United States v. Bryant , 417 F. App'x 220 ( 2008 )


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  •                                UNPUBLISHED
    UNITED STATES COURT OF APPEALS
    FOR THE FOURTH CIRCUIT
    No. 06-4977
    UNITED STATES OF AMERICA,
    Plaintiff - Appellee,
    v.
    LOUIS ANTONIO   BRYANT,   a/k/a    Tinio,    a/k/a   Black,    a/k/a   B
    Stacks,
    Defendant - Appellant.
    Appeal from the United States District Court for the Western
    District of Virginia, at Charlottesville.    Norman K. Moon,
    District Judge. (3:04-cr-00047-NKM)
    Argued:   September 26, 2008                Decided:      November 25, 2008
    Before MICHAEL and MOTZ, Circuit Judges, and James C. DEVER III,
    United States District Judge for the Eastern District of North
    Carolina, sitting by designation.
    Affirmed and remanded       with   instructions      by    unpublished     per
    curiam opinion.
    ARGUED: Jonathan Lawrence Katz, Silver           Spring, Maryland, for
    Appellant.   Jean Barrett Hudson, OFFICE          OF THE UNITED STATES
    ATTORNEY, Charlottesville, Virginia, for          Appellee.   ON BRIEF:
    John L. Brownlee, United States Attorney,        Roanoke, Virginia, for
    Appellee.
    Unpublished opinions are not binding precedent in this circuit.
    PER CURIAM:
    Louis Antonio Bryant (“Bryant”) was tried by a jury in the
    Western   District      of    Virginia     and    convicted       on     eight    charges
    stemming from his leadership of a violent drug organization in
    Charlottesville, Virginia called “Project Crud” or “PJC.”                               In
    this    appeal,       Bryant      raises        numerous     challenges          to    his
    convictions and life sentence.                  As explained below, we remand
    with instructions for the district court to vacate Bryant’s 
    21 U.S.C. § 846
     conviction, but affirm his other convictions and
    life sentence.
    I.
    First,   Bryant       argues   that       the   district        court     and   the
    government violated his constitutional right to a speedy trial.
    In analyzing this argument, we must assess:                       (1) the length of
    the    delay;   (2)   the     reasons    for     the     delay;    (3)    whether      the
    defendant timely asserted his right to a speedy trial; and (4)
    whether the defendant was prejudiced by the delay.                          See, e.g.,
    Barker v. Wingo, 
    407 U.S. 514
    , 530 (1972); United States v.
    Hopkins, 
    310 F.3d 145
    , 150 (4th Cir. 2002).
    The first factor is the length of the delay.                        This factor
    also is a threshold requirement that the defendant must meet
    before we may actually engage in balancing the four factors.
    See,    e.g.,   Doggett      v.   United       States,     
    505 U.S. 647
    ,     651-52
    2
    (1992).    The defendant must show that the delay in his case was
    beyond the ordinary and was presumptively prejudicial.                See 
    id.
    Bryant’s   first    trial   began          sixteen   months    after    his
    indictment was unsealed, and his second trial began twenty-two
    months after his indictment was unsealed.                  We assume, without
    deciding, that this delay is lengthy enough to show presumptive
    prejudice, and proceed to balance the four factors.                  See, e.g.,
    
    id.
     at 652 n.1.     However, in weighing the length of the delay,
    we note that we have found that longer periods of delay were not
    unreasonable.     See, e.g., Hopkins, 
    310 F.3d at 150
     (concluding
    two-year delay was “not uncommonly long”).
    The second factor is the reason for the delay.                    We have
    classified    reasons    for   delay       as    “improper,”   “neutral,”     or
    “valid.”     See United States v. Grimmond, 
    137 F.3d 823
    , 828 (4th
    Cir. 1998).      Improper reasons for delay weigh heavily against
    the   government,   neutral    reasons          weigh   slightly    against   the
    government, and valid reasons weigh in favor of the government.
    See 
    id.
          An example of a neutral reason is “an understaffed
    prosecutor’s office.”      See 
    id.
             Here, the government frequently
    moved for continuances because this multi-defendant conspiracy
    case was complicated.       The district court agreed that the case
    was complicated.        Moreover, some of the delay was due to the
    court accommodating defense counsel’s schedule.                Ultimately, we
    3
    consider the reason for the delay to be neutral, and weigh it
    slightly against the government.
