United States v. Michael Wright ( 2012 )


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  •       Case: 09-31215            Document: 00512058533   Page: 1   Date Filed: 11/19/2012
    IN THE UNITED STATES COURT OF APPEALS
    FOR THE FIFTH CIRCUIT  United States Court of Appeals
    Fifth Circuit
    FILED
    November 19, 2012
    No. 09–41238                    Lyle W. Cayce
    Clerk
    In re: AMY UNKNOWN,
    Petitioner
    Consolidated with 09–41254
    UNITED STATES OF AMERICA,
    Plaintiff - Appellee
    DOYLE RANDALL PAROLINE
    Defendant - Appellee
    v.
    AMY UNKNOWN,
    Movant - Appellant
    -----------------------------
    No. 09-31215
    UNITED STATES OF AMERICA
    Plaintiff - Appellee
    v.
    MICHAEL WRIGHT
    Defendant - Appellant
    Case: 09-31215      Document: 00512058533        Page: 2    Date Filed: 11/19/2012
    No. 09–41238
    c/w No. 09–41254
    No. 09–31215
    Appeals from the United States District Courts
    for the Eastern District of Texas
    and the Eastern District of Louisiana
    Before STEWART, Chief Judge, and KING, JOLLY, DAVIS, JONES, SMITH,
    GARZA, DENNIS, CLEMENT, PRADO, OWEN, ELROD, SOUTHWICK,
    HAYNES, and GRAVES, Circuit Judges.1
    GARZA, Circuit Judge, joined by STEWART, Chief Judge, JOLLY, JONES,
    CLEMENT, PRADO, OWEN, ELROD, and HAYNES, Circuit Judges:
    The original opinion in this matter was issued by the en banc court on
    October 1, 2012. In re Unknown, No. 09-41238, 
    2012 WL 4477444
     (5th Cir. Oct.
    1, 2012) (en banc). A petition for rehearing en banc is currently pending before
    the en banc court. The petition for rehearing en banc is granted in part.
    Accordingly, we WITHDRAW our previous opinion and replace it with the
    following opinion.2
    The issue presented to the en banc court is whether 
    18 U.S.C. § 2259
    requires a district court to find that a defendant’s criminal acts proximately
    caused a crime victim’s losses before the district court may order restitution,
    even though that statute only contains a “proximate result” requirement in §
    2259(b)(3)(F). All our sister circuits that have addressed this question have
    expanded the meaning of § 2259(b)(3)(F) to apply to all losses under § 2259(b)(3),
    thereby restricting the district court’s award of restitution to a victim’s losses
    1
    Judge Higginson is recused and did not participate in any aspect of this en banc
    rehearing.
    2
    In Wright’s case, because the Government did not appeal and Amy did not seek
    mandamus review, we revised our opinion to affirm Wright’s sentence, in compliance with
    Greenlaw v. United States, 
    554 U.S. 237
     (2008).
    2
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    that were proximately caused by a defendant’s criminal acts. A panel of this
    court rejected that reading, and instead focused on § 2259’s plain language to
    hold that § 2259 does not limit a victim’s total recoverable losses to those
    proximately resulting from a defendant’s conduct. A subsequent panel applied
    that holding to another appeal, yet simultaneously questioned it in a special
    concurrence that mirrored the reasoning of our sister circuits. To address the
    discrepancy between the holdings of this and other circuits, and to respond to the
    concerns of our court’s special concurrence, we granted rehearing en banc and
    vacated the panel opinions.
    This en banc court holds that § 2259 only imposes a proximate result
    requirement in § 2259(b)(3)(F); it does not require the Government to show
    proximate cause to trigger a defendant’s restitution obligations for the categories
    of losses in § 2259(b)(3)(A)–(E). Instead, with respect to those categories, the
    plain language of the statute dictates that a district court must award
    restitution for the full amount of those losses. We VACATE the district court’s
    judgment in United States v. Paroline, 
    672 F. Supp. 2d 781
     (E.D. Tex. 2009), and
    REMAND for further proceedings consistent with this opinion. We AFFIRM the
    district court’s judgment in United States v. Wright, No. 09-CR-103 (E.D. La.
    Dec. 16, 2009).
    I
    We review a set of appeals arising from two separate criminal judgments
    issued by different district courts within this circuit. Both appeals involve
    restitution requests by Amy, a young adult whose uncle sexually abused her as
    a child, captured his acts on film, and then distributed them for others to see.
    The National Center for Missing and Exploited Children, which reports that it
    has found at least 35,000 images of Amy’s abuse among the evidence in over
    3
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    3,200 child pornography cases since 1998, describes the content of these images
    as “extremely graphic.” The Government reports that restitution has been
    ordered for Amy in at least 174 child pornography cases across the United States
    in amounts ranging from $100 to $3,543,471.
    A
    In the consolidated cases In re Amy, 
    591 F.3d 792
     (5th Cir. 2009), and In
    re Amy Unknown, 
    636 F.3d 190
     (5th Cir. 2011), a panel of this court reviewed
    Amy’s mandamus petition and appeal, both of which challenged the district
    court’s order denying Amy restitution in connection with a criminal defendant’s
    sentence.
    In the case underlying Amy’s mandamus petition and appeal, Doyle
    Paroline (“Paroline”) pled guilty to 
    18 U.S.C. § 2252
     for possessing 150 to 300
    images of minors engaged in sexually explicit conduct. At least two images were
    of Amy. Pursuant to Amy’s right to restitution under the Crime Victims’ Rights
    Act, 
    18 U.S.C. § 3771
    , the Government and Amy moved the district court to
    order restitution under § 2259.            Amy supported this request with her
    psychiatrist’s report, which itemized her future damages for specific categories
    of treatment and estimated total damages nearing $3.4 million.3
    The district court denied Amy restitution. Paroline, 
    672 F. Supp. 2d at 782
    . The district court held that § 2259 required the Government to prove that
    by possessing images depicting Amy’s sexual abuse, Paroline proximately caused
    the injuries for which she sought restitution. Id. at 791. Concluding that the
    Government failed to show this causal link, the district court denied Amy
    restitution. Id. at 793. Amy petitioned for mandamus, asking this court to
    3
    Amy attested that this amount reflects the total amount of her losses from the
    production, distribution, and possession of the images of her abuse and primarily comprises
    costs for future psychological care and future lost income.
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    direct the district court to order Paroline to pay her the full amount of the
    restitution she had requested.
    Over one dissent, that panel denied her relief because it was not clear or
    indisputable that § 2259 mandates restitution irrespective of proximate cause.
    In re Amy, 
    591 F.3d at
    794–95. Amy sought rehearing and filed a separate
    notice of appeal from the district court’s restitution order; her mandamus
    petition and appeal were consolidated. See In re Amy Unknown, 
    636 F.3d at
    192–93. The panel assigned to hear Amy’s appeal granted her rehearing
    request. 
    Id. at 193
    . That panel then granted mandamus and rejected a
    requirement of proof of proximate cause in § 2259 because “[i]ncorporating a
    proximate causation requirement where none exists is a clear and indisputable
    error,” but declined to reach the question of whether crime victims such as Amy
    have a right to an appeal. Id. at 193, 201. The panel remanded for the district
    court’s entry of a restitution order. Id. at 201.
    B
    In United States v. Wright, 
    639 F.3d 679
     (5th Cir. 2011), a separate panel
    of this court heard the appeal of Michael Wright (“Wright”). Like Paroline,
    Wright pled guilty to 
    18 U.S.C. § 2252
     for possession of over 30,000 images of
    child pornography, which included images of Amy’s abuse.4 The Government
    4
    Wright pled guilty pursuant to a plea agreement in which he generally waived his
    right to appeal but reserved his right to appeal “any punishment in excess of the statutory
    maximum.” Wright’s plea agreement stated that “the restitution provisions of Sections 3663
    and 3663A of Title 18, United States Code will apply” and made no reference to § 2259.
    During the guilty plea colloquy, the district court restated the terms of the plea agreement
    regarding Wright’s appeal waiver. The district court asked Wright if he understood all the
    rights he was waiving, and he responded that he did. The district court also asked Wright if
    he understood that he “also may be required to reimburse any victim for the amount of his or
    her loss under the Victim Restitution Law, if that term is applicable.” Wright again said he
    understood.
    The Government seeks to assert the appeal waiver Wright signed only if we hold that
    restitution is limited by proximate cause in all respects. It concedes, however, that Wright’s
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    sought restitution for Amy under § 2259, supporting its request with the same
    psychiatric report Amy provided in Paroline’s case. The district court awarded
    Amy $529,661 in restitution, explaining that “[t]his amount was reached by
    adding the estimated costs of the victim’s future treatment and counseling at
    $512,681.00 and the costs of the victim’s expert witness fees at $16,980.00.”
    United States v. Wright, No. 09-CR-103, at 5 (E.D. La. Dec. 16, 2009). The
    district court did not explain why it awarded no restitution for the other
    amounts that Amy had requested and made no reference to a proximate cause
    requirement. See id. Observing that Amy had been awarded restitution in
    another district court, the district court further explained that “[t]he restitution
    ordered herein is concurrent with any other restitution order either already
    imposed or to be imposed in the future payable to this victim.” USCA5 R.
    111–112. Wright appealed to contest the restitution order.
    The Wright panel first found that the appeal waiver in Wright’s plea
    agreement did not foreclose his right to appeal the restitution order. Wright, 639
    F.3d at 683. Then, applying Amy’s holding, the Wright panel concluded that
    Amy was entitled to restitution but that the district court had given inadequate
    reasons for the award it assessed. Id. at 685–86. The panel remanded for
    further findings regarding the amount of the award. Id. at 686. The three
    appeal waiver would not be valid if the en banc court holds that § 2259 lacks a proximate
    cause requirement that covers all categories of losses because Wright did not waive his right
    to appeal a sentence unbounded by a proximate cause limitation. Because we hold today that
    § 2259’s isolated “proximate result” language does not cloak all categories of losses with a
    proximate cause requirement, we need not further address the appeal waiver issue. We have
    repeatedly held that appeal waivers the Government does not seek to enforce are not self-
    enforcing and that the Government can effectively “waive the waiver.” See United States v.
    Acquaye, 
    452 F.3d 380
    , 381 (5th Cir. 2006). Given the Government’s concession and our
    holding on the substance of § 2259, we conclude that the Government is not seeking to enforce
    the appeal waiver in this case. Accordingly, we conclude that the appeal waiver does not bar
    Wright’s appeal. See id.
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    members on the Wright panel, however, joined a special concurrence that
    questioned Amy’s holding and suggested that the court rehear both cases en
    banc, in part because this court was the first circuit to hold that a proximate
    cause requirement does not attach to the “full amount of . . . losses” under §
    2259(b)(3). See id. at 689–90, 692 (Davis, J., specially concurring).
    This court held the mandates in both Amy and Wright. A majority of this
    court’s members voted to rehear these opinions en banc to resolve the question
    of how to award restitution under § 2259 and to address other related questions
    raised by these appeals. See In re Amy Unknown & United States v. Wright, 
    668 F.3d 776
     (5th Cir. 2012) (granting rehearing en banc).
    II
    In rehearing Amy and Wright en banc, we address the following issues:
    (1) whether the Crime Victims’ Rights Act (“CVRA”) grants crime victims a right
    to an appeal or, if not, whether this court should review Amy’s mandamus
    petition under the standard this court has applied to supervisory writs; (2)
    whether 
    18 U.S.C. § 2259
     requires the Government to show a defendant’s
    criminal acts proximately caused a victim’s injuries before a district court may
    award restitution; and (3) whether, in light of our holding with respect to § 2259,
    the district courts in Amy and Wright erred.
    A
    Amy petitioned for mandamus and, after this court initially denied her
    relief, appealed from the district court’s restitution order. In the panel opinion
    in Amy, this court granted her mandamus on rehearing under our traditional
    mandamus inquiry, which this court held in In re Dean, 
    527 F.3d 391
    , 394 (5th
    Cir. 2008) (per curiam), applies to appeals under the CVRA. See Amy, 
    636 F.3d at
    197–98. In Amy, the panel declined to decide whether the CVRA entitled her
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    to bring a direct appeal, see 
    id.
     at 194–97, even though Dean seemingly
    foreclosed that argument. See Dean, 
    527 F.3d at 394
     (rejecting victims’ assertion
    that the standards governing an appeal apply on CVRA review). Amy asks the
    en banc court to construe the CVRA to guarantee crime victims the right of
    appeal and alternatively asks the court to hear her mandamus petition under
    our supervisory mandamus power, which would hold her mandamus petition to
    a less onerous standard of review than Dean requires.
    1
    The CVRA grants crime victims, including Amy, “[t]he right to full and
    timely restitution as provided in law,” 
    18 U.S.C. § 3771
    (a)(6), and makes explicit
    that crime victims, their representatives, and the Government may move the
    district court to enforce that right. 
    Id.
     § 3771(d)(1); see id. § 3771(e) (defining
    “crime victim” as “a person directly and proximately harmed as a result of the
    commission of a Federal offense.”). The CVRA further commands that “[i]n any
    court proceeding involving an offense against a crime victim, the court shall
    ensure that the crime victim is afforded [this right].” Id. § 3771(b)(1). Where a
    district court denies a victim relief, the CVRA provides that
    [T]he movant may petition the court of appeals for a
    writ of mandamus. The court of appeals may issue the
    writ on the order of a single judge pursuant to circuit
    rule or the Federal Rules of Appellate Procedure. The
    court of appeals shall take up and decide such
    application forthwith within 72 hours after the petition
    has been filed.
    Id. § 3771(d)(3); see id. § 3771(d)(5)(B) (requiring the victim to petition for
    mandamus within fourteen days). The CVRA further grants the Government,
    “[i]n any appeal in a criminal case,” the authority to “assert as error the district
    court’s denial of any crime victim’s right in the proceeding to which the appeal
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    relates,” id. § 3771(d)(4), and makes clear that “[n]othing in this chapter shall
    be construed to impair the prosecutorial discretion of the Attorney General or
    any officer under his direction.” Id. § 3771(d)(6).
    Amy’s argument effectively requires us to address two questions: first,
    whether the CVRA entitles crime victims to an appeal; and second, whether the
    CVRA entitles crime victims’ mandamus petitions through the review standards
    governing an appeal. First, we observe that the plain text of the CVRA expressly
    grants crime victims only a right to mandamus relief and makes no mention of
    any right of crime victims to an appeal. See 
    18 U.S.C. § 3771
    (d)(3); Dean, 
    527 F.3d at 394
    .    In contrast, the CVRA grants the Government the right to
    mandamus while also retaining the Government’s right to a direct appeal. 
    Id.
    § 3771(d)(4) (allowing only the Government to “assert as error the district court’s
    denial of any crime victim’s right in the proceeding to which the appeal
    relates.”). In interpreting the statute, absent contrary indication, we presume
    that Congress “legislated against the background of our traditional legal
    concepts,” United States v. U.S. Gypsum Co., 
    438 U.S. 422
    , 437 (1978), including
    that crime victims have no right to appeal. See Marino v. Ortiz, 
    484 U.S. 301
    ,
    304 (1988) (citing United States ex rel. Louisiana v. Jack, 
    244 U.S. 397
    , 402
    (1917)) (explaining that “[t]he rule that only parties to a lawsuit, or those that
    properly become parties, may appeal an adverse judgment.”).
    Amy fails to show any language in the statute that reflects Congress’
    intent to depart from this principle. Instead, she protests that before the
    CVRA’s enactment, this court heard appeals from nonparties with a direct
    interest in aspects of criminal prosecutions and contends that this suggests that
    the crime victims retain a similar right to appeal under the CVRA. See Amy,
    
