction.” United States v.
    Dionisio, 
    503 F.3d 78
    , 85 (2d Cir. 2007).
    As a general matter, under the “dual sovereignty doctrine,” the Double Jeopardy Clause is
    not violated by successive state and federal prosecutions for the same conduct. See United States
    v. Aboumoussallem, 
    726 F.2d 906
    , 909 (2d Cir. 1984). As we have previously stated, however,
    “[a] narrow exception to the dual sovereignty doctrine, carved out in Bartkus v. Illinois, [
    359 U.S. 121
     (1959)], bars a second prosecution where one prosecuting sovereign can be said to be
    acting as a tool of the other, or where the second prosecution amounts to a sham and a cover for
    the first.” Id. at 910 (internal citation and quotation marks omitted). Raymond argues that this
    exception applies here; he claims that New York State and federal authorities took turns
    prosecuting him, with the federal authorities stepping in whenever the state case against him
    stalled, so that one prosecution was “a sham and a cover” for the other.
    3
    Cooperation between federal and state authorities, however, does not of itself establish an
    exception to the dual sovereignty doctrine. See Bartkus, 
    359 U.S. at 122-24
     (finding no
    exception to the dual sovereignty doctrine where an FBI agent had turned over evidence to state
    prosecutors); Aboumoussallem, 
    726 F.2d at 910
     (stating that joint investigation of criminal
    activity does not establish an exception to the dual sovereignty doctrine); United States v.
    Russotti, 
    717 F.2d 27
    , 31 (2d Cir. 1983) (noting that cooperation between federal and state
    authorities is to be lauded and does not alone establish that one is the “tool” of the other). We
    have also previously observed, in the related context of assessing when principles of collateral
    estoppel bar the federal government from using evidence suppressed in a state proceeding, that
    the federal government is not obligated to refrain from “vindicat[ing] its interests and values” by
    pursuing a prosecution simply because a state prosecution is initiated first. United States v.
    Davis, 
    906 F.2d 829
    , 832 (2d Cir. 1990).
    Here, while the record indicates that the federal government was aware of the progress of
    the state case and on one occasion moved to dismiss the criminal complaint against Raymond in
    light of the fact that a state prosecution was moving forward, it does not indicate that federal and
    state authorities were impermissibly colluding in a manner that establishes an exception to the
    dual sovereignty doctrine. Indeed, the federal authorities filed the indictment in their second
    criminal action against Raymond while his motion to dismiss the reinstated state charges on
    double jeopardy grounds was still pending — not after it had been granted. Then, despite the fact
    that the reinstated state charges were dismissed in May 2005, the federal authorities did not file
    the superseding indictment and move forward with their case until May 2006. We are not
    prepared to infer that one sovereign was acting as the “tool” of the other when the chronology of
    4
    the state and federal prosecutions does not indicate close coordination between the two.
    Next, Raymond argues that the district court erred in denying his motion to dismiss the
    indictment on statutory and constitutional speedy trial grounds. Neither facet of his speedy trial
    challenge has merit.
    We review the district court’s findings of fact on the statutory speedy trial issue for clear
    error and its legal conclusions de novo. United States v. Lucky, 
    569 F.3d 101
    , 105-06 (2d Cir.
    2009). Under 
    18 U.S.C. § 3161
    (c)(1), the trial of a criminal defendant must generally commence
    within 70 non-excludable days, see 
    18 U.S.C. § 3161
    (h), of the filing of the information or
    indictment or of the defendant’s first appearance before a judicial officer, whichever occurs last.
    Raymond does not point to any error in the district court’s calculation that, in the third and final
    federal action against him, only 66 days elapsed on the speedy trial clock. Rather, he argues that
    the speedy trial clock should run from the time the first federal criminal complaint was filed
    against him. However, because no indictment or information was ever filed in the first federal
    case, nor did Raymond ever appear before a judicial officer, the speedy trial clock never began to
    run in that case. See 
    id.
     § 3161(c)(1). The second federal action against Raymond was dismissed
    without prejudice on his motion. Under such circumstances, the speedy trial clock is reset when
    a new case is filed. United States v. Giambrone, 
    920 F.2d 176
    , 179 (2d Cir. 1990); see also 
    18 U.S.C. § 3161
    (d)(1). Therefore, there is no basis to conclude that more than 66 days elapsed on
    the speedy trial clock in Raymond’s third federal action, and his statutory speedy trial claim
    accordingly fails.
