United States v. Donald Womack ( 2022 )


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  •                                  PRECEDENTIAL
    UNITED STATES COURT OF APPEALS
    FOR THE THIRD CIRCUIT
    _____________
    No. 16-1682
    _____________
    UNITED STATES OF AMERICA
    v.
    DONALD WOMACK, SR.,
    a/k/a KAS,
    a/k/a Kasul,
    a/k/a D-Rock
    Donald Womack, Sr.,
    Appellant
    ______________
    No. 18-1605
    ______________
    UNITED STATES OF AMERICA
    v.
    SPENCER PAYNE, also known as BOODINE, also known
    as NUR,
    Spencer Payne,
    Appellant
    ______________
    No. 18-2560
    ______________
    UNITED STATES OF AMERICA
    v.
    BREON BURTON,
    a/k/a BRE,
    Breon Burton,
    Appellant
    ______________
    No. 19-3935
    ______________
    UNITED STATES OF AMERICA
    v.
    RONELL WHITEHEAD,
    Appellant
    On Appeal from the United States District Court
    for the Eastern District of Pennsylvania
    (District Court Nos. 2-14-cr-0323-002, 2-14-cr-0323-011,
    2-14-cr-0323-008, and 2-14-cr-0323-006)
    District Judge: Honorable Gerald A. McHugh
    Argued March 14, 2022
    Before: JORDAN, RESTREPO, and PORTER, Circuit Judges
    (Opinion filed: November 29, 2022)
    Richard Coughlin
    Julie A. McGrain [Argued]
    Office of Federal Public Defender
    800-840 Cooper Street, Suite 350
    Camden, New Jersey 08102
    Counsel for Appellant Donald Womack, Sr.
    2
    Martin I. Isenberg [Argued]
    Scher & Isenberg, LLC
    Two Penn Center Plaza, Suite 1020
    Philadelphia, PA 19102
    Counsel for Appellant Spencer Payne
    Carina Laguzzi [Argued]
    Laguzzi Law, P.C.
    P.O. Box 30095
    Philadelphia, PA 19103
    Counsel for Appellant Breon Burton
    Peter Goldberger [Argued]
    Pamela A. Wilk
    50 Rittenhouse Place
    Ardmore, PA 19003
    Counsel for Appellant Ronell Whitehead
    Jacqueline C. Romero
    Robert E. Eckert, Jr.
    Robert A. Zauzmer [Argued]
    Emily McKillip
    A. Nicole Phillips
    Office of United States Attorney
    615 Chestnut Street, Suite 1250
    Philadelphia, PA 19106
    Counsel for Appellee United States of America
    OPINION OF THE COURT
    RESTREPO, Circuit Judge
    These four separate appeals, consolidated for purposes
    of disposition, arise from guilty verdicts rendered after a jury
    trial on drug trafficking conspiracy charges and other related
    3
    criminal charges against appellants Donald Womack, Sr.,
    Spencer Payne, Breon Burton, Ronell Whitehead (collectively
    “Appellants”),1 and three additional co-defendants.
    Appellants appeal various aspects of their convictions and
    sentences. For the reasons that follow, we affirm the
    Judgments of conviction and sentence.
    I.
    (A) THE INVESTIGATION, INDICTMENT, AND INDIVIDUAL
    CHARGES
    In 2012, the Drug Enforcement Administration
    (“DEA”), the Federal Bureau of Investigation (“FBI”), and
    the City of Chester Police Department initiated a joint
    investigation of a drug trafficking conspiracy (“Rose and
    Upland DTG” or “DTG”) that operated primarily in the Rose
    and Upland neighborhood of the City of Chester,
    Pennsylvania. Using confidential informants, controlled
    purchases of narcotics, surveillance, pole cameras, pen
    registers, and court-authorized wiretaps of co-conspirators
    William Dorsey and Paris Church, the investigative team
    identified alleged members of the conspiracy, including
    Appellants.
    The investigation revealed evidence supporting
    charges that Appellants were members of the Rose and
    Upland DTG that sold cocaine base (“crack”), powder
    cocaine (“cocaine”), and heroin. Evidence supported the
    Government’s position that defendant William Dorsey was
    the head of the DTG, and that Appellants were co-
    conspirators with Dorsey and the other members of the DTG.
    1
    Appellants have each filed their own briefs on appeal raising
    issues challenging the convictions and sentences,
    respectively, and the Government has filed a separate
    responsive brief in each of the four appeals responding to the
    claims raised by each Appellant. Separate appendices were
    filed in each of Appellants’ appeals. Therefore, specific
    citations to the appendices and briefs referred to below
    identify in which Appellant’s appeal the respective
    appendices and briefs were filed.
    4
    The evidence indicated that DTG members routinely
    carried, and sometimes used, loaded firearms or had firearms
    available in hidden locations, including their stash locations.
    In particular, to facilitate their drug trafficking, members of
    the DTG illegally carried guns and stashed both drugs and
    guns in alleyways and in a nearby playground.
    During the course of the investigation, law
    enforcement conducted numerous controlled purchases of
    drugs from members of the DTG, using cooperating sources
    and undercover officers. The controlled purchases were
    surveilled, audiotaped, and videotaped by the DEA and the
    FBI.
    On April 1, 2015, a federal grand jury returned a 261-
    count Second Superseding Indictment (“the Indictment”),
    charging Appellants and 18 others with conspiracy to
    distribute 280 grams or more of crack, 500 grams or more of
    cocaine, and 100 grams or more of heroin, in violation of 
    21 U.S.C. § 846
     (Count 1). Count One alleged that these
    individuals comprised a conspiracy that the Government
    labeled the “Rose and Upland Drug Trafficking Group”
    because the alleged criminal enterprise was centered in the
    vicinity of Rose and Upland Streets in Chester.
    In addition to the conspiracy count, the Indictment
    charged alleged co-conspirators with various substantive
    counts (“individual substantive charges”), respectively.
    These individual substantive charges included distribution of
    controlled substances (including heroin, crack, and cocaine),
    possession of controlled substances with intent to distribute,
    and firearms charges, which included possession of firearms
    by felons and possession of firearms in furtherance of a drug
    trafficking offense. Some Appellants entered guilty pleas to
    individual substantive charges against them, but none of them
    pled guilty to the conspiracy charge (Count One).
    With regard to Womack, the individual substantive
    charges against him were two counts of unlawful use of a
    communication facility in furtherance of a drug trafficking
    offense, in violation of 
    21 U.S.C. § 843
    (b) (Counts 163 and
    191), one count of possession of cocaine with intent to
    distribute, in violation of 
    21 U.S.C. § 841
    (a)(1) and (b)(1)(C)
    5
    (Count 170), one count of conspiracy to possess marijuana
    with intent to distribute, in violation of 
    21 U.S.C. § 846
    (Count 260), and one count of attempt to possess marijuana
    with intent to distribute, in violation of 
    21 U.S.C. § 846
     and
    
    18 U.S.C. § 2
     (Count 261). On February 20, 2016, the
    District Court granted the Government’s motion to dismiss
    Counts 260 and 261 without prejudice.
    As for Payne, the Indictment charged him with seven
    counts of distribution of crack and cocaine, in violation of 
    21 U.S.C. § 841
    (a)(1) (Counts 52, 62, 70, 72, 130, 153, and 183),
    six counts of distribution of crack within 1,000 feet of a
    school, in violation of 
    21 U.S.C. § 860
     (Counts 53, 63, 71, 73,
    131, and 154), and five counts of use of a communication
    facility in furtherance of a drug felony, in violation of 
    21 U.S.C. § 843
    (b) (Counts 125, 141, 184, 185, 188). He
    proceeded to trial on all counts.
    Burton was charged with: distribution of heroin, in
    violation of 
    21 U.S.C. § 841
    (a)(1) and (b)(1)(C) (Counts 6, 8,
    10, and 14); distribution of heroin within 1,000 feet of a
    protected location, in violation of 
    21 U.S.C. § 860
    (a) (Counts
    7, 9, 11, and 15); distribution of crack and heroin, in violation
    of 
    21 U.S.C. § 841
    (a)(1) and (b)(1)(C) (Counts 20, 24, 32,
    and 37); distribution of crack and heroin within 1,000 feet of
    a protected location, in violation of 
    21 U.S.C. § 860
    (a)
    (Counts 21, 25, 33, and 38); distribution of crack in violation
    of 
    21 U.S.C. § 841
    (a)(1) and (b)(1)(C) (Count 26);
    distribution of crack within 1,0000 feet of a protected
    location, in violation of 
    21 U.S.C. § 860
    (a) (Count 27);
    distribution of cocaine and heroin, in violation of 
    21 U.S.C. § 841
    (a)(1) and (b)(1)(C) (Count 39); distribution of cocaine
    and heroin within 1,0000 feet of a protected location in
    violation of 
    21 U.S.C. § 860
    (a) (Count 40); possession of a
    firearm in furtherance of a drug trafficking crime, in violation
    of 
    18 U.S.C. § 924
    (c) (Count 41); being a felon in possession
    of a firearm, in violation of 
    21 U.S.C. § 922
    (g) (Count 42);
    and possession of crack with intent to distribute, in violation
    of 
    21 U.S.C. § 841
    (a)(1) and (b)(1)(C) (Count 43). On
    February 9, 2016, Burton pled guilty to all of these individual
    substantive charges.
