United States v. Zavian Jordan ( 2020 )


Menu:
  •                                      PUBLISHED
    UNITED STATES COURT OF APPEALS
    FOR THE FOURTH CIRCUIT
    No. 17-4751
    UNITED STATES OF AMERICA,
    Plaintiff – Appellee,
    v.
    ZAVIAN MUNIZE JORDAN,
    Defendant – Appellant.
    Appeal from the United States District Court for the Western District of North Carolina at
    Charlotte. Robert J. Conrad, Jr., District Judge. (3:16-cr-00145-RJC-2)
    Argued: October 29, 2019                                         Decided: March 3, 2020
    Before HARRIS, RICHARDSON, and QUATTLEBAUM, Circuit Judges.
    Affirmed by published opinion. Judge Harris wrote the opinion, in which Judge
    Richardson and Judge Quattlebaum joined.
    ARGUED: Leigh Schrope, LAW FIRM OF SHEIN & BRANDENBURG, Decatur,
    Georgia, for Appellant. Anthony Joseph Enright, OFFICE OF THE UNITED STATES
    ATTORNEY, Charlotte, North Carolina, for Appellee. ON BRIEF: Marcia G. Shein,
    LAW FIRM OF SHEIN & BRANDENBURG, Decatur, Georgia, for Appellant. R.
    Andrew Murray, United States Attorney, OFFICE OF THE UNITED STATES
    ATTORNEY, Charlotte, North Carolina, for Appellee.
    PAMELA HARRIS, Circuit Judge:
    A jury convicted appellant Zavian Munize Jordan of two violations of 18 U.S.C.
    § 924(c), for possession of a firearm in furtherance of a drug-trafficking crime, and four
    other drug-trafficking and firearms-related offenses. The district court sentenced Jordan
    to a total of 420 months in prison, including a five-year mandatory consecutive sentence
    for his first § 924(c) conviction and a 25-year mandatory consecutive sentence for the
    second.
    Jordan challenges both his conviction and his sentence, raising four principal
    arguments on appeal: (1) that under the Fourth Amendment, the district court erred in
    failing to suppress evidence gathered from the traffic stop that led to his arrest and
    subsequent incriminating statements; (2) that under the Sixth Amendment’s Confrontation
    Clause, the district court erred in admitting evidence relating to a recorded phone call
    between Jordan and an informant who did not testify at trial; (3) that the district court erred
    in failing to merge his two § 924(c) firearms convictions for sentencing purposes; and (4)
    that § 403 of the First Step Act of 2018, Pub. L. No. 115-391, 132 Stat. 5194, 5221–22
    which was enacted while this appeal was pending, should apply to his case, where it would
    have the effect of substantially lowering the mandatory minimum sentence for his second
    § 924(c) conviction. 1
    1
    Jordan also raises an ineffective assistance of counsel claim, contending that his
    trial counsel performed deficiently by failing to challenge certain search warrants. “[I]t is
    well settled that a claim of ineffective assistance should be raised in a 28 U.S.C. § 2255
    motion in the district court rather than on direct appeal, unless the record conclusively
    shows ineffective assistance.” United States v. King, 
    119 F.3d 290
    , 295 (4th Cir. 1997)
    2
    Finding no error in the district court’s rulings and holding that § 403 of the First
    Step Act does not apply retroactively to cases pending on direct appeal when it was enacted,
    we affirm both Jordan’s conviction and his sentence.
    I.
    A.
    Zavian Munize Jordan was the subject of a weeks-long investigation by the federal
    Drug Enforcement Administration (“DEA”). Jordan came to the attention of federal agents
    when another individual, Ricky Grant, was arrested for drug distribution and identified
    Jordan as his primary and long-standing source of heroin. Agency Task Force Officer Clint
    Bridges then instructed Grant to phone his heroin supplier, while officers monitored and
    recorded the call. Though Grant and Jordan did not refer to drugs by name during their
    conversation, the officers understood them to be using a kind of code describing a drug
    transaction. See S.J.A. 002 (Grant informing Jordan that he is “looking slim” and asking
    when they would “get back right”; Grant suggesting he might “holler” at someone else and
    Jordan telling him to “hold up” before he did that); see also J.A. 161–62 (officer testimony
    at trial describing the way in which drug traffickers routinely use code words when
    speaking on the phone). Based on Grant’s statement and the contents of the call, the
    (internal quotation marks omitted). Because there is no conclusive evidence of ineffective
    assistance on the face of this record, Jordan’s claim should be raised, if at all, in a § 2255
    motion. See United States v. Faulls, 
    821 F.3d 502
    , 508 (4th Cir. 2016).
    3
    officers obtained a warrant to track the location of Jordan’s phone, and later, a second
    warrant to place a location-tracking device on Jordan’s truck.
    The investigation came to a head on May 11, 2016, when federal agents who had
    Jordan under surveillance watched him enter and depart several locations over a short
    period of time, sometimes entering with one package and leaving with another. At that
    point, DEA Special Agent James Billings decided to conduct an investigatory stop of
    Jordan. He reached out to Detective Christopher Newman of the Charlotte-Mecklenburg
    Police Department, who had been assisting the DEA in its operation, and asked him to
    conduct a routine traffic stop. As Agent Billings explained to the district court, the DEA
    frequently asks local officers to find cause to pull over drug suspects for traffic violations:
    A suspect who believes he is the subject of a routine traffic stop is less likely to resist and
    create a danger to the public; and if the stop does not uncover evidence of criminal activity,
    the investigation can continue without the suspect having been alerted to it.