    636 F.3d at
    195–96 (discussing United States v. Briggs, 
    514 F.2d 794
     (5th Cir.
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    1975); United States v. Chagra, 
    701 F.2d 354
     (5th Cir. 1983)). The cases Amy
    cites, however, are unconvincing. They allowed non-parties to appeal discrete
    pre-trial issues with constitutional implications, which were unrelated to the
    merits of the criminal cases from which they arose. See Briggs, 
    514 F.2d at 799
    (holding that persons named as unindicted co-conspirators in an indictment had
    standing to challenge the power of a grand jury to charge them with criminal
    conduct without indicting them); Chagra, 
    701 F.2d at 360
     (allowing newspapers
    and a reporter to appeal an order restricting their access to a pretrial bail
    reduction hearing). These cases do not stand for the proposition that this court
    has allowed victims any post-judgment right of appeal and, moreover, do not
    support the inference that Congress drafted the CVRA with the understanding
    that crime victims had any right to an appeal. Because nothing in the CVRA
    suggests that Congress intended to grant crime victims the right to an appeal
    or otherwise vary the historical rule that crime victims do not have the right of
    appeal, we conclude that the CVRA grants crime victims only mandamus
    review.5
    5
    Six of our sister circuits generally favor a reading of the statute that allows no appeal,
    and no circuit has expressly granted victims the right to an appeal under the CVRA. See
    United States v. Alcatel-Lucent France, SA, Nos. 11–12716, 11–12802, 
    2012 WL 3139014
    , at
    *5 (11th Cir. Aug. 3, 2012); United States v. Monzel, 
    641 F.3d 528
    , 533 (D.C. Cir.), cert. denied,
    Amy, Victim in Misty Child Pornography Series v. Monzel, 
    132 S. Ct. 756
     (2011); United States
    v. Aguirre–Gonzalez, 
    597 F.3d 46
    , 53–56 (1st Cir. 2010); In re Antrobus, 
    519 F.3d 1123
    ,
    1128–30 (10th Cir. 2008); Kenna v. U.S. Dist. Court, 
    435 F.3d 1011
    , 1017 (9th Cir. 2006); In
    re W.R. Huff Asset Mgmt. Co., 
    409 F.3d 555
    , 562–63 (2d Cir. 2005); see also In re Acker, 
    596 F.3d 370
    , 373 (6th Cir. 2010) (“[W]here the [purported victim’s] direct appeal was filed at the
    same time as the [CVRA] mandamus petition and raises the identical issues, there is no
    additional right of appeal.”).
    Further supporting this conclusion is that under the Victim and Witness Protection Act
    (“VWPA”), the CVRA’s predecessor in which restitution was optional rather than mandatory,
    at least one circuit court denied victims a right to any relief because “[n]owhere in the statute
    does Congress suggest that the VWPA was intended to provide victims with a private remedy
    to sue or appeal restitution decisions.” United States v. Mindel, 
    80 F.3d 394
    , 397 (9th Cir.
    1996). This same logic extends to limit the right of crime victims under the CVRA to only the
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    Next, we consider whether the CVRA nonetheless requires appellate
    courts to apply the standard of review governing a direct criminal appeal to
    mandamus petitions, and conclude it does not. When assessing the meaning of
    the term “mandamus” in the CVRA, we presume that this “statutory term . . .
    ha[s] its common-law meaning,” absent contrary indication. Taylor v. United
    States, 
    495 U.S. 575
    , 592 (1990). The Supreme Court has explained that “[t]he
    remedy of mandamus is a drastic one, to be invoked only in extraordinary
    situations.” Kerr v. U.S. Dist. Court, 
    426 U.S. 394
    , 402 (1976); accord Cheney v.
    U.S. Dist. Court, 
    542 U.S. 367
    , 380 (2004). “[T]he writ has traditionally been
    used in the federal courts only . . . to compel it to exercise its authority when it
    is its duty to do so.” Kerr, 
    426 U.S. at 402
     (quotation marks omitted). “[O]nly
    exceptional circumstances amounting to a judicial usurpation of power will
    justify the invocation of this extraordinary remedy.” 
    Id.
     (quotation marks
    omitted). Mandamus traditionally “is not to be used as a substitute for an
    appeal, or to control the decision of the trial court in discretionary matters.”
    Plekowski v. Ralston-Purina Co., 
    557 F.2d 1218
    , 1220 (5th Cir. 1977). Issuance
    of the writ is largely a matter of discretion with the court to which the petition
    is addressed. See Schlagenhauf v. Holder, 
    379 U.S. 104
    , 112 n.8 (1964).
    Certain aspects of the CVRA convince us that Congress intended
    mandamus in its traditional sense when it selected the word “mandamus.” See
    mandamus relief that the statute clearly expresses. See 
    id.
    The cases Amy relies on, moreover, further disfavor allowing a § 1291 appeal. Any
    persuasive force that In re Siler, 
    571 F.3d 604
    , 608 (6th Cir. 2009) (allowing crime victims to
    appeal under § 1291 when they sought the use of a presentencing report in a subsequent civil
    suit), may have is undercut by the Sixth’s Circuit later decision not to extend a right of appeal
    to a crime victim who simultaneously petitioned for mandamus relief. See In re Acker, 
    596 F.3d 370
    , 373 (6th Cir. 2010). Likewise, the Third Circuit’s decision allowing a crime victim
    a § 1291 appeal, without any analysis, in United States v. Kones, 
    77 F.3d 66
    , 68 (3d Cir. 1996),
    also fails to convince us that allowing crime victims a § 1291 appeal is proper.
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    31215 Taylor, 495
     U.S. at 592. Reading the statute’s provisions together, the CVRA
    seems to intentionally limit victims’ right to review as an extraordinary remedy
    because it authorizes review only where a district court fails to fulfill a statutory
    duty; the statute does not extend victims’ right to review to situations where a
    district court acts on a discretionary matter. See Kerr, 
    426 U.S. at 402
    . To
    explain, the CVRA lists eight rights that it ensures crime victims, including the
    right to restitution. 
    18 U.S.C. § 3771
    (a)(1)–(8). The restrictive statement, “A
    crime victim has the following rights,” precedes the list of those rights and
    supports the conclusion that the CVRA’s grant of rights is exclusive. 
    Id.
     §
    3771(a). And only where the district court denies a motion seeking to assert one
    of those rights does the CVRA allow a victim to seek the review of an appellate
    court. See id. § 3771(d)(3). This limitation suggests that in granting relief, the
    district court retains discretion to select the appropriate means to ensure
    victims’ rights, and that victims may only properly seek appellate intervention
    where the district court clearly fails to “exercise its authority when it is its duty
    to do so.” See Kerr, 
    426 U.S. at 402
    ; see also Plekowski, 
    557 F.2d at 1220
     (“The
    remedy of mandamus . . . is not to be used . . . to control the decision of the trial
    court in discretionary matters.”). Under this reading, only the Government
    would retain a right to appeal even seemingly discretionary actions, see 
    18 U.S.C. § 3771
    (d)(4), and could elect to appeal the district court’s order to the
    extent it exercises its own prosecutorial discretion to do so. See 
    id.
     § 3771(d)(6).
    If we were to instead read the CVRA as extending a right of appeal to victims,
    we would expand the rights granted to crime victims and simultaneously erode
    the CVRA’s attempt to preserve the Government’s discretion. See id. A reading
    of the statute that limits victims’ appellate review to the traditional mandamus
    inquiry thus respects both the CVRA’s preservation of the Government’s and the
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    district court’s traditional discretion while safeguarding the limited rights the
    CVRA grants.
    The very short timeline in which appellate courts must act, and the fact
    that a single circuit judge may rule on a petition, confirm the conclusion that
    Congress intended to limit crime victims’ appellate relief under the CVRA to
    traditional mandamus review. See 
    18 U.S.C. § 3771
    (d)(3). These requirements
    reflect that appellate courts must grant relief quickly, but rarely, as “a drastic
    remedy generally reserved for really ‘extraordinary’ cases.” In re E.E.O.C., 
    709 F.2d 392
    , 394 (5th Cir. 1983) (citing Kerr, 
    426 U.S. at 402
    ).
    Amy has failed to show that Congress intended to grant crime victims
    anything other than traditional mandamus relief under the CVRA.6 While, as
    6
    Amy nevertheless insists that the CVRA’s requirements that the courts of appeals
    “take up and decide” a petition and “ensure that the crime victim is afforded” all his or her
    rights in a court proceeding support recognizing victims’ right to an appeal and disfavor an
    interpretation that would provide for traditional mandamus review, which is typically
    discretionary. See 
    18 U.S.C. §§ 3771
    (b)(1), (d)(3). The requirement that appellate courts “take
    up and decide” a petition, however, relates directly to the short time period in which Congress
    directs appellate courts to act; this short time period, as we have already explained, favors,
    rather than opposes, the use of mandamus. See supra. Similarly, Amy fails to note that the
    command that federal courts “ensure that the crime victim is afforded” certain rights falls
    within a section labeled “In general.” See id. § 3771(b)(1). Placed in context, this language
    merely reflects Congress’ intention to make plain that federal courts must guard the specific,
    but necessarily limited, rights spelled out in the CVRA through the processes prescribed in its
    other subsections. This language does not suggest that the grant of mandamus in this context
    is not discretionary. Amy’s arguments are unavailing.
    Only two circuits support Amy’s position that she is entitled to something more closely
    resembling direct appellate standards of review. With little analysis, the Second Circuit has
    concluded an abuse of discretion standard should govern CVRA mandamus petitions. See In
    re W.R. Huff, 
    409 F.3d at
    562–63. That court divined a relaxed standard from the express
    terms of the statute and reasoned only that “[i]t is clear . . . that a petitioner seeking relief
    pursuant to the mandamus provision set forth in § 3771(d)(3) need not overcome the hurdles
    typically faced by a petitioner seeking review of a district court determination through a writ
    of mandamus.” Id. at 562–63. The lack of reasoning accompanying the Second Circuit’s use
    of a relaxed standard of review fails to convince us that anything other than traditional
    mandamus standards should govern our review of CVRA petitions.
    The Ninth Circuit also has provided for relaxed review, focusing on legal error in
    reviewing a crime victim’s mandamus petition under the CVRA. To justify this relaxed review,
    13
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    Amy insists, it may be more difficult for a crime victim to enforce rights through
    mandamus than appeal, this limitation reflects the express language of the
    statute and honors the common law tradition in place when the CVRA was
    drafted.
    2
    Our conclusion that the CVRA does not provide crime victims with
    appellate review does not foreclose Amy’s somewhat different request that we
    apply our supervisory mandamus power of review to her mandamus petition,
    which would lower the hurdles to relief under mandamus. See In re McBryde,
    