    6
    With regard to Whitehead, the Indictment charged him
    with three counts of distribution of crack, in violation of 
    21 U.S.C. § 841
    (a)(1) (Counts 50, 62, and 90), and three
    associated counts of distribution of crack within 1,000 feet of
    a protected location, in violation of 
    21 U.S.C. § 860
     (Counts
    51, 63, and 91). On October 23, 2015, Whitehead entered an
    open guilty plea to these individual substantive charges.
    (B) THE TRIAL, CONVICTIONS, AND SENTENCES
    On February 22, 2016, seven co-defendants (the four
    Appellants, along with Paris Church, Jamear McGurn, and
    John Dennis) proceeded to trial on the Count One conspiracy
    charge against each of them and the remaining additional
    individual substantive charges against the respective co-
    defendants. Nearly a month later, in March of 2016, a jury
    found, among other things, all four Appellants guilty of
    Conspiracy. In addition, some Appellants were found guilty
    of individual substantive charges.
    In addition to the Conspiracy conviction, Womack was
    convicted on the individual substantive charges of unlawful
    use of a communication facility in Counts 163 and 191. He
    was acquitted on Count 170 (cocaine possession with intent to
    distribute). The District Court sentenced Womack to 216
    months on Count One Conspiracy and 48 months on each of
    Counts 163 and 191, to be served concurrently to each other
    and to Count One, for a total aggregate sentence of 216
    months. The Court also imposed five years of supervised
    release and a $400 special assessment.
    Payne was convicted by the jury of five counts of
    distribution of crack and cocaine (Counts 52, 62, 70, 72, and
    183), four counts of distribution of controlled substances
    within 1,000 feet of a school (Counts 53, 63, 71, and 73), and
    five counts of use of a communication facility in furtherance
    of a drug felony (Counts 125, 141, 184, 185, and 188). The
    jury acquitted Payne on two counts of crack distribution
    (Counts 130 and 153) and two counts of crack distribution in
    a school zone (Counts 131 and 154). On March 6, 2018, the
    District Court sentenced Payne to a prison term of 192
    months, to be followed by a term of supervised release of six
    7
    years, and he was ordered to pay a special assessment totaling
    $1,100.00.
    Burton pled guilty to all 23 counts against him, except
    the Conspiracy charge, of which the jury found him guilty.
    The District Court sentenced Burton on July 6, 2018 to 300
    months in prison, to be followed by a term of supervised
    release of eight years, and a special assessment of $1,400.
    Whitehead, who pled guilty to the six individual
    substantive charges against him, was convicted by the jury of
    the Conspiracy charge.        The District Court sentenced
    Whitehead on December 10, 2019, and imposed a sentence of
    264 months in prison on Count One, and 216 months in
    prison on Counts 51, 63, and 91, to be served concurrently
    with the sentence on Count One.2 The District Court further
    imposed 10 years of supervised release on Count One, and a
    term of six years of supervised release on each of Counts 51,
    63, and 91, such terms to run concurrently, and a $400 special
    assessment.
    Following sentencing, Appellants filed timely notices
    of appeal, respectively, and the appeals were consolidated for
    purposes of disposition. 3
    II.4
    2
    No sentence was imposed on Counts 50, 62, and 90 because
    they were lesser included offenses of Counts 51, 62, and 91,
    respectively, and therefore merged for sentencing purposes.
    3
    Womack filed a premature notice of appeal on March 28,
    2016, one week after the jury returned its guilty verdict, and
    this Court ordered the appeal stayed pending entry of a
    Judgment and Commitment Order by the District Court. The
    District Court imposed sentence on April 5, 2019 and entered
    its Judgment on April 10, 2019. Womack filed a duplicate
    notice of appeal on April 18, 2019.
    8
    (A)   CHALLENGES TO CONVICTIONS
    1. Womack’s and Whitehead’s Claims of
    Improper Expert Testimony in Violation of
    Evidence Rule 704(b)
    Appellants Womack and Whitehead argue that the
    District Court violated Federal Rule of Evidence 704(b)
    because they contend the Government’s expert witness on
    drug trafficking organizations, DEA Special Agent Randy
    Updegraff,5 was allowed to opine on the ultimate issue of
    Appellants’ intent to engage in a conspiracy.6 Pointing out
    that Special Agent Updegraff, a lead case agent, testified both
    as a fact witness and, when recalled, as an expert, Womack
    and Whitehead complain that Updegraff’s testimony
    constituted a prohibited opinion on the Appellants’ intent to
    agree, an element of the charged offense of conspiracy.
    Womack and Whitehead further argue on appeal that
    admission of this testimony was prejudicial error, and
    therefore requires reversal and remand for a new trial.
    The Government responds that Updegraff’s testimony
    “does not trespass on the jury’s function.” Gov’t Resp. to
    Womack Br. 18. Further, it points out that “[m]uch of
    Updegraff’s testimony [as an expert] . . . related to
    terminology used by the defendants.” 
    Id. at 19
    .
    4
    The District Court had jurisdiction pursuant to 
    18 U.S.C. § 3231
    . We have jurisdiction pursuant to 
    18 U.S.C. § 3742
     and
    
    28 U.S.C. § 1291
    .
    5
    Special Agent Updegraff was qualified as an expert witness
    in narcotics trafficking, and Appellants do not dispute his
    qualification.
    6
    “Womack joins Whitehead in his argument regarding the
    District Court’s (alleged) error in allowing DEA Special
    Agent Randy Updegraff to offer his opinion as an expert
    witness that the evidence at trial was consistent with
    collective, group drug distribution and inconsistent with
    independent, separate drug dealing by the defendants.”
    Womack Br. 18 (parenthetical added).
    9
    We review the District Court’s decision to admit the
    challenged testimony in this case for abuse of discretion.7 See
    United States v. 68.94 Acres of Land, 
    918 F.2d 389
    , 392 (3d
    Cir. 1990). We will reverse only if the error “affected the
    outcome of the district court proceedings.” See United States
    v. Amirnazmi, 
    645 F.3d 564
    , 594 (3d Cir. 2011) (quoting
    United States v. Vazquez-Lebron, 
    582 F.3d 443
    , 446 (3d Cir.
    2009) (internal quotation marks omitted)). An error is
    harmless when it is “highly probable that it did not prejudice
    the outcome.” 8 United States v Cross, 
    308 F.3d 308
    , 317 (3d
    Cir. 2002).
    Federal Rule of Evidence 704(b) provides: “In a
    criminal case, an expert witness must not state an opinion
    about whether the defendant did or did not have a mental state
    or condition that constitutes an element of the crime charged
    or of a defense. Those matters are for the trier of fact alone.”
    Here, the Government argues that Agent Updegraff carefully
    confined his testimony to the matters permitted by Rule 704.
    “[E]xperienced narcotics agent[s] may testify about the
    significance of certain conduct or methods of operation to the
    drug distribution business, as such testimony is often helpful
    in assisting the trier of fact understand the evidence.” United
    States v. Griffith, 
    118 F.3d 318
    , 321 (5th Cir. 1997) (quoting
    United States v. Washington, 
    44 F.3d 1271
    , 1283 (5th Cir.
    1995)). Thus, “[e]xpert testimony concerning the modus
    operandi of individuals involved in drug trafficking does not
    violate Rule 704(b).” United States v. Watson, 260 F3d. 301,
    308 (3d Cir. 2001). For example, an expert may testify about
    the various counter-surveillance techniques used by drug
    dealers to avoid detection by the police. 
    Id.
    7
    The defendants collectively objected to Agent Updegraff’s
    expert testimony on this issue at trial, and their objections
    were overruled.
    8
    Whitehead’s counsel on appeal acknowledged at argument
    that harmless error is the standard applicable to this claim.
    See also Womack Br. 18 (arguing that “[a]dmission of this
    testimony was prejudicial error”).
    10
    “Expert testimony is admissible if it merely ‘support[s]
    an inference or conclusion that the defendant did or did not
    have the requisite mens rea, so long as the expert does not
    draw the ultimate inference or conclusion for the jury and the
    ultimate inference or conclusion does not necessarily follow
    from the testimony.’” Id. at 309 (quoting United States v.
    Bennett, 
    161 F.3d 171
    , 183 (3d Cir. 1998)). “It is only as to
    the last step in the inferential process – a conclusion as to the
    defendant’s mental state – that Rule 704(b) commands the
    expert to be silent.” 
    Id.
     (quoting United States v. Dunn, 
    846 F.2d 761
    , 762 (D.C. Cir. 1988)). “Rule 704(b) may be
    violated when the prosecutor’s question is plainly designed to
    elicit the expert’s testimony about the mental state of the
    defendant, or when the expert triggers the application of Rule
    704(b) by directly referring to the defendant’s intent, mental
    state or mens rea.” Id. at 309 (citations omitted).
    Appellants contend the following testimony “veered
    into territory barred by Rule 704(b),” see Whitehead Br. 19:
    Q: And Agent Updegraff, can you give
    the jury some examples of indicia that a
    group is operating in a particular area.
    And if you want to distinguish it to
    Chester versus Philadelphia or some
    other area, that is fine as well.