    Detective Newman followed Jordan until he saw him turn through a red light
    without stopping, and then pulled him over. When he approached Jordan’s truck, Newman
    found Jordan on the phone and unwilling to engage with him, and saw several other
    cellphones in the vehicle. Newman asked Jordan to step out of the truck and patted him
    down, observing a rubber glove – which he knew to be common packaging for drugs – in
    Jordan’s pants pocket. By then, Jordan’s brother had arrived on the scene in a separate
    vehicle, attempting to “interject himself” into the stop. J.A. 132. Newman accordingly
    waited for about 11 minutes for back-up before walking his drug-detecting dog around the
    truck. The dog alerted, and Jordan admitted that he had cocaine in his possession.
    4
    Detective Newman then found approximately 12 grams of cocaine in the rubber glove from
    Jordan’s pocket, along with roughly $2,000 in cash, also in Jordan’s pocket. After a search
    of the truck revealed six phones, $26,000 in cash, and a handgun, Jordan was arrested.
    Jordan was advised of his rights and agreed to talk to the police, admitting that he
    was involved in cocaine trafficking and giving a detailed statement. After obtaining
    warrants, police officers conducted several searches. At the home of Jordan’s deceased
    grandmother, which Jordan had identified as the place he used to prepare and package
    drugs, they recovered 275 grams of heroin, digital scales and drug-packaging materials,
    and a gun and ammunition. At one of the residences Jordan had visited on the day he was
    stopped, at which Jordan admitted he regularly sold drugs, the police recovered about 750
    grams of cocaine, marijuana, and another firearm. And at the residence Jordan shared with
    his girlfriend, the police found $24,000 in cash and more firearms.
    B.
    Jordan was indicted on six counts of drug- and firearm-related offenses. Count One
    charged Jordan and others with conspiring to distribute heroin and cocaine. Counts Five
    and Six – the next counts involving Jordan – charged him with substantive drug offenses:
    possession with intent to distribute heroin and cocaine, and distribution of cocaine. Counts
    Eight and Nine each charged Jordan with possessing a firearm during and in relation to a
    drug-trafficking crime in violation of 18 U.S.C. § 924(c)(1)(A); Count Eight referred to the
    drug-trafficking conspiracy set out in Count One, and Count Nine, to the drug-trafficking
    offense in Count Six. Finally, Count Ten charged Jordan with possessing a firearm as a
    convicted felon, in violation of 18 U.S.C. § 922(g)(1).
    5
    Before trial, Jordan moved to exclude the evidence seized from the traffic stop and
    his subsequent incriminatory statements, on the ground that Detective Newman violated
    the Fourth Amendment by unduly prolonging his traffic stop without the requisite
    reasonable suspicion.    The district court denied the motion.        Jordan also moved
    unsuccessfully to exclude from trial his recorded phone call with Ricky Grant, arguing that
    because Grant would not be testifying at trial, his statements were inadmissible hearsay
    and their introduction would violate the Sixth Amendment’s Confrontation Clause.
    After a three-day trial, the jury found Jordan guilty of all charges against him.
    Before sentencing, Jordan moved to merge Counts Eight and Nine – the two § 924(c)
    firearm charges – or to vacate one for sentencing purposes, because “[n]othing in the jury
    verdict indicates that it found that [he] possessed different guns at different times.” J.A.
    465 (emphases added). The district court denied the motion, explaining that Jordan’s claim
    was foreclosed by United States v. Khan, 
    461 F.3d 477
    , 494 (4th Cir. 2006), in which this
    court held that a single use or possession of a firearm may be the basis for multiple
    consecutive § 924(c) sentences.
    The district court sentenced Jordan to a total of 420 months, or 35 years, in prison:
    five years on the drug-conspiracy count, each of the drug-trafficking counts, and the felon-
    in-possession count (Counts One, Five, Six, and Ten), all to run concurrently; plus the
    mandatory five-year consecutive term on the first § 924(c) firearm offense (Count Eight)
    and the mandatory 25-year consecutive term on the second § 924(c) offense (Count Nine).
    Jordan filed this timely appeal. While his appeal was pending and after briefs were
    filed, on December 21, 2018, Congress enacted the First Step Act. Pub. L. No. 115-391,
    6
    132 Stat. 5194. Section 403 of the First Step Act amended 18 U.S.C. § 924(c)(1)(C) in a
    way that is relevant to Jordan’s sentence: Under the new § 403, if an individual is convicted
    of two § 924(c) offenses in the same proceeding, as Jordan was here, the mandatory
    minimum sentence for the second offense drops from 300 months to 60 months. § 403(a),
    132 Stat. at 5221–22. Section 403 expressly addresses its “applicability to pending cases,”
    providing that the new penalties apply to offenses committed before its enactment “if a
    sentence for the offense has not been imposed” as of the date of enactment. § 403(b), 132
    Stat. at 5222. In a letter to this court, Jordan argued that under the First Step Act, he no
    longer was eligible for the mandatory 300-month sentence he is serving on his second
    § 924(c) conviction. The government disagreed, and both parties filed supplemental briefs
    on the issue.