    117 F.3d 208
    , 223 (5th Cir. 1997) (acknowledging that “courts of appeals have
    possessed the power to issue supervisory writs of mandamus in order to prevent
    practices posing severe threats to the proper functioning of the judicial process”);
    In re E.E.O.C., 
    709 F.2d at 395
     (in allowing a supervisory writ to proceed as a
    one-time-only device, this court advised it would only grant the writ if “there is
    ‘usurpation of judicial power’ or a clear abuse of discretion” and the movant
    the Ninth Circuit emphasized that “[t]he CVRA explicitly gives victims aggrieved by a district
    court’s order the right to petition for review by writ of mandamus, provides for expedited
    review of such a petition, allows a single judge to make a decision thereon, and requires a
    reasoned decision in case the writ is denied.” Kenna, 
    435 F.3d at 1017
    . But a later decision
    suggests that the Ninth Circuit’s interpretation in Kenna was influenced by the facts of that
    case and a desire to reach a question of law that its traditional mandamus inquiry would not
    have allowed; in that later case, the Ninth Circuit explained that it applies its normal test to
    CVRA mandamus petitions, and merely emphasizes the question of legal error in assessing
    a crime victim’s right to relief. See In re Andrich, 
    668 F.3d 1050
    , 1051 (9th Cir. 2011) (per
    curiam).
    While Amy asserts that two additional circuits favor her position, those courts have not
    clearly accepted her position, and it is unclear that they would do so if presented with the
    opportunity to fully analyze the legal issues this question presents. See In re Stewart, 
    552 F.3d 1285
     (11th Cir. 2008) (granting mandamus on question of whether a person was a crime
    victim who could participate in district court proceedings without reviewing traditional
    mandamus factors); In re Walsh, 229 F. App’x 58, 60–61 (3d Cir. 2007) (in dicta, agreeing with
    the Second and Ninth Circuits that “mandamus relief is available under a different, and less
    demanding, standard under 
    18 U.S.C. § 3771
     in the appropriate circumstances.”).
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    showed it had a clear and indisputable right to a writ) (quoting Schlagenhauf,
    379 U.S. at 110). Even so, we need not resolve this question. Our traditional
    inquiry suffices to afford Amy the relief she requests. See IV-A infra. Cf.
    Aguirre–Gonzalez, 
    597 F.3d at
    53–56 (declining to settle question of standard of
    review because neither the traditional mandamus standard nor a more relaxed
    standard would afford relief in the circumstances of that case).
    Because we hold that the CVRA entitles Amy to only mandamus relief, we
    dismiss her appeal. Under our traditional mandamus inquiry, we will grant
    Amy’s requested mandamus only if (1) she has no other adequate means to
    attain the desired relief; (2) she has demonstrated a clear and indisputable right
    to the issuance of a writ; and (3) in the exercise of our discretion, we are satisfied
    that the writ is appropriate. See Dean, 
    527 F.3d at 394
    .
    B
    Wright appeals from the district court’s restitution order. This court
    reviews the legality of the restitution order de novo. United States v. Arledge,
    