    A: Sure, in this instance, in this case,
    some of the indicia of operating as a
    group is what we would consider is
    when you have individuals operating in
    an area, the time period that they are
    out in the area, the locale, whether the
    area is kind of secreted from easy view
    by law enforcement. The operation of
    the individuals that are in this area,
    whether as we’ve seen in this case
    using alleyways to hide from law
    enforcement. Secreting their narcotics
    in alleyways. Part of it being a group
    activity is the alleyways are utilized by
    numerous, numerous individuals to
    secrete narcotics, which gives an
    11
    indication to me that there is a level –
    there is a level of trust in the area, that
    they can secrete their narcotics in these
    alleyways without fear of them being
    taken by other members of the group.
    Also, the shared sales that we’ve
    observed throughout the course of this
    is another indication. Also the weapons
    that we find that were recovered during
    the course of – during the course of this
    investigation.
    Whitehead App. 1779. Womack and Whitehead believe that,
    “[t]hough the prosecutor’s question was mainly phrased in
    general terms, the agent’s answers were specific to this case
    and directly stated that the defendants acted as a group.”
    Whitehead Br. 20.
    The Government responds that Updegraff’s testimony
    merely points “to a number of factors that, in his experience,
    indicate that people in the drug trade are operating together”
    and that “[n]ot surprisingly, he testifies about factors that are
    supported by the evidence in this case.” Gov’t Resp. to
    Womack Br. 18. They contend, “There would be no point in
    Updegraff reeling off a list of indicia that he has seen in other
    cases, but that were not present in this case,” and that the
    “jury was left to exercise its own judgment about whether the
    evidence proved the facts . . . [and] whether those facts
    indicate in this case that the defendants have agreed to work
    together.” Id.
    As Whitehead’s counsel on appeal acknowledged at
    argument, Appellants primarily challenge Updegraff’s
    testimony referring to the defendants as a “group.” Id. In
    support of this argument, Womack and Whitehead point to
    the following testimony:
    Q: What about fighting amongst –
    have you encountered instances where
    individuals are fighting amongst each
    other?
    12
    A: . . . Sometimes these individuals
    don’t have the best conflict resolution
    skills. So I have encountered within the
    group where there have been instances
    of conflict. But in this case, no. What
    we did see in this particular group was
    individuals from outside the area were
    not welcome.
    Whitehead Br. 20-21 (quoting Whitehead App. 1781-1782)
    (emph. added by Whitehead). Womack and Whitehead
    complain that Updegraff’s testimony drew the ultimate
    conclusion for the jury as to the mens rea element of
    agreement and related intent – that the defendants acted in
    concert, as a group, in distributing drugs.
    The Government responds that Updegraff did not
    improperly opine on the ultimate issue of Appellants’ mens
    rea. Rather, the Government argues, Womack and Whitehead
    are aggrieved because Updegraff’s testimony helped disprove
    their contention that all the people selling drugs in the Rose
    and Upland neighborhood were acting alone.
    We are not persuaded by Appellants’ argument to the
    extent they argue Updegraff’s reference to the defendants as a
    “group” was “tantamount to testifying as to the specific
    defendants and their intent to agree.” Whitehead Br. 21. The
    mere use of the collective noun, “group,” or similar collective
    nouns generally, do not equate to providing an opinion that a
    particular group – here, consisting of long-term residents who
    frequented the Rose and Upland area – had formed any intent
    to agree on a common objective or had any common intent or
    mental state, much less that they formed an agreement to
    distribute drugs, and therefore had become a conspiracy. A
    collective noun, such as “group,” does not, as Womack and
    Whitehead suggest, necessarily imply a mens rea of common
    agreement or intent.
    Furthermore, even assuming arguendo the instances of
    Updegraff’s testimony challenged by Whitehead and
    Womack otherwise crossed the Rule 704(b) line, and that the
    admission of this evidence were erroneous, any error was
    harmless in light of the other evidence. The evidence at trial
    13
    indicated that Womack and Whitehead were members of the
    DTG, which sold crack, cocaine, and heroin, primarily in the
    area of Rose and Upland Streets in Chester. Evidence
    showed that defendant William Dorsey was the head of the
    DTG, and that Womack and Whitehead were co-conspirators
    with Dorsey and the other members of the DTG.
    Evidence further showed that DTG members routinely
    carried, and sometimes used, loaded firearms or had firearms
    available in hidden locations including their stash locations.
    To facilitate their drug trafficking the members of the DTG
    illegally carried guns and stashed both drugs and guns in
    alleyways and in a nearby playground. Law enforcement
    conducted numerous controlled purchases of drugs from
    members of the DTG, using cooperating sources and
    undercover officers.      Controlled purchases and use of
    firearms were surveilled, audiotaped, and videotaped by the
    DEA and the FBI. We find that any arguable violation of
    Rule 704(b) was harmless and not reversible error in light of
    the evidence that supports Womack’s and Whitehead’s
    membership in the conspiracy.
    2. Claims of Womack and Whitehead Regarding
    Jury Instructions and Interrogatories on
    Attributable Drug Quantity
    Appellants Whitehead and Womack9 argue that the
    District Court erred in its instructions and interrogatories to
    the jury concerning the quantity of drugs for which they were
    held responsible. Because an objection in this regard was not
    preserved at trial, this argument is reviewed on appeal for
    plain error. United States v. Boone, 
    279 F.3d 163
    , 174 n.6
    (3d Cir. 2002).
    It is a defendant’s burden to establish plain error.
    United States v. Olano, 
    507 U.S. 725
    , 734-35 (1993). To
    satisfy this burden, a defendant must prove that: (1) the Court
    erred; (2) the error was obvious under the law at the time of
    review; and (3) the error affected substantial rights, that is,
    9
    “Pursuant to Fed. R. App. P. 28(i), Womack joins in the
    arguments of Appellant [Whitehead].” Womack Br. 22.
    14
    the error affected the outcome of the proceedings. Johnson v.
    United States, 
    520 U.S. 461
    , 467 (1997). If all three elements
    are established, the Court may, but need not, exercise its
    discretion to award relief. 
    Id.
     That discretion should be
    exercised only in cases where the defendant is “actually
    innocent” or the error “seriously affect[s] the fairness,
    integrity or public reputation of judicial proceedings.” Olano,
    
    507 U.S. at 736
     (quoting United States v. Atkinson, 
    297 U.S. 157
    , 160 (1936)).
    The District Court instructed the jury as follows:
    I mentioned this before, but will
    reiterate again, I instruct you as a
    matter of law that cocaine, cocaine
    base, also known as crack, and heroin
    are controlled substances and are
    prohibited under federal law. It is for
    you to decide, however, whether the
    government has proven beyond a
    reasonable doubt that any defendant
    distributed a mixture or substance
    containing such an illegal substance.
    The evidence received in this case
    need not prove the actual amount of the
    controlled substance that was part of
    any alleged transaction or the exact
    amount of the controlled substance
    alleged in the indictment as distributed
    by the defendant. However, and you
    will see this when we get to the jury
    interrogatories, in some instances the
    jury interrogatories will ask you to
    make specific findings regarding an
    amount attributable or reasonably
    foreseeable as to the quantity of illegal
    substances with respect to each
    defendant allegedly involved in the
    conspiracy. Where there is such an
    interrogatory asking you for an amount,
    if you first found the defendant guilty
    of the charge, meaning you agreed that
    15
    that distribution took place, then in
    answering the following question about
    amount, this is all clearly set forth, the
    issue will be whether the government
    has proved beyond a reasonable doubt
    that at least the measurable amount
    indicated was in fact knowingly and
    intentionally distributed, even if it
    cannot prove the actual amount. So the
    burden of proof that the government
    has as to the specific amounts is, they
    must show at least a certain amount
    beyond a reasonable doubt. Again,
    when we go through the interrogatories,
    I will show you how those questions
    arise.
    Whitehead App. 1991. The Court also specifically instructed
    the jury that its findings in response to the interrogatories
    must be unanimous and beyond a reasonable doubt.
    Specifically, the District Court charged the jury as follows:
    Now, the evidence in this case need
    not prove the actual amount of the
    controlled substance that was part of
    the alleged transaction or the exact
    amount of the controlled substance
    alleged in the indictment as possessed
    by the defendant with intent to
    distribute. However, as I mentioned, in
    those instances where you have
    interrogatory findings, and you are
    asked to make specific findings about
    an     attributable    or     reasonably
    foreseeable     quantity     of   illegal
    substances, I’m going to direct you to
    the following. Where there is such an
    interrogatory, if and only if you found
    the defendant guilty of that charge, then
    in answering the following question
    about the amount, the issue is whether
    the government has proven beyond a
    reasonable doubt that at least that
    16
    measurable amount indicated in the
    interrogatory was in fact knowingly and
    intentionally distributed, even if it
    cannot prove the actual amount. Again,
    the interrogatory will ask you have
    they, beyond a reasonable doubt,
    proven that amount, as to that particular
    charge.
    Now, with respect to the conspiracy
    charge, again in some cases you will be
    asked to answer questions known as
    jury interrogatories and to decide
    whether the offense involves certain
    weights or quantities of controlled
    substances. And I will ask you to
    follow them along. And once again,
    unless you find a defendant guilty of
    the crime, then the question as to the
    amount is irrelevant and need not be
    considered.