    II.
    Jordan raises four arguments on appeal, two concerning his conviction and two
    concerning his sentence. We take those arguments in turn, providing additional factual
    context as necessary.
    A.
    Jordan first challenges his conviction on the ground that the district court erred in
    denying his motion to suppress evidence seized from the traffic stop and the incriminatory
    statements that followed. Jordan does not dispute the validity of Detective Newman’s
    initial stop of his truck for a traffic violation, regardless of the officer’s actual motives. See
    United States v. Palmer, 
    820 F.3d 640
    , 649 (4th Cir. 2016) (“In assessing the legitimacy
    7
    of a traffic stop, we do not attempt to discern an officer’s subjective intent for stopping the
    vehicle.”).     But, Jordan argues, Newman violated the Fourth Amendment when he
    prolonged that stop for 11 minutes, beyond the time required to complete a traffic stop,
    without reasonable suspicion of some other offense.
    In an oral ruling, the district court rejected that claim. At the time Newman initiated
    his traffic stop of Jordan, the court concluded, there already was “overwhelming” indicia
    of reasonable suspicion that Jordan was engaged in drug trafficking: the cooperating
    witness, Ricky Grant; the preliminary cell phone and GPS tracking devices, based on a
    magistrate’s probable cause determination; and the suspicious activity – the quick stops at
    various locations, entering and leaving with different packages – on the day of the stop.
    By itself, the district court held, that was sufficient to justify the length of the detention at
    issue: Given the safety concerns generated by “this drug trafficking investigation in which
    guns and large sums of drugs and money had recently been seized from a co-conspirator,”
    Newman was justified in waiting for back-up before proceeding, and “that length of time
    was a reasonable period” for the stop. J.A. 778. The activity observed during the stop, the
    court finished – multiple cell phones, the rubber glove that Newman believed to be
    contraband – “only furthered” the reasonable suspicion with which Newman started. 
    Id. at 779.
    We agree with the district court. In considering the denial of Jordan’s suppression
    motion, we review the district court’s factual findings for clear error, taking the evidence
    in the light most favorable to the government, and its legal conclusions de novo. United
    States v. McBride, 
    676 F.3d 385
    , 391 (4th Cir. 2012). Like the district court, we think that
    8
    Detective Newman came to his encounter with Jordan with ample reasonable suspicion of
    drug distribution, justifying the full length of the stop under the Fourth Amendment.
    It is true, as Jordan emphasizes, that when a stop is based solely on probable cause
    of a traffic violation, it may not be prolonged beyond the time reasonably required to
    “complete the mission” of a traffic stop – inspecting license and registration, issuing a
    ticket, and so forth. United States v. Bowman, 
    884 F.3d 200
    , 209–10 (4th Cir. 2018)
    (alteration omitted) (quoting Illinois v. Caballes, 
    543 U.S. 405
    , 407 (2005)); see also
    Rodriguez v. United States, 
    575 U.S. 348
    , 354 (2015). After that time, the stop will become
    unlawful, unless during the stop the officers obtain consent or develop reasonable suspicion
    of some ongoing criminal activity. 
    Bowman, 884 F.3d at 210
    .
    But this is not that kind of case because, as the district court recognized, Detective
    Newman already had reasonable suspicion of ongoing criminal activity, apart from
    Jordan’s traffic violation, when he stopped Jordan’s truck. Under the constructive or
    collective knowledge doctrine, we impute to Detective Newman knowledge of all the facts
    known to Agent Billings when he asked Newman to make a traffic stop of Jordan. See
    United States v. Massenburg, 
    654 F.3d 480
    , 493 (4th Cir. 2011) (under the collective
    knowledge doctrine, we “substitute the knowledge of the instructing officer or officers for
    the knowledge of the acting officer”). And, indeed, Newman in fact was aware – because
    he had been told by federal agents – that Jordan was suspected of drug trafficking, and that
    others involved in the same scheme had been found with firearms or had histories of violent
    crimes. He also had constructive knowledge, as the district court described, of Ricky
    Grant’s identification of Jordan as his primary supplier; of the warrants issued, based on
    9
    probable cause, for the tracking of Jordan’s cell phone and truck; and of Jordan’s
    movements earlier in the day, which Agent Billings observed and believed, based on his
    knowledge and experience, were indicative of drug transactions.
    We think that is enough for reasonable suspicion, which is “simply . . . a
    particularized and objective basis for suspecting the person stopped of criminal activity.”
    Ornelas v. United States, 
    517 U.S. 690
    , 696 (1996) (internal quotation marks omitted).
    Jordan insists that his earlier behavior on the day in question, observed by the agents, is as
    consistent with running errands and visiting friends as it is with drug transactions. But
    Agent Billings, based on his knowledge and experience, saw it differently, and in any
    event, those observations must be considered together with the totality of the
    circumstances, including the credible identification of Jordan as Grant’s regular drug
    supplier. Considering the facts as a whole, and “mindful of the practical experience of
    officers who observe on a daily basis what transpires on the street,” Agent Billings and
    thus Detective Newman had a “particularized and objective basis,” for suspecting Jordan
    of drug trafficking when Detective Newman initiated the stop. See 
    Bowman, 884 F.3d at 213
    (internal quotation marks omitted).