    553 F.3d 881
    , 897 (5th Cir. 2008). If the restitution order is legally permitted,
    we then review the amount of the order for an abuse of discretion. Id.; United
    States v. Ollison, 
    555 F.3d 152
    , 164 (5th Cir. 2009).
    III
    To resolve Amy’s mandamus petition and Wright’s appeal, we must first
    ascertain the level of proof required to award restitution to Amy and crime
    victims like her under 
    18 U.S.C. § 2259
    . The parties’ dispute turns on the
    interpretation and effect of the words “proximate result” in § 2259(b)(3)(F).
    A
    Our analysis again begins with the text of the statute. See Watt, 451 U.S.
    at 265; In re Rogers, 
    513 F.3d 212
    , 225 (5th Cir. 2008). If § 2259’s language is
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    plain, our “sole function” is to “enforce it according to its terms” so long as “the
    disposition required by the text is not absurd.” Lamie v. U.S. Trustee, 
    540 U.S. 526
    , 534 (2004) (internal quotation marks omitted); see also Bates v. United
    States, 
    522 U.S. 23
    , 29 (1997) (holding that courts “ordinarily” should “resist
    reading words or elements into a statute that do not appear on its face.”). The
    Supreme Court has explained that “[s]tatutory construction ‘is a holistic
    endeavor.’” U.S. Nat’l Bank of Or. v. Indep. Ins. Agents of Am., Inc., 
    508 U.S. 439
    , 455 (1993) (quoting United Savings Ass’n of Tex. v. Timbers of Inwood
    Forest Assocs., Ltd., 
    484 U.S. 365
    , 371 (1988)). “This Court naturally does not
    review congressional enactments as a panel of grammarians; but neither do we
    regard ordinary principles of English prose as irrelevant to a construction of
    those enactments.” Flora v. United States, 
    362 U.S. 145
    , 150 (1960). Although
    “the meaning of a statute will typically heed the commands of its punctuation[,]
    . . . a purported plain-meaning analysis based only on punctuation is necessarily
    incomplete.” Bank of Or., 
    508 U.S. at 454
    . “[A]t a minimum,” our analysis “must
    account for a statute’s full text, language as well as punctuation, structure, and
    subject matter.” 
    Id. at 455
    .
    Only after we apply principles of statutory construction, including the
    canons of construction, and conclude that the statute is ambiguous, may we
    consult legislative history. Carrieri v. Jobs.com, Inc., 
    393 F.3d 508
    , 518–19 (5th
    Cir. 2004). For statutory language to be ambiguous, however, it must be
    susceptible to more than one reasonable interpretation or more than one
    accepted meaning. 
    Id. at 519
    . Where “the words of a statute are unambiguous,
    then, this first canon is also the last: ‘judicial inquiry is complete.’” Conn. Nat’l
    Bank v. Germain, 
    503 U.S. 249
    , 254 (1992) (quoting Rubin v. United States, 
    449 U.S. 424
    , 430 (1981)).
    16
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    The language of 
    18 U.S.C. § 2259
     reflects a broad restitutionary purpose.
    See United States v. Laney, 
    189 F.3d 954
    , 966 (9th Cir. 1999) (“Section 2259 is
    phrased in generous terms, in order to compensate the victims of sexual abuse
    for the care required to address the long term effects of their abuse.”); United
    States v. Crandon, 
    173 F.3d 122
    , 126 (3d Cir. 1999) (“Congress [in § 2259]
    mandated broad restitution for a minor victim.”). Section 2259(a) mandates that
    district courts “shall order restitution for any offense under this chapter,”
    including the offense to which Paroline and Wright pled guilty, 
    18 U.S.C. § 2252
    .
    Section 2259(b)(1) specifies that a restitution order “shall direct the defendant
    to pay the victim . . . the full amount of the victim’s losses.”7
    Section 2259(b)(3) defines the term “the full amount of the victim’s losses,”
    contained in § 2259(b)(1), as
    [A]ny costs incurred by the victim for–
    (A) medical services relating to physical, psychiatric, or
    psychological care;
    (B) physical and occupational therapy or rehabilitation;
    (C) necessary transportation, temporary housing, and
    child care expenses;
    (D) lost income;
    (E) attorneys’ fees, as well as other costs incurred; and
    (F) any other losses suffered by the victim as a
    proximate result of the offense.
    Section 2259(b)(4) reinforces that “[t]he issuance of a restitution order
    under this section is mandatory,” id. § 2259(b)(4)(A), and instructs that “[a] court
    may not decline to issue an order under this section because of–(i) the economic
    circumstances of the defendant; or (ii) the fact that a victim has, or is entitled to,
    receive compensation for his or her injuries from the proceeds of insurance or
    7
    A “victim” is an “individual harmed as a result of a commission of a crime under this
    chapter.” Id. § 2259(c).
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    any other source.” Id. § 2259(b)(4)(B). To guide the district courts in awarding
    restitution, § 2259(b)(2) instructs courts to issue and enforce restitution orders
    “in accordance with section 3664 and in the same manner as an order under
    3663A.”
    B
    The district court in Paroline rejected Amy’s argument that § 2259
    requires an award of “the full amount of [her] losses.” Instead, resorting to the
    Supreme Court’s decision in Porto Rico Railway, Light & Power Co. v. Mor, 
    253 U.S. 345
    , 348 (1920), which explained that “[w]hen several words are followed
    by a clause which is applicable as much to the first and other words as to the
    last, the natural construction of the language demands that the clause be read
    as applicable to all,” the district court extended the “proximate result” language
    contained in § 2259(b)(3)(F) to apply to the losses described in subsections (A)
    through (E). See Paroline, 
    672 F. Supp. 2d at 788
     (also citing Fed. Mar. Comm’n
    v. Seatrain Lines, Inc., 
    411 U.S. 726
    , 734 (1973)). In construing the statute, the
    district court expressed its concern that “a restitution order under section 2259
    that is not limited to losses proximately caused by the defendant’s conduct would
    under most facts, including these, violate the Eighth Amendment,” 
    id. at 789
    ,
    and that an alternative “interpretation would be plainly inconsistent with how
    the principles of restitution and causation have historically been applied.” 
    Id. at 790
    . In reversing the district court’s holding, the Amy panel rejected a
    generalized proximate cause requirement and stressed that the causation
    requirement in the definition of “victim,” together with § 3664’s mechanism for
    joint and several liability, surmounts any Eighth Amendment concerns. See
    Amy, 
    636 F.3d at
    200–01.
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    Unlike the district court in Paroline, the Wright district court seemed to
    accept Amy’s argument to a limited degree, as it awarded all of the restitution
    she requested for her future treatment and counseling, and the costs of her
    expert witness fees. Although the Wright panel accepted Amy’s holding as
    binding precedent in reviewing the district court’s restitution award, Wright’s
    special concurrence, tracing the reasoning of the district court in Amy and
    challenging the panel’s decision not to limit § 2259 to damages proximately
    caused by a defendant’s criminal actions, presaged this en banc rehearing. See
    Wright, 639 F.3d at 686–89 (Davis, J., specially concurring).
    In this en banc rehearing, Amy maintains that § 2259 is a mandatory
    statute requiring district courts to award full restitution to victims of child
    pornography. In her view, the plain language of the statute dictates that the
    proximate result language in § 2259(b)(3)(F) is limited to that category of losses
    and does not apply to the categories of losses described in § 2259(b)(3)(A)–(E).
    The Government contends that § 2259(b)(3) conditions all of a victim’s
    recoverable losses on a showing that those losses proximately resulted from the
    offense. Drawing on Porto Rico Railway, the Government asserts that the
    statutory text reflects Congress’ intent to condition all recoverable losses on a
    showing of proximate cause. Without citing to precedent, the Government urges
    us “to presume that Congress adhered to the usual balance in the law of
    remedies: to hold defendants fully accountable for the losses associated with
    their conduct but in a manner that respects the deeply-rooted principle of
    proximate causation.” The Government further asserts that there is nothing
    absurd in the conclusion that Congress intended this limiting principle to apply
    to all categories of losses. Invoking a recent Supreme Court case analyzing civil
    tort liability under the Federal Employers’ Liability Act in support of this
    proposition, the Government reasons that “the very purpose of a proximate-
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    cause limitation is to prevent infinite liability.” See CSX Transp., Inc., v.
    McBride, 
    131 S. Ct. 2630
    , 2642 (2011). The Government advises the court not
    to delve into legislative materials and also stresses that seven circuits have
    rejected Amy’s reading of the statute.
    Paroline similarly construes the “proximate result” language in the statute
    and relies on the construction of other restitution statutes to support his
    position. Both Paroline and Wright draw on legislative materials to assert that
    in drafting § 2259, Congress intended to incorporate a proximate cause
    requirement.8
    C
    1
    Our plain reading of § 2259 leads us to the following conclusion: Once a
    district court determines that a person is a victim, that is, an “individual harmed
    as a result of a commission of a crime” under the chapter that relates to the
    sexual exploitation and abuse of children, § 2259 requires the district court to
    order restitution for that victim. See 
    18 U.S.C. § 2259
    (a),(b)(4)(A),(c). The
    restitution order that follows must encompass “the full amount of the victim’s
    losses.” 
    Id.
     § 2259(b)(1).       Those losses include five categories of specific
    losses—medical services related to physical, psychiatric, or psychological care;
    physical and occupational therapy or rehabilitation; necessary transportation,
    temporary housing, and childcare expenses; lost income; and attorney’s fees and
    costs—and one category of “other losses suffered by the victim as a proximate
    result of the offense.” Id. § 2259(b)(3). The rule of the last antecedent, recently
    applied by the Supreme Court in Barnhart v. Thomas, 
    540 U.S. 20
    , 26 (2003),
    8
    Of course, we cannot consult these materials unless we conclude that § 2259’s text
    is ambiguous. See Carrieri, 
    393 F.3d at
    518–19. Even if we were to consult these materials,
    they are inconclusive at best.
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    instructs that “a limiting clause or phrase,” such as the “proximate result”
    phrase in § 2259(b)(3)(F), “should ordinarily be read as modifying only the noun
    or phrase that it immediately follows.” “[T]his rule is not an absolute and can
    assuredly be overcome by other indicia of meaning,” but “construing a statute in
    accord with the rule is ‘quite sensible as a matter of grammar.’” Id. (quoting
    Nobelman v. Am. Sav. Bank, 
    508 U.S. 324
    , 330 (1993)); accord ANTONIN SCALIA
    & BRYAN A. GARNER, READING LAW: THE INTERPRETATION OF LEGAL TEXTS 144
    (2012) (“This rule is the legal expression of a commonsense principle of
    grammar”).
    The structure and language of § 2259(b)(3) limit the phrase “suffered by
    the victim as a proximate result of the offense” in § 2259(b)(3)(F) to the
    miscellaneous “other losses” contained in that subsection. We see no “other
    indicia of meaning” in the statute to suggest that the rule of the last antecedent
    does not apply here. See id. Despite the clear terms of the statute, other courts
    and the parties before us raise arguments in favor of a generalized proximate
    cause requirement based on (a) canons of statutory construction, (b) traditional
    causation principles, and (c) possible absurd results.             We address—and
    dismiss—each in turn.
    a
    First, the Government, Paroline, Wright, and Judge Davis’s dissenting
    opinion press the importance of Porto Rico Railway and other caselaw relied on
    by the district court. As did the Amy panel, however, we doubt Porto Rico
    Railway’s applicability here.      Porto Rico Railway concerned the following
    statute: “Said District Court shall have jurisdiction of all controversies where all
    of the parties on either side of the controversy are citizens or subjects of a foreign
    state or states, or citizens of a state, territory, or district of the United States not
    domiciled in Porto Rico . . . .” Porto Rico Ry., 
    253 U.S. at 346
    . The Supreme
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    Court read the words, “not domiciled in Porto Rico,” to apply equally to “citizens
    or subjects of a foreign state or states” and “citizens of a state, territory, or
    district of the United States.” 
    Id. at 348
    . The Supreme Court explained,“When
    several words are followed by a clause which is applicable as much to the first
    and other words as to the last, the natural construction of the language demands
    that the clause be read as applicable to all.” 
    Id. at 348
    .
    Deprived of its context, Porto Rico Railway’s rule can be contorted to
    support the statutory interpretation urged by the Government and apply the
    “proximate result” language in § 2259(b)(3)(F) to the five categories of loss that
    precede it. But applying that rule here to require generalized proximate cause
    would disregard that the list in Porto Rico Railway’s statute is significantly
    different than the one central to this appeal. The statute analyzed in Porto Rico
    Railway featured a long sentence, unbroken by numbers, letters, or bullets, with
    two complex noun phrases sandwiching the conjunction “or,” with the modifier
    “domiciled in Porto Rico” following the conjoined phrases. The structure of the
    sentence required the reading the Supreme Court gave it; the phrase “domiciled
    in Porto Rico” modified the nouns at the head of the two phrases, “citizens or
    subjects” and “citizens.” The Supreme Court expressed its concern that a
    different construction would have left the reader with a fragmented phrase,
    which would be overly broad in application, and which, in turn, would have
    failed to satisfy the statute’s overarching purpose to curtail federal courts’
    jurisdiction. See Porto Rico Ry., 
    253 U.S. at 348
    .
    Section 2259, in contrast, begins with an introductory phrase composed of
    a noun and verb (“‘full amount of the victim’s losses’ includes any costs incurred
    by the victim for—”) that feeds into a list of six items, each of which are
    independent objects that complete the phrase. Only the last of these items
    contains the limiting language “proximate result.” A double-dash opens the list,
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    and semi-colons separate each of its elements, leaving § 2259(b)(3) with a divided
    grammatical structure that does not resemble the statute in Porto Rico Railway,
    with its flowing sentence that lacks any distinct separations. Of course, we do
    not sit “as a panel of grammarians,” Flora, 
    362 U.S. at 150
    , but we cannot ignore
    that “the meaning of a statute will typically heed the commands of its
    punctuation.” Bank of Or., 
    508 U.S. at 454
    . The structural and grammatical
    differences between § 2259 and the statute in Porto Rico Railway forcefully
    counsel against applying Porto Rico Railway to the current statute to reach the
    Paroline district court’s reading.9
    Seatrain, the other case relied on by the district court, is similarly
    inapplicable. See Seatrain, 
    411 U.S. at 726
    . Seatrain analyzed a federal
    antitrust statute that included a seven-category list. 
    Id. at 732
    . All items on the
    list but the third referred to ongoing activity; the seventh category was a catchall
    category phrased as “or in any manner providing for an exclusive, preferential,
    or cooperative working arrangement.” 
    Id.
     at 732–33. The Government urged
    the Supreme Court to construe this third category as concerning a one-time
    activity. 
    Id. at 732
    . The Court rejected that argument because a broad reading
    of the statute would conflict with the legal principle that antitrust laws are
    strictly construed. 
    Id. at 733
    . To aid in a narrow construction of the statute, the
    Court applied the rule of statutory construction that “[catchall] clauses are to be
    read as bringing within a statute categories similar in type to those specifically
    9
    Further, Porto Rico Railway also commands that where the statute in question
    “manifests a general purpose . . . [and] the application of the clause were doubtful, we should
    so construe the provision as to effectuate the general purpose of Congress.” 
    253 U.S. at 348
    .
    The grammar of § 2259, viewed in light of § 2259’s broad restitutionary purpose as expressed
    by its plain terms, confirms that our reading is correct. See Crandon, 
    173 F.3d at 126
    (“Congress [in § 2259] mandated broad restitution for a minor victim.”); Laney, 
    189 F.3d at 966
    (“Section 2259 is phrased in generous terms, in order to compensate the victims of sexual
    abuse for the care required to address the long term effects of their abuse.”).
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    enumerated” and concluded that the last catchall phrase indicated that Congress
    intended all the activities to penalize only ongoing antitrust activities. 
    Id.
     at 734
    (citing 2 J. SUTHERLAND, STATUTES & STATUTORY CONSTRUCTION § 4908 et seq.
    (3d ed. 1943)). Here, we do not face a statutory scheme that requires narrow
    construction. See Crandon, 
    173 F.3d at 126
    ; Laney, 
    189 F.3d at 966
    . Seatrain’s
    weight in interpreting § 2259 is questionable at best.
    Seatrain’s rule is at odds with the rule of last antecedent on which we rely;
    the rule of last antecedent, moreover, provides a reading faithful to § 2259’s
    broad restitutionary purpose. To illustrate, in Barnhart v. Thomas, the Supreme
    Court reviewed an agency’s interpretation of a statute that states
    An individual shall be determined to be under a
    disability only if his physical or mental impairment or
    impairments are of such severity that he is not only
    unable to do his previous work but cannot, considering
    his age, education, and work experience, engage in any
    other kind of substantial gainful work which exists in
    the national economy.
    Barnhart, 540 U.S. at 23 (emphases added). Applying the rule of the last
    antecedent, the Supreme Court held that the words “which exists in the national
    economy” referred only to the noun “any other kind of substantial gainful work”
    and not to the noun “his previous work.” Id. at 24–27. In support of this
    holding, the Supreme Court reasoned that the words “any other” in the second
    phrase did not show the “contrary intention” necessary to overcome the rule of
    the last antecedent to apply that phrase to the first. Id. at 27–28.
    The Supreme Court also applied the rule of last antecedent in Jama v.
    Immigration & Customs Enforcement, 
    543 U.S. 335
     (2005) to a statute that
    included a complete sentence that fed into a seven-category list. Each category
    on the list was punctuated with a period; only the last category on the list
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    contained a limiting clause. 
    Id. at 340
    . Drawing on the grammatical structure
    of the list, the Supreme Court concluded that applying the limiting clause to the
    other items in the list “stretches the modifier too far.”10 
    Id. at 343
    .
    As we have already explained, the grammatical structure of § 2259(b)(3)
    reflects the intent to read each category of loss separate from the one that
    preceded it and limit the application of the “proximate result” language in §
    2259(b)(3)(F). Comparing the Supreme Court’s more recent articulations of the
    rule of the last antecedent in Barnhart and Jama to the older rules of statutory
    construction expressed in Porto Rico Railway and Seatrain confirms that
    application of the rule of the last antecedent to limit the proximate result
    language to the subsection in which it is contained makes more sense here. See
    10
    In Barnhart, Justice Scalia provided an example of application of this rule in ordinary
    life that reveals the commonsensical aspect of the error in applying the proximate result
    language of § 2259(b)(3)(F) to the five categories of losses that precede it:
    Consider, for example, the case of parents who, before leaving
    their teenage son alone in the house for the weekend, warn him,
    “You will be punished if you throw a party or engage in any other
    activity that damages the house.” If the son nevertheless throws
    a party and is caught, he should hardly be able to avoid
    punishment by arguing that the house was not damaged. The
    parents proscribed (1) a party, and (2) any other activity that
    damages the house. As far as appears from what they said, their
    reasons for prohibiting the home-alone party may have had
    nothing to do with damage to the house-for instance, the risk that
    underage drinking or sexual activity would occur. And even if
    their only concern was to prevent damage, it does not follow from
    the fact that the same interest underlay both the specific and the
    general prohibition that proof of impairment of that interest is
    required for both. The parents, foreseeing that assessment of
    whether an activity had in fact “damaged” the house could be
    disputed by their son, might have wished to preclude all
    argument by specifying and categorically prohibiting the one
    activity-hosting a party-that was most likely to cause damage
    and most likely to occur.
    450 U.S. at 27–28.
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    id. at 26. Applying the proximate result language of § 2259(b)(3)(F) to the
    categories that precede it would “stretch[] the modifier too far” and disregard the
    structure of § 2259(b)(3) as written. Jama, 
    543 U.S. at 343
    .
    At least three circuits agree that under rules of statutory construction, we
    cannot read the “proximate result” language in § 2259(b)(3)(F) as applying to the
    categories of losses in § 2259(b)(3)(A)–(E).11 See United States v. Burgess, 
    684 F.3d 445
    , 456–57 (4th Cir. 2012); United States v. Aumais, 
    656 F.3d 147
    , 153 (2d
    Cir. 2011); United States v. Monzel, 
    641 F.3d 528
    , 535 (D.C. Cir.), cert. denied,
    Amy, Victim in Misty Child Pornography Series v. Monzel, 
    132 S.Ct. 756
     (2011).
    But we do not ignore that other circuits have used tools of statutory construction
    to conclude that the proximate result language in § 2259(b)(3)(F) applies to the
    five categories of loss that preceded it.12 See United States v. McDaniel, 
    631 F.3d 1204
    , 1208–09 (11th Cir. 2011); United States v. Laney, 
    189 F.3d 954
    , 965 (9th
    Cir. 1999). These circuits, however, reached this conclusion for reasons we do
    not find compelling. The Eleventh Circuit, for example, applied Porto Rico
    11
    These circuits, whose approach we discuss later in this opinion, nevertheless inject
    the statute with a proximate cause requirement through alternative means. See Monzel, 
    641 F.3d at 535
    ; Aumais, 
    656 F.3d at 153
    .
    12
    This disagreement does not mean that our plain-meaning analysis is fraught with
    any ambiguity. This court considers a statute ambiguous when a statute is subject to more
    than one reasonable interpretation or more than one accepted meaning. See Carrieri, 
    393 F.3d at
    518–19. Even though we choose a course that differs from that of our sister circuits, a
    division of judicial authority is not enough to render a statute ambiguous. See Reno v. Koray,
    
