United States v. Martin ( 2008 )


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  •                                 RECOMMENDED FOR FULL-TEXT PUBLICATION
    Pursuant to Sixth Circuit Rule 206
    File Name: 08a0197p.06
    UNITED STATES COURT OF APPEALS
    FOR THE SIXTH CIRCUIT
    _________________
    X
    Plaintiff-Appellee, -
    UNITED STATES OF AMERICA,
    -
    -
    -
    No. 06-5002
    v.
    ,
    >
    KENNETH MARTIN,                                               -
    Defendant-Appellant. -
    N
    Appeal from the United States District Court
    for the Eastern District of Kentucky at Covington.
    No. 05-00025—David L. Bunning, District Judge.
    Argued: July 23, 2007
    Decided and Filed: May 23, 2008
    Before: BATCHELDER and DAUGHTREY, Circuit Judges; ROSEN, District Judge.*
    _________________
    COUNSEL
    ARGUED: Peter B. Coughlan, Fort Thomas, Kentucky, for Appellant. Laura K. Voorhees,
    ASSISTANT UNITED STATES ATTORNEY, Fort Mitchell, Kentucky, for Appellee. ON BRIEF:
    Peter B. Coughlan, Fort Thomas, Kentucky, for Appellant. Laura K. Voorhees, ASSISTANT
    UNITED STATES ATTORNEY, Fort Mitchell, Kentucky, Charles P. Wisdom, Jr., ASSISTANT
    UNITED STATES ATTORNEY, Lexington, Kentucky, for Appellee.
    _________________
    OPINION
    _________________
    ROSEN, District Judge.
    I. INTRODUCTION
    Defendant-Appellant Kenneth Martin conditionally pled guilty in the United States District
    Court for the Eastern District of Kentucky to charges of being a felon-in-possession of a firearm in
    violation of 18 U.S.C. § 922(g)(1) and was sentenced with an enhancement under the Armed Career
    Criminal Act to a term of imprisonment of 180 months. Martin now appeals his conviction and
    sentence arguing that the district court erred in denying his motions to suppress evidence and to
    *
    The Honorable Gerald E. Rosen, United States District Judge for the Eastern District of Michigan, sitting by
    designation.
    1
    No. 06-5002                  United States v. Martin                                         Page 2
    disclose the identity of the confidential informant whose information led to the search of his
    residence and the ultimate discovery of the gun upon which the charges against him were predicated.
    Martin also argues that there is insufficient evidence to establish that the Walther .380 caliber
    semiautomatic pistol found by the agents during the execution of the search warrant had traveled
    in, or affected, interstate commerce. He further argues that his prior criminal convictions did not
    constitute sufficient predicate offenses for purposes of a sentencing enhancement under the Armed
    Career Criminal Act and that the district court’s use of his prior convictions in fashioning his
    sentence violated the Sixth Amendment. For the reasons set forth below, we AFFIRM the district
    court’s judgment.
    II. FACTUAL BACKGROUND
    On January 5, 2005, Agent Nathan Honaker of the Northern Kentucky Drug Strike Task
    Force (“NKDSF”) received information from a confidential informant (“CI”) concerning illegal drug
    activity at Defendant Kenneth Martin’s residence at 1219 Greenup Street in Covington, Kentucky.
    At the time, Martin’s mother, Lauretta Martin, owned the Greenup Street home but did not live
    there; only Martin and his sister, Kim, resided in the house. The information provided by the CI,
    however, was rather vague -- there was no indication of a specific time or date on which the alleged
    drug activity occurred at the residence, nor was there any indication of the identity of the people
    engaged in the drug activity, or the type of drugs involved. All that Agent Honaker stated in his
    Affidavit in support of his search warrant application regarding the CI’s tip was that he had
    “received information from a confidential informant that there was drug activity at 1219 Greenup
    Street, Covington, KY [and] the confidential informant advised that Kenneth Martin resides at th[at]
    residence.” [2/9/05 Application and Affidavit in Support of Search Warrant.] Honaker further stated
    that the informant had “provided reliable information in the past on multiple occasions that ha[d]
    resulted in seizure of illegal controlled substances.” 
    Id. After Honaker
    received the CI’s tip, on February 8, 2005, two other NKDSF Agents, Agents
    Long and Hardcorn, inspected the trash that had been left on the curb in front of Martin’s house and
    retrieved a material that subsequently field-tested positive for cocaine. The cocaine residue was
    found in the same garbage bag as mail with the address of 1219 Greenup Street. Honaker
    subsequently reviewed Martin’s criminal history, which revealed that in July 1995, Martin had been
    convicted on four counts of trafficking in controlled substances in Kenton County, Kentucky.
    Martin’s criminal history further revealed that he had been arrested for possession of marijuana on
    two earlier occasions. Honaker also verified through state records that Martin held an active
    Kentucky drivers’ license with the address of 1219 Greenup Street, Covington, Kentucky.
    Based upon the foregoing, the following day, February 9, 2005, Honaker applied for, and
    obtained from Judge Ann Ruttle of the Kenton County District Court, a search warrant for the 1219
    Greenup Street residence.
    On February 10, 2005, the NKDSF, aided by Covington and Kenton County Police Officers,
    executed the search warrant. During the search, agents discovered a Walther .380 caliber
    semiautomatic pistol, a magazine loaded with seven rounds, along with loose ammunition, a gun
    cleaning kit, a plastic bag containing marijuana, a tin with burnt material, assorted phone bills, a
    rolling machine, a hemostat with a burnt tip, foil-wrapped white tablets, assorted documents, a
    Motorola cell phone and two computer disks. However, no cocaine was found in the house.
    Honaker subsequently turned this case over to the Bureau of Alcohol, Tobacco and Firearms (the
    “ATF”), which determined that the firearm had been shipped or transported in interstate commerce.