    In assessing whether a defendant’s constitutional, as distinct from statutory, speedy trial
    right has been compromised, courts apply a four-factor test established by the Supreme Court in
    5
    Barker v. Wingo, 
    407 U.S. 514
    , 530-33 (1972), considering 1) the length of the delay, 2) the
    reason for the delay, 3) whether and how the defendant asserted his right to a speedy trial, and 4)
    whether the defendant was prejudiced by the delay. The first factor, the length of the delay, is in
    effect a threshold question: “by definition, [a defendant] cannot complain that the government
    has denied him a ‘speedy’ trial if it has, in fact, prosecuted his case with customary promptness.”
    Doggett v. United States, 
    505 U.S. 647
    , 651-52 (1992). Once a speedy trial analysis is triggered,
    however, no single factor is either a necessary or a sufficient condition to finding a violation of a
    defendant’s right to a speedy trial; “[r]ather, they are related factors and must be considered
    together with such other circumstances as may be relevant.” United States v. Williams, 
    372 F.3d 96
    , 113 (2d Cir. 2004). We review the district court’s application of the factors for abuse of
    discretion. 
    Id.
    Here, we cannot find that the district court abused its discretion in its evaluation of the
    Barker factors. As an initial matter, we note that Raymond’s arguments before the district court
    with regard to the constitutional speedy trial issue either simply reiterated his statutory speedy
    trial arguments, or stated in conclusory fashion that he had satisfied the Barker test. It is far from
    clear, therefore, that he preserved his constitutional speedy trial claim for appeal. See Guzman v.
    Local 32B-32J, Serv. Employees Int’l Union, 
    151 F.3d 86
    , 93 (2d Cir. 1998) (noting that
    “isolated and conclusory” statements, “in the absence of any legal argument or citations to
    relevant authority,” do not preserve a constitutional issue for appeal). Moreover, on appeal
    Raymond has failed to show that the Barker factors weigh in his favor. He does not dispute the
    district court’s finding that several months of the delay in bringing him to trial were due to the
    fact that he was absent from the district. The district court also correctly noted that he had failed
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    to articulate with specificity any prejudice caused by the delay—indeed, he failed to articulate
    any prejudice at all. See Williams, 
    372 F.3d at 113
    . Under these circumstances, Raymond’s
    challenge to the district court’s finding that he suffered no violation of his constitutional speedy
    trial right does not succeed.
    Finally, Raymond raises two challenges to the admission of evidence at trial. He argues
    that the district court abused its discretion by allowing two experts to testify regarding the
    chemical composition of the narcotics found in the Ten Broeck Street apartment before the
    physical drug evidence had itself been received. The parties dispute whether Raymond raised an
    appropriate objection at the time the expert witnesses testified, with the government claiming that
    he did not and that a plain error standard of review applies. See Fed. R. Crim. P. 52(b); Puckett
    v. United States, --- U.S. ---, 
    129 S.Ct. 1423
    , 1428-29 (2009). We need not resolve this dispute,
    because under either standard, Raymond’s argument fails. The physical evidence was,
    ultimately, properly admitted. It is not uncommon for evidence to be received “subject to” a later
    connection or foundation being established. See, e.g., United States v. Aleskerova, 
    300 F.3d 286
    ,
    296 (2d Cir. 2002) (stating, in the context of a challenge to the admission of Rule 404(b) “similar
    bad act” evidence, that “[a] trial court may . . . admit the evidence conditionally subject to proof
    that the defendant committed the other crime, allowing the proponent to ‘connect it up’ later”)
    (quoting Huddleston v. United States, 
    485 U.S. 681
    , 690 n.7 (2002)); United States v. Diaz, 
    878 F.2d 608
    , 614 (2d Cir. 1989) (“The district court initially allowed introduction of this evidence
    subject to later connection . . . . The evidence of subsequent events . . . sufficed in our view to
    render the admission of this evidence a permissible exercise of the district court’s discretion.”).
    If the crack cocaine itself had later been excluded for some reason, then Raymond might have a
    7
    valid argument. But that is not the case here.