    If you find a defendant guilty, then
    with respect to not only the substantive
    charge itself your verdict must be
    unanimous, but with respect to any
    questions about quantities of drugs your
    verdict must also be unanimous. All
    right? Which means the government
    must have persuaded you beyond a
    reasonable doubt as to any weight or
    quantity of the controlled substances in
    question. That same burden of proof
    applies not just to guilt or innocence,
    but it applies as well if there is a
    question about an amount.
    
    Id.
    Answering interrogatories, the jury found Whitehead
    and Womack each responsible for a conspiracy involving 280
    grams or more of crack, and 500 grams or more of cocaine.
    17
    The jury found Womack also responsible for a conspiracy
    involving heroin.
    The interrogatory that Womack and Whitehead
    challenge reads:
    Do you unanimously agree, by proof
    beyond a reasonable doubt, that the
    quantity of the mixture or substance
    containing a detectable amount of
    cocaine base (“crack”) which was
    involved in the conspiracy and which
    was attributable to and/or reasonably
    foreseeable to the defendant was 280
    grams or more?
    Id. at 122-24 (interrogatories on the counts against Womack),
    128-29 (interrogatories on the counts against Whitehead).
    The jury answered “yes” to this question as to both Womack
    and Whitehead, and “yes” to a further question asking
    similarly if the jury found that the quantity of (powdered)
    cocaine involved in the conspiracy and that was attributable
    to and/or reasonably foreseeable to Womack and Whitehead,
    respectively, was 500 grams or more.
    “The jury, when determining drug quantity for
    purposes of the mandatory minimum [in a controlled
    substances conspiracy case], may attribute to a defendant only
    those quantities involved in violations of § 841(a) that were
    within the scope of, or in furtherance of, the conspiracy and
    were reasonably foreseeable to the defendant as a
    consequence of the unlawful agreement.” United States v.
    Williams, 
    974 F.3d 320
    , 366 (3d Cir. 2020). “[T]he proper
    inquiry is to determine the violations of § 841(a) within the
    scope of the conspiracy, or in furtherance of it, that were
    reasonably foreseeable to the defendant as a natural result of
    his unlawful agreement. All drug quantities involved therein
    are attributable to the defendant.” Id. at 366-67.
    Womack and Whitehead argue that these
    interrogatories and the related jury instructions did not
    18
    conform to Williams.10 They request a new trial, or at least
    resentencing at a lower offense level.
    Womack and Whitehead complain that the
    interrogatories asked the jury to ascertain whether “the
    quantity of the mixture or substance containing a detectable
    amount of cocaine base (‘crack’) which was involved in the
    conspiracy and which was attributable to and/or reasonably
    foreseeable to the defendant was 280 grams or more.”
    Whitehead Br. 35 (quoting Whitehead App. 716-17) (emph.
    added by Whitehead). They argue that the interrogatories did
    not define “involved in the conspiracy,” or “attributable to . . .
    the defendant.” Id. at 35. Appellants contend that the District
    Court did not require the jury to “determine the violations of
    § 841(a)” whose quantities were, for each separate defendant,
    “within the scope of the conspiracy, or in furtherance of it,”
    nor those which “were reasonably foreseeable to the
    defendant as a natural result of his unlawful agreement.” Id.
    (quoting Williams, 974 F.3d at 366). They further complain
    on appeal that the interrogatories did not require the jury to
    find “both within-the-scope (or in furtherance) and
    foreseeability, as required by Williams but rather allowed
    conviction on either one.” Whitehead Br. 35 (emph. in
    original).
    We find the District Court did not err in its wording of
    the challenged interrogatories and instructions.           The
    interrogatories referred to the quantity of the substance
    containing the controlled substance “which was involved in
    the conspiracy and which was attributable to and/or
    reasonably foreseeable to the defendant.” Womack App.
    122-24 (emph. added), 128-29 (emph. added). As the
    Government points out, in context, it was made clear that in
    order to include an amount of crack or other illegal substance
    relevant to each respective defendant, the jury was required to
    find that it was involved in the conspiracy. The jury was then
    required to determine whether the crack or other substance
    10
    We note that Williams was decided in 2020, several years
    after appellants were convicted, and as we point out supra,
    under plain error review, a defendant must prove, among
    other things, that the alleged error was obvious under the law
    at the time of review, see Johnson, 
    520 U.S. at 467
    .
    19
    was “attributable to . . . the defendant,” “reasonably
    foreseeable to the defendant,” or both. The instructions and
    interrogatories clearly directed the jury that if, after finding
    that the particular amount of crack or otherwise was
    “involved in the conspiracy,” the jury found that it was not
    attributable to the defendant and that it was not reasonably
    foreseeable to him, it could not be included.
    The instructions and interrogatories given by the
    District Court as to the quantity of drugs attributable to
    Womack and Whitehead, respectively, did not constitute
    error, much less plain error. Further, even assuming
    arguendo the instructions or interrogatories somehow
    constituted error, neither Womack nor Whitehead has
    produced any persuasive reason to believe that the jury’s
    quantity findings or the outcome of the proceedings would
    have been different with different wording of the special
    interrogatories or instructions or further explanations of the
    applicable terms consistent with applicable law. In any event,
    Womack and Whitehead have not met their burden of
    establishing that their substantial rights were affected, i.e.,
    that any error affected the outcome of the proceedings. See
    Johnson, 
    520 U.S. at 467
    .
    3. Claims of Burton and Whitehead on
    Admissibility of Evidence of Firearms and
    Violence
    Appellants Burton and Whitehead argue that the
    District Court erred in admitting evidence of firearms and acts
    of violence in the vicinity of Rose and Upland Streets during
    the period of the conspiracy. They contend that this evidence
    was unduly prejudicial and that the prejudice outweighed the
    probative value, in violation of Federal Rule of Evidence
    403.11
    11
    Although Burton’s brief on appeal also mentions Fed. R.
    Evid. 404(b), which relates to evidence of other crimes,
    wrongs, or acts, he also acknowledges in his brief (and his
    counsel acknowledged at argument on appeal) that the issue
    on appeal here does not concern Rule 404(b), but rather
    concerns Rule 403. See Burton Br. 21 (pointing out that
    20
    A district court’s ruling on the admission of evidence
    is generally reviewed for abuse of discretion. United States v.
    Green, 
    617 F.3d 233
    , 239 (3d Cir. 2010). Where the
    appellant did not object to the admission of evidence in the
    trial court, review is for plain error. Boone, 
    279 F.3d at
    174
    n.6.
    Whitehead claims in his brief on appeal that evidence
    of shootings was admitted “over strenuous objection, . . .
    despite the District Court’s finding and the Government’s
    stipulation that the underlying ‘beef’ was unrelated to the
    drug trade.” Whitehead Br. 10 (citing Whitehead App. 1771,
    1178). The Government responds that none of the defendants
    objected to the evidence on the ground that Whitehead raises.
    Nonetheless, the Government argues the District Court did
    not abuse its discretion in admitting the challenged evidence,
    in any event. We agree that the District Court properly
    admitted the evidence of violence and firearms possession
    and use, and Burton and Whitehead fail to show abuse of
    discretion.
    Rule 403 provides: “The court may exclude relevant
    evidence if its probative value is substantially outweighed by
    a danger of one or more of the following: unfair prejudice,
    confusing the issues, misleading the jury, undue delay,
    wasting time, or needlessly presenting cumulative evidence.”
    Fed. R. Evid. 403. “Evidence cannot be excluded under Rule
    403 merely because its unfairly prejudicial effect is greater
    than its probative value. Rather, evidence can be kept out
    only if its unfairly prejudicial effect ‘substantially
    certain caselaw “deals with Federal Rule of Evidence 404(b)
    or the ‘prior bad acts’ rule whereas the instant case deals with
    acts committed during the conspiracy that are (allegedly)
    more prejudicial than probative.”) (parenthetical added). In
    any event, as Burton suggests, there was no violation of Rule
    404(b) here, where there was no admission of “[e]vidence of
    any other crime, wrong, or act . . . to prove [Burton’s]
    character,” see Fed. R. Evid. 404(b). Rather, evidence was
    admitted to show the possession and use of firearms by
    Burton and other members of the conspiracy in furtherance of
    their agreement.
    21
    outweigh[s]’ its probative value.” Cross, 
    308 F.3d at 323
    (quoting Fed. R. Evid. 403). Moreover, when evidence is
    highly probative, “even a large risk of unfair prejudice may
    be tolerable.” 
    Id.
     Here, the District Court properly admitted
    the evidence of violence and firearms possession and use, and
    there was no abuse of discretion.
    “[T]he possession of weapons is highly probative of
    the large scale of a narcotics distribution conspiracy and the
    type of protection the conspirators felt they needed to protect
    their operation.” See United States v. Price, 
    13 F.3d 711
    ,
    717 (3d Cir. 1994) (internal quotation marks omitted). Here,
    the District Court properly admitted the evidence being
    challenged on appeal because the danger of unfair prejudice
    did not substantially outweigh the probative value of the
    evidence under Rule 403. See, e.g., United States v. Balter,
    
    91 F.3d 427
    , 442 (3d Cir. 1996) (District Court is afforded
    “broad discretion” to determine the admissibility of evidence
    under Rule 403).