    We also agree with the district court that this initial reasonable suspicion justified
    the length of the stop in question, which was extended by roughly 11 minutes when
    Detective Newman waited for back-up before completing his investigation. “Investigating
    officers may take such steps as are reasonably necessary to maintain the status quo and
    protect their safety during an investigative stop.” United States v. Taylor, 
    857 F.2d 210
    ,
    213 (4th Cir. 1988). Detective Newman, who had reason to believe that Jordan was
    10
    working with armed drug dealers and was confronted not only with Jordan but also with
    his brother, did not unreasonably prolong Jordan’s detention by waiting briefly for
    assistance on the scene.
    The district court also determined, as noted above, that Detective Newman’s
    observations during the stop “furthered” the reasonable suspicion showing, and the
    government relies on some of those observations in its argument for reasonable suspicion.
    Because we conclude that Newman had reasonable suspicion from the outset, however, we
    need not consider whether additional information uncovered during the stop may have
    contributed to that showing. Newman had the requisite reasonable suspicion that Jordan
    was engaged in illegal drug activity from the start, and that reasonable suspicion was
    sufficient to justify Jordan’s stop under the Fourth Amendment.
    B.
    Jordan’s second challenge to his conviction concerns the admission at trial of parts
    of the recorded phone call Ricky Grant made to him at police direction. The excerpts were
    introduced at trial with the testimony of Officer Bridges, who testified that he “instructed
    Mr. Grant to place a call to his supplier,” J.A. 173, and described the way the call was
    monitored and recorded. The district court instructed the jury that it should not consider
    any of Grant’s statements on the recording “for the truth of the matter that he’s stating,”
    but only to “provid[e] context” for Jordan’s responses. J.A. 177. Over Jordan’s objection,
    the jury then heard excerpts of the conversation, along with testimony from Bridges
    explaining that drug traffickers, when speaking on the phone, commonly use coded terms
    to avoid referring expressly to drugs.
    11
    1.
    Before trial, Jordan had moved to exclude the recording. Jordan did not dispute the
    admissibility of his own statements on the call, instead arguing that Grant’s statements
    were inadmissible:     Because Grant would not be testifying at trial, his statements
    constituted hearsay, and their admission would violate Jordan’s rights under the Sixth
    Amendment’s Confrontation Clause. The district court denied Jordan’s motion, ruling that
    so long as Grant’s statements were “offered for the limited purpose of providing context
    for the responses of Mr. Jordan,” they were not inadmissible hearsay and their introduction
    would not violate the Confrontation Clause. J.A. 96.
    On appeal, Jordan renews his Confrontation Clause argument against the admission
    of Grant’s side of the recorded call. While we typically review evidentiary decisions for
    abuse of discretion, we review those that implicate the Confrontation Clause de novo.
    United States v. Summers, 
    666 F.3d 192
    , 197 (4th Cir. 2011). We agree with the district
    court, finding no error in admitting the recorded phone call.
    The Sixth Amendment’s Confrontation Clause provides: “In all criminal
    prosecutions, the accused shall enjoy the right to . . . be confronted with the witnesses
    against him . . . .” This constitutional right to confrontation bars the admission of
    “testimonial statements of a witness who did not appear at trial unless he was unavailable
    to testify, and the defendant had . . . a prior opportunity for cross-examination.” Crawford
    v. Washington, 
    541 U.S. 36
    , 53–54 (2004). The Clause does not, however, “bar the use of
    testimonial statements for purposes other than establishing the truth of the matter asserted.”
    
    Id. at 59
    n.9. And so we have made clear – along with several other circuits – that recorded
    12
    statements of non-testifying informants like Grant may be used at trial consistent with the
    Confrontation Clause so long as they are offered only to provide context for the defendant’s
    own statements, and not for the truth of the matter asserted. See United States v. Wills, 
    346 F.3d 476
    , 489–90 (4th Cir. 2003); see also United States v. Barragan, 
    871 F.3d 689
    , 705
    (9th Cir. 2017) (“The informant’s statements were not admitted for their truth, and the
    admission of such context evidence does not offend the Confrontation Clause.” (internal
    quotation marks omitted)); United States v. Occhiuto, 
    784 F.3d 862
    , 866 n.2 (1st Cir. 2015)
    (same); United States v. Tolliver, 
    454 F.3d 660
    , 666 (7th Cir. 2006) (same). That is exactly
    what happened here. The district court admitted Grant’s statements only to provide context
    for Jordan’s own statements on the call, and clearly instructed the jury to that effect:
    “[Y]ou are not to consider the statements of Grant for any purpose other than providing
    context for the responses that you hear . . . .” J.A. 177. We find no error in the district
    court’s ruling on Jordan’s objection.
    2.
    Jordan now raises an additional Confrontation Clause argument for the first time on
    appeal. This one focuses not on the contents of the call, but on Officer Bridges’ testimony
    that Grant phoned Jordan after he was instructed to “call . . . his supplier.” J.A. 173.