    The third factor is whether the defendant timely asserted
    his right to a speedy trial.                This factor may be weighed in
    favor of the government when the defendant waits until late in
    the course of events to assert his right.                  See, e.g., Grimmond,
    
    137 F.3d at 829
    .       Here, Bryant waited until May 2005, ten months
    after his indictment was unsealed, to assert his right.                    By that
    time, the district court had already calendared the case for
    trial in November 2005.        Moreover, Bryant’s first trial began on
    November 14, 2005, and ended in a mistrial on November 30, 2005.
    On December 16, 2005, Bryant moved to schedule his second trial
    no earlier than April 20, 2006.              The court granted defendant’s
    motion and scheduled the second trial for May 8, 2006.                     Bryant’s
    second trial began on May 8, 2006.                  We weigh this factor in
    favor of the government.
    The final factor is prejudice.                  Prejudice can take three
    forms:    (1) “oppressive pretrial incarceration”; (2) “anxiety”;
    and (3) an impaired ability to mount a defense.                   See Barker, 
    407 U.S. at 532
    .       The most serious form of prejudice is impaired
    ability   to   mount   a    defense.        See    
    id.
         Although   Bryant   was
    incarcerated      pending    his   trial     and    doubtless      suffered    some
    anxiety   while    awaiting    his     first      and    second   trial,   nothing
    indicates that Bryant’s ability to mount his defense suffered in
    4
    any   respect.      Notably,    Bryant       does   not    identify        any    witness
    whose memory faded, any evidence that was lost, or any similar
    issue.     See, e.g., Grimmond, 
    137 F.3d at 830
    .                 Indeed, the only
    prejudice    that   Bryant     alleges   is     his   pretrial        incarceration.
    See Appellant’s Am. Sealed Br. 16–17.                     We conclude that this
    factor weighs in favor of the government.
    We    have    carefully    balanced       the       four   Barker          factors.
    “[T]hese factors have no talismanic qualities; courts must still
    engage in a difficult and sensitive balancing process.”                          Barker,
    
    407 U.S. at 533
    .        We conclude that there was no violation of
    Bryant’s Sixth Amendment right to a speedy trial. 1
    II.
    Next, Bryant challenges the jury venire, the petit jury at
    his   second   trial,   and     the   prosecutor’s         use   of    a    peremptory
    strike during jury selection.                See Appellant’s Am. Sealed Br.
    17–18.      Initially, we address Bryant’s challenge to the jury
    venire.
    1
    Bryant also raises a Speedy Trial Act claim.     See 
    18 U.S.C. §§ 3161-3174
    .   We have reviewed the record concerning
    Bryant’s first trial and his second trial.    In light of the
    “periods of delay” that are “excluded” in computing time under
    the Speedy Trial Act, Bryant’s Speedy Trial Act claim fails.
    See 
    id.
     § 3161(h).
    5
    The Constitution requires that a criminal defendant receive
    a jury venire that consists of “a fair cross section of the
    community.”        See, e.g., Taylor v. Louisiana, 
    419 U.S. 522
    , 530
    (1975); United States v. Williams, 
    264 F.3d 561
    , 567 (5th Cir.
    2001).   According to the Supreme Court:
    In order to establish a prima facie violation of the
    fair-cross-section requirement, the defendant must
    show (1) that the group alleged to be excluded is a
    “distinctive” group in the community; (2) that the
    representation of this group in venires from which
    juries are selected is not fair and reasonable in
    relation to the number of such persons in the
    community; and (3) that this underrepresentation is
    due to systematic exclusion of the group in the jury-
    selection process.
    Duren v. Missouri, 
    439 U.S. 357
    , 364 (1979).
    Bryant’s argument concerning the jury venire fails.                 First,
    Bryant bears the burden of establishing a prima facie violation,
    see   
    id.,
       yet    he   does   not   allege,   much   less   establish    which
    distinctive group was systematically excluded.                See Appellant’s
    Am. Sealed Br. 17–18.
    Second, assuming that Bryant is challenging the purported
    lack of African-Americans, he presents (and the record before us
    contains) no evidence that the percentage of African-Americans
    on the jury venire is not fair and reasonable in relation to the
    community as a whole.           See 
    id.
         Bryant leaves us to speculate
    about    whether     the   venire     was   a   reasonable    representation.
    6
    Speculation is no substitute for evidence.                           See Williams, 
    264 F.3d at
    568–69.
    Even     assuming      that       Bryant        had     met      the      first       two
    requirements, he presents no evidence that the alleged exclusion
    of African-Americans on the jury venire was systematic, rather
    than     a    mere   statistical         anomaly.            Accordingly,        we    reject
    Bryant’s fair-cross-section challenge to the jury venire.