    On March 9, 2005, Martin was indicted for being a felon-in-possession of a firearm, in
    violation of 18.U.S.C. § 922(g)(1). Martin thereafter filed pretrial motions (1) to disclose the
    identity of the confidential informant and (2) to suppress the evidence seized during the execution
    No. 06-5002                      United States v. Martin                                       Page 3
    of a search warrant. In support of his motion to disclose the identity of the confidential informant,
    Martin challenged the existence and reliability of the confidential informant. In support of his
    motion to suppress evidence, Martin argued that the warrant affiant, NKDSF Agent Honaker,
    knowingly or intentionally failed to disclose that the NKDSF director, Jim Liles, previously had had
    a romantic relationship with Martin’s former girlfriend, Valerie Slaughter.
    The district court denied both motions, finding that Martin was not entitled to a Franks
    evidentiary hearing1 and that, notwithstanding the paucity of Honaker’s averments about the
    confidential informant, the CI’s information and the cocaine residue found during the independent
    police investigation established sufficient probable cause to issue a search warrant. The district
    court also held that the search warrant affidavit was not deficient due to the lack of information
    concerning the NKDSF director and Martin’s ex-girlfriend: “The fact that NKDSF Director Jim
    Liles may have had a romantic relationship twelve years earlier with someone who also had a
    relationship with Defendant has absolutely no bearing on probable cause in this case.” [7/19/05
    Sealed Memorandum Opinion and Order, pp. 8-9.]
    Subsequently, Martin entered a conditional plea to being a felon-in-possession of a firearm;
    there was no written plea agreement. Martin did, however, specifically reserve in writing the right
    to appeal “the Adverse Determination and Decision relative to the Motion to Suppress Evidence
    seized during the search of the residence at 1219 Greenup Street, Covington, Kentucky, filed May
    3, 2005.” [9/16/05 Notice.]
    During the plea hearing, Martin admitted to being a convicted felon who knowingly and
    unlawfully possessed a firearm. Also, Martin admitted, without objection, to understanding the
    third element of § 922(g)(1), requiring the firearm to have been in, or have affected, interstate
    commerce. The Government submitted that the firearm was manufactured in Alabama and had
    traveled in interstate commerce to Kentucky.
    The district court accepted Martin’s plea and, on December 21, 2005, sentenced Martin to
    180 months imprisonment. During the sentencing hearing, Martin orally objected to his
    classification as an Armed Career Criminal. Martin argued that because his three previous cocaine
    trafficking offenses were consolidated into one indictment they did not satisfy 18 U.S.C § 924(e).
    The district court overruled Martin’s objection, finding that his prior offenses were committed on
    different occasions, despite having been consolidated for trial.
    Martin now appeals his conviction and sentence.
    III. DISCUSSION
    A.     MARTIN WAIVED HIS RIGHT TO APPEAL THE SUFFICIENCY OF THE
    GOVERNMENT’S EVIDENCE
    Martin first challenges the sufficiency of the evidence that supports his conviction.
    Specifically, he contends that there was no evidence that the firearm he is charged with possessing
    traveled in, or affected, interstate commerce. The Government contends that Martin waived his right
    to appeal the interstate commerce nexus by entering a guilty plea to the charge without reserving the
    right to appeal the issue. Martin counters that because his argument is a jurisdictional one, it is not
    waived.
    Whether a defendant has waived his right to appeal is a legal question that an appellate court
    reviews de novo. United States v. McGilvery, 
    403 F.3d 361
    , 362 (6th Cir. 2005).
    1
    Franks v. Delaware, 
    438 U.S. 154
    (1978).
    No. 06-5002                         United States v. Martin                                                      Page 4
    Generally, a voluntary and unconditional guilty plea “bars any subsequent non-jurisdictional
    attack on the conviction.” United States v. Pickett, 
    941 F.2d 411
    , 416 (6th Cir. 1991). However,
    under Fed. R. Crim. P. 11(a)(2), a defendant may, with the approval of the court and consent from
    the government, enter a conditional guilty plea “reserving in writing the right to have an appellate2
    court review an adverse determination of a specified pre-trial motion.” Fed. R. Crim. P. 11(a)(2).
    The provision places an “affirmative duty on the defendant to preserve all potential collateral
    challenges through the preservation mechanism of Rule 11(a)(2).” 
    Pickett, supra
    , 941 F.2d at 416.
    “[I]n the absence of a court-approved reservation of issues for appeal, [a defendant pleading guilty]
    waives all challenges to the prosecution except those going to the court’s jurisdiction.” 
    Id. (citing Hayle
    v. United States, 
    815 F.2d 879
    , 881 (2nd Cir. 1987)).
    Where a defendant does not specify an issue for preservation on appeal, federal courts have
    normally held that Rule 11(a)(2) bars its presentation on appeal. In Pickett, the defendant pled guilty
    to trafficking in controlled substances. He subsequently appealed his conviction, arguing that his
    prosecution in federal court commenced in violation of the Speedy Trial Act and that his indictment
    for violation of federal drug laws subsequent to his state indictment for trafficking in drugs violated
    the Fourteenth Amendment’s due process clause. 
    Pickett, 941 F.2d at 416
    . Because the defendant
    did not enter a conditional plea that specified these issues for preservation on appeal, the Pickett
    court determined that operation of Rule 11(a)(2) barred the presentation of both of these arguments
    against his conviction upon appeal. 
    Id. Similarly, in
    United States v. Napier, 
    233 F.3d 394
    , 399 (6th Cir. 2000), we determined that
    the defendant’s challenge of the district court’s pretrial evidentiary rulings had not been preserved
    for appeal where the defendant’s plea agreement only reserved the right to appeal the district court’s
    order denying his motions to dismiss the indictment.