    The Second Superseding Indictment alleged multiple
    “overt acts” that describe members of the DTG carrying or
    using firearms, and storing them in common areas (such as
    the alleyways and other locations) for use by members of the
    DTG in order to protect themselves and their drug trafficking
    territory “[i]n furtherance of the conspiracy, and to
    accomplish its objects.” Burton Supp. App. 10-41. Evidence
    of possession and use of firearms by the conspirators in this
    case was critical in light of the Government’s theory of the
    case that through the use of firearms and other acts of
    violence, the conspirators together declared and defended
    their turf, such that sales of illegal drugs were not solo acts,
    but conduct made possible by and in furtherance of a
    conspiracy.
    William Dorsey, a leader of the conspiracy, testified
    that members of the DTG stashed guns in alleyways and a
    nearby playground so they could be accessed by the members
    of the DTG and that, “[i]f someone came through shooting
    you could shoot back.” Id. at 129. Dorsey identified photos
    of guns recovered by law enforcement and guns kept by
    members of the DTG, including Burton. Dorsey stated that
    22
    he saw various members of the DTG in possession of
    firearms, for the purposes he described.
    Dorsey testified that a “beef” emerged between
    younger members of the group and “another younger crowd
    from a different part of town,” which he and others tried to
    resolve because the violence was bad for business. Id. at 124.
    One incident to which Dorsey testified took place on April
    17, 2013, in which Whitehead was shot in the playground that
    was frequented by the DTG.
    Dorsey said that 10 days later, on April 27, 2013,
    another shooting occurred on Upland Street. Dorsey testified
    that he returned fire on individuals who were shooting as they
    drove on Upland and Rose Streets. He further testified that
    the shootings on April 17 and 27 were amongst others that
    had occurred during that time, and that he was upset about the
    violence because the group could not make any money with
    shootings going on which resulted in more police presence in
    the area.
    After this portion of Dorsey’s testimony, the Court
    instructed the jury:
    There has been discussion about a beef,
    is the term that has been used, between
    some people near Rose and Upland and
    some people from another area of
    Chester. Just want to make it clear, that
    there is no suggestion by the
    government that that was in any way
    related to the drug trade, and also want
    to make it clear that that is no part of
    the charges in this case. It is not for
    your consideration, other than it sets the
    background for what you just witnessed
    in terms of Mr. Dorsey’s behavior on
    that date. . . . But whatever the
    underlying beef was, that is not in front
    of you . . . and the government has
    stipulated at sidebar it was not related
    to any drug trade which is the subject
    of this case.
    23
    Id. at 127-28 (emph. added). Dorsey then testified to a third
    shooting that occurred on August 21, 2013, in which he shot
    at a vehicle in the area.
    We agree with the Government that Dorsey’s
    testimony was highly relevant to establish the use of guns to
    protect the conspiracy, and that the Court also assured that the
    jury was instructed regarding the proper use of the evidence
    and the Government’s stipulation. Further, as we explained
    in United States v. Bailey, 
    840 F.3d 99
     (3d Cir. 2016), “such a
    stipulation mitigates the danger of unfair prejudice.” 
    Id.
     at
    120 (citing United States v. Jones, 
    566 F.3d 353
    , 363-65 (3d
    Cir. 2009)). The District Court’s limiting instructions here
    made clear to the jury that there was no suggestion by the
    Government that the aforementioned underlying “beef” was
    in any way related to the charges in this case. See Burton
    Supp. App. at 127-28; see also Bailey, 840 F.3d at 120.
    At the trial, the testimony of several witnesses,
    including cooperating defendants and other witnesses,
    included descriptions of possession, stashing, and retrieving
    firearms in alleys and a playground, as well as shootings
    involving members of the DTG. The testimony of Dorsey, a
    leader of the conspiracy, clearly indicated the use and purpose
    of firearms for protecting and furthering the conspiracy, and
    the testimony of other witnesses involving firearms and
    violence bolstered and corroborated that testimony.
    The testimony challenged by Burton and Whitehead on
    appeal about the possession and use of firearms was highly
    probative of the Government’s theory that conspirators kept
    firearms at the ready in the area they controlled to protect the
    drug trafficking activity and deter interlopers, and the District
    Court properly gave limiting instructions to the jury where
    necessary in response to objections. See Price, 
    13 F.3d at 717
    (acknowledging that firearms possession is highly probative
    of the type of protection narcotics distribution conspirators
    felt they needed to protect their operation).
    As for prejudice, “the prejudice against which [Rule
    403] guards is unfair prejudice – prejudice of the sort which
    clouds impartial scrutiny and reasoned evaluation of the facts,
    24
    which inhibits neutral application of principles of law to the
    facts as found.” United States v. Starnes, 
    583 F.3d 196
    , 215
    (3d Cir. 2009) (quoting Goodman v. Pa. Tpk. Comm’n, 
    293 F.3d 655
    , 670 (3d Cir. 2002)). Here, the evidence relating to
    the non-drug-related “beef,” the consequent shootings, and
    the efforts of Dorsey, Burton, Whitehead and others to reduce
    the negative impact on their drug profits was relevant,
    probative, and not unfairly prejudicial, particularly in light of
    the District Court’s limiting instructions to the jury. The
    District Court neither erred nor abused its discretion in
    admitting the evidence challenged on appeal.
    (B) SENTENCING CHALLENGES
    1. Whitehead’s Career Offender Status
    Whitehead argues that the District Court erred in
    finding that he was a career offender under Section 4B1.2 of
    the United States Sentencing Guidelines (“Guidelines” or
    “Sentencing Guidelines”). Whether a conviction constitutes a
    predicate career offender offense under the Guidelines is a
    question of law subject to plenary review. United States v.
    Abdullah, 
    905 F.3d 739
    , 743 n.6 (3d Cir. 2018).
    Section 4B1.1(a) of the Guidelines states:
    A defendant is a career offender if (1)
    the defendant was at least eighteen
    years old at the time the defendant
    committed the instant offense of
    conviction; (2) the instant offense of
    conviction is a felony that is either a
    crime of violence or a controlled
    substance offense; and (3) the
    defendant has at least two prior felony
    convictions of either a crime of
    violence or a controlled substance
    offense.
    U.S.S.G. § 4B.1(a). Section 4B1.2(b) states:
    25
    The term “controlled substance
    offense” means an offense under
    federal or state law, punishable by
    imprisonment for a term exceeding one
    year, that prohibits the manufacture,
    import,    export,    distribution,   or
    dispensing of a controlled substance (or
    a counterfeit substance) or the
    possession of a controlled substance (or
    a counterfeit substance) with intent to
    manufacture, import, export, distribute,
    or dispense.
    Id. § 4B1.2(b). On appeal, Whitehead points out that the
    Presentence Investigation Report (“PSR”) classified him as a
    career offender based on his having at least two prior felony
    convictions for controlled substance offenses in the Court of
    Common Pleas of Delaware County, Pennsylvania. This
    required his offense level to be raised from 34 to 37.
    At one of the three hearings on Whitehead’s
    sentencing, the Government introduced certified copies of
    state court records, which the District Court found established
    that Whitehead’s 2000 and 2006 convictions were for
    offenses that each qualified as a “controlled substance
    offense” under Section 4B1.2(b) of the Guidelines. On
    appeal, Whitehead argues that the District Court erred in
    finding that he was a career offender. We disagree.
    “We use the categorical approach to determine if a past
    conviction is a career offender predicate, considering only the
    elements of the conviction statute, not the facts of the
    defendant’s actual misconduct.” United States v. Dawson, 
    32 F.4th 254
    , 260 (3d Cir. 2022). “We compare the elements of
    that statute with the relevant Guidelines provision – here, §
    4B1.2(b)’s definition of a ‘controlled substance offense.’”
    Id. (citing United States v. Williams, 
    898 F.3d 323
    , 334 (3d
    Cir. 2018)). “If the statute proscribes a broader range of
    conduct than the Guideline, then a conviction for the state
    offense will not count as a controlled substance offense.” 
    Id.
    There appears to be no dispute on appeal that this is
    one of a “narrow range of cases” where the court may apply
    26
    the “modified categorical approach.” See United States v.
    Abbott, 
    748 F.3d 154
    , 157 (3d Cir. 2014) (citing Taylor v.
    United States, 
    495 U.S. 575
    , 602 (1990)). This approach
    allows a court to look beyond the elements of a prior
    conviction to decide if it can serve as a predicate offense. 
    Id.
    In particular, the Court can “look beyond the face of the
    statute to the ‘charging document, written plea agreement,
    transcript of plea colloquy, and any explicit factual finding by
    the trial judge to which the defendant assented’ to determine
    which of the alternative elements was involved in the
    defendant’s conviction.” 
    Id.
     (quoting Shepard v. United
    States, 
    544 U.S. 13
    , 16 (2005)).
    “[T]he modified categorical approach may be used
    when a statute underlying a prior conviction ‘lists multiple,
    alternative elements,’ . . . rather than a ‘single, indivisible set
    of elements.’” 
    Id.
     (citing Descamps v. United States, 
    133 S. Ct. 2276
    , 2285, 2282 (2013)) (citations omitted). These are
    known as “divisible statutes.” 
    Id.