    515 U.S. 50
    , 64–65 (1995) (discussing this principle in context of rule of lenity). Any “seeming
    agreement on a standard [in our sister circuits] suggests more harmony than there is.” United
    States v. Kearney, 
    672 F.3d 81
    , 96 (1st Cir. 2012). The First Circuit has correctly observed that
    the various circuits have applied a proximate cause test to similar, if not identical facts, yet
    reached differing outcomes that “cannot be entirely explained by differences in the facts of
    record.” See 
    id.
     Compare Monzel, 
    641 F.3d at
    537–40 (concluding that proximate cause shown
    but remanding to determine the amount of harm so caused) and McDaniel, 
    631 F.3d at 1209
    (holding that the district court did not clearly err in finding proximate cause) with McGarity,
    669 F.3d at 1267–70 (concluding that proximate cause was not established), Aumais, 
    656 F.3d at
    154–55 (same), and Kennedy, 643 F.3d at 1263–65 (same).
    26
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    Railway’s rule without accounting for the Supreme Court’s application of it. See
    § IV-C-1-a supra (exposing the fault in relying on the rule of Porto Rico Railway).
    The Ninth Circuit, moreover, read the “as a result of” language in § 2259’s
    definition of victim together with the “proximate result” language in §
    2259(b)(3)(F) to infuse all of § 2259(b)(3) with a proximate cause requirement.
    See Laney, 
    189 F.3d at 965
    . Without more in the statute to support that
    analysis, we cannot accept the Ninth Circuit’s conclusion. To do so would
    contradict the statute’s plain terms and be tantamount to judicial redrafting.
    See United States v. Naftalin, 
    441 U.S. 768
    , 773 (1979) (“The short answer is
    that Congress did not write the statute that way.”). The rules of statutory
    construction, properly applied, cannot be used to extend the proximate result
    language contained in § 2259(b)(3)(F) to the categories of losses preceding it.13
    13
    The dissenting opinion authored by Judge Davis criticizes the majority analysis’s
    inconsistency with Porto Rico Railway. Like the Eleventh Circuit, however, Judge Davis’s
    dissent fails to properly account for the statute in that opinion and § 2259’s significantly
    differing contexts. Like the Ninth Circuit, this dissenting opinion attempts to cloak the entire
    statute with a proximate causation requirement with only scant and scattered causal language
    as support; the dissenting opinion also resorts to language that applies to the procedures with
    which restitution is issued and enforced within § 3664 to improperly bolster its position.
    While making the same errors as our sister circuits, the dissenting opinion does not explain
    why the rule of last antecedent does not apply. Its position is ultimately unpersuasive.
    Judge Southwick’s dissenting opinion does not agree with Judge Davis’s analysis, but
    it would similarly resort to the language of § 3664 and § 3663A to require proximate causation.
    The dissenting opinions are correct that § 2259 directs that “[a]n order of restitution under
    this section shall be issued and enforced in accordance with section 3664 in the same manner
    as an order under section 3663A.” Judge Southwick’s dissenting opinion construes this
    language to require application of § 3663A’s definition of victim as “a person directly and
    proximately harmed as a result of the commission of an offense for which restitution may be
    ordered.” Congress’ directive to rely on the procedures guiding issuance and enforcement of
    a restitution order, however, does not require us to rely on the substantive definition of
    “victim” contained in a separate statute when § 2259 has already supplied courts with a
    different, broader definition of victim.
    Lastly, Judge Davis’s dissenting opinion claims that under our holding, “if Amy were
    injured in an automobile accident on the way to a counseling session, those damages would
    27
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    b
    Next, we consider the Government’s assertion that principles of tort
    liability limit the award of restitution under § 2259 to losses proximately caused
    by a defendant’s criminal actions. At least three of our sister circuits have
    accepted this view and derived a proximate cause requirement not from “the
    catch-all provision of § 2259(b)(3)(F), but rather [from] traditional principles of
    tort and criminal law and [from] § 2259(c)’s definition of ‘victim’ as an individual
    harmed ‘as a result’ of the defendant’s offense.” Monzel, 
    641 F.3d at 535
    ; accord
    Burgess, 
    2012 WL 2821069
    , at *10; Aumais, 
    656 F.3d at 153
    ; see Kearney, 
    672 F.3d at
    96–97 (“It is clear to us that Congress intended some causal link between
    the losses and the offense to support the mandated restitution.”); United States
    v. Evers, 
    669 F.3d 645
    , 659 (6th Cir. 2012) (adopting a proximate cause
    requirement but declining to decide between the two approaches of our sister
    circuits).
    In United States v. Monzel, a case that has served as a springboard for
    other circuits evaluating § 2259, the D.C. Circuit explained that “[i]t is a bedrock
    rule of both tort and criminal law that a defendant is only liable for harms he
    proximately caused,” and “a restitution statute [presumably] incorporates the
    traditional requirement of proximate cause unless there is good reason to think
    Congress intended the requirement not to apply.” Monzel, 
    641 F.3d at
    535–36
    (footnote omitted) (citing WAYNE R. LAFAVE, SUBSTANTIVE CRIMINAL LAW § 6.4,
    be included in a restitution award.” This is not what the majority opinion suggests. Rather,
    the majority refuses to artificially divide responsibility for a crime victim’s losses in
    circumstances like these here, where multiple defendants are realistically responsible for the
    victim’s indivisible injury. While the dissent attempts to correct this error by adopting a
    collective causation theory, in doing so, it resorts to an unnecessary source in order to graft
    upon the clearly-worded statute a causation requirement. Ultimately the dissenting opinion’s
    errors arises from its confusion of the “victim” inquiry which is antecedent to the calculation
    of “total losses.”
    28
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    at 464, 471 (2d ed. 2003). The D.C. court posited that “[a]lthough § 2259 is a
    criminal statute, it functions much like a tort statute by directing the court to
    make a victim whole for losses caused by the responsible party,” see id. at 536
    n.5, and found nothing in the text of § 2259 indicating Congress’ intent to
    eliminate “the ordinary requirement of proximate cause.” Id. at 536. Rather,
    “[b]y defining ‘victim’ as a person harmed ‘as a result of’ the defendant’s
    offense,’” the court inferred that “the statute invokes the standard rule that a
    defendant is liable only for harms that he proximately caused.” Id. The D.C.
    Circuit worried that without such a limitation, “liability would attach to all sorts
    of injuries a defendant might indirectly cause, no matter how ‘remote’ or tenuous
    the causal connection.” Id. at 537.
    The D.C. Circuit rejected the view expressed by the In re Amy Unknown
    panel, explaining that “[h]ad Congress meant to abrogate the traditional
    requirement for everything but the catch-all, surely it would have found a
    clearer way of doing so.” Id. at 536–37. The D.C. Circuit criticized this court’s
    decision in Amy because “a ‘general’ causation requirement without a subsidiary
    proximate causation requirement is hardly a requirement at all”; “[s]o long as
    the victim’s injury would not have occurred but for the defendant’s offense, the
    defendant would be liable for the injury.” Id. at 537 n.8. The circuits that have
    adopted the D.C. Circuit’s view have pursued a similar line of reasoning. We do
    not accept this reasoning, however, and refuse to inject the statute with a
    proximate cause requirement based on traditional principles of liability.
    The Supreme Court has explained that we “ordinarily” should “resist
    reading words or elements into a statute that do not appear on its face.” Bates,
    
    522 U.S. at 29
    . But the Supreme Court has also explained that the absence of
    certain language in a statute does not necessarily mean that Congress intended
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    courts to disregard traditional background principles. See U.S. Gypsum Co., 
    438 U.S. at 437
    . To illustrate, with respect to the question of intent in the criminal
    provisions of the Sherman Act, the Supreme Court has explained that
    “[M]ere omission . . . of intent [in the statute] will not
    be construed as eliminating that element from the
    crimes denounced”; instead Congress will be presumed
    to have legislated against the background of our
    traditional legal concepts which render intent a critical
    factor, and “absence of contrary direction [will] be taken
    as satisfaction with widely accepted definitions, not as
    a departure from them.”
    
    Id. at 437
     (quoting Morissette v. United States, 
    342 U.S. 246
    , 263 (1952)). In
    interpreting the omission of intent in a different statute, the Supreme Court
    cautioned that “far more than the simple omission of the appropriate phrase
    from the statutory definition [of the offense] is necessary to justify dispensing
    with” a mens rea requirement. Liparota v. United States, 
    471 U.S. 419
    , 426
    (1985) (quoting U.S. Gypsum, 
    438 U.S. at 438
    ); see 
    id.
     (“[T]he failure of Congress
    explicitly and unambiguously to indicate whether mens rea is required does not
    signal a departure from this background assumption of our criminal law.”).
    With these principles in mind, the D.C. Circuit’s analysis, which infuses
    § 2259 with a generalized proximate cause requirement, see Monzel, 
    641 F.3d at 535
    , could comport with the Supreme Court’s interpretative guidance—only if
    § 2259 were naked of causal limitations. See U.S. Gypsum Co., 
    438 U.S. at 437
    .
    But it is not. In assessing whether Congress intended a broad proximate cause
    limitation, we cannot ignore that § 2259 expresses causal requirements, yet
    isolates them to two discrete points: the definition of victim as an “individual
    harmed as a result of a commission of a crime,” and the limitation of “any other
    losses” to those that are the “proximate result of the offense.” See 
    18 U.S.C. § 30
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    2259(b),(c) (emphases added). Had Congress omitted all causal language and not
    required award of the full amount of losses, or positioned the proximate result
    language so that it would apply to all categories of losses, we could consider the
    possibility that Congress intended to bind all categories of losses with a
    proximate cause requirement. Instead, Congress resisted using the phrase
    “proximate cause” anywhere in § 2259, including § 2259(b)(3)(F) and further
    required the court to order the “full amount of the victim’s losses.”14 See id. The
    selective inclusion and omission of causal requirements in § 2259’s subsections,
    together with language pointing away from ordinary causation, suggest that
    Congress intended to depart from, rather than incorporate, a tradition of
    generalized proximate cause.
    This interpretation does not render the statute unworkable. The problem
    seeming to animate the cases in other circuits interpreting § 2259 to require
    proximate cause is how to allocate responsibility for a victim’s harm to any
    single defendant. See Burgess, 
    2012 WL 2821069
    , at *12; Aumais, 
    656 F.3d at
    153–54; Kennedy, 643 F.3d at 1265–66; Monzel, 
    641 F.3d at
    537–40. These
    courts ignore, however, that deciding that a defendant “must pay restitution for
    the losses he caused (whether proximately or not),” does not resolve how the
    court “determines how those losses should be allocated in cases where more than
    one offender caused them”—injecting the statute with traditional proximate
    causation limitations takes courts no closer to determining what each defendant
    must pay or to supplying crime victims with the “full amount of [their] losses.”
    Burgess, 
    2012 WL 2821069
    , at *14 (Gregory, J., concurring in part, dissenting
    14
    In stark contrast, other restitution statutes contain more forceful causation
    requirements that are lacking in § 2259. Compare 18 U.S.C. § 3663A(a)(2) (explaining that
    a victim is “a person directly and proximately harmed as a result of the commission of an
    offense”) with id. § 2259(c) (defining a victim as “the individual harmed as a result of a
    commission of a crime”).
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    in part, and concurring in judgment) (“The question of whether a defendant
    proximately caused some injury is entirely separate from the question of how
    those proximately caused losses should be allocated among several offenders.”).
    By focusing on the question of proximate cause, our sister circuits have not made
    § 2259 any easier to apply and seemingly have ignored that § 2259 has armed
    courts with tools to award restitution because it instructs courts to refer to the
    standards under § 3664.15 See id. § 2259(b)(2) (“An order of restitution under
    this section shall be issued and enforced in accordance with section 3664 in the
    same manner as an order under section 3663A.”).
    Section 3664 instructs that courts may enforce a restitution order “by all
    other available and reasonable means,” id. § 3664(m)(1)(A)(ii), and offers a
    “means” to aid courts in awarding restitution in a way that would ensure that
    Amy receives the full amount of her losses, to the extent possible, while also
    ensuring that no defendant bears more responsibility than is required for full
    restitution: joint and several liability. Where “the court finds more than 1
    defendant has contributed to the loss of a victim,” § 3664(h) instructs that “the
    court may make each defendant liable for payment of the full amount of
    15
    Any possible difficulty in ordering restitution in these cases arises not from the
    statutory construction, but from the type of crime underlying these appeals. It is quite
    possible that no other crime is like the crime of distribution, receipt, and possession of child
    pornography punishable under § 2252: No other crime involves single victims harmed jointly
    by defendants acting independently in the country. See Burgess, 
    2012 WL 2821069
    , at *13
    (Gregory, J., concurring in part, dissenting in part, and concurring in judgment) (discussing
    the indivisibility of the injury to victims of child pornography crimes). Yet, the unique factual
    scenario that undergirds the application of this restitution statute need not muddle our
    analysis. We cannot interpret this statute to reach a result unsupported by its plain terms.
    See Germain, 
    503 U.S. at 254
     (quoting Rubin, 
    449 U.S. at 430
    ) (explaining that where “the
    words of a statute are unambiguous, then, this first canon is also the last: ‘judicial inquiry is
    complete.’”); see also In re Amy, 
    591 F.3d at 797
     (Dennis, J., dissenting) (“Congress intended
    to afford child victims ample and generous protection and restitution, not to invite judge-made
    limitations patently at odds with the purpose of the legislation.”).
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    restitution.”16 The joint and several liability mechanism applies well in these
    circumstances, where victims like Amy are harmed by defendants acting
    separately who have caused her a single harm.17 See Burgess, 
    2012 WL 2821069
    ,
    at *13 (Gregory, J., concurring in part, dissenting in part, and concurring in
    16
    As Judge Davis’s dissenting opinion points out, § 3664(h) fully reads:
    If the court finds that more than 1 defendant has contributed to
    the loss of a victim, the court may make each defendant liable for
    payment of the full amount of restitution or may apportion
    liability among the defendants to reflect the level of contribution
    to the victim’s loss and economic circumstances of each defendant.
    (emphasis added).
    Judge Davis’s dissenting opinion would read the italicized portion of 3664(h) to allow
    district courts the discretion to circumvent § 2259’s command to award a crime victim the full
    amount of his or her losses. Thus, § 2259 dictates that the circumstances underlying child
    pornography convictions under § 2252 do not permit division of liability for reasons this
    opinion has already explained; the injury victims like Amy suffer does not produce a loss
    capable of division. See note 14 supra. We echo the criticism of this approach embodied in
    Judge Southwick’s dissenting opinion:
    In light of the unique nature of prosecutions of child pornography
    and the clear congressional intent to maximize awards, any
    doubts about the proper amount of restitution should be resolved
    in favor of the child. . . . I am concerned that [Judge Davis’s]
    emphasis on the discretion of a district court . . . tends towards
    accepting inappropriately low, even nominal awards. I would not
    accept that a forward-looking estimate of the number of future
    defendants and awards should be used to estimate a percentage
    of overall liability to be given a particular defendant. That puts
    too much weight on the interests of the defendants. Over-
    compensation is an unlikely eventuality.
    17
    Writing separately in the Fourth Circuit’s recent opinion analyzing § 2259, Judge
    Gregory explained the indivisibility of pornography victims’ harms:
    If [a defendant] proximately caused [a victim like Amy]’s
    psychological injury, this injury is indivisible from the
    psychological injuries proximately caused by the other offenders.
    I do not believe a fact finder could meaningfully say precisely x
    amount of [the victim]’s psychological injuries were caused by
    [the defendant]’s watching the same video.
    Burgess, 
    2012 WL 2821069
    , at *13 (Gregory, J., concurring in part, dissenting in part, and
    concurring in judgment).
    33
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    judgment) (explaining that the joint and several liability described in § 3664
    “‘has long been available . . . in which two negligent actors, acting independently
    of one another, caused by a single indivisible harm to the plaintiff.’” (quoting
    TORT LAW: RESPONSIBILITIES AND REDRESS 517 (John C.P. Goldberg et al. eds.,
    2008)). And although the D.C. Circuit has expressed that it is “unclear . . .
    whether joint and several liability may be imposed upon defendants in separate
    cases,” Monzel, 
    641 F.3d at 539
    , nothing in § 3664 forbids it, either expressly or
    through implication; the fact that it conforms well to this context supports its
    application.
    Any fears that Amy and victims like her might be overcompensated
    through the use of joint and several liability, as expressed under § 3664(h), are
    unwarranted.     See, e.g., Burgess, 
    2012 WL 2821069
    , at * 11 (“While full
    compensation would be unlikely from any individual defendant, [the victim’s]
    proposed interpretation of the restitution statute places no cap on her ultimate
    recovery, and would allow her to recover the amount of her losses many times
    over.”). The use of joint and several liability does not mean that Amy may
    “recover more than her total loss: [rather,] once she collects the full amount of
    her losses from one defendant, she can no longer recover from any other.” Id. at
    *14 (Gregory, J., concurring in part, dissenting in part, & concurring in
    judgment) (quoting TORT LAW, supra, at 517).
    Section 3664 provides “reasonable means” to defend against any
    theoretical    overcompensation    that    could   result.    See   
    18 U.S.C. § 3664
    (m)(1)(A)(ii). First, if Amy recovers the full amount of her losses from
    defendants, the Government and defendant may use this information to ensure
    that Amy does not seek further awards of restitution.            See 
    id.
     § 3664(e)
    (explaining that the court may resolve “[a]ny dispute as to the proper amount or
    type of restitution . . . by the preponderance of the evidence.”). Second, § 3664(k)
    34
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    suggests a means for ending defendants’ existing joint and several restitution
    obligations once Amy receives the full amount of her losses; it allows for a
    district court, “on its own motion, or the motion of any party, including the
    victim, [to] adjust the payment schedule, or require immediate payment in full,
    as the interests of justice require.” This broadly phrased subsection seems to
    enable courts to apply joint and several liability across jurisdictions because it
    permits those courts to adjust restitution orders as victims receive the full
    amount of their losses.18 More concretely, if Amy one day receives the full
    amount of restitution representing the “full amount of [her] losses” under § 2259,
    district courts across the nation may amend the judgments of defendants to
    reflect this fact under § 3664(k) by terminating further restitution obligations.19
    In either circumstance, district courts must be in possession of evidence
    to support entry of restitution or amendment of the defendants’ judgments.
    There are several potential sources of this information. Victims, of course, are
    in the best position to know what restitution they have recovered and what
    restitution they have yet to receive. In addition to information obtained from
    victims, the Government may rely on information maintained by the probation
    office and other arms of the U.S. Department of Justice to ensure that amounts
    18
    Use of this mechanism does not violate § 3664(f)(1)(B)’s command that courts may
    not consider a victim’s receipt of compensation from other sources “in determining the amount
    of restitution” because § 2259 limits a victim’s recovery to the full amount of his or her losses.
    Section 2259(b)(4)(B)’s similar instruction that a court may not decline to issue a restitution
    order “because of . . . the fact that a victim has, or is entitled to, receive compensation for his
    or her injuries from . . . any other source” reinforces this conclusion. Section 2259(b)(4)(B),
    read together with § 3664(b)(f)(1)(B), reinforces the mandatory nature of § 2259 by disallowing
    district courts from declining to issue restitution to crime victims while simultaneously
    honoring the cap § 2259 places on victims’ recovery: the full amount of a victim’s losses.
    19
    Of course, even while Amy may not collect more than to which she is entitled, she
    may certainly obtain judgments in excess of that amount. Indeed, Amy has already obtained
    judgments exceeding $3.4 million.
    35
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    reported by a victim are accurate.20 Defendants may dispute any amounts in
    these requests, and, under § 3664(e), the court may resolve “[a]ny dispute as to
    the proper amount or type of restitution . . . by the preponderance of the
    evidence.”21
    c
    Next, the Government asserts that not restricting the recovery of losses
    by proximate cause produces an absurd result—constitutional implications that
    could be avoided if we were to read § 2259 as requiring proximate causation with
    respect to all categories of losses. See Lamie, 
    540 U.S. at 534
     (instructing that
    courts must enforce a statute’s terms so long as “the disposition required by the
    text is not absurd.”). Specifically, the Government is concerned that without a
    proximate cause limitation, § 2259 could be challenged on the ground that it
    subjects a defendant to excessive punishment under the Eighth Amendment.
    The Eighth Amendment prescribes that “[e]xcessive bail shall not be
    required, nor excessive fines imposed, nor cruel and unusual punishments
    inflicted.” U.S. CONST. amend. VIII. The Government posits that by giving effect
    to the statute’s plain text, this court could cause Eighth Amendment problems
    similar to that expressed by a recent Supreme Court case involving criminal
    forfeiture: Where criminal forfeiture “would be grossly disproportional to the
    gravity of [an] offense,” the Supreme Court held that it would violate the
    Excessive Fines Clause of the Eighth Amendment. United States v. Bajakajian,
    