    This Circuit has specifically interpreted Rule 11(a)(2) to bar a defendant’s challenge that
    evidence was insufficient to support a conviction, absent a conditional plea that specified the issue
    for preservation on appeal. For example, in United States v. Bahhur, 
    200 F.3d 917
    (6th Cir. 2000),
    the defendant argued that the statutory prerequisites necessary to sustain his conviction for a
    prohibited monetary transaction in violation of 18 U.S.C. § 1957 were not met because he3 never
    engaged in “a transaction involving a quantity of food stamp coupons in excess of $5,000.” 
    Id. at 922.
    Although the defendant characterized his objection as a jurisdictional one, the court held that,
    in fact, it was a non-jurisdictional argument against the sufficiency of the government’s evidence
    and was waived when the defendant failed to enter into a conditional plea reserving this issue for
    appeal under Rule 11(a)(2). 
    Id. at 923.
             Similarly, in United States v. Turner, 
    272 F.3d 380
    (6th Cir. 2001), the court found that a
    defendant who was charged with violation of the Hobbs Act, through his guilty plea, waived his
    right to argue that the government failed to produce an adequate basis upon which the court could
    conclude the conspiracy to commit robbery affected interstate commerce. 
    Id. at 383.
    Specifically,
    the court noted that “[a]lthough the Hobbs Act’s interstate commerce element is commonly referred
    to as a ‘jurisdiction element,’ the failure of the government to prove a nexus between the crime and
    2
    Although Rule 11 requires that a conditional plea reserve the right to appeal in writing, the failure to do so
    may be excused when it is harmless. See Fed. R. Crim. P 11(h) (“Any variance from the procedures required by this rule
    which does not affect substantial rights shall be disregarded.”); see also United States v. Ormsby, 
    252 F.3d 844
    , 848 n.3
    (6th Cir. 2001) (requirement that reservation of rights be in writing excused where transcript of the plea hearing made
    clear that defendant’s plea was conditional, the government consented to the conditional plea, and the conditional plea
    was approved by the court.)
    3
    18 U.S.C. § 1956 defines “specified unlawful activity” for purposes of 18 U.S.C. § 1957 as a felony food
    stamp transaction that involves a quantity of coupons having a value of not less than $5,000.
    No. 06-5002                    United States v. Martin                                               Page 5
    interstate commerce is not jurisdictional in a sense that it deprives the district court of subject matter
    jurisdiction.” 
    Id. at 390.
            In the present case, Martin waived his right to appeal the sufficiency of the evidence
    supporting his conviction by entering a guilty plea that did not reserve the issue for appeal. His
    written Notice of reservation of right to appeal did not reserve this issue for appellate review; it only
    reserved the right “to have an Appellate Court review the Adverse Determination and Decision
    relative to the Motion to Suppress Evidence seized during the search of the residence at 1219
    Greenup Street, Covington, Kentucky, filed [on] May 3, 2005.” As in Napier, Martin may have
    reserved the right to appeal other issues, but he did not reserve the right to appeal the sufficiency of
    the government’s evidence. See 
    Napier, 233 F.3d at 399
    .
    The Interstate Commerce Nexus Is Not a Jurisdictional Issue
    Martin argues, however, that his conditional guilty plea did not waive his right to challenge
    on appeal the insufficiency of evidence establishing that the gun upon which his felon-in-possession
    charge was predicated traveled in, or affected, interstate commerce because this issue is a
    jurisdictional one. However, case law does not support Martin’s position. Although Martin is
    correct that his guilty plea did not waive jurisdictional defenses, his characterization of his challenge
    in this case as “jurisdictional” is wrong.
    Like the defendant in 
    Bahhur, supra
    , Martin is actually attacking the sufficiency of the
    government’s evidence, not the district court’s authority to have decided the case. See 
    Bahhur, 200 F.3d at 922
    . Specifically, Martin is challenging the firearm’s nexus with interstate commerce.
    However, as the Turner court noted, while courts frequently call the interstate commerce nexus
    requirement a “jurisdictional element,” it is jurisdictional only in the sense that without that nexus
    there can be no federal crime; it does not affect a court’s power to adjudicate a case. See 
    Turner, 272 F.3d at 390
    .
    The Seventh Circuit considered this issue, albeit in the context of a different statute, and gave
    this explanation:
    [Defendant’s] argument rests on the concept that a guilty plea does not waive
    jurisdictional defenses to the crime at issue. But the nexus with interstate commerce,
    which courts frequently call the “jurisdictional element,” is simply one of the
    essential elements of § 844(i). Although courts frequently call it the “jurisdictional
    element” of the statute, it is “jurisdictional” only in the shorthand sense that without
    that nexus, there can be no federal crime under the bombing statute. It is not
    jurisdictional in the sense that it affects a court’s subject matter jurisdiction, i.e., a
    court’s constitutional or statutory power to adjudicate a case, here authorized by 18
    U.S.C. § 3231. This court has recognized for decades that, despite defendants’
    tendency to confuse facts essential to be alleged as elements of the crime with
    jurisdictional requirements arising as a matter of law, once a defendant pleads guilty
    in a court which has jurisdiction of the subject matter and of the defendant, as did the
    court in the instant case, the court’s judgment cannot be assailed on grounds that the
    government has not met its burden of proving so-called jurisdictional facts. Even if
    the government fails to establish the connection to interstate commerce, the district
    court is not deprived of jurisdiction to hear the case.
    United States v. Martin, 
    147 F.3d 529
    , 531-32 (7th Cir.1998) (citations and some internal
    punctuation omitted); see also United States v. Robinson, 
    119 F.3d 1205
    , 1212 n.4 (5th Cir. 1997),
    cert. denied, 
    522 U.S. 1139
    (1998) (“[T]he commercial nexus element in the Hobbs Act is not
    ‘jurisdictional’ in the sense that a failure of proof would divest the federal courts of adjudicatory
    power over the case. The commercial nexus requirement is in fact a substantive element of the
    No. 06-5002                         United States v. Martin                                                   Page 6
    crime.”); United States v. Hassan, 
    230 F.3d 1360
    , 
    2000 WL 1477967
    , *2 (6th Cir. 2000)
    (unpublished) (interstate commerce element in statute prohibiting the use or trafficking in counterfeit
    access devices, 18 U.S.C. § 1029, is “not jurisdictional in a sense that it affects a court’s subject
    matter jurisdiction, i.e., a court’s constitutional or statutory power to adjudicate a case”).