    Though its precise contours are a bit unclear, Jordan’s claim appears to be that when Grant
    placed a call to Jordan after being told to call his supplier, he engaged in “assertive
    conduct” – the equivalent of saying verbally “Jordan is my supplier” – that falls within the
    scope of the Confrontation Clause.
    13
    Because Jordan did not object at trial to Officer Bridges’ testimony about the call,
    we review his new argument for plain error only. “To establish plain error, a defendant
    has the burden of showing: (1) that an error was made; (2) that the error was plain; and
    (3) that the error affected his substantial rights,” and even then, we will exercise our
    discretion to correct only those errors that would result in a miscarriage of justice or
    otherwise undermine the “fairness, integrity[,] or public reputation of judicial
    proceedings.” United States v. Carthorne, 
    726 F.3d 503
    , 510 (4th Cir. 2013) (internal
    quotation marks omitted). Here, we need focus only on the second requirement. Any error
    in admitting Officer Bridges’ testimony – a matter we need not decide – was not so “clear
    or obvious” that it amounted to “plain error” for purposes of our review. United States v.
    Marcus, 
    560 U.S. 258
    , 262 (2010) (defining “plain error”).
    The Confrontation Clause applies only to “testimonial statements.” United States
    v. Washington, 
    498 F.3d 225
    , 229 (4th Cir. 2007). The jury in Jordan’s case never heard
    testimony that Grant said that Jordan was his supplier.          But as Jordan explains, a
    “statement” also may take the form of nonverbal conduct intended as an assertion, often
    referred to as “assertive conduct.” 
    Id. at 230
    & n.1 (discussing definition of “statement”
    in Federal Rule of Evidence 801(a) and applying same analysis to Confrontation Clause);
    see, e.g., United States v. Caro, 
    569 F.2d 411
    , 416 n.9 (5th Cir. 1978) (treating “pointing”
    at location of drug source as “assertive conduct” that, “like an oral declaration, is subject
    to the hearsay rule”). According to Jordan, when Grant phoned him in response to a
    direction to call his supplier, he engaged in assertive conduct, effectively identifying Jordan
    as his source just as though he had said the words out loud. Because the jury could infer
    14
    from Officer Bridges’ testimony a “statement” by Grant that was not subject to cross-
    examination at trial, Jordan finishes, his Confrontation Clause rights were violated.
    This court has not addressed whether and under what circumstances compliance
    with law enforcement instructions might be deemed “assertive conduct,” so that testimony
    about that compliance would be subject to Confrontation Clause limits. But the First
    Circuit has, and on facts virtually identical to those presented here, it held that when a
    confidential informant, at the direction of police officers, made a phone call to the intended
    recipient of intercepted drugs and then drove the officers to a rendezvous with the recipient,
    she engaged only in non-assertive conduct that did not qualify as a “statement” for
    evidentiary purposes. See United States v. Bailey, 
    270 F.3d 83
    , 87 (1st Cir. 2001).
    Testimony about that compliance, the court explained, “described conduct” rather than
    introducing statements:      The confidential informant “did not orally identify [the
    defendant],” and “[t]he agent did not testify that [the confidential informant] pointed at [the
    defendant] or in any way made an out of court declaration regarding his identity.” 
    Id. Jordan cites
    no cases to the contrary, and we have found none. Jordan relies
    primarily on the Second Circuit’s decision in United States v. Gomez, 
    617 F.3d 88
    (2nd
    Cir. 2010), and though that case, too, involves a police-directed phone call by a confidential
    informant to his supplier, there is an important distinction. In Gomez, a police officer
    testified at trial that he told an informant to call his supplier, and that he himself – the
    officer – then selected the defendant’s phone number from the informant’s phone and
    placed the call, before handing the phone back to the informant. 
    Id. at 91.
    From that
    testimony, the court held, a jury could infer that the informant must have told the officer,
    15
    in so many words, the identity of his supplier, because otherwise the officer would not have
    been able to select the defendant’s number from the informant’s address book. 
    Id. Gomez, in
    other words, involved an actual verbal statement, inferable from the officer’s testimony.
    Here, by contrast, Officer Bridges neither said nor suggested that Grant verbally identified
    Jordan as his supplier. The only question, again, is whether Grant’s act of calling Jordan
    qualified as a “statement” in the form of assertive conduct – a question to which Gomez
    does not speak, but Bailey does. Given Bailey’s rejection of Jordan’s position, and the
    absence of case law adopting it, the district court did not commit plain error when it
    admitted Bridges’ testimony about the call. See 
    Carthorne, 726 F.3d at 516
    (district court
    does not commit plain error by following reasoning of another circuit when we have “yet
    to speak directly on a legal issue”).
    C.
    With respect to his sentence, Jordan argues, first, that the district court erred in
    sentencing him separately for his two convictions, under Counts Eight and Nine, for
    possession of a firearm in furtherance of a drug-trafficking crime in violation of 18 U.S.C.
    § 924(c).   According to Jordan, multiple and consecutive § 924(c) sentences are
    permissible only where each is supported by a distinct use of a firearm. And here, Jordan
    finishes, the jury’s general verdict could have rested on a finding that Jordan used one gun
    on one occasion, in furtherance of both the conspiracy to distribute drugs that was the
    predicate for Count Eight and the substantive drug-distribution offense identified in Count
    Nine, making separate sentences unlawful.