    Raymond also challenges the district court’s decision to allow the government to
    introduce into evidence the transcript of his state court plea, in which he admitted that he
    possessed digital scales and plastic baggies in order to package drugs. He argues that the district
    court improperly applied Fed. R. Evid. 403 because the prejudice caused by reading his plea
    allocution to the jury was not outweighed by its probative value, when he had offered to stipulate
    to the element of intent to distribute if the jury found that he possessed the crack cocaine. “We
    review a district court’s evidentiary rulings for abuse of discretion, and will reverse only if we
    find that there was a violation of a substantial right.” United States v. Bah, 
    574 F.3d 106
    , 116
    (2d Cir. 2009) (quoting United States v. Ebbers, 
    458 F.3d 110
    , 122 (2d Cir. 2006)). “[T]he
    prosecutor’s choice will generally survive a Rule 403 analysis when a defendant seeks to force
    the substitution of an admission for evidence creating a coherent narrative of his thoughts and
    actions in perpetrating the offense for which he is being tried.” Old Chief v. United States, 
    519 U.S. 172
    , 192 (1997). Bearing in mind the government’s valid interest in “tell[ing] a colorful
    story with descriptive richness,” 
    id. at 187
    , as well as its “need for evidence in all its particularity
    to satisfy the jurors’ expectations about what proper proof should be,” 
    id. at 188
    , we do not find
    that the district court abused its discretion in allowing the introduction of the plea transcript.
    Moreover, Raymond solicited testimony showing that other individuals frequented his apartment,
    evidently in an attempt to undermine the government’s claim that the drugs were his. The plea
    transcript, therefore, would help dispel the idea that the drugs were not his and went to show the
    element of possession—to which he was not willing to stipulate.
    Turning now to Jermaine’s challenge, he argues that the district court erred when it
    8
    determined that he was responsible for 35-50 grams of crack cocaine for the purposes of
    sentencing. He concedes that the trial evidence showed he possessed 23 grams of crack, but
    asserts that the evidence does not adequately support a finding that he possessed an additional 12
    grams.
    In reviewing a sentence on appeal, we review for procedural and substantive error.
    United States v. Cavera, 
    550 F.3d 180
    , 189 (2d Cir. 2008) (en banc). “A district court commits
    procedural error where it . . . makes a mistake in its Guidelines calculation . . . . It also errs
    procedurally if it . . . rests its sentence on a clearly erroneous finding of fact.” 
    Id. at 190
     (internal
    citations omitted). A district court’s factual determinations in connection with sentencing must
    be established by a preponderance of the evidence. United States v. Juwa, 
    508 F.3d 694
    , 701 (2d
    Cir. 2007).
    The Sentencing Guidelines contemplate that a court may hold a defendant convicted of a
    narcotics offense accountable for drug amounts that were “part of the same course of conduct or
    common scheme or plan as the offense of conviction.” U.S.S.G. § 1B1.3(a)(2). Here,
    government witness Reno Conley testified that he purchased one ounce of crack cocaine from
    Jermaine at the end of 2002, when Raymond sent Jermaine in his place to complete a sale, and
    further that between January 2003 and Jermaine’s arrest on February 20, 2003, he purchased
    crack cocaine from Jermaine at least once a week. Jermaine argues, however, that this evidence
    is not sufficiently specific to establish the quantity of drugs attributable to him for the purpose of
    sentencing. See United States v. Shonubi, 
    103 F.3d 1085
    , 1089-92 (2d Cir. 1997). While we
    have previously emphasized the necessity, in this context, of specific evidence pertaining to the
    defendant’s own admissions and transactions, see 
    id. at 1089-90
    , in doing so we drew a
    9
    distinction between statistical evidence and expert testimony showing how much, for example,
    heroin swallowers in general import on a smuggling run and specific evidence showing how
    much the particular defendant in that case had smuggled on previous trips, 
    id. at 1090-92
    . We
    did not mandate that any particular type of “specific evidence” be introduced. Contrary to
    Jermaine’s arguments, therefore, the absence of testimony connecting cash seized from him to
    drug sales and the absence of any recorded telephone conversations in which he discussed
    specific drug amounts and transactions do not render the district court’s factual findings
    defective. Conley’s testimony pertained to Jermaine’s own acts, not to the activities of crack
    dealers in general, and it was therefore properly considered by the district court.
    Conley testified that near the end of 2002, Jermaine delivered an ounce of crack cocaine
    to him; because an ounce contains over 28 grams, that testimony alone, in combination with
    Jermaine’s concession that he possessed 23 grams of crack on the day of his arrest, is enough to
    support the district court’s factual findings at sentencing. Accordingly, we see no error in the
    district court’s sentence.
    We have considered defendants’ other arguments and find them without merit. For the
    foregoing reasons, we AFFIRM the judgments of the district court.
    FOR THE COURT:
    CATHERINE O’HAGAN WOLFE, CLERK
    10