    Next, Bryant challenges the racial makeup of the petit jury
    at his trial.        Bryant, however, has no constitutional right to a
    fair cross-section of the community on his petit jury.                                     See,
    e.g., Taylor, 
    419 U.S. at 538
     (“[The Supreme Court] impose[s] no
    requirement that petit juries actually chosen must mirror the
    community      and   reflect       the   various       distinctive       groups       in     the
    population.          Defendants      are    not    entitled       to    a     jury    of     any
    particular composition . . . .”).
    Finally,      Bryant        argues    that       the      prosecutor           used     a
    peremptory strike in a purposefully discriminatory manner and
    thereby violated Batson v. Kentucky, 
    476 U.S. 79
     (1986), and its
    progeny.       See Appellant’s Am. Sealed Br. 17–18.                        In particular,
    Bryant       challenges      the     prosecutor’s            decision       to    strike       a
    prospective juror who, in Bryant’s opinion, was Hispanic.                                    See
    
    id.
    To prevail on a Batson challenge, the defendant must first
    demonstrate      a   prima    facie      case     of   purposeful        discrimination.
    7
    See Batson, 
    476 U.S. at 96
    .                   The prima facie case requires the
    defendant to show that the prosecutor used a peremptory strike
    “to remove a potential juror solely on the basis of the juror’s
    gender,     ethnic     origin,       or   race,”    United      States      v.   Martinez-
    Salazar,     
    528 U.S. 304
    ,   315      (2000),     and   that    the      facts    and
    circumstances surrounding the peremptory strike give rise to an
    inference that the prosecutor acted due to the venire member’s
    group identity.         See Batson, 
    476 U.S. at 96
    ; see also Powers v.
    Ohio,     
    499 U.S. 400
    ,    402      (1991)    (extending     Batson         to   allow
    challenges by defendants not of the same group of the venire
    member excluded).
    Bryant     contends       that      a   female     venire   member,        who   self-
    identified as “White” on the jury questionnaire, was in fact
    Hispanic.       See J.A. 127, 150, 152–55. 2                During jury selection,
    the     prosecutor      used    a    peremptory        challenge       to    strike      this
    prospective juror.            See id. at 143.            Bryant objected and argued
    that the prosecutor’s peremptory strike violated Batson.                                  See
    id. at 149–50, 152–54; Appellant’s Am. Sealed Br. 17–18.
    The   district         court   considered        Bryant’s    Batson        challenge,
    including       his    contention         that     the    woman    in       question      was
    Hispanic.       The district court found that she was white and that
    2
    Citations to “J.A.” refer to the joint appendix. Citations
    to “A.J.A.” refer to the amended joint appendix.
    8
    the government’s peremptory strike was neutral.                                      See J.A. 154-
    55.    Initially, Bryant complains that the jury questionnaire did
    not have a Hispanic or Latino box to check concerning race 3 and
    that       the       district     court’s       decision                concerning       the    juror’s
    classification             was    based    on       how       the       individual       in    question
    appeared and was therefore improperly based on a stereotype.
    See id. at 154 (“Your Honor, there’s no such thing as a Hispanic
    look, especially coming from a law firm that represents a huge
    number of Hispanics.                    It runs all the color hues of skin and
    hair.”).             Bryant      also    contends          that         because    the     challenged
    individual           had    a    “Hispanic          last      name,”        the    district          court
    erroneously failed to ask the individual her race.                                         See id. at
    152, 154.
    Even assuming that the challenged individual was a member
    of a racial or ethnic minority (e.g., a Latina), the prosecutor
    provided         a    neutral      explanation            for     striking         the    prospective
    juror.       Specifically, when Bryant raised his Batson challenge,
    the    prosecutor           explained         that       he     struck       the     individual        in
    question         because         she    was     a        school         psychologist          whom    the
    government feared might be overly sympathetic to Bryant.                                              See
    J.A. 153.            This reason is a clear, specific, neutral explanation
    3
    The jury survey also                         lacked          a    separate        question      for
    ethnicity. See J.A. 125–42.
    9
    for the peremptory strike.                See Batson, 
    476 U.S. at
    97–98 &
    n.20.     Moreover, we have reviewed the record concerning Bryant’s
    Batson challenge to this prospective juror.                             See J.A. 148-55.
    The district court did not err in considering and overruling
    Bryant’s Batson objection.
    III.
