United States v. Darryl Jackson , 877 F.3d 231 ( 2017 )


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  •                            RECOMMENDED FOR FULL-TEXT PUBLICATION
    Pursuant to Sixth Circuit I.O.P. 32.1(b)
    File Name: 17a0277p.06
    UNITED STATES COURT OF APPEALS
    FOR THE SIXTH CIRCUIT
    UNITED STATES OF AMERICA,                                ┐
    Plaintiff-Appellee,   │
    │
    >      No. 16-2415
    v.                                                │
    │
    │
    DARRYL JACKSON,                                          │
    Defendant-Appellant.     │
    ┘
    Appeal from the United States District Court
    for the Western District of Michigan at Grand Rapids.
    No. 1:16-cr-00083-1—Robert Holmes Bell, District Judge.
    Decided and Filed: December 5, 2017
    Before: GUY, MOORE, and ROGERS, Circuit Judges.
    _________________
    COUNSEL
    ON BRIEF: Paul L. Nelson, OFFICE OF THE FEDERAL PUBLIC DEFENDER, Grand
    Rapids, Michigan, for Appellant. Kate Zell, UNITED STATES ATTORNEY’S OFFICE, Grand
    Rapids, Michigan, for Appellee.
    MOORE, J., delivered the opinion of the court in which ROGERS, J., joined. GUY, J.
    (pp. 16–18), delivered a separate dissenting opinion.
    _________________
    OPINION
    _________________
    KAREN NELSON MOORE, Circuit Judge. Guns have the potential to make a bad
    situation worse. In light of that reality, the United States Sentencing Guidelines (“U.S.S.G.” or
    “Guidelines”) prescribe harsher penalties for defendants who have “used or possessed any
    No. 16-2415                       United States v. Jackson                                Page 2
    firearm or ammunition in connection with another felony offense.” U.S.S.G. § 2K2.1(b)(6)(B).
    This case principally presents the question whether that sentencing enhancement applies to
    Defendant-Appellant Darryl Jackson, who made two pairs of separately negotiated sales—each
    including one sale of a small amount of drugs, one of a gun—to a government informant in close
    succession, but without bringing both a gun and drugs to either sale or having reason to
    anticipate that the first sale would beget the second. This case also presents the question whether
    the district court committed plain error by failing to consider sentencing-factor manipulation as a
    ground to reduce Jackson’s sentence. Although we find no plain error with regard to sentencing-
    factor manipulation, we conclude, despite giving due deference to the district court, that Jackson
    did not use or possess either gun in connection with either sale of drugs within the meaning of
    § 2K2.1(b)(6)(B). We thus VACATE the application of the four-level enhancement under
    § 2K2.1(b)(6)(B) and REMAND this case for resentencing.
    I. BACKGROUND
    The facts in this case are not materially in dispute. On October 28, 2015, a confidential
    informant (“CI”) in Grand Rapids, Michigan, told law enforcement that drugs were available for
    purchase from someone named “Dlite.” R. 26 (PSR at ¶ 12) (Page ID #67). “Dlite” turned out
    to be Jackson, and nearly a month later, on November 23, an undercover agent drove the CI to a
    property in Grand Rapids to meet Jackson and purchase approximately a gram of heroin from
    him. R. 26 (PSR at ¶¶ 12–13) (Page ID #67). Jackson sold the CI the gram of heroin for $120.
    R. 35 (Plea Tr. at 13) (Page ID #127). After this exchange was completed, the CI told Jackson
    that the CI was “in a little bit of a pickle” and asked Jackson if he knew where the CI could “pick
    up a pistol.” R. 24 (Gov’t Obj. to PSR at 2) (Page ID #59). Jackson initially demurred, but soon
    indicated that he had a gun for sale. 
    Id. The two
    negotiated a price of $400, and while the CI
    went to the undercover agent’s car to obtain the full amount, 
    id., Jackson “walked
    down [the
    street] to his own residence . . . to get the gun and then returned” to make the second exchange,
    R. 39 (Sentencing Tr. at 7) (Page ID #176); see also R. 39 (Sentencing Tr. at 9) (Page ID #178);
    R. 26 (PSR at ¶¶ 13–14) (Page ID #67).
    A few days later, on November 27, Jackson told the CI that he had another gun for sale.
    R. 26 (PSR at ¶ 15) (Page ID #67). The undercover agent again drove the CI to meet Jackson at
    No. 16-2415                       United States v. Jackson                               Page 3
    the property where they had previously met, and the CI there purchased a second gun from
    Jackson for $500. 
    Id. After the
    two had completed the exchange and Jackson had finished
    explaining to the CI how the gun worked, the CI asked Jackson if he wanted another customer to
    whom he could sell drugs. R. 24 (Gov’t Obj. to PSR at 4) (Page ID #61). Jackson said that he
    did. 
    Id. The CI
    indicated that this potential customer—the undercover agent in the car—had
    money to buy the drugs, and that Jackson could “come out to the car and meet him.” R. 24
    (Gov’t Obj. to PSR at 5) (Page ID #62). The CI then left the property with the pistol and
    returned to the undercover agent’s car. 
    Id. “Shortly thereafter,
    the defendant also exited” the
    property, “walked to the same vehicle, and got inside.” 
    Id. Jackson “had
    a short conversation
    with the CI and the undercover agent and . . . sold the undercover agent one-half gram of
    heroin[], for $45.” Id.; see also R. 35 (Plea Tr. at 20) (Page ID #134); R. 39 (Sentencing Tr. at
    7–8) (Page ID #176–77).
    On December 17, 2015, law enforcement executed a search warrant on the two properties
    involved in these sales. At one, they discovered $3,050 “and a plastic spoon with heroin
    residue.” R. 26 (PSR at ¶ 17) (Page ID #67). At the other, they discovered a relative of
    Jackson’s who “admitted to flushing a small quantity of marijuana and cocaine base down the
    toilet when he heard officers entering the residence.” R. 26 (PSR at ¶ 18) (Page ID #68). The
    relative identified these quantities as “approximately $10.00 worth of marijuana and $25.00
    worth of cocaine base” and said that they had been left on the kitchen table by Jackson. 
    Id. No guns
    were recovered, and the relative stated that he had not ever seen Jackson with a gun. See 
    id. In April
    2016, Jackson was indicted on two counts of being a felon in possession of a
    firearm and two counts of distribution of heroin. R. 12 (Indictment) (Page ID #22–25). He
    pleaded guilty without a plea agreement. R. 35 (Plea Tr. at 2) (Page ID #116). On October 3,
    2016, he was sentenced in the district court. R. 39 (Sentencing Tr. at 1) (Page ID #170). The
    Presentence Investigation Report (“PSR”) that was prepared in advance of the hearing calculated
    Jackson’s total offense level to be 25 and his criminal history category to be VI,
    recommendations that correspond to a suggested imprisonment range of 110 to 137 months.
    R. 26 (PSR at 22) (Page ID #85). The PSR included in this calculation a four-level enhancement
    pursuant to U.S.S.G. § 2K2.1(b)(6)(B) for “us[ing] or possess[ing] a firearm in connection with
    No. 16-2415                             United States v. Jackson                                        Page 4
    another felony offense, to wit: Distribution of Heroin.” R. 26 (PSR at ¶ 30) (Page ID #69).
    Jackson objected to this enhancement, arguing that “[t]he guns and the drugs were not connected
    in any way, except to the extent that Mr. Jackson sold each of them, at different times, to the CI.”
    R. 23 (Def. Obj. to PSR at 2) (Page ID #57). At the sentencing hearing, Jackson’s counsel
    reemphasized this objection, arguing: “