    To successfully challenge the district court’s jurisdiction, a defendant who enters a guilty
    plea must establish that the face of the indictment failed to charge the elements of a federal offense.
    
    Turner, supra
    , 272 F.3d at 389-90; Mack v. United States, 
    853 F.2d 585
    , 586 (8th Cir.1988). Martin
    makes no argument that the face of the indictment failed to charge the elements of a federal offense.
    This is not surprising as the indictment    in the present case clearly included all of the requisite
    elements of 18 U.S.C. § 922(g)(1).4 Indeed, through his guilty plea, Martin admitted to the
    propriety of the court’s jurisdiction. See Turner, at 390; United States v. Mathews, 
    833 F.2d 161
    ,
    164 (9th Cir.1987) (a guilty plea admits factual allegations in the indictment that form the basis for
    federal jurisdiction).
    Based upon the foregoing discussion, we conclude that Defendant has waived his right to
    challenge in this appeal the interstate commerce nexus or any other aspect of the sufficiency of the
    evidence supporting his conviction.
    B.      MARTIN LIKEWISE WAIVED THE RIGHT TO APPEAL THE DISTRICT COURT’S
    DENIAL OF HIS MOTION TO DISCLOSE THE CONFIDENTIAL INFORMANT’S
    IDENTITY.
    This analysis of waiver applies with equal force to Martin’s challenge of the district court’s
    denial of his motion to disclose the identity of the confidential informant. Martin, however, argues
    that he has not waived his right to obtain review of this issue on appeal because he reserved in
    writing for appeal the issue of his motion to suppress “within days” of filing the motion to disclose5
    the identity of CI, and the court’s sealed Memorandum Opinion and Order addressed both motions.
    However, as indicated above, the procedural rule permitting the defendant to enter a conditional plea
    of guilty while reserving the right, on appeal, to review an adverse determination of any specified
    pretrial motions imposes “an affirmative duty on the defendant to preserve all potential collateral
    challenges through the preservation mechanism of Rule 11(a)(2).” 
    Pickett, 941 F.2d at 416
    (emphasis in original). Furthermore, Rule 11(a)(2) explicitly requires that, when entering a
    conditional plea, the reservation of a right to appeal a specified motion be in writing. Fed. R. Crim.
    4
    18 U.S.C. § 922(g) provides, in pertinent part:
    It shall be unlawful for any person--
    (1) who has been convicted in any court of, a crime punishable by imprisonment for a term exceeding
    one year * * * to ship or transport in interstate or foreign commerce, or possess in or affecting
    commerce, any firearm or ammunition; or to receive any firearm or ammunition which has been
    shipped or transported in interstate or foreign commerce.
    18 U.S.C. § 922(g)(1).
    The indictment here charges,
    On or about February 10, 2005, in Kenton County, in the Eastern District of Kentucky, Kenneth
    Martin, having been convicted in a court of a crime punishable by imprisonment for a term exceeding
    one year, did knowingly possess in and affecting commerce a firearm, that is an Interarms, Walther
    PPK, .380 caliber, semiautomatic pistol, all in violation of 18 U.S.C. § 922(g)(1) and 924(e)(1).
    5
    In fact, two other motions -- a motion for disclosure of audio and video tapes and a motion to preserve
    evidence -- were also addressed in the district court’s same sealed order. See 7/19/05 Sealed Memorandum Opinion and
    Order, pp. 1-2; 6.
    No. 06-5002                           United States v. Martin                                                       Page 7
    P. 11(a)(2). Despite this affirmative duty, Martin did not provide a written reservation of the issue
    of the CI’s identity for appeal.
    Nor does the transcript of Martin’s plea hearing give any indication that he specifically
    reserved this issue for appeal. See 
    Ormsby, 252 F.3d at 948
    n.3; United States v. Yasak, 
    884 F.2d 996
    , 1000 (7th Cir. 1989) (finding that a defendant did not waive his right to appeal the district
    court’s denial of his motion to dismiss despite the lack of a writing reserving his right to appeal the
    issue where the plea hearing transcript plainly shows that both parties agreed to the conditional plea,
    that the district court accepted the plea, and that the court understood its ruling on Yasak’s motion
    to dismiss was the specific (and dispositive) issue for appeal). The transcript of Martin’s plea
    hearing in this case, however, makes    clear that the only issue preserved for appeal was the denial
    of Martin’s Motion to Suppress.6
    For the foregoing reasons, we find that Martin has failed to reserve the right to appeal the
    denial of his motion to disclose the identity of the confidential informant.
    6
    The relevant portion of the plea hearing transcript is as follows:
    THE COURT: Mr. Martin, your attorney has notified the Court that it’s your intention to enter a conditional
    plea of guilty to the charge in the Indictment, is that correct?
    THE DEFENDANT:                Yes, sir.
    THE COURT: So in your notice, Mr. Cox, you are preserving your right to appeal the Court’s adverse
    decision on your motion to suppress evidence, is that correct?
    MR. COX [Defendant’s counsel]: Yes, sir. That’s correct, Your Honor.
    * **
    THE COURT: Now, the conditional nature of the plea is that, I take it, Mrs. Voorhees, that the
    firearm which is alleged in the indictment was found during the execution of the search warrant, is that
    right?
    MS. VOORHEES [AUSA]:                      That’s correct, Your Honor.
    THE COURT: In fact, if the Sixth Circuit, which is the Appellate Court over in Cincinnati, Mr.