    16
    The district court rejected that claim when Jordan raised it, after his guilty verdict
    but before sentencing, in a “Motion to Merge/Vacate Counts 8 and 9.” J.A. 464. The
    district court acknowledged that other circuits have adopted the premise of Jordan’s
    argument: that one use of a firearm, in the simultaneous commission of two predicate drug-
    trafficking offenses, will not support separate § 924(c) convictions and sentences. See J.A.
    483 n.2. But the Fourth Circuit, the court continued, has squarely rejected that position,
    holding in United States v. 
    Khan, 461 F.3d at 493
    –94, that the same criminal episode indeed
    may lead to multiple sentences under § 924(c), so long as they are based on separate
    predicate offenses that are not duplicative under a double jeopardy analysis. Here, the jury
    convicted Jordan of § 924(c) offenses based on separate and non-duplicative predicate
    offenses – conspiracy under Count Eight and possession with intent to distribute under
    Count Nine – and that was enough, under circuit case law, to sustain separate § 924(c)
    sentences. Finally, the district court noted that while Jordan’s argument depended on the
    failure of the jury to specify the findings underlying its convictions on the § 924(c) charges,
    Jordan had not requested a jury instruction on the issue or a special verdict form.
    We review this question of law de novo, see United States v. Fareed, 
    296 F.3d 243
    ,
    245 (4th Cir. 2002), and again, we agree with the district court. Under Khan, there is no
    requirement that multiple and consecutive § 924(c) sentences rest on the use of different
    firearms or distinct uses of the same firearm. Here, as the district court explained, Jordan’s
    two § 924(c) convictions were predicated on different underlying offenses. And because
    those two offenses – conspiracy to possess with intent to distribute a controlled substance,
    and possession with the intent to distribute – are not duplicative for double jeopardy
    17
    purposes, see United States v. Yearwood, 
    518 F.3d 220
    , 223 (4th Cir. 2008) (“A substantive
    crime and conspiracy to commit that crime are separate offenses for purposes of the Double
    Jeopardy Clause . . . .” (internal quotation marks omitted)), they may support two § 924(c)
    convictions and sentences under Khan. Even assuming, in other words, that the jury
    convicted Jordan on the two § 924(c) counts because it found that one use of one gun
    furthered both predicate offenses, separate sentences would be permissible.
    Jordan emphasizes that our decision in Khan conflicts with the rule adopted by
    several other circuits, prohibiting multiple § 924(c) sentences arising from a single use of
    a firearm. See, e.g., United States v. Rentz, 
    777 F.3d 1105
    , 1115 (10th Cir. 2015) (en banc);
    United States v. Cureton, 
    739 F.3d 1032
    , 1043 (7th Cir. 2014); United States v. Phipps,
    
    319 F.3d 177
    , 185 (5th Cir. 2003); United States v. Finley, 
    245 F.3d 199
    , 208 (2d Cir.
    2001); United States v. Wilson, 
    160 F.3d 732
    , 749 (D.C. Cir. 1998). But as a panel of this
    circuit, we of course are bound by our own precedent, and may not reconsider Khan in this
    posture. See McMellon v. United States, 
    387 F.3d 329
    , 332–33 (4th Cir. 2004) (en banc).
    We note, moreover, that this is not the kind of case that has most troubled some courts, in
    which the evidence presented at trial makes clear that multiple § 924(c) convictions rest on
    a single use of a single gun. Here, as the district court explained, the jury was presented
    with ample evidence of different uses of different guns, all in furtherance of the predicate
    drug-trafficking offenses. See J.A. 484 (describing the handgun recovered from Jordan’s
    grandmother’s home, the two different handguns recovered from Jordan’s residence, and
    yet another handgun found in Jordan’s truck on the day he was arrested). And as the district
    court noted, had Jordan nonetheless been concerned that the jury might base its two
    18
    § 924(c) convictions on a single use of a gun, he could have requested a jury instruction on
    the issue or a special verdict form that would have detailed the jury’s reasoning, but did
    neither.
    Accordingly, we find the district court did not err in denying Jordan’s motion to
    sentence him on only one of his two § 924(c) convictions. 2
    D.
    Jordan’s final argument also concerns his § 924(c) sentences. At the time Jordan
    was sentenced, it was clear that § 924(c)’s sentencing regime mandated a five-year
    mandatory minimum sentence for a first conviction and a 25-year consecutive mandatory
    minimum for a second, even when both convictions arose from a single proceeding, see
    Deal v. United States, 
    508 U.S. 129
    , 137 (1993), and Jordan was sentenced accordingly, to
    a five-year prison term on his first § 924(c) conviction and to 25 years on his second. But
    while Jordan’s case was pending on appeal, Congress enacted the First Step Act, which
    2
    In light of our disposition, we need not rule on the government’s argument that
    Jordan’s motion should have been construed as a motion to vacate a conviction under
    Federal Rule of Criminal Procedure 33, which would have meant both that it raised an
    unpreserved issue connected to his conviction and that it was untimely under Rule 33. We
    note, however, that the district court construed Jordan’s filing as a sentencing motion,
    requesting merger of the two convictions for sentencing purposes, see J.A. 484 (concluding
    that Jordan “may be sentenced on each of Counts Eight and Nine”), consistent with our
    case law, see, e.g., United States v. Dire, 
    680 F.3d 446
    , 476 (4th Cir. 2012) (recognizing
    challenge to a district court’s failure to merge multiple § 924(c) convictions as a sentencing
    argument). And the government’s failure to raise a timeliness objection before the district
    court ordinarily would preclude its consideration here. See Eberhart v. United States, 
    546 U.S. 12
    , 19 (2005) (per curiam) (where the government fails to raise a timeliness defense
    before a district court rules on a Rule 33 motion, the defense is forfeited).