     (citing Descamps, 
    133 S. Ct. at 2281
    ). “The purpose of the modified categorical
    approach is to ‘help effectuate the categorical analysis when a
    divisible statute . . . renders opaque which element played a
    part in the defendant’s conviction.’” 
    Id.
     (citing Descamps,
    
    133 S. Ct. at 2283
    ).
    Whitehead does not dispute that his two cited prior
    convictions (collectively “Predicate Offenses”) were for
    violations of 35 Pa. Stat. § 780-113(a)(30), which prohibits a
    variety of drug offenses. In Abbott, our Court noted that 35
    Pa. Stat. Ann. § 780-113(a)(30) is a divisible statute subject to
    the modified categorical approach. Abbott, 748 F.3d at 160.
    Thus, the District Court was entitled to consider the certified
    records of conviction to determine the precise offense of
    conviction. See United States v. McCants, 
    952 F.3d 416
    , 427
    (3d Cir. 2020).
    For each of the Predicate Offenses, each Criminal
    Information makes clear that the substance involved was
    cocaine, see Whitehead App. 2068, 2095, and each Certificate
    of Imposition of Judgment of Sentence identifies the offense
    as “Delivery of a Controlled Substance,” see 
    id. at 2050, 2075
    . Whitehead does not dispute the accuracy of these
    certified records of conviction or the propriety of the District
    27
    Court relying on state certified records for sentencing
    purposes in this case.
    Whitehead’s objection on appeal to his classification
    as a career offender is not based on a question about the
    nature of the substance involved in the prior offenses – there
    is no dispute that the substance involved in the Predicate
    Offenses was cocaine. The issue he raises is whether the
    conduct element of the Predicate Offenses was within the
    scope of what section 4B1.2(b) covers.
    Whitehead contends that “the Career Offender
    guideline requires that the prior state offense have been for
    ‘distribution or dispensing of a controlled substance,’” see
    Whitehead Br. 45 (citing U.S.S.G. § 4B1.2(b)), but that
    “‘delivery,’ as defined in Pennsylvania, encompasses more
    conduct than ‘distribution or dispensing’ and is therefore
    impermissibly ‘broader,’” id. In particular, he argues that
    Pennsylvania law defines “delivery” as any “transfer [of a
    substance] from one person to another,” and that “[d]elivery”
    under Pennsylvania law can exist in any of three forms:
    “administering,” “dispensing,” and “distributing.” Id. at 45-
    46.
    Whitehead argues that Section 780-113(a)(30) is
    broader than a “controlled substance offense” as defined in
    Section 4B1.2, because he contends Section 780-113(a)(30)
    prohibits administering a controlled substance, and a
    “controlled substance offense” as defined in Section 4B1.2(b)
    does not. His argument, however, is without merit because
    Section 780-113(a)(30) prohibits manufacturing or delivering
    a controlled substance, or possessing a controlled substance
    with intent to manufacture or deliver it, by unauthorized
    persons. It says nothing about administering drugs.
    The relevant Pennsylvania statute provides:
    (a) The following acts and the causing
    thereof within the Commonwealth
    are hereby prohibited: . . .
    (30) Except as authorized by this
    act, the manufacture, delivery, or
    28
    possession with intent to
    manufacture or deliver, a
    controlled substance by a person
    not registered under this act, or a
    practitioner not registered or
    licensed by the appropriate State
    board, or knowingly creating,
    delivering or possessing with
    intent to deliver, a counterfeit
    controlled substance.
    35 Pa. Stat. § 780-113(a)(30). Section 780-102(b) defines
    “deliver” and “delivery” as “the actual, constructive, or
    attempted transfer from one person to another of a controlled
    substance, other drug, device or cosmetic whether or not there
    is an agency relationship.”12 Id. § 780-102(b). That section
    defines “distribute” as “to deliver other than by administering
    or dispensing a controlled substance, other drug, device or
    cosmetic.”13     Id. § 780-102(b).       On the other hand,
    “Administer” is defined under Pennsylvania law as “the direct
    application of a controlled substance, other drug or device,
    whether by injection, inhalation, ingestion, or any other
    means, to the body of a patient or research subject.” Id.
    It appears only three of Section 780-113’s
    subsections use the term “administer.”              Section 780-
    113(a)(30) is not one of those three subsections, all of which
    pertain to practitioners, their professional assistants, and other
    registered persons. Section 780-113(a)(13) relates to the sale,
    dispensing, distribution, prescription, or gift of a controlled
    substance to a drug-dependent person “unless said drug is
    12
    “[T]he federal counterpart to this statute, the Controlled
    Substances Act (CSA), also defines the ‘delivery’ of a
    controlled substance to mean ‘the actual constructive, or
    attempted transfer of a controlled substance,’ 
    21 U.S.C. § 802
    (8).” United States v. Glass, 
    904 F.3d 319
    , 322 (3d Cir.
    2018).
    13
    The federal counterpart is nearly identical. Title 
    21 U.S.C. § 802
    (11) states that “[t]he term ‘distribute’ means to deliver
    (other than by administering or dispensing) a controlled
    substance or a listed chemical.”
    29
    prescribed, administered, dispensed or given for the cure or
    treatment of some malady other than drug dependency,”
    except under specified exceptions. 
    Id.
     § 780-113(a)(13).
    Section 78-113(a)(14) prohibits the
    administration, dispensing, delivery,
    gift or prescription of any controlled
    substance by any practitioner or
    professional assistant under the
    practitioner’s direction and supervision
    unless done (i) in good faith in the
    course of his professional practice; (ii)
    within the scope of the patient
    relationship; (iii) in accordance with
    treatment principles accepted by a
    responsible segment of the medical
    profession.
    Id. § 78-1139a)(14). Finally, section 780-113(a)(35) relates
    to the misrepresentation of noncontrolled substances as
    controlled substances.     Subsection 780-113(a)(35)(v)(C)
    exempts from its provisions “[l]icensed medical practitioners,
    pharmacists and other persons authorized to dispense or
    administer controlled substances and acting in the legitimate
    performance of their professional license pursuant to
    subclause (v)(B).” Id. § 78-1139a)(35)(v)(B).
    Not only does Section 780-113(a)(30) say nothing
    about prohibiting the administration of controlled substances,
    but it expressly excludes the possibility that “administering,”
    as defined in Section 780-102, falls within its scope. Since,
    as explained above, “administering” means applying a “direct
    application of a controlled substance, other drug or device . . .
    to the body of a patient or research subject,” see id. § 780-
    102(b), by definition, it is limited to actions of practitioners or
    other registered persons within the context of a patient
    relationship or research study. Section 780-113(a)(30)
    expressly excludes actions by such persons. It prohibits “the
    manufacture, delivery, or possession with intent to
    manufacture or deliver, a controlled substance by a person
    not registered under this act, or a practitioner not registered
    or licensed by the appropriate State board” and excludes
    30
    actions “authorized by this act.” Id. § 780-113(a)(30) (emph.
    added).
    Whitehead’s prior convictions were for violations
    under 35 Pa. Stat. § 780-113(a)(30). Section 780-113(a)(30)
    does not prohibit administering a controlled substance, and it
    is therefore not broader than a “controlled substance offense”
    in that regard under section 4B1.2 of the Guidelines. The
    District Court did not err in finding the Predicate Offenses
    constituted predicate career offender offenses under the
    Guidelines.
    2. Payne’s and Burton’s Claims Regarding
    Acceptance of Responsibility
    Payne and Burton argue that the District Court erred in
    finding that they did not qualify for a 2-level reduction in
    their Sentencing Guidelines offense levels for acceptance of
    responsibility. “Under the sentencing guidelines, a defendant
    is entitled to a two-level reduction to his calculated offense
    level if he ‘clearly demonstrates acceptance of responsibility
    for his offense.’” United States v. Muhammad, 
    146 F.3d 161
    ,
    167 (3d Cir. 1998) (quoting U.S.S.G. § 3E1.1(a)).
    We apply a clearly erroneous standard of review to the
    District Court’s decisions that Payne and Burton were not
    entitled to a reduction in their offense levels for acceptance of
    responsibility. Id. “Because the sentencing judge ‘is in a
    unique position to evaluate a defendant’s acceptance of
    responsibility,’ we give great deference on review to a
    sentencing judge’s decision not to apply the two-level
    reduction for acceptance of responsibility to a particular
    defendant.” United States v. Barr, 
    963 F.2d 641
    , 657 (3d Cir.
    1992) (citing U.S.S.G. § 3E1.1 app. note 5).
    Payne argues that although he put the Government to
    its burden of proof at trial, he was entitled to a reduction of
    his sentence under the Guidelines for acceptance of
    responsibility because, in a pretrial meeting with the
    Government, which he describes as a “proffer session,” he
    admitted that he did distribute controlled substances, and that
    he also communicated this in his opening statement and
    closing argument at trial. The District Court found that
    31
    there are charges to which Mr. Payne
    acknowledged responsibility, but for
    which – others for which he did not and
    the jury found him guilty most
    importantly in conspiracy and he also in
    adopting a certain strategic position at
    trial had the benefit of an acquittal on
    four counts and so weighs heavily on
    my decision in not finding that there
    was an acceptance of responsibility.
    Payne Am. App. 34.