    Martin, determines that I incorrectly denied your motion to suppress, in that event, you would be able
    to -- the case would be remanded to me and you would be permitted to withdraw your guilty plea.
    That’s what a conditional plea is. You understand that?
    THE DEFENDANT:                Yes.
    [9/22/05 Plea Hearing Tr. pp. 2, 8].
    No. 06-5002                   United States v. Martin                                           Page 8
    C.     THE TRIAL COURT DID NOT ERR IN DENYING MARTIN’S MOTION TO
    SUPPRESS EVIDENCE.
    As indicated, the one issue specifically preserved for appeal by Martin was the district
    court’s denial of his motion to suppress evidence seized during the search of his residence. The
    search was conducted pursuant to a search warrant issued by a Kentucky state court judge.
    In denying Defendant’s Motion to Suppress, the district court determined that there had been
    sufficient probable cause for the issuance of the warrant notwithstanding Martin’s complained of
    paucity of detail in the warrant affidavit regarding the information provided by the confidential
    informant and the lack of any information in the affidavit regarding Defendant’s previous
    girlfriend’s romantic relationship ten years earlier with Jim Liles, the Director of the NKDSF.
    The district court’s factual findings on a motion to suppress are reviewed for clear error and
    its legal determinations are reviewed de novo. United States v. Frazier, 
    423 F.2d 526
    , 531 (6th Cir.
    2005). A finding of probable cause is a legal conclusion that we also review de novo. United States
    v. Padro, 
    52 F.3d 120
    , 122 (6th Cir. 1995). However, the evidence must be viewed in a light most
    likely to support the decision of the district court. 
    Frazier, supra
    ; United States v. Heath, 
    259 F.3d 522
    , 528 (6th Cir. 2001).
    The Fourth Amendment provides, in pertinent part, that “no Warrants shall issue, but upon
    probable cause, supported by Oath or affirmation. . . .” U.S. Const. amend. IV. Probable cause is
    described as a fair probability -- not an absolute certainty -- that evidence of the crime will be found
    at the location. Illinois v. Gates, 
    462 U.S. 213
    , 238 (1983). This court reviews the determination of
    probable cause made by the judge issuing the warrant with “great deference” and will reverse the
    decision only if it is arbitrarily made. United States v. Johnson, 
    351 F.3d 254
    , 258 (6th Cir. 2003).
    Our inquiry requires the review of the totality of the circumstances “to make a practical, common-
    sense,” not hyper-technical, determination of whether probable cause is present. Gates at 238. Under
    the totality of the circumstances approach, our task is to assess the adequacy of all the circumstances
    set forth in the affidavit, including the veracity and basis of knowledge of a confidential informant,
    
    id. at 230,
    as well as law enforcement’s corroboration of the informant’s tip. United States v. Smith,
    
    182 F.3d 473
    , 478 (6th Cir. 1999); McCray v. Illinois, 
    386 U.S. 300
    , 304 (1967) (stating that
    information provided by a proven and reliable informant, along with police corroboration of the tip,
    is sufficient to establish the necessary probable cause).
    In United States v. Weaver, 
    99 F.3d 1372
    (6th Cir. 1996), we recognized that two factors that
    are critical in determining whether an affidavit based on a confidential informant’s tip provides a
    substantial basis for finding probable cause: (1) an explicit and detailed description of alleged
    wrongdoing; and (2) corroboration of the tip through the officer’s independent investigative work.
    
    Id. at 1377.
    However, an affidavit is not insufficient merely because it lacks explicitness of detail
    and every statement is not corroborated. “The affidavit is judged on the adequacy of what it does
    contain, not on what it lacks, or on what a critic might say should have been added.” United States
    v. Allen, 
    211 F.3d 970
    , 975 (6th Cir.), cert. denied, 
    531 U.S. 907
    (2000).
    Applying the foregoing authorities in the present case, it is clear that the district court did
    not err in denying Martin’s motion to suppress evidence. Martin argues the affidavit information
    did not supply probable cause because it lacked explicit detail of the informant’s basis of knowledge.
    In doing so, Martin relies heavily on 
    Weaver, supra
    , 
    99 F.3d 1372
    . However, Martin’s reliance on
    Weaver is misplaced. Although Weaver certainly leaves little room for an issuing judge to rely on
    a generous interpretation of facts recited in a preprinted form containing boilerplate language, it was
    never intended to set a stricter standard than that established in Gates. See 
    Smith, 182 F.3d at 484
    .
    It is the totality of the circumstances that determines whether the instant affidavit was in fact “bare
    bones” or sufficient to establish probable cause. See 
    Allen, 211 F.3d at 975
    .
    No. 06-5002                   United States v. Martin                                           Page 9
    Assessing the contents of the instant affidavit under the totality of the circumstances shows
    that information contained therein provided a substantial basis from which the judge could conclude
    that probable cause existed. With respect to veracity, Agent Honaker’s affidavit states that the
    confidential informant in the present case is a known person who, unlike in Weaver, previously
    provided information that resulted in seizure of illegal controlled substances. See 
    Weaver, 99 F.3d at 1379
    . This assertion is sufficient to establish the informant’s reliability. See United States v.
    Greene, 
    250 F.3d 471
    , 480 (6th Cir.2001) (holding that “the affiant need only specify that the
    confidential informant has given accurate information in the past to qualify as reliable”); United
    States v. Smith, 
    182 F.3d 473
    , 483 (6th Cir.1999) (“[I]f the prior track record of an informant
    adequately substantiates his credibility, other indicia of reliability are not necessarily required.”).
    As we held in United States v. May, 
    399 F.3d 817
    (6th Cir. 2005), it is sufficient if the agent’s
    affidavit states only that the “‘cooperating source has provided assistance in unrelated drug
    investigation cases.’ The affidavit need not include a detailed factual basis for [the affiant’s]
    statement in order to support the judge’s finding of probable cause.” 