    Next, Bryant raises several challenges under Crawford v.
    Washington, 
    541 U.S. 36
     (2004).                 In Crawford, the Supreme Court
    held that the Confrontation Clause of the Sixth Amendment bars
    “admission of testimonial statements of a witness who did not
    appear at trial unless [the witness] was unavailable to testify,
    and     the   defendant    had     had    a     prior       opportunity         for    cross-
    examination.”          
    541 U.S. at
    53–54.               Bryant contends that the
    district      court     erroneously        admitted           various      “testimonial”
    statements and thereby violated the Sixth Amendment.
    A.
    First,    Bryant   argues    that       the        district      court    erred    in
    admitting the testimony of Charlottesville Police Officer Web
    Stokes    (“Officer      Stokes”)    in       two    respects.           Officer       Stokes’
    testimony arose from an incident in which Bryant and Lorenzo
    Timberlake       (“Timberlake”)     opened          fire    on    the    home     of    Robert
    Pryor    (“Pryor”)      (another    drug       dealer       in    Charlottesville)          in
    retaliation      for    Pryor’s    theft       of    drugs       belonging       to    Project
    10
    Crud.     See, e.g., A.J.A. 1255–75.                  Initially, Bryant contends
    that the district court erred when it allowed Officer Stokes to
    testify   as     to    what    Glenetta      Smith,       a    government     witness    who
    lived near Pryor’s house, said and did during a photo lineup
    that    Officer       Stokes   conducted          while       investigating     the   Pryor
    house shooting.         See, e.g., Appellant’s Am. Sealed Br. 24–28.
    Officer Stokes testified that shortly after the Pryor house
    shooting, he prepared a photo lineup and showed it to Glenetta
    Smith.    See A.J.A. 1343.          According to Officer Stokes, Glenetta
    Smith identified Bryant in the lineup.                              See 
    id.
     at 1343–44.
    Bryant argues that Officer Stokes’ testimony concerning Glenetta
    Smith’s identification of Bryant in the photo lineup violates
    Crawford.      See Appellant’s Am. Sealed Br. 26–28.
    In Crawford, the Supreme Court declined to comprehensively
    define    what        constitutes       a     “testimonial”           statement.         See
    Crawford, 
    541 U.S. at 68
    .                   However, “[w]hatever else the term
    [testimonial] covers, it applies at a minimum to prior testimony
    at a preliminary hearing, before a grand jury, or at a former
    trial; and to police interrogations.”                         
    Id.
         Further, the Court
    stated    that    “[a]n       accuser       who    makes       a    formal   statement    to
    government officers bears testimony in a sense that a person who
    makes a casual remark to an acquaintance does not.”                            
    Id. at 51
    ;
    see also Davis v. Washington, 
    547 U.S. 813
    , 822 (2006).
    11
    We assume, without deciding, that Officer Stokes’ testimony
    concerning          Glenetta      Smith’s          identification          of    Bryant      was
    “testimonial” and violated Crawford.                         We next analyze whether
    the alleged Confrontation Clause error was harmless.                                See, e.g.,
    United States v. Banks, 
    482 F.3d 733
    , 741 (4th Cir. 2007) (“We
    need    not     decide        whether        the    district       court        erred     [under
    Crawford],      however,         because      we    hold    that     any    error    would   be
    harmless       in     light      of    the    other        evidence    inculpating          [the
    defendant].”); United States v. Khan, 
    461 F.3d 477
    , 496 (4th
    Cir.   2006)        (“We    do   not    reach       the    question        of   whether    [the
    witness’s] statements were admitted in violation of the Sixth
    Amendment because, to the extent that any error occurred, it was
    harmless.”).
    “[A] Confrontation Clause violation may be found harmless
    on appeal.”          Banks, 
    482 F.3d at
    741 (citing Khan, 
    461 F.3d at 496
    ; Crawford, 
    541 U.S. at 76
     (Rehnquist, C.J., concurring in
    the judgment)).             An error is harmless when the reviewing court
    can    say     with     confidence         that,      after     considering         all     that
    occurred, and without severing the erroneous action from the
    whole, the judgment was not substantially swayed by the error.
    Banks, 
    482 F.3d at
    741–42; see Khan, 
    461 F.3d at 496
    ; cf. Fed.