    Burton argues that the District Court erred in denying a
    downward departure in light of the fact that he pled guilty to
    the individual substantive charges. In denying a downward
    variance for acceptance of responsibility as to Burton, the
    District Court noted that although Burton pled guilty to the
    individual    substantive     charges,    there      was    no
    “acknowledgement globally of responsibility” in this case,
    since Burton proceeded to trial on the Conspiracy charge.
    Burton Jt. App. 60. The Court further noted that in light of
    the
    overwhelming evidence by way of
    videotape and audiotape of the
    controlled buys and where Mr. Burton
    was arrested in possession of two
    firearms, there’s actually a tactical
    advantage to the pleas that he entered
    and I commend you for that. . . . And
    it’s saying to the jury well, we’ll admit
    to these things while we defend
    conspiracy. And so I think that as a
    result of that advantage, again, which
    was good lawyering on your part, I
    don’t believe that acceptance of
    responsibility would be something that
    would entitle Mr. Burton to that
    downward adjustment.
    Id. at 60-61.
    32
    Application note 2 to Guidelines section 3E1.1
    provides in relevant part: “This adjustment is not intended to
    apply to a defendant who puts the government to its burden of
    proof at trial by denying the essential factual elements of guilt
    . . .” The District Court’s determination that Payne and
    Burton did not clearly show that they had accepted
    responsibility under section 3E1.1 was not clearly erroneous,
    where, among other things, Payne and Burton have never
    admitted that they were guilty of conspiracy, as charged in the
    indictment, and where they put the Government to its burden
    of proof at trial to establish that they participated in the
    conspiracy, and they were found guilty by a jury. They
    certainly did not “clearly demonstrate[] acceptance of
    responsibility for [that] offense.” See Muhammad, 
    146 F.3d at 167
     (quoting U.S.S.G. § 3E1.1(a)).
    3. District Court’s Calculation of Drug Quantity
    Attributed to Burton
    Burton argues that the District Court erred in its
    determination of the amount of drugs that could properly be
    attributed to him in relation to the conspiracy. Because
    Burton did not raise in the District Court the grounds he raises
    on appeal with regard to his sentence, our review on appeal is
    only to ensure that plain error was not committed. United
    States v. Couch, 
    291 F.3d 251
    , 252-53 (3d Cir. 2002) (citing
    Fed. R. Crim. P. 52(b)).
    Burton pled guilty to all 23 counts against him, except
    the Conspiracy charge, of which the jury found him guilty.
    The District Court sentenced Burton on July 6, 2018 to 300
    months in prison, to be followed by a term of supervised
    release of eight years, and a special assessment of $1,400.
    In the PSR, the Probation Office estimated,
    conservatively, that Burton should be held accountable for the
    distribution of at least 1,050 grams of crack. It estimated that
    the conspiracy involved at least 1,000 grams of cocaine and
    200 grams of heroin. These amounts equated, under the
    Guidelines equivalency table, to 4149.55 kilograms of
    marijuana, producing an offense level of 32, increased by one
    33
    under section 2D1.2(a)(1) based on conduct in proximity to a
    protected location. The advisory Guidelines range was 235 to
    293 months, at the applicable criminal history category VI.
    On appeal, Burton cites Apprendi v. New Jersey, 
    530 U.S. 466
     (2000), and United States v. Cotton, 
    535 U.S. 625
    (2002), and he argues that “the current law under [these two
    cases] require[s] that a sentencing factor deemed an element
    under Apprendi must be charged in the indictment and
    submitted to the jury.” Burton Br. 31. In Apprendi, the
    Supreme Court held that “any fact that increases the penalty
    for a crime beyond the prescribed statutory maximum must be
    submitted to a jury, and proved beyond a reasonable doubt.
    In federal prosecutions, such facts must also be charged in the
    indictment.” Cotton, 
    535 U.S. at 627
     (internal quotation
    marks and citations omitted).
    Here, Burton does not argue that his sentence was
    “beyond the prescribed statutory maximum,” much less
    demonstrate that it was. Indeed, the Government argues that
    the statutory maximum for Burton’s many offenses measures
    in the hundreds of years. In any event, since Burton does not
    argue that the sentence imposed here exceeded the statutory
    maximum for Burton’s conviction, any claim of an Apprendi
    violation is without merit. See, e.g., United States v.
    Williams, 
    235 F.3d 858
    , 862-63 (3d Cir. 2000); United States
    v. Cepero, 
    224 F.3d 267
    , n.5 (3d Cir. 2000) (en banc)
    (“Because application of the Sentencing Guidelines in this
    case does not implicate a fact that would increase the penalty
    of a crime beyond the statutory maximum, the teachings of
    [Apprendi] are not relevant here.”).14
    14
    In his brief on appeal, see Burton Br. 32, Burton also cites
    United States v. Miele, 
    989 F.2d 659
     (3d Cir. 1993), where
    our Court found that evidence of drug quantity considered at
    sentencing must have a sufficient indicia of reliability to
    support its probable accuracy. 
    Id. at 668
    ; see also United
    States v. Paulino, 
    996 F.2d 1541
    , 1545 (3d Cir. 1993)
    (acknowledging that “in calculating the amount of drugs
    involved in a particular operation, a degree of estimation is
    sometimes necessary”). Here, Burton offers no argument
    about the unreliability of any evidence considered by the
    District Court at sentencing.
    34
    On appeal, Burton also complains that the PSR’s
    mathematical calculations appear to be inconsistent. See
    Burton Br. 30 (citing PSR ¶ 268). In particular, he notes that
    in one paragraph of the PSR, it found that, according to the
    trial testimony, several co-conspirators generally purchased 7
    to 14 grams of crack every 3 to 5 days, and that using a
    conservative estimate that defendant distributed crack on 75
    days and sold 7 grams per day, the defendant would have
    been responsible for distribution of approximately 525 grams
    of crack. Therefore, conservatively taking into account that
    Burton conspired to distribute drugs with at least one other
    person, the PSR found he should be held accountable for the
    distribution of at least 1,050 grams of crack.
    Burton correctly points out that if a conspirator
    purchased 7 to 14 grams every 3 to 5 days, the most
    conservative view would be that a conspirator purchased 7
    grams every 5 days, meaning that during a 75-day period a
    conspirator would purchase and be responsible for the
    distribution of 105 grams of crack, not 525 grams. See id. at
    30. While acknowledging this as well, the Government
    responds that, based on the trial evidence, the record supports
    a conservative estimate well in excess of the quantity assessed
    in the PSR. We agree.
    At trial, there was extensive testimony about the
    quantities of cocaine and heroin that Dorsey supplied to
    members of the DTG, including Burton. The evidence
    indicated that Burton resold that cocaine in the form of
    powder cocaine or crack in bulk quantities to other members
    of the DTG for resale in the Rose and Upland neighborhood.
    Dorsey testified that between August 2012 and September
    2014, he and other members of the DTG sold drugs in the
    Rose and Upland area: “between dime and 20 sales - $10 and
    $20 sales” of “crack and powder cocaine” and that drugs were
    sold in the area all day, seven days per week. Burton Supp.
    App. 99-101.
    The testimony indicated that during the time of
    Burton’s participation in the conspiracy, he was selling
    cocaine, crack, and heroin, along with his co-defendants.
    Officer Timothy Garron testified to frequently seeing Burton
    35
    with co-defendants Charles Stansbury, Kareem York,
    JaVaughn Anderson, Whitehead, Jamear McGurn, and
    Edwards in the neighborhood playground, particularly in
    March and April of 2013. Id. at 162. Officer Garron’s
    testimony also indicated that he observed Burton and these
    other DTG members engaging in what he believed, based on
    his knowledge and experience, to be drug sales in the
    alleyways of the Rose and Upland area, on a near-daily basis.
    Id. at 164-68. The testimony was corroborated with pole
    camera footage showing Burton and his co-conspirators in
    these areas. Id.
    A civilian witness also testified to purchasing crack
    from Burton as much as three to four times per week over the
    course of several months. Id. at 190-91. Her testimony
    indicates that she purchased between $40 and $200 worth of
    crack from Burton on these occasions, and pole camera
    footage of two of those purchases was played for the jury
    during her testimony. Id.
    Co-conspirator Anderson testified that Burton was
    selling him approximately a half-ounce to an ounce of crack
    per day when they were together in the Rose and Upland area
    from approximately February 2013 to April 30, 2013. Id. at
    312-13. Anderson testified that he purchased “eight-balls”
    (3.5 grams) to quarter-ounces (7 grams) of crack from Burton,
    which Anderson would resell within three to four days. Id.
    He also identified multiple other individuals who were selling
    drugs with him in the area. Id.
    Anderson testified that he observed Burton selling
    crack and heroin. Id. at 313. With regard to crack, Anderson
    testified that he observed Burton selling at least a half to an
    ounce, “which is 28 grams, and a half is 14 grams,” and he
    testified he observed Burton sell a “half ounce of crack” (14
    grams) “on a daily basis.” Id. Anderson also testified that he
    observed Whitehead supply Burton with an ounce (28 grams)
    of crack on each of approximately four or five separate
    occasions. He also witnessed Burton supply a particular
    juvenile with a “ballgame, 3.5 grams” of crack on
    approximately four occasions, and co-conspirator Erven
    Towers-Rolon with approximately 14 grams of crack on at
    least three occasions. Id. at 313-14. Anderson also observed
    36
    Burton supply Stansbury with approximately 3.5 grams of
    crack on at least two occasions. Id.