    Id. at 826.
            Moreover, an independent police investigation corroborated the reliability of the confidential
    informant’s information. See 
    Gates, supra
    , 462 U.S. at 242 (weak factual information may be
    bolstered if the authorities undertook probative efforts to corroborate an informant’s claims through
    independent investigation). The confidential informant’s minimal facts here were bolstered when
    the trash pull yielded cocaine residue. Also, Martin’s criminal history revealed that he had been
    convicted of four counts of trafficking cocaine and possession of marijuana on two occasions. The
    independent corroboration conducted by the police, therefore, provided other indicia of reliability
    such that the absence of an “explicit and detailed statement of alleged wrongdoing” is not critical
    and, under the totality of the circumstances, provides sufficient basis for establishing probable cause.
    See 
    id. at 237-38,
    243-44.
    Martin also argues that Agent Honaker’s affidavit is deficient because it did not contain
    certain facts that, in Martin’s view, might have dispelled probable cause and should have warranted
    a Franks hearing. However, Martin has failed to offer any evidence showing that the omissions
    were made intentionally or with reckless disregard for the truth. He merely asserts that the affidavit
    omitted information about NKDSF Director Liles and Martin’s ex-girlfriend and posits that if
    included, that information could have dispelled probable cause. Such a bare assertion of
    possibilities, however, is not enough to warrant a Franks hearing. See 
    Franks, 438 U.S. at 171
    (holding that “[t]o mandate an evidentiary hearing. . . there must be allegations of deliberate
    falsehood or of reckless disregard for the truth. . . accompanied by an offer of proof”).
    For all of the foregoing reasons, we find that the district court properly denied Martin’s
    motion to suppress the evidence seized during the execution of the search warrant.
    D.     THE DISTRICT COURT DID NOT ERR IN DETERMINING THAT MARTIN’S
    PRIOR CONVICTIONS SUBJECTED HIM TO SENTENCING AS AN ARMED
    CAREER CRIMINAL.
    The standard of review of the district court’s legal sentencing decisions is de novo. United
    States v. Hazelwood, 
    398 F.3d 792
    , 795 (6th Cir. 2005). However, where the inquiry turns upon the
    determination whether the defendant’s prior convictions are distinct criminal episodes that should
    be counted separately under statutory provisions, the standard of review is clear error. United States
    v. Powell, 
    404 F.3d 678
    , 682 (2nd Cir. 2005); United States v. Rice, 
    43 F.3d 601
    , 606 (11th Cir.
    1995).
    Generally, a defendant convicted of being a felon-in-possession of a firearm pursuant to 18
    U.S.C. § 922(g) is sentenced to between zero and ten years in prison. 18 U.S.C. § 922(g). However,
    a defendant convicted under § 922(g) can receive an enhanced sentence under the Armed Career
    No. 06-5002                         United States v. Martin                                                    Page 10
    Criminal Act (the “ACCA”). The ACCA provides, in pertinent part, that a person who is a felon-in-
    possession of a firearm in violation of 18 U.S.C. § 922(g) and who has “three previous
    convictions. . . for a violent felony or a serious drug offense. . . committed on occasions different
    from one another. . . shall be. . . imprisoned for not less than fifteen years.” 18 U.S.C. § 924(e)(1).
    For purposes of designating an Armed Career Criminal, a “violent felony” is “any crime punishable
    by imprisonment for a term exceeding one year” that “has as an element the use, attempted use, or
    threatened use of physical force against the person of another,” or “is burglary. . . or otherwise
    involves conduct that presents a serious potential risk of physical injury to another.” 18 U.S.C.
    § 924(e)(2)(B). A “serious drug offense” is defined to include “an offense under State law,
    involving manufacturing, distributing, or possessing with intent to distribute, a controlled substance
    for which a maximum term of imprisonment of ten years or more is prescribed by law.” 18 U.S.C.
    § 924(e)(2)(A)(ii).
    Under this statute, the sentencing court is required to look to current state law, not the state
    law at the time of the previous conviction, to determine whether the defendant could have been
    sentenced to ten years’ imprisonment. See United States v. Morton, 
    17 F.3d 911
    , 915 (6th Cir.
    1994). In Morton, for example, the defendant appealed his sentence enhancement under the ACCA
    for having three prior serious drug offense convictions. 
    Id. The court
    found that “[a]t the time
    defendant was being sentenced. . . the State of Tennessee did not consider less than .5 grams, when
    the defendant has no more than one prior felony conviction, serious enough to impose a ten-year
    sentence.” 
    Id. Therefore, the
    Morton court held that the defendant’s Range I convictions for selling
    less .5 grams did not constitute serious drug offenses as defined by the ACCA. 
    Id. In this
    case, Martin argues that his ACCA sentence enhancement was improper because his
    prior four state felony drug offenses for trafficking in controlled substances on March 1, 1994,
    March 8, 1994, March 23, 1994, and May 12, 1994, all occurred in Kenton County, Kentucky, and
    were “related” offenses because they were contained in a single indictment, consolidated in his plea
    agreement, and resulted in concurrent sentences.
    To be sure, to trigger a sentence enhancement under the ACCA, a defendant’s prior felony
    convictions must involve separate criminal episodes. United States v. Hughes, 
    924 F.2d 1354
    , 1361
    (6th Cir. 1991). However, offenses are considered distinct criminal episodes if they “occurred on
    occasions different from one another.” United States v. Roach, 
    958 F.2d 679
    , 684 (6th Cir.), cert.
    denied, 
    506 U.S. 845
    (1992). Two offenses are committed on “occasions different from one
    another” if it is possible to discern the point at which the first offense is completed and the second
    offense begins. United States v. Hill, 
    440 F.3d 292
    , 297 (6th Cir. 2006).