    19
    amends § 924(c) so that the 25-year mandatory minimum for a second or subsequent
    offense applies only when a prior conviction under § 924(c) already “has become final.”
    Pub. L. No. 115-391, § 403(a), 132 Stat. 5194, 5222. Under the First Step Act, in other
    words, the 25-year mandatory minimum is reserved for recidivist offenders, and no longer
    applies to multiple § 924(c) convictions obtained in a single prosecution. According to
    Jordan, the First Step Act should apply to him on appeal, which would mean that his second
    § 924(c) conviction would be subject only to a five-year sentence, not to the 25-year
    sentence he is serving.
    This question is governed by the text of the First Step Act, which provides that
    § 403(a)’s “amendments” to § 924(c) “shall apply to any offense that was committed
    before the date of enactment of this Act, if a sentence for the offense has not been imposed
    as of such date of enactment.” § 403(b), 132 Stat. at 5222 (emphasis added). 3 Jordan was
    sentenced by the district court in October of 2017, more than a year before the “date of
    enactment” of the First Step Act in December of 2018. So the question is whether Jordan’s
    sentence was “imposed” for purposes of § 403(b) when the district court entered his
    sentence – in which case the First Step Act would not apply to him – or whether, as Jordan
    argues, it will not be “imposed” until it becomes final after direct appeal – in which case
    he should get the benefit of the First Step Act on this appeal. Like the government, we
    3
    Section 403(b) reads in full: “Applicability to Pending Cases—This section, and
    the amendments made by this section, shall apply to any offense that was committed before
    the date of enactment of this Act, if a sentence for the offense has not been imposed as of
    such date of enactment.”
    20
    think Jordan’s sentence was “imposed” in the district court, rendering § 403(a) inapplicable
    to his case.
    Circuit court case law uniformly supports that reading. Two other circuits have
    considered precisely this question, and both have concluded that a sentence is “imposed”
    under § 403(b) when it is entered by a district court, so that § 403(a) does not apply to cases
    pending on appeal on the date of enactment. See United States v. Richardson, Nos. 17-
    2157/2183, --- F.3d ----, 
    2020 WL 413491
    , at *9–15 (6th Cir. Jan. 27, 2020); United States
    v. Hodge, 
    948 F.3d 160
    , 162–64 (3d Cir. 2020). 4 Two additional circuits have considered
    identical retroactivity language in a different section in the First Step Act, and likewise
    held that a sentence is “‘imposed’ in the district court, regardless of later appeals.” United
    States v. Pierson, 
    925 F.3d 913
    , 927 (7th Cir. 2019); see also Young v. United States, 
    943 F.3d 460
    , 462 (D.C. Cir. 2019). 5 We agree.
    As those courts have explained, in common usage in federal sentencing law, a
    sentence is “imposed” when the district court announces it, not when appeals are exhausted.
    4
    The Eleventh Circuit reached the same conclusion in an unpublished decision. See
    United States v. Garcia, No. 17-13992, 
    2019 WL 7503482
    , at *1 (11th Cir. July 9, 2019).
    5
    Those cases involve § 401 of the First Step Act, which provides that its sentence
    reductions “shall apply to any offense that was committed before the date of enactment of
    this Act, if a sentence has not been imposed as of such date of enactment.” § 401(c), 132
    Stat. at 5221. Before ruling directly on the provision before us now, § 403(b), both the
    Third and Sixth Circuits also had concluded that § 401 likewise does not apply to pre-
    enactment sentences pending on appeal when the First Step Act became law. See United
    States v. Aviles, 
    938 F.3d 503
    , 510 (3rd Cir. 2019); United States v. Wiseman, 
    932 F.3d 411
    , 417 (6th Cir. 2019).
    21
    See Richardson, 
    2020 WL 413491
    , at *11 (citing examples); 
    Pierson, 925 F.3d at 927
    –28
    (citing examples); see also, e.g., 18 U.S.C. § 3553(a) (listing “factors to be considered” by
    a district court “in imposing a sentence” (emphasis added)); Fed. R. Crim P. 32(a)(2)
    (“After imposing sentence in a case which has gone to trial on a plea of not guilty, the court
    shall advise the defendant of the defendant’s right to appeal . . . .” (emphasis added)). That
    consistent usage reflects the common understanding that “[i]mposing sentences is the
    business of the district courts, while courts of appeals are tasked with reviewing them.”
    
    Aviles, 938 F.3d at 510
    (internal quotation marks omitted). 6 It also is consistent, as the
    government points out, with the fact that defendants ordinarily begin serving their
    sentences as soon as they are handed down by a district court, regardless of any appeal.
    See 18 U.S.C. § 3143(b).
    Jordan’s contrary reading, on the other hand – that a sentence is not “imposed” until
    it becomes final after appeal – has no support in the text of § 403(b). Section 403(b)
    requires, for application of the Act, that a sentence be “imposed” after its enactment, not
    that it be “finally imposed.” § 403(b), 132 Stat. at 5222. And the absence of a textual
    finality requirement is underscored by the fact that Congress did use finality as a marker in
    6
    Given the time elapsed between Jordan’s district court sentencing in October of
    2017 and the enactment of the First Step Act in December of 2018, we need not address
    today the precise moment at which a district court sentence is “imposed” for purposes of
    § 403(b) – whether imposition comes when a sentence is announced or when judgment is
    entered. Cf. Richardson, 
    2020 WL 413491
    , at *12. Nor, of course, do we have any
    occasion to address how § 403(b) might apply to a resentencing, rather than an initial
    sentencing like Jordan’s. Cf. 
    Hodge, 948 F.3d at 162
    (construing § 403(b) in context of a
    resentencing).
    22
    the immediately preceding section, § 403(a), amending § 924(c) so that the 25-year
    mandatory minimum would apply only to offenses that occur after a prior § 924(c)
    conviction “become[s] final.” § 403(a), 132 Stat. at 5221 (emphasis added); see 
    Hodge, 948 F.3d at 163
    . Where Congress wanted to make finality a benchmark, in other words, it
    did so, and we have no warrant for treating the omission of finality language in § 403(b)
    as an oversight. See Russello v. United States, 
    464 U.S. 16
    , 23 (1983) (“Where Congress
    includes particular language in one section of a statute but omits it in another section of the
    same Act, it is generally presumed that Congress acts intentionally and purposely in the
    disparate inclusion or exclusion.” (alteration and internal quotation marks omitted)).
    Jordan points us to the Sixth Circuit’s 1997 decision in United States v. Clark, in
    which the court, construing a different sentencing statute and retroactivity provision, held
    that a sentence is not “imposed” until after a case is decided on appeal. See 
    110 F.3d 15
    ,
    17 (6th Cir. 1997), superseded by regulation on other grounds, U.S.S.G.
    § 1B1.10(b)(2)(A). That case does indeed lend support to Jordan’s position here. But we
    can find no other circuit court decision applying that definition of “imposed” even under
    the statute at issue in Clark, let alone applying it in any other context. See 
    Pierson, 925 F.3d at 928
    . And the Sixth Circuit itself, in joining the consensus that a sentence is
    “imposed” for purposes of the First Step Act’s retroactivity provisions when it is handed
    down by the district court, declined to apply Clark to this different statute, cautioning
    against giving that decision “broad applicability.” Richardson, 
    2020 WL 413491
    , at *14;
    see also 
    Wiseman, 932 F.3d at 417
    (holding that sentence is “imposed” under § 401(c) of
    First Step Act without applying Clark).
    23
    Jordan’s final argument focuses on the title of § 403 of the First Step Act:
    “Clarification of Section 924(c) of Title 18, United States Code.” According to Jordan,
    because § 403 is intended only to clarify what always was the proper interpretation of
    § 924(c), it should apply to cases on direct review. See Richardson, 
    2020 WL 413491
    , at
    *9 (describing import of the distinction between a new law and a “clarification” for
    retroactivity analysis). Moreover, Jordan concludes, this feature is enough to distinguish
    at least some of the cases deciding when a sentence is “imposed” under the First Step Act
    because they arise under § 401, which does not refer to “clarification” in its title.
    Jordan’s argument puts more weight on the word “clarification” than it will bear.
    Section 403(a) does not “clarify” something that once was ambiguous; it changes § 924(c),
    providing by terms that it is “amend[ing]” that section’s text. See § 403(a), 132 Stat. at
    5221–22; Richardson, 
    2020 WL 413491
    , at *11 (“That Congress altered the statutory
    language” suggests that “the amendment changed the law rather than clarified what the law
    always meant.”). Until the First Step Act, § 924(c) “unambiguous[ly]” imposed a 25-year
    minimum sentence on a “second” conviction obtained in the same proceeding as the first,
    see 
    Deal, 508 U.S. at 132
    ; now it does not. That is a change in meaning, not an elaboration
    of existing law. Richardson, 
    2020 WL 413491
    , at *10. And in any event, of course, “the
    title of a statute . . . cannot limit the plain meaning of the text.” Bhd. of R.R. Trainmen v.
    Baltimore & O.R. Co., 
    331 U.S. 519
    , 528–29 (1947). Section 403(b) expressly addresses
    the circumstances under which § 403(a) will apply to pre-enactment cases, and by its plain
    terms, it excludes cases – like Jordan’s – in which a defendant is sentenced before the Act’s
    effective date.
    24
    Any reduction in criminal penalties will pose “difficult line-drawing” questions
    when it comes to retroactivity. See 
    Pierson, 925 F.3d at 927
    . Here, Congress decided to
    extend the more lenient terms of § 403(a) of the First Step Act to some but not all pre-Act
    offenders, with “the date of sentencing in the district court” drawing the line between those
    who are covered and those who are not. 
    Id. As a
    result, Jordan may not benefit under the
    Act.
    III.
    For the reasons given above, the judgment of the district court is affirmed.
    AFFIRMED
    25