    524 U.S. 321
    , 324 (1998).
    20
    The comprehensive information the Government has provided in this case regarding
    the restitution ordered in other cases involving Amy confirms the Government’s access to this
    type of information.
    21
    Nothing in § 2259, § 3664, or in this opinion is intended to restrict the district court’s
    ability to use any other mechanisms available under § 3664 to order restitution in a manner
    that effects § 2259’s purposes.
    36
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    First, we are not persuaded that restitution is a punishment subject to the
    same Eighth Amendment limits as criminal forfeiture. Its purpose is remedial,
    not punitive. See United States v. Webber, 
    536 F.3d 584
    , 602–03 (7th Cir. 2008)
    (“Forfeiture and restitution are distinct remedies. Restitution is remedial in
    nature, and its goal is to restore the victim’s loss. Forfeiture, in contrast, is
    punitive; it seeks to disgorge any profits that the offender realized from his
    illegal activity.”) (citations omitted); see also United States v. Taylor, 
    582 F.3d 558
    , 566 (5th Cir. 2009) (“Restitution operates to make the victim of the crime
    whole.”). Even so, restricting the “proximate result” language to the catchall
    category in which it appears does not open the door to grossly disproportionate
    restitution in a way that would violate the Eighth Amendment. Section 2259
    contains discrete causal limitations that precede the restitutionary right;
    restitution thus is limited to losses arising out of a victim’s injury. See 
    18 U.S.C. § 2259
    (c) (imposing general causation requirement on definition of victim).
    Furthermore, the mechanisms under § 3664, which have already been described,
    further allay any concerns as to over-punishment.            Fears over excessive
    punishment are misplaced.
    Any concern that individual defendants may bear a greater restitutionary
    burden than others convicted of possessing the same victim’s images, moreover,
    does not implicate the Eighth Amendment or threaten to create an absurd
    result. See Arledge, 
    553 F.3d at 899
    . Restitution is not tied to the defendant’s
    gain; rather “so long as the government proved that the victim suffered the
    actual loss that the defendant has been ordered to pay, the restitution is
    proportional.” 
    Id.
     Even where a district court selectively imposed restitution on
    one co-defendant and not another, this court has treated this seeming inequality
    as being “of no consequence.” See 
    id.
     (citing United States v. Ingles, 
    445 F.3d 830
    ,
    839 (5th Cir. 2006) (explaining that “a district court may consider the relative
    37
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    degrees of responsibility of co-defendants in imposing restitution obligations and
    therefore, the simple fact that like punishment was not imposed on [the
    co-defendants] does not offend the constitution” (internal quotation marks and
    citations omitted)). Thus, the fact that some defendants will be held jointly and
    severally liable for the full amount of Amy’s losses, while other defendants
    convicted of possessing Amy’s images may not be (because, for example, the
    Government or Amy does not seek restitution from them) does not offend the
    Eighth Amendment. See 
    id.
    The court, moreover, can ameliorate the impact of joint and several
    liability on an individual defendant by establishing a payment schedule that
    corresponds to the defendant’s ability to pay. See, e.g., United States v. Wright,
    No. 09-CR-103, at 5 (E.D. La. Dec. 16, 2009) (explaining the payment of
    restitution “shall begin while the defendant is incarcerated [and u]pon release,
    any unpaid balance shall be paid at a rate of $200.00 per month” and further
    explaining that “[t]he payment is subject to increase or decrease, depending on
    the defendant’s ability to pay.”); see also 
    18 U.S.C. § 3664
    (e) (“The burden of
    demonstrating the financial resources of the defendant and the financial needs
    of the defendant’s dependents, shall be on the defendant.”).
    Ultimately, while the imposition of full restitution may appear harsh, it
    is not grossly disproportionate to the crime of receiving and possessing child
    pornography. Cf. 
    id.
     at 899–900 (rejecting Eighth Amendment challenge to the
    imposition of full restitution, pursuant to joint and several liability, under
    Mandatory Victims Restitution Act, in context of mail fraud case). In light of
    restitution’s remedial nature, § 2259’s built-in causal requirements, and the
    mechanisms described under § 3664, we do not see any Eighth Amendment
    concerns here or any other absurd results that our plain reading produces.
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    2
    Accordingly, we hold that § 2259 requires a district court to engage in a
    two-step inquiry to award restitution where it determines that § 2259 applies.
    First, the district court must determine whether a person seeking restitution is
    a crime victim under § 2259—that is, “the individual harmed as a result of a
    commission of a crime under this chapter.” 
    18 U.S.C. § 2259
    (c). The Supreme
    Court has acknowledged that “[t]he distribution of photographs and films
    depicting sexual activity by juveniles is intrinsically related to the sexual abuse
    of children,” New York v. Ferber, 
    458 U.S. 747
    , 759 (1982), and this court has
    elaborated that “children depicted in child pornography may be considered to be
    the victims of the crime of receiving child pornography.” United States v. Norris,
    
    159 F.3d 926
    , 929 (5th Cir. 1998). This logic applies with equal force to
    defendants who possess child pornography:         By possessing, receiving, and
    distributing child pornography, defendants collectively create the demand that
    fuels the creation of the abusive images. Thus, where a defendant is convicted
    of possessing, receiving, or distributing child pornography, a person is a victim
    under this definition if the images the defendant possesses, receives, or
    distributes include those of that individual.
    Second, the district court must ascertain the full amount of the victim’s
    losses as defined under § 2259(b)(3)(A)–(F), limiting only § 2259(b)(3)(F) by the
    proximate result language contained in that subsection, and craft an order
    guided by the mechanisms described in § 3664, with a particular focus on its
    mechanism for joint and several liability.
    IV
    Having resolved this important issue of statutory interpretation, we apply
    our holding to Amy’s mandamus and Wright’s appeal.
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    A
    Under our traditional mandamus inquiry, we will grant Amy’s petition for
    mandamus if (1) she has no other adequate means to attain the desired relief;
    (2) she has demonstrated a clear and indisputable right to the issuance of a writ;
    and (3) in the exercise of our discretion, we are satisfied that the writ is
    appropriate in these circumstances. See Dean, 
    527 F.3d at 394
    . As the Supreme
    Court has noted, the “hurdles” limiting use of mandamus, “however demanding,
    are not insuperable.” Cheney v. U.S. Dist. Court, 
    542 U.S. 367
    , 381 (2004).
    We easily conclude that the first prong is met. Because we have held that
    the CVRA limits crime victims’ relief to the mandamus remedy, Amy has no
    other means for obtaining review of the district court’s decision not to order
    restitution. See supra § II–A. We are also satisfied that a writ is appropriate in
    these circumstances: The CVRA expressly authorizes mandamus, 
    18 U.S.C. § 3771
    (d)(3), and awarding restitution would satisfy § 2259’s broad restitutionary
    purpose. Next, we conclude that Amy has a “clear and indisputable” right to
    restitution in light of our holding today. First, Amy is a “victim” under § 2259(c).
    Paroline possessed at least two of her images, and his possession of those images
    partly formed the basis of his conviction. See Ferber, 
    458 U.S. at 759
    ; Norris,
    
    159 F.3d at 929
    . Amy, as an “individual harmed as a result of [Paroline’s]
    commission of a crime” falling within § 2259’s scope, is thus a victim under §
    2259. See Kearney, 
    672 F.3d at 94
     (“Any argument that [Amy] has not suffered
    harm as a result of [Paroline’s] crimes defies both fact and law.”). Because Amy
    is a victim, § 2259 required the district court to award her restitution for the
    “full amount of [her] losses” as defined under § 2259(b)(3). Because the district
    court awarded Amy nothing, it therefore clearly and indisputably erred. No
    matter what discretion the district court possessed and no matter how
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    confounding the district court found § 2259, it was not free to leave Amy with
    nothing.
    On remand, the district court must enter a restitution order reflecting the
    “full amount of [Amy’s] losses” in light of our holdings today.
    B
    Turning to Wright’s appeal, Amy is eligible for restitution as a “victim” of
    Wright’s crime of possessing images of her abuse for the same reasons she is
    eligible as a victim of Paroline’s crime. See supra § IV-A. It was therefore legal
    for the district court to order restitution to Amy. See Arledge, 
    553 F.3d at 897
    (reviewing the legality of the restitution order de novo). As such, Wright’s
    appeal necessarily focuses on the amount of the district court’s restitution
    award, which we review for an abuse of discretion. 
    Id.
     The district court
    awarded Amy $529,661 by adding Amy’s estimated future counseling costs to the
    value of her expert witness fees. The district court did not explain why Wright
    should not be required to pay for any of the other losses Amy requested, and the
    record does not otherwise disclose why the district court reduced the
    Government’s full request on Amy’s behalf. While the district court erred in
    failing to award Amy the full amount of her losses, because the Government did
    not appeal Wright’s sentence and Amy did not seek mandamus review, under
    Greenlaw v. United States, we must affirm Wright’s sentence. 
    554 U.S. 237
    , 246
    (2008) (holding appellate court may not increase sentence of defendant where
    Government did not appeal sentence directly or on cross-appeal).
    V
    For the reasons above, we reject the approach of our sister circuits and
    hold that § 2259 imposes no generalized proximate cause requirement before a
    child pornography victim may recover restitution from a defendant possessing
    images of her abuse. We AFFIRM the district court in United States v. Wright,
    41
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    No. 09-CR-103 (E.D. La. Dec. 16, 2009). We VACATE the district court’s
    judgment in United States v. Paroline, 
    672 F. Supp. 2d 781
     (E.D. Tex. 2009), and
    REMAND for proceedings consistent with this opinion.22
    22
    Amy’s motion to strike portions of the Government’s brief is DENIED.
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    DENNIS, Circuit Judge, concurring in part in the judgment.
    I respectfully concur in the majority opinion’s decision that the CVRA does
    not grant crime victims a right to a direct appeal from a district court’s rejection
    of her claim for restitution under 
    18 U.S.C. § 2259
    ; that the CVRA grants crime
    victims only a right to seek traditional mandamus review; and that the CVRA
    grants the government the right to seek mandamus and to retain its right to a
    direct appeal.
    I further agree with the majority that neither the Government nor the
    victim is required to prove that the victim’s losses defined by 
    18 U.S.C. § 2259
    (b)
    (3)(A)-(E) were a proximate result of the defendant’s crime; it is only “any other
    loss suffered by the victim” that must be proved to be “a proximate result of the
    offense.” 
    Id.
     § 2259(b)(3)(F). Section 2259(c) defines “victim” as an “individual
    harmed as a result of a commission of a crime under this chapter,” but it does
    not require a showing that the victim’s losses included in § 2259(b)(3)(A)-(E) be
    a “proximate result of the offense.” From this, I infer that the statute places only
    a slight burden on the victim or the government to show that the victim’s losses
    or harms enumerated in those subsections plausibly resulted from the offense.
    Once that showing has been made, in my view, a presumption arises that those
    enumerated losses were the proximate result of the offense, which the defendant
    may rebut with sufficient relevant and admissible evidence.
    Finally, I agree with the majority’s conclusion that where a defendant is
    convicted of possessing child pornography, a person is a victim under the statute
    if the images include those of that individual. In these cases, I agree that the
    government and the victim have made a sufficient showing, unrebutted by the
    defendant, that the victim is entitled to restitution of losses falling under 
    18 U.S.C. § 2259
     (b)(3)(A)-(E). Therefore, I concur in that part of the majority’s
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    judgment that vacates the district courts’ judgments and remands the cases to
    them for further proceedings.
    In remanding, however, I would simply direct the district courts to proceed
    to issue and enforce the restitution orders in accordance with 
    18 U.S.C. § 3664
    and 3663A, as required by § 2259(b)(2). Going forward, I believe it best to permit
    district courts to craft procedural and substantive devices for ordering
    restitution that would take into account both the mandatory nature of full
    restitution for crime victims under section 2259 and the mechanical difficulties
    of crafting orders given the possibility of multiplicitous liability among hundreds
    of defendants under circumstances that may change over time. While I admire
    the majority’s effort to provide guidance to the district courts in their extremely
    difficult task of molding and merging these federal statutes, §§ 2259, 3663A, and
    3664, into a legal, just, and predictable system, I believe that effort is premature
    in this court at this time on the present record. Rather, I would leave the
    decision as to how to proceed under these statutes to the district courts, which
    may decide to take additional evidence and require study and briefing by the
    parties to assist them in these difficult cases.
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    W. EUGENE DAVIS, Circuit Judge, concurring in part and dissenting in part,
    joined by KING, SMITH, and GRAVES, Circuit Judges.
    I agree with my colleagues in the majority that we should grant
    mandamus in In re Amy and remand for entry of a restitution award.1 I also
    agree that we should vacate the award entered in Wright and remand for further
    consideration on the amount of the award. The devil is in the details, however,
    and I disagree with most of the majority’s analysis.
    I disagree with my colleagues in the majority in two major respects:
    1.     Although I conclude that the proximate cause proof required by the
    restitution statutes can be satisfied in these cases, I disagree with
    the majority that the statute authorizes restitution without any
    proof that the violation proximately caused the victim’s losses.
    2.     I agree with the majority that the district court must enter a
    restitution award against every offender convicted of possession of
    the victim’s pornographic image; but I disagree with the majority
    that in cases such as these two, where the offenses of multiple
    violators contribute to the victim’s damages, the district court must
    enter an award against each offender for the full amount of the
    victim’s losses. No other circuit that has addressed this issue has
    adopted such a one size fits all rule for the restitution feature of the
    sentence of an offender. Other circuits have given the district courts
    discretion to assess the amount of the restitution the offender is
    1
    Section 2259 directs courts to “order restitution for any offense under this chapter.”
    District courts do not have discretion to make no award.
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    ordered to pay. See, e.g., United States v. Burgess, 
    684 F.3d 445
    , 460
    (4th Cir. 2012); United States v. Kearney, 
    672 F.3d 81
    , 100-01 (1st
    Cir. 2012); United States v. McGarity, 
    669 F.3d 1218
    , 1270 (11th
    Cir. 2012); United States v. Laney, 
    189 F.3d 954
    , 967 (9th Cir. 1999).
    I.
    THE STATUTES
    At bottom, this is a statutory interpretation case, and I begin with a
    consideration of the structure and language of the statutes at issue that facially
    belie the majority’s position that victims may be awarded restitution for losses
    not proximately caused by offense conduct. Section 2259 specifically governs
    mandatory restitution awards for crimes related to the sexual exploitation and
    abuse of children. A number of provisions in the statute make it clear that proof
    of a causal connection is required between the offenses and the victim’s losses.
    Section 2259(b)(2) expressly incorporates the general restitution
    procedures of 
    18 U.S.C. § 3664
     and states that “[a]n order of restitution under
    this section shall be issued and enforced in accordance with section 3664 in the
    same manner as an order under section 3663A.” Section 3664(e) states that
    “[t]he burden of demonstrating the amount of the loss sustained by a victim as
    a result of the offense shall be on the attorney for the Government.” (emphasis
    added).
    This language requiring proof of causation from § 3664(e) is consistent
    with the language defining “victim” found in § 2259(c), who is defined as “the
    individual harmed as a result of a commission of crime under this chapter . . . .”
    (emphasis added).
    Section 2259(a) states that the court “shall order restitution for any offense
    under this chapter.” Section 2259(b)(3) states that the victim’s losses are defined
    46
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    as those suffered by the victim “as a proximate result of the offense.” The full
    text of § 2259(b)(3) is as follows:
    [T]he term “full amount of the victim’s losses” includes any costs
    incurred by the victim for –
    (A) medical services relating to physical, psychiatric, or
    psychological care;
    (B) physical and occupational therapy or rehabilitation;
    (C) necessary transportation, temporary housing, and child
    care expenses;
    (D) lost income;
    (E) attorneys’ fees, as well as other costs incurred; and
    (F) any other losses suffered by the victim as a proximate
    result of the offense.
    (emphasis added).
    In interpreting this provision we should follow the fundamental canon of
    statutory construction established by the Supreme Court in Porto Rico Railway,
    Light & Power Co. v. Mor, 
    253 U.S. 345
     (1920). In that case, the Court held that
    “[w]hen several words are followed by a clause which is applicable as much to
    the first and other words as to the last, the natural construction of the language
    demands that the clause be read as applicable to all.” 
    Id. at 348
    . Applying this
    cardinal rule of statutory interpretation, I conclude that subsection (F)’s “as a
    proximate result of the offense” language applies equally to the previous five
    subcategories of losses, (A) through (E). This interpretation was accepted by the
    Eleventh Circuit in United States v. McDaniel, 
    631 F.3d 1204
    , 1209 (11th Cir.
    2011) (“The phrase ‘as a proximate result of the offense’ is equally applicable to
    medical costs, lost income, and attorneys’ fees as it is to ‘any other losses.’”
    (citing Porto Rico Ry., 
    253 U.S. at 348
    )); see also Laney, 
    189 F.3d at 965
     (reading
    the “as a result of” language in § 2259's definition of victim together with the
    “proximate result” language in § 2259(b)(3)(F) to infuse all of 2259(b)(3) with a
    proximate cause requirement).
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    In contrast, the majority concludes that once the district court determines
    that a person is a victim (an individual harmed as a result of an offense under
    § 2259) the district court must order restitution without further proof of
    causation.2
    The majority’s reading of § 2259(b)(3) is patently inconsistent with the rule
    of statutory interpretation announced in Porto Rico Railway, which makes it
    clear that the clause should be read to apply to all categories of loss.3 My
    conclusion that Porto Rico Railway’s rule of interpretation applies in this case
    is made even clearer when we consider the multiple references in the statutes
    discussed above expressly reflecting Congressional intent to require proof of
    causation.
    The D.C. Circuit and other circuits have reached the same conclusion–
    that is, that § 2259 requires proof of proximate cause–albeit by a slightly
    different reasoning. See United States v. Monzel, 
    641 F.3d 528
    , 535-37 (D.C. Cir.
    2011); United States v. Aumais, 
    656 F.3d 147
    , 153 (2d Cir. 2011); Burgess, 684
    F.3d at 459. The D.C. Circuit explained that it is
    a bedrock rule of both tort and criminal law that a defendant is only
    liable for harms he proximately caused. (“An essential element of
    the plaintiff’s cause of action for negligence, or . . . any other tort, is
    that there be some reasonable connection between the act or
    omission of the defendant and the damage which the plaintiff has
    2
    The majority would apparently hold that if Amy were injured in an automobile
    accident on the way to a counseling session, those damages would be included in a restitution
    award.
    3
    I am not persuaded by In re Amy’s attempt to distinguish the statute in Porto Rico
    Railway on the basis that the subcategories of § 2259(b)(3) are separated by semicolons rather
    than commas. See In re Amy, 
    636 F.3d 190
    , 199 (5th Cir. 2011). Either punctuation device is
    an acceptable method of separating clauses. See BRYAN A. GARNER, THE REDBOOK: A MANUAL
    ON LEGAL STYLE 1-15 (2d. ed. 2006).
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    suffered. This connection usually is dealt with by the courts in
    terms of what is called ‘proximate cause’ . . . .”).
    (footnote omitted) (citation omitted) (quoting W. PAGE KEETON ET AL., PROSSER
    AND KEETON ON THE LAW OF TORTS §        41, at 263 (5th ed. 1984)); see also WAYNE
    R. LAFAVE, SUBSTANTIVE CRIMINAL LAW § 6.4, at 464 (2d ed. 2003) (“[For] crimes
    so defined as to require not merely conduct but also a specified result of conduct,
    the defendant’s conduct must be the ‘legal’ or ‘proximate’ cause of the result.”).
    “Thus, we will presume that a restitution statute incorporates the traditional
    requirement of proximate cause unless there is good reason to think Congress
    intended the requirement not to apply.” Monzel, 
    641 F.3d at 536
    .        The court
    found that “nothing in the text or structure of § 2259 leads us to conclude that
    Congress intended to negate the ordinary requirement of proximate cause.” Id.
    Other circuits have used different analyses but all circuits to confront this
    issue have interpreted the statute as using a proximate causation standard
    connecting the offense to the losses. See United States v. Evers, 
    669 F.3d 645
    ,
    658-59 (6th Cir. 2012) (finding a proximate cause requirement but declining to
    choose whether to adopt the McDaniels or Monzel rationale as they are
    “complementary”); Kearney, 
    672 F.3d at 96, 99
     (adopting a proximate cause
    standard but not specifying under what analysis); United States v. Crandon, 
    173 F.3d 122
    , 125-26 (3d Cir. 1999) (stating, without analysis, that § 2259 requires
    damages for losses suffered “as a proximate result of the offense”). This circuit
    is the only circuit that has interpreted § 2259 and concluded that proximate
    cause is not required by the statute.
    For the above reasons, I conclude that the statutes at issue require proof
    that the defendant’s offense conduct proximately caused the victim’s losses
    before a restitution award can be entered as part of the defendant’s sentence.
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    II.
    CAUSATION
    In cases such as the two cases before this court where the conduct of
    multiple offenders collectively causes the victim’s damages, I would follow the
    position advocated by the Government and adopted by the First Circuit and the
    Fourth Circuit to establish the proximate cause element required by § 2259.
    Kearney, 
    672 F.3d at 98-99
    ; Burgess, 684 F.3d at 459-60. Under this “collective
    causation” theory, it is not necessary to measure the precise damages each of the
    over 100 offenders caused. As the First Circuit in Kearney stated: “Proximate
    cause exists where the tortious conduct of multiple actors has combined to bring
    about harm, even if the harm suffered by the plaintiff might be the same if one
    of the numerous tortfeasors had not committed the tort.” 
    672 F.3d at 98
    . The
    court relied on the following statement of the rule from Prosser and Keeton:
    When the conduct of two or more actors is so related to an event
    that their combined conduct, viewed as a whole, is a but-for cause
    of the event, and application of the but-for rule to each of them
    individually would absolve all of them, the conduct of each is a cause
    in fact of the event.
    KEETON ET AL., supra, § 41, at 268.
    The court explained further:
    Proximate cause therefore exists on the aggregate level, and there
    is no reason to find it lacking on the individual level. The
    Restatement (Third) of Torts has recognized this: causation exits
    even where “none of the alternative causes is sufficient by itself, but
    together they are sufficient” to cause the harm.
    Kearney, 
    672 F.3d at 98
     (quoting RESTATEMENT (THIRD) OF TORTS: LIABILITY FOR
    PHYSICAL AND EMOTIONAL HARM § 27 reporters’ n. cmt. g. (2010); id. § 36 cmt. a
    (“[E]ven an insufficient condition . . . can be a factual cause of harm when it
    combines with other acts to constitute a sufficient set to cause the harm.”)).
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    I agree with the Government and the First and Fourth Circuits that this
    definition of proximate cause is appropriate in this context and under this
    standard the causation requirement in both cases before us is satisfied.
    III.
    AMOUNT OF THE AWARD
    The most difficult issue in these cases–where multiple violators combine
    to cause horrendous damage to a young victim–is establishing some standards
    to guide the district court in setting an appropriate restitution award for the
    single offender before the court.
    I agree that Amy is a victim in both cases before us. Defendant Paroline
    (in In re Amy) and defendant Wright possessed Amy’s pornographic images and
    the statute requires the court to enter an award against them.
    I agree that Amy is entitled to a restitution award from all of her offenders
    in a sum that is equal to the amount of her total losses. But in cases such as
    these where multiple violators have contributed to the victim’s losses and only
    one of those violators is before the court, I disagree that the court must always
    enter an award against that single violator for the full amount of the victim’s
    losses. I agree that § 3664(h) gives the court the option in the appropriate case
    of entering an award against a single defendant for the full amount of the
    victim’s losses even though other offenders contributed to these losses. I also
    agree that in that circumstance the defendant can seek contribution from other
    offenders jointly liable for the losses.4 We have allowed such contribution claims
    4
    The Government argued that contribution would not apply in this context because the
    statute did not authorize it and, in any event, it would not apply among defendants convicted
    in different courts; but their authority on this point is very thin and does not directly and
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    in analogous non-sex offender cases. E.g., United States v. Arledge, 
    553 F.3d 881
    ,
    899 (5th Cir. 2008) (finding that defendant could “seek contribution from his co-
    conspirators to pay off the restitution award and reduce the amount he
    personally owe[d]” in the context of a fraud scheme with multiple participants);
    accord United States v. Martinez, 
    610 F.3d 1216
    , 1234 (10th Cir. 2010); United
    States v. Newsome, 
    322 F.3d 328
    , 340-41 (4th Cir. 2003).
    In concluding that an award for the full amount of the victim’s losses is
    required the majority relies on § 3664(h) which provides:
    If the court finds that more than 1 defendant has contributed to the
    loss of a victim, the court may make each defendant liable for
    payment of the full amount of restitution or may apportion liability
    among the defendants to reflect the level of contribution to the
    victim’s loss and economic circumstances of each defendant.
    (emphasis added). The majority simply ignores the second clause in § 3664(h)
    emphasized above. That subsection plainly gives the court the option of either
    (1) assessing a restitution award against the single defendant in an amount that
    is equal to the victim’s total losses or (2) apportioning liability among the
    defendants to reflect each defendant’s level of contribution to the victim’s loss
    taking into consideration a number of factors including the economic
    circumstances of each defendant. Accord McGarity, 669 F.3d at 1270. It would
    be surprising if Congress had not given courts this option. After all, restitution
    is part of the defendant’s criminal sentence and § 3664(h), consistent with
    sentencing principles generally, gives the sentencing judge discretion to fix the
    sentence based on the facts and circumstances surrounding the defendant’s
    circumstances, background, and nature of his conduct. See, e.g., Burgess, 684
    F.3d at 460; Kearney, 
    672 F.3d at 100-01
    ; McGarity, 
    669 F.3d at 1270
    ; Laney,
    strongly support this view.
    52
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    189 F.3d at 967
    . One size does not fit all in this context any more than the
    length of a prison sentence or any other feature of a criminal sentence.
    I agree with the majority that the defendants in both cases before us
    having been convicted of violating 
    18 U.S.C. § 2252
     must be ordered to pay
    restitution to Amy. We should leave the calculation of the appropriate award
    against each defendant to the district court in the first instance. I would give the
    district court the following general guidelines:
    The court must recognize that Amy’s losses are an aggregation of the acts
    of the person who abused and filmed her assault, those who distributed and
    redistributed her images, and those who possessed those images. The culpability
    and liability for restitution of any one defendant regarding Amy’s loss is
    dependent at least in part on the role that defendant played with respect to her
    exploitation. See, e.g., Burgess, 684 F.3d at 460.
    The court should first compute the victim’s probable future losses based
    on evidence of the damages she will likely incur from the date of the defendant’s
    offense conduct into the foreseeable future. The court should consider all items
    of damage listed in § 2259(b)(3) as well as any other losses suffered by the
    defendant related to the conduct of the violators of this chapter.
    In a case such as this where multiple individuals have been convicted of
    contributing to her abuse, the district court has the discretion under § 3664(h)
    either to enter an award for the total amount of her provable losses or some
    portion of those losses to reflect the defendant’s role in causing the damage as
    well as the other surrounding circumstances.
    The district court is not required to justify any award with absolute
    precision, but the amount of the award must have a factual predicate. In
    determining whether it should cast the single defendant before it for the total
    amount of the victim’s losses or in fixing the amount of a smaller award the
    53
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    court should consider all relevant facts including without limitation the
    following:
    1.     The egregiousness of the defendant’s conduct including whether he was
    involved in the physical abuse of this victim or other victims, and whether
    he attempted to make personal contact with victims whose images he
    viewed or possessed.
    2.     For defendants who possessed images of the victim, consider the number
    of images he possessed and viewed, and whether the defendant circulated
    or re-circulated those images to others.
    3.     The financial means of the defendant and his ability to satisfy an award.
    4.     The court may consider using the $150,000 liquidated civil damage award
    authorized by 
    18 U.S.C. § 2255
     or a percentage thereof as a guide in fixing
    the amount of the award.
    5.     The court may also consider as a guide awards made in similar cases in
    this circuit and other circuits.
    6.     Any other facts relevant to the defendant’s level of contribution to the
    victim’s loss and economic circumstances of the defendant.
    IV.
    CONCLUSION
    In summary, I would grant mandamus and vacate the judgment in In re
    Amy and remand that case to the district court to enter an award consistent with
    the principles outlined above. I would also vacate the judgment in Wright and
    remand for entry of judgment consistent with the above guidelines.
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    LESLIE H. SOUTHWICK, Circuit Judge, dissenting:
    We are confronted with a statute that does not provide clear answers. I
    join others in suggesting it would be useful for Congress “to reconsider whether
    § 2259 is the best system for compensating the victims of child pornography
    offenses.” United States v. Kennedy, 
    643 F.3d 1251
    , 1266 (9th Cir. 2011); see also
    United States v. Burgess, 
    684 F.3d 445
    , 460 (4th Cir. 2012). The goal is clear:
    providing meaningful restitution to victims of these crimes. How to order
    restitution in individual cases in light of that goal is a difficult question.
    Our task today is to effectuate the scheme according to the congressional
    design as best as we can discern it. Both of the other opinions have ably
    undertaken this difficult task. I agree with Judge Davis that this circuit should
    not chart a solitary course that rejects a causation requirement. The reasons
    why I believe the statute requires causation are different than he expresses,
    though. I agree with the majority, relying on the last-antecedent rule, that the
    phrase “as a proximate result of the offense” that is in Section 2259(b)(3)(F) only
    modifies the category of loss described in (F). See, e.g., Jama v. Immigration and
    Customs Enforcement, 
    543 U.S. 335
    , 343 (2005).
    Though I agree with the majority in that respect, I find persuasive the
    reasoning of the Second, Fourth, and D.C. Circuits that causation “is a deeply
    rooted principle in both tort and criminal law that Congress did not abrogate
    when it drafted § 2259.” United States v. Aumais, 
    656 F.3d 147
    , 153 (2d Cir.
    2011); Burgess, 684 F.3d at 457; United States v. Monzel, 
    641 F.3d 528
    , 535-36
    (D.C. Cir. 2011). In a similar vein, the Supreme Court stated that absent “some
    indication of congressional intent, express or implied,” courts will decline to read
    federal statutory crimes that fail to mention it, as eliminating the mens rea
    55
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    requirement that has been a hallmark of crimes since the common law. Staples
    v. United States, 
    511 U.S. 600
    , 605-06 (1994).
    True, the positioning of the phrase “proximate result” solely within
    subsection (F) could be a sign that Congress meant to eliminate causation for
    damages falling under subsections (A)-(E). Any such implication is thoroughly
    defeated, though, by other provisions of the statute. First, as the D.C. Circuit
    has recognized, Section 2259 calls for restitution to go to a “victim” of these
    crimes, a term defined as “the individual harmed as a result of a commission of
    a crime under this chapter.” Monzel, 
    641 F.3d at 535
     (emphasis added).
    Second, the statute directs that an order of restitution should be issued and
    enforced “in the same manner as an order under section 3663A.” §2259(b)(2).
    Under Section 3663A “‘victim’ means a person directly and proximately harmed
    as a result of the commission of an offense for which restitution may be ordered.”
    § 3663A(2). The “as a result” language from Section 2259 as well as the more
    explicit mention of proximate harm in Section 3663A convince me that “nothing
    in the text or structure of the restitution statute affirmatively indicates that
    Congress intended to negate the ordinary requirement of proximate causation
    for an award of compensatory damages.” Burgess, 684 F.3d at 457; Monzel, 
    641 F.3d at 536
    .
    I understand the contours of this proximate-cause requirement in much
    the same manner as does Judge Davis, including his analysis of “collective
    causation.” See also United States v. Kearney, 
    672 F.3d 81
    , 96-98 (1st Cir. 2012).
    I also agree that the option of “apportion[ing] liability among the defendants to
    reflect the level of contribution to the victim’s loss and economic circumstances
    of each defendant” belies the majority’s notion that each case calls for an award
    equal to the total loss incurred by a victim. § 3664(h). Yet by making restitution
    56
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    “mandatory” for all these crimes of exploitation, including possession and
    distribution of child pornography, Congress made its “goal of ensuring that
    victims receive full compensation” plain. Kearney, 
    672 F.3d at 99
    .
    Awards must therefore reflect the need to make whole the victims of these
    offenses. As Amy’s suffering illustrates, the “distribution of photographs and
    films depicting sexual activity by juveniles is intrinsically related to the sexual
    abuse of children.”   New York v. Ferber, 
    458 U.S. 747
    , 759 (1982). They
    constitute an indelible “record of the children’s participation and the harm to the
    child is exacerbated by their circulation.” 
    Id.
    In light of the unique nature of prosecutions for child pornography and the
    clear congressional intent to maximize awards, any doubts about the proper
    amount of restitution should be resolved in favor of the child. This concern is
    largely a matter of a difference of emphasis from the views expressed by Judge
    Davis. I am concerned that his emphasis on the discretion of a district court,
    though clearly that discretion exists and can be exercised under the terms of
    Section 3664, tends towards accepting inappropriately low, even nominal
    awards. I would not accept that a forward-looking estimate of the number of
    future defendants and awards should be used to estimate a percentage of overall
    liability to be assigned a particular defendant. That puts too much weight on
    the interests of the defendants. Over-compensation is an unlikely eventuality.
    Were it to occur, then at that point district courts might be able to shift to
    evening up contributions among past and future defendants.
    In summary, proximate cause must be shown and the principle of
    aggregate causation is the method for proving its existence. By statute, district
    courts can award all damages to each defendant but also have discretion to make
    57
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    lesser awards if properly explained. This means that I agree with requiring
    additional proceedings as to both defendants, but disagree that each district
    court is required to impose a restitution award of the full amount of damages.
    58
    

Document Info

Docket Number: 09-31215

Filed Date: 11/19/2012

Precedential Status: Precedential

Modified Date: 10/30/2014

Authorities (58)

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