    For example, in United States v. Brady, 
    988 F.2d 664
    (6th Cir. 1993), notwithstanding that
    two armed robberies were committed on the same day, we found them to be separate offenses under
    the ACCA where the initial robbery at the beauty shop had concluded, and the defendant had left
    the establishment before he entered the bar to commit the second robbery. 
    Id. at 669.
    Similarly, in
    United States v. Carnes, 
    309 F.3d 950
    (6th Cir. 2002), cert. denied 
    537 U.S. 1240
    (2003), we held
    that the defendant’s two previous convictions for burglary were not a single criminal episode
    because he had completed the burglary of the first residence before he entered the second residence
    to burglarize it such that it was “possible to identify an endpoint between the two offenses.” 
    Id. at 956.7
    7
    Cf., United States v. Murphy,107 F.3d 1199, 1210 (6th Cir. 1997) (holding that robberies of two residences
    in the same duplex did not constitute separate offenses because the defendant “never left his original location, he never
    ceased his original conduct and he never successfully escaped the site of the first crime until the second was complete”);
    United States v. Graves, 
    60 F.3d 1183
    , 1187 (6th Cir. 1995) (holding that because the defendant had not yet left the
    location of the burglary when he committed the assault within minutes of the burglary, those two offenses were part of
    the same criminal episode).
    No. 06-5002                    United States v. Martin                                          Page 11
    Furthermore, “[t]he relevant factor for determining the number of predicate offenses under
    the ACCA is not the date of conviction for those predicate offenses, but the date that the defendant
    committed the offense for which he is subsequently convicted.” 
    Roach, 958 F.2d at 683
    . Thus, in
    Roach, for purposes of determining whether the defendant committed the requisite number of prior
    offenses for sentence enhancement under the ACCA, we found immaterial the fact that two or more
    of the defendant’s convictions stemmed from the same indictment. 
    Id. Consequently, we
    held that
    three convictions on the same date did not constitute a single criminal episode even where the three
    drug-trafficking sales giving rise to the convictions were not separated by any other intervening
    convictions and occurred within only a matter of days. 
    Id. Likewise, in
    United States v. Warren,
    
    973 F.2d 1304
    (6th Cir. 1992), this Court held immaterial for ACCA enhancement purposes the fact
    that offenses were consolidated for sentencing or for concurrent sentences, even though such
    consolidation could be relevant under the otherwise applicable Sentencing Guidelines, so long as
    the separate offenses for which the defendant was convicted occurred at different times and/or
    places. 
    Id. at 1310.
            In addition, prior crimes are predicate offenses under the ACCA if, notwithstanding the
    number of victims, it would have been possible to cease the criminal conduct after the first offense
    without committing the second offense. In Brady, for example, we held “offenses committed by a
    defendant at different times and places and against different victims, although committed within less
    than an hour of each other,” should be separate predicate convictions under the ACCA, because the
    defendant could have decided one robbery “was enough for the evening” and left without
    committing the second robbery. 
    Brady, 988 F.2d at 669
    . Similarly, in United States v. Wilson, 
    27 F.3d 1126
    (6th Cir.), cert. denied, 
    513 U.S. 976
    (1994), we held that two criminal sexual conduct
    offenses on the same date in the same house but against separate victims on different floors and
    locations within the house constituted separate offenses for ACCA purposes. 
    Id. at 1131.
    We
    specifically noted in Wilson that the defendant could have stopped his criminal rampage, but instead
    chose to continue it, selecting different victims in different, separate places. 
    Id. See also
    Hill, 
    440 F.3d 298
    (holding that two robberies on the same day were separate predicate offenses under the
    ACCA where the defendant, after completing the first burglary, “could have ceased his criminal
    activity at that point” before he crossed the street to commit a second robbery).
    Applying the foregoing authorities in this case, it is clear that Martin’s four prior state felony
    drug convictions arose from separate criminal episodes. The underlying offenses occurred several
    days apart. That the offenses were ultimately charged in one indictment and consolidated for plea
    purposes is irrelevant. Similarly irrelevant is the fact that Martin’s sentences on these convictions
    ran concurrently.
    Martin also argues that the district court erred in finding that his predicate offenses qualify
    as serious drug offenses sufficient to satisfy the ACCA. Martin contends that his prior convictions
    do not qualify as serious drug offenses because the maximum prison term under Kentucky state law
    for Class C felonies is not “ten years or more” as required by the ACCA, but rather is “not less than
    five(5) years nor more than ten (10) years. Ky. Rev. Stat. Ann. § 532.060. Specifically, Martin
    submits that the Class C felony statutory term of imprisonment of “not less than five (5) years nor
    more than ten (10) years” is exclusive of ten years. Thus, he claims he should not have been subject
    to the ACCA enhancement.
    Case law and logic do not support Martin’s argument. Martin admits that he has four
    Kentucky state convictions of Class C felonies for trafficking drugs. As indicated, under current
    No. 06-5002                         United States v. Martin                                                    Page 12
    Kentucky law, Class C felonies carry a maximum sentence of “not less than five (5) years nor more
    than ten (10) years.” Ky. Rev. Stat. Ann. § 532.060.8
    Notwithstanding Defendant’s protestations, Kentucky courts consider a Class C felony
    serious enough to impose sentences of ten years and have consistently done so. See Johnson v.
    Commonwealth, 
    105 S.W.3d 430
    (Ky. 2003) (defendant convicted of class C felony and sentenced
    to “the maximum of ten years imprisonment.”).9 Moreover, albeit in an unpublished opinion, this
    Court has already found that, under Kentucky law, “[a] Class C felony is punishable by five to ten
    years’ imprisonment” and qualifies as a “serious drug offense” under the ACCA. United States v.
    Tolley, 
    173 F.3d 431
    , 
    1999 WL 137620
    at * 10 (6th Cir.) (unpublished), cert. denied, 
    528 U.S. 898
    (1999).