    Based on the trial evidence, the record supports a
    conservative estimate well in excess of the aforementioned
    quantity assessed in the PSR for which Burton could be held
    accountable. Moreover, as the Government points out, in
    taking into account that Burton conspired to distribute drugs,
    it appears the Probation Office was also extremely
    conservative in simply doubling its quantity attributable to
    Burton, as if only one other confederate sold on behalf of the
    DTG. Burton cannot establish on the existing record that the
    District Court committed plain error in the drug quantity it
    attributed to him in relation to the conspiracy.
    4. Burton’s Claim for Minimal Role Reduction at
    Sentencing
    Burton argues that the District Court erred in not
    granting a reduction in his offense level under the Sentencing
    Guidelines for a “mitigating role.” Burton Br. 35. As we
    have previously clarified:
    We employ a mixed standard of review
    when considering whether a defendant
    was entitled to a base level reduction
    for being a minimal or minor
    participant in the criminal activity.
    When the district court’s denial of a
    downward adjustment is               based
    primarily on a legal interpretation of the
    Guidelines the defendant claims to be
    erroneous, we exercise plenary review.
    By contrast, when the defendant takes
    issue with the district court’s denial of a
    reduction for being a minimal or minor
    participant which was based primarily
    on factual determinations, we review
    only for clear error.
    United States v. Carr, 
    25 F.3d 1194
    , 1207 (3d Cir. 1994)
    (citations omitted). Here, the challenge is factual and
    37
    reviewed for clear error. Burton “bears the burden of
    demonstrating that other participants were involved and that
    under the [applicable standards] and the facts of his particular
    case, the minor role adjustment should apply.” United States
    v. Isaza-Zapata, 
    148 F.3d 236
    , 240 (3d Cir. 1998).
    Section 3B1.2 of the Guidelines provides:
    Based on the defendant’s role in the
    offense, decrease the offense level as
    follows:
    (a) If the defendant was a minimal
    participant in any criminal
    activity, decrease by 4 levels.
    (b) If the defendant was a minor
    participant in any criminal
    activity, decrease by 2 levels.
    In cases falling between (a) and (b),
    decrease by 3 levels.
    U.S.S.G. § 3B1.2. The commentary states: “This section
    provides a range of adjustments for a defendant who plays a
    part in committing the offense that makes him substantially
    less culpable than the average participant in the criminal
    activity.” Id. § 3B1.2 app. note 3(A). The commentary
    further states:
    Subsection (a) applies to a defendant
    described in Application Note 3(A)
    who plays a minimal role in the
    criminal activity. It is intended to cover
    defendants who are plainly among the
    least culpable of those involved in the
    conduct of a group.           Under this
    provision, the defendant’s lack of
    knowledge or understanding of the
    scope and structure of the enterprise
    and of the activities of others is
    indicative of a role as minimal
    participant.
    38
    Id. § 3B1.2 app. note 4.
    District courts “are allowed broad discretion in
    applying [section 3B1.2], and their rulings are left largely
    undisturbed by the courts of appeal.” Isaza-Zapata, 
    148 F.3d at 238
    . In determining whether a role adjustment is
    warranted, courts should consider, among other factors: “(1)
    the defendant’s awareness of the nature and scope of the
    criminal enterprise; (2) the nature of the defendant’s
    relationship to the other participants; and (3) the importance
    of the defendant’s actions to the success of the venture.”
    United States v. Brown, 
    250 F.3d 811
    , 819 (3d Cir. 2001).
    Here, after hearing argument and considering the
    evidence, the District Court explained:
    I’m going to decline to reduce the
    offense level on the basis of minimal
    involvement in part because it was the
    theme of the defense at trial and the
    jury rejected the idea that Mr. Burton
    was not involved beyond a reasonable
    doubt, a much more onerous standard.
    I have . . . [a] 78 page presentence
    investigation report and mindful of the
    argument that it was a minor role, went
    back and read in detail through the
    summation of the evidence which
    included the controlled buys, the
    surveillance and based upon that, I am
    persuaded that although Mr. Burton’s
    involvement was less than some of the
    other conspirators, he cannot properly
    under the guideline be considered a
    minimal role in the conspiracy, and I
    think the chronological argument is
    undercut in two respects. First on the
    front end, before controlled buys start,
    there’s obviously investigation which I
    recall from the trial showing Mr.
    Burton’s involvement to identify
    himself as someone to whom – from
    39
    whom controlled buys would be made.
    And then on the back end, it was the
    arrest with the firearms that terminated
    his involvement.
    . . . I am ultimately not persuaded
    and so, I will deny a downward
    reduction on that basis.
    Burton Supp. App. 519.
    The evidence supports the District Court’s denial of a
    reduction in Burton’s offense level under the Guidelines for a
    mitigating role. He pled guilty to 23 counts, including
    firearms charges and distribution of crack and heroin within
    the Rose and Upland area. The evidence indicated he was
    aware of the nature and scope of the drug enterprise, and as
    the District Court pointed out, the jury found the evidence
    proved beyond a reasonable doubt that Burton’s defense of a
    minimal or minor involvement in his participation of the
    conspiracy was without merit.15 Indeed, William Dorsey,
    Braheem Edwards, Naim Butler, and JaVaughn Anderson
    testified that Burton regularly interacted with leaders of the
    conspiracy, and evidence such as pole camera footage showed
    Burton with the other DTG members in the Rose and Upland
    area engaging in drug sales. Dorsey and Edwards each
    testified to supplying Burton with bulk quantities of crack and
    heroin for redistribution. Id. at 106-07, 489-90. Burton is
    unable to show clear error in the District Court’s finding that
    he was not entitled to a reduction in sentencing under section
    3B1.2 of the Guidelines for his role in the offense.
    5. Womack’s Sentence Enhancement for Firearms
    Possession in Furtherance of Conspiracy
    Appellant Womack argues that the District Court erred
    in applying the 2-level enhancement under Guidelines section
    15
    As mentioned supra, Appellants do not argue on appeal
    that there was insufficient evidence to support the
    convictions.
    40
    2D1.1(b)(1) for possession of a dangerous weapon in
    connection with the conspiracy offense. The question
    whether a dangerous weapon was possessed in connection
    with the offense is reviewed for clear error. United States v.
    Demes, 
    941 F.2d 220
    , 222-23 (3d Cir. 1991).
    Section 2D1.1(b)(1) of the Guidelines imposes a 2-
    level sentence enhancement if “a dangerous weapon
    (including a firearm) was possessed.” Also, Guidelines
    section 1B1.3(a)(1)(B) states that “in the case of a jointly
    undertaken criminal activity[,] all reasonably foreseeable acts
    . . . that occurred during the commission of the offense of
    conviction” are considered to be part of relevant conduct.
    Here, Womack does not dispute that the Rose and
    Upland DTG used and possessed firearms in furtherance of
    the conspiracy.       He contends that the evidence was
    insufficient to establish that he knew, or had reason to know,
    that his co-conspirators were in possession of a firearm. The
    District Court rejected Womack’s arguments, and found that
    the enhancement was warranted.
    In denying Womack’s objection to the enhancement,
    the District Court pointed out Womack’s personal history
    with firearms and drug dealing as pertinent to whether it
    would be reasonably foreseeable to him that this relatively
    large enterprise engaging in these quantities of drugs would
    involve weapons. In addition to being convicted in 1986 for
    drug possession with intent to deliver and being arrested for
    carrying a firearm during that time period, the District Court
    pointed to Womack pleading guilty in federal court to a
    conspiracy to rob a competing drug dealer, where that
    conspiracy involved supplying a cooperating witness with a
    firearm that did not have a serial number.
    The Court further pointed to the testimony of
    JaVaughn Anderson about a conversation between Womack
    and Dorsey wherein Womack was bemoaning the fact that
    there was gunplay at Rose and Upland, because he said that
    was bad for business. See Womack App. 1722-24 (Anderson
    relaying a conversation he heard between Dorsey and
    Womack about the need to retaliate against interlopers by
    “shooting back” because the interlopers were “making it hard
    41
    to make money.”).         The Court also noted the close
    relationship between Dorsey and Womack, and the evidence,
    including videotape evidence of Dorsey discharging a firearm
    on the streets. Id. at 872 (Dorsey testifying about his “close”
    relationship with Womack, who was “family,” and revealing
    that “we talked about everything”), 1717-18 (Anderson
    testifying that Womack was Dorsey’s older cousin).
    Based on Womack’s personal experience with drug
    dealing and guns, Womack’s close relationship with Dorsey,
    the testimony that Womack and Dorsey had a conversation
    about the shootings occurring in the Rose and Upland area,
    and the evidence of firearm possession and use by Dorsey and
    other DTG members, the District Court found it was
    reasonably foreseeable to Womack that members of the
    conspiracy would possess and use a firearm in furtherance of
    the purposes of the conspiracy. Id. at 2227-29. Based on the
    totality of the evidence before the District Court at
    sentencing, we find no error, much less clear error, in the
    District Court’s determination that the 2-level enhancement
    under Guidelines section 2D1.1(b)(1) applies.
    III.
    For the foregoing reasons, we affirm the Judgments of
    conviction and sentence of Appellants.
    42