    R. Crim. P. 52(a).
    Here,        ample     evidence       beyond        Officer    Stokes’        testimony
    concerning Glenetta Smith’s identification of Bryant tied Bryant
    12
    to the Pryor house shooting.            In particular, Timberlake provided
    detailed testimony to the jury about how he and Bryant fired
    multiple    rounds    into     Pryor’s          house,    including     considerable
    details about their transit, point of attack, weapons used, and
    flight from the scene.              See A.J.A. 1255–75.              Although Bryant
    complains    that    Timberlake      was    a     cooperating     witness     and   was
    therefore     unreliable,       the     jury        was     entitled     to     credit
    Timberlake’s testimony.         We conclude that the judgment was not
    substantially swayed by Officer Stokes’ testimony about Glenetta
    Smith’s     identification      of      Bryant,          even   assuming      (without
    deciding)    that    the     district      court     erred      in    admitting     the
    4
    identification testimony.
    4
    Unlike a typical Crawford objection where the declarant
    does not testify at trial, Glenetta Smith testified at trial.
    In fact, Glenetta Smith testified before Officer Stokes
    testified.    During Glenetta Smith’s testimony, she mentioned
    that she spoke with Officer Stokes shortly after the shooting,
    but she did not testify about her conversation with Officer
    Stokes.    See A.J.A. 1192.     Further, during her testimony,
    neither the government nor Bryant asked Glenetta Smith about her
    identification of Bryant to Officer Stokes.   Cf. Fed. R. Evid.
    801(d)(1)(C).    Officer Stokes testified after Glenetta Smith,
    and his testimony included Glenetta Smith’s identification of
    Bryant.   During Bryant’s case, Bryant did not recall Glenetta
    Smith to testify about her alleged identification of Bryant to
    Officer Stokes.
    The    parties    dispute  whether  Glenetta    Smith   was
    “unavailable” within the meaning of Crawford when the district
    court excused her following her testimony.  Compare Appellant’s
    Sealed Reply Br. 6 with Appellee’s Am. Sealed Br. 44.        The
    parties also dispute whether Bryant (through counsel) withdrew
    his Crawford     objection   to Officer Stokes’   identification
    (Continued)
    13
    Next,    Bryant   argues   that    the   district   court   erroneously
    allowed Officer Stokes to testify about what Glenetta Smith told
    him she saw on the night of the Pryor house shooting.                    See
    Appellant’s Am. Sealed Br. 26–28.           Officer Stokes testified that
    Glenetta Smith told him that she had seen “two black males, one
    of which was shorter and stocky and very dark-skinned, and then
    another one who was taller, probably over six feet, and more
    slender and light-skinned.”        See A.J.A. 1337.        Bryant contends
    that Officer Stokes’s testimony concerning what Glenetta Smith
    said violates Crawford.     See Appellant’s Am. Sealed Br. 26–28.
    Again,    assuming   (without     deciding)   that   Officer    Stokes’
    testimony constitutes Crawford error, we conclude that it was
    harmless.     Notably, before Officer Stokes testified, Glenetta
    Smith testified that she heard a long, loud sound like someone
    was beating on a trash can.        See A.J.A. 1190.        She then looked
    out of her window and saw a tall, light-skinned black male and a
    shorter, dark-skinned black male running away from Pryor’s house
    towards Forest Hill Park.       See 
    id.
     at 1191–92.        Bryant (through
    counsel) then cross examined Glenetta Smith about what she heard
    testimony and thereby waived (except for plain error) his right
    to object. Cf. A.J.A. 1344 (“I withdraw that objection because
    I’m   going  to   be   crossing  [Officer   Stokes]  about  [the
    identification].”).    Because we conclude that any error in
    admitting Officer Stokes’ contested identification testimony was
    harmless, we need not decide either of these issues.
    14
    and    saw    that     evening.           
    Id.
        at    1192–93.           Officer     Stokes’s
    testimony concerning what Glenetta Smith said to him essentially
    duplicated Glenetta Smith’s testimony.                             In light of Glenetta
    Smith’s       testimony,         we    conclude        that      the    judgment      was       not
    substantially        swayed       by     Officer      Stokes’         testimony     concerning
    what Glenetta Smith said to him.
    B.
    Next,       Bryant    argues       that       the       district    court    erred        in
    admitting      two    documents         into     evidence        over     his    Crawford       and
    hearsay      objections:          a    record     of       a    gun     transaction       and     a
    declaration of non-records from the Internal Revenue Service.
    See Appellant’s Am. Sealed Br. 28.                         First, Bryant contends that
    the district court erred when it admitted an ATF Form 4473 from
    a gun shop connected with the purchase of a .454 pistol.                                        See
    
    id.
    The dispute concerns Bryant’s connection to a .454 pistol.
    Everette       Smith        (a    convicted           felon       and     drug     dealer        in
    Charlottesville) testified that he convinced Sam Jones (“Jones”)
    (a man with no prior felony convictions) to purchase a .454
    pistol       for    Everette          Smith.         See       A.J.A.    1203-07,     1212–14.
    Everette Smith explained that, in exchange for Jones purchasing
    the weapon, he paid Jones $200 worth of crack cocaine.                                    Id. at
    1206.       Everette Smith also testified that he accompanied Jones
    to    the    gun    shop     in       approximately        November       2003     when     Jones
    15
    completed the paperwork to purchase the weapon and paid for the
    weapon.       Id. at 1206-07.        Everette Smith also accompanied Jones
    when they returned to the shop to pick up the weapon.                        Id. at
    1207.        Everette Smith testified that he later sold the .454
    pistol to Bryant for two pounds of marijuana.                  See id. at 1212–
    14.      Bryant (through counsel) cross examined Everette Smith.
    Id. at 1222-36.         Sam Jones did not testify.
    To    corroborate     Everette    Smith’s    testimony       about    Jones
    purchasing the weapon for Smith and to help rebut the defense
    contention that Smith was fabricating the story about obtaining
    the   weapon     from    Jones   and   later    selling   it   to    Bryant,     the
    government introduced Jones’ application to purchase the .454
    pistol as a business record from the gun shop.                 See id. at 1482–
    88.     The application is an ATF Form 4473 that Jones completed
    before purchasing the weapon.            See id. at 1488.         The government
    introduced the ATF Form 4473 through ATF Agent John Stoltz, who
    testified that he received the ATF Form 4473 from the president
    of the gun shop.          Id. at 1482-83.       As part of the government’s
    proof,       Agent   Stoltz   also   provided   an   affidavit      from   the   gun
    shop’s       president    consistent     with   Federal    Rule      of    Evidence
    16
    902(11). 5   See id. at 1483–84.    Bryant objected at trial to the
    ATF Form 4473, and argues on appeal, that this document violates
    Crawford and Federal Rules of Evidence 802 and 805.       See id.;
    Appellant’s Am. Sealed Br. 28.
    As for the Crawford objection, the ATF Form 4473 contains
    Sam Jones’ application to purchase a firearm.       A.J.A. 1487–88.
    5
    Rule 902(11) provides:
    Certified domestic records of regularly conducted
    activity.—The original or a duplicate of a domestic
    record of regularly conducted activity that would be
    admissible under Rule 803(6) if accompanied by a
    written   declaration of   its  custodian  or  other
    qualified person, in a manner complying with any Act
    of Congress or rule prescribed by the Supreme Court
    pursuant to statutory authority, certifying that the
    record—
    (A) was made at or near the time of the occurrence of
    the matters set forth by, or from information
    transmitted by, a person with knowledge of those
    matters;
    (B) was kept in the course of the regularly conducted
    activity; and
    (C) was made by the regularly conducted activity as a
    regular practice.
    A party intending to offer a record into evidence
    under this paragraph must provide written notice of
    that intention to all adverse parties, and must make
    the record and declaration available for inspection
    sufficiently in advance of their offer into evidence
    to provide an adverse party with a fair opportunity to
    challenge them.
    Fed. R. Evid. 902(11).
    17
    Agent Stoltz explained that an ATF Form 4473 “is a firearms
    transaction form that is filled out at the time of purchase by
    all people who wish to purchase firearms.                       It basically lists
    the person’s name, address, and has various questions that need
    to be filled out [by and regarding the purchaser] at the time of
    purchase.”    Id. at 1488.         The form identifies Sam Jones as the
    purchaser.    See id.
    Even    if   we   assume      that    the       Form    4473     was    testimonial
    hearsay with respect to Bryant, Everette Smith testified that he
    accompanied   Jones     to   buy    the    weapon,          watched    Jones      complete
    paperwork to buy the weapon, went with Jones to pick up the
    weapon at the gun shop, and later sold the weapon to Bryant.
    See A.J.A. 1203–07, 1212–14.              Regardless of the ATF Form 4473
    and regardless of the person from whom Everette Smith got the
    weapon, Smith’s testimony tied Bryant to the weapon.                             Moreover,
    Bryant had full and fair opportunity to cross examine Everette
    Smith.    See id. at 1222-36.         Accordingly, even if admitting the
    Form 4473 was Crawford error, the error was harmless.                                 See,
    e.g., Banks, 
    482 F.3d at
    741–42; Khan, 
    461 F.3d at 496
    ; cf. Fed.
    R. Crim. P. 52(a).
    Bryant also argues that admitting the Form 4473 violates
    Federal   Rules   of    Evidence     802       and    805    because        it   “contains
    multiple levels of hearsay.”          See Appellant’s Am. Sealed Br. 28;
    see also A.J.A. 1483.           The government responds that the Form
    18
    4473 is an admissible business record.                   See Appellee’s Am. Br.
    40–41; Fed. R. Evid. 803(6).
    Even     were     we    to     conclude      that      the   district    court
    erroneously    admitted      the    Form    4473,     the    error   was   harmless.
    Ample evidence beyond the Form 4473 tied Bryant to the .454
    pistol.     That evidence included Everette Smith’s testimony that
    he sold the .454 pistol to Bryant in exchange for marijuana.
    Next,    Bryant    contends      that      the   district    court    erred    in
    admitting a “certification of nonexistence of records” (“CNR”)
    from the Internal Revenue Service (“IRS”) indicating that he had
    not paid income taxes during times relevant to the indictment,
    and thus inviting the jury to draw the inference that Bryant
    derived his income and various assets from selling drugs.                          See
    Appellant’s Am. Sealed Br. 28.              Bryant argues that CNRs are “the
    very essence of testimonial evidence.”                
    Id.
    The     district       court    considered        and    rejected     Bryant’s
    Crawford challenge to the IRS CNR.               See United States v. Bryant,
    No. 3:04-CR-47, 
    2006 WL 1700107
    , at *1–*4 (W.D. Va. June 15,
    2006) (unpublished).          In rejecting the Crawford argument, the
    district court relied on cases from the Fifth and Ninth Circuits
    analyzing CNRs from Immigration and Customs Enforcement (“ICE”).
    See 
    id.
     at *2 (citing United States v. Cervantes-Flores, 
    421 F.3d 825
    , 830–34 (9th Cir. 2005) (per curiam); United States v.
    Rueda-Rivera, 
    396 F.3d 678
    , 680 (5th Cir. 2005) (per curiam)).
    19
    Since the district court’s decision, other circuit courts have
    concluded that ICE CNRs are nontestimonial.                          See United States
    v. Burgos, 
    539 F.3d 641
    , 644–45 (7th Cir. 2008) (“The reported
    cases from the other circuits that have considered the question
    are unanimous in holding that an alien's warrant of deportation
    and CNR are nontestimonial business records not subject to the
    requirements         of     the    Confrontation      Clause       under     Crawford.”);
    accord United States v. Mendoza-Orellana, 133 F. App’x 68, 70
    (4th Cir. 2005) (per curiam) (unpublished) (finding that ICE CNR
    admitted        as        self-authenticating         public         record      was     not
    testimonial under Crawford).
    In opposition to the analysis concerning ICE CNRs, Bryant
    notes    that     this      case    involves     an   IRS   CNR.       See    Appellant’s
    Sealed Reply Br. 8.               Bryant then argues that an IRS CNR is more
    likely to be inaccurate because the IRS (unlike ICE) is a huge
    organization responsible for keeping records on all taxpayers in
    America.     See 
    id.
    Initially, we question the premise that the IRS is more
    likely to commit record-keeping errors than ICE.                              Certainly,
    nothing      in      the     record      supports      this        conclusion.          More
    importantly, whether the IRS is more likely to commit record-
    keeping errors than ICE does not illuminate whether an IRS CNR
    or an ICE CNR is testimonial under Crawford.                         Cf. Crawford, 
    541 U.S. at 56
          (noting      that   some    examples     of    hearsay    “by     their
    20
    nature were not testimonial—for example, business records”).                             As
    to that issue, we conclude that the IRS CNR is not testimonial
    under    Crawford.         See,   e.g.,         Burgos,    
    539 F.3d at 644-45
    ;
    Cervantes-Flores, 
    421 F.3d at
    830–34; Rueda-Rivera, 
    396 F.3d at 680
    ; see also Udeozor, 515 F.3d at 268–70.
    Alternatively, even if we assume that the district court
    erroneously      admitted      the    IRS       CNR,    the     alleged         error   was
    harmless.      The     government       presented       considerable       evidence      of
    Bryant’s    lavish      lifestyle        and     absence       of   legitimate          work
    history, even without the IRS CNR.                  See, e.g., Bryant, 
    2006 WL 1700107
    ,    at     *3–*4      (recounting         the     evidence         of     Bryant’s
    unexplained      wealth,      including     $20,000       in   cash    found       in    his
    Cadillac Escalade).           In sum, we reject Bryant’s Crawford and
    hearsay arguments. 6
    IV.
    Finally,     we    address      one    housekeeping         matter.         The    jury
    convicted     Bryant     on     eight      counts,      including      both        a    drug
    conspiracy in violation of 
    21 U.S.C. § 846
     (i.e., count 1), and
    of engaging in a continuing criminal enterprise in violation of
    6
    Bryant (through counsel and in his pro se brief) raised
    numerous other arguments.     We have carefully examined all of
    these arguments.    The arguments lack merit and do not warrant
    further discussion.
    21
    
    21 U.S.C. § 848
    (a) and (b) (i.e., count 2). 7                    The district court
    sentenced Bryant to life in prison for the continuing criminal
    enterprise conviction, but did not impose a sentence for the
    section 846 conviction.          See J.A. 419.
    In    failing    to    impose     a        sentence    on   the     section     846
    conviction, the district court acted properly.                         In Jeffers v.
    United    States,    
    432 U.S. 137
         (1977)        (plurality     opinion),      a
    plurality of the Supreme Court held that imposing sentence on
    both a 
    21 U.S.C. § 846
     conspiracy count and a 
    21 U.S.C. § 848
    continuing    criminal      enterprise          (“CCE”)     count      was     improper,
    because   Congress    did    not     intend        cumulative       penalties       under
    section 846 and section 848.           See 
    432 U.S. at 156
     (“Section 848
    itself reflects a comprehensive penalty structure that leaves
    little    opportunity      for     pyramiding        of    penalties         from   other
    sections of the Comprehensive Drug Abuse Prevention and Control
    7
    Bryant was convicted of (1) conspiracy to distribute or
    possess with intent to distribute 50 grams or more of cocaine
    base, 5 kilograms or more of powder cocaine, and marijuana (
    21 U.S.C. §§ 846
    , 841(a)(1), 859, 860, and 861); (2) engaging in a
    continuing criminal enterprise (
    21 U.S.C. § 848
     (a) and (b));
    (3) conspiracy to conduct and participate in a racketeer
    influenced and corrupt organization (RICO) (
    18 U.S.C. § 1962
    (d)); (4) possession with intent to distribute marijuana (
    21 U.S.C. § 841
     (a)(1)); (5) possession of a firearm during and in
    relation to a drug trafficking crime (
    18 U.S.C. § 924
    (c)); (6)
    attempted murder, violent crime in aid of racketeering activity
    (
    18 U.S.C. §§ 2
     and 1959(a)(5)); and (7) two counts of threat to
    murder, violent crime in aid of racketeering activity (
    18 U.S.C. §§ 2
     and 1959(a)(4)). See J.A. 417-18.
    22
    Act of 1970.”); see also Rutledge v. United States, 
    517 U.S. 292
    , 300 (1996) (“For the reasons set forth in Jeffers, . . . we
    hold that this element of the CCE offense requires proof of a
    conspiracy that would also violate § 846.                   Because § 846 does
    not require proof of any fact that is not also a part of the CCE
    offense, . . . conspiracy as defined in § 846 does not define a
    different offense from the CCE offense defined in § 848.”).                       We
    have   applied      Jeffers    to   require   that,    where     a   defendant    is
    convicted of both a section 846 count and a section 848 count,
    the section 846 conviction must be vacated.                     See, e.g., United
    States   v.    Heater,   
    63 F.3d 311
    ,   318   (4th    Cir.     1995);   United
    States v. Porter, 
    821 F.2d 968
    , 978 (4th Cir. 1987) (“Congress
    did not intend that an individual be punished under both § 846 .
    . . and § 848 . . . .”).              In this case, Heater applies.           Thus,
    as in Heater, “[w]e need only take the next step and instruct
    the district court to vacate the conspiracy conviction itself.”
    
    63 F.3d at 318
    .
    V.
    For    the    reasons    explained     above,       we    affirm   Bryant’s
    convictions and sentence.             Because we affirm Bryant’s 
    21 U.S.C. § 848
     conviction, we remand this action with instructions for
    23
    the   district   court   to    vacate   Bryant’s   
    21 U.S.C. § 846
    conviction.   We affirm the balance of the judgment.
    AFFIRMED AND REMANDED WITH INSTRUCTIONS
    24