    The foregoing makes clear, therefore, that Martin’s Class C felonies were separate and
    distinct “offense[s] under state law, involving . . distributing. . . a controlled substance for which the
    maximum term of imprisonment of ten years or more is prescribed by law” that supported                 his
    qualification for sentencing as an armed career criminal. See 18 U.S.C. § 924(e)(2)(A)(ii).10
    E.        THE DISTRICT COURT DID NOT VIOLATE THE CONSTITUTION BY FINDING
    MARTIN’S PRIOR CONVICTIONS QUALIFIED AS SERIOUS DRUG OFFENSES
    TO ENHANCE HIS SENTENCE AS A CAREER CRIMINAL.
    The standard of review is de novo for a constitutional challenge to a sentence. 
    Hill, 440 F.3d at 298
    .
    Generally, the district court exercises discretion in sentencing a defendant. United States v.
    Booker, 
    543 U.S. 230
    , 233 (2005). The Constitution imposes limits, however, on the factors a judge
    may consider, Blakely v. Washington, 
    542 U.S. 296
    , 308 (2004), and mandates that decisions to
    increase the statutory maximum penalty be based solely on facts admitted by the defendant or
    proved beyond a reasonable doubt. Apprendi v. New Jersey, 
    530 U.S. 466
    , 490 (2000). However,
    8
    In Kentucky, felonies are classified for purposes of sentencing into five categories: Class D, Class C, Class
    B, Class A. Ky. Rev. Stat. Ann. § 532.010. The authorized terms of imprisonment are as follows: Class D, not less than
    one year nor more than five years; Class C, not less than five years nor more than ten years; Class B, not less than ten
    years nor more than twenty years; Class A, not less than twenty years nor more than fifty years. Ky. Rev. Stat. Ann.
    § 532.060.
    9
    See also, Smith v. Commonwealth, 
    2006 WL 73728
    at * 1 (Ky. App. 2006) (affirming jury conviction of
    defendant for Class C felony of trafficking in a controlled substance and sentence of ten years’ imprisonment); Sparks
    v. Commonwealth, 
    2006 WL 2451732
    at * 1-2 (Ky. 2006) (affirming defendant’s ten year prison sentence for Class C
    felony of trafficking in a controlled substance); Carpenter v. Commonwealth, 
    2003 WL 21949109
    at * 1 (Ky. App. 2003)
    (affirming defendant’s sentence enhancement for being a persistent felony offender, which elevated the sentence from
    a Class C felony with a maximum sentence of ten years to a Class B felony, subjecting him to twenty years in prison);
    Ky. Prac. Substantive Crim. L. § 1:7 (2007) (stating that “[t]he authorized maximum term of imprisonment for felonies
    is … 5 to 10 years for Class C felonies”).
    10
    Additionally, Martin’s argument fails the common sense test. Martin submits that, because under Kentucky
    law a Class C felony is considered less serious than a Class B felony, a Class C sentence of “not more than ten years”
    does not encompass the same ten year sentence of a Class B sentence of “not less than ten.” Despite Martin’s argument,
    he provides no authority to support this position. Instead, Martin relies on “common sense” to tell him that “nor more
    than ten years” does not include ten years. However, ten years is by definition both “not more than ten years” and “not
    less than ten years.” The adjective phrase “more than” “serves as a quantifier meaning greater in size or amount.”
    www.dictionary.com. The phrase does not, however, exclude the amount specified. See The Compact Edition of the
    Oxford English Dictionary 1851, Vol. I (1987) (defining “more” as “[a]dditional to the quantity or number specified or
    implied; an additional amount or number of”). And, when coupled with the adjective “not” the phrase is negated, to wit:
    not additional to the quantity or number specified. Consequently, and not surprisingly, the district court properly ruled
    that “not more than ten years” includes ten years.
    No. 06-5002                   United States v. Martin                                         Page 13
    a judge is permitted to find, based on the preponderance of the evidence, the fact of a prior
    conviction. United States v. Almendarez-Torres, 
    523 U.S. 224
    , 235 (1998). In Apprendi and its
    progeny, the Supreme Court has uniformly excepted “the fact of a prior conviction” from its general
    rule that sentence-enhancing facts must be found by a jury and proved beyond a reasonable doubt.
    See 
    Booker, 543 U.S. at 244
    ; 
    Apprendi, 530 U.S. at 490
    . Citing this distinction between prior
    convictions and other sentence-enhancing factors, we have held that a district court does not violate
    the Sixth Amendment by determining the fact and nature of a defendant’s prior convictions and
    using these findings to impose an increased sentence under the Armed Career Criminal Act. See
    United States v. Barnett, 
    398 F.3d 516
    , 524-25 (6th Cir.), cert. denied, 
    542 U.S. 1163
    (2005); United
    States v. Beasley, 
    442 F.3d 386
    , 391 (6th Cir. 2006). Martin argues that certain statements in
    Shepard v. United States, 
    544 U.S. 13
    (2005), suggest that Almendarez-Torres is no longer good
    law. However, the continued viability of Almendarez-Torres is not for this Court to decide. “Unless
    and until the Supreme Court takes the next step, [this Court is] bound to follow its current statement
    of the law on this subject.” 
    Beasley, 442 F.3d at 392
    n. 3 (specifically rejecting the contention that
    the plurality and concurring opinions in Shepard have undermined this Circuit’s ruling in Barnett).
    See also United States v. Alfaro, 
    408 F.3d 204
    , 211 (5th Cir.), cert. denied, 546 U.S. 911(2005)
    (“Almendarez-Torres has not been overruled and is still good law.”).
    Thus, it is clear that there is nothing in controlling Supreme Court or Sixth Circuit precedent
    that supports Martin’s contention that the district court violated his constitutional rights by
    increasing his sentence under the ACCA.
    IV. CONCLUSION
    For all of the foregoing reasons, we AFFIRM the conviction and sentence imposed by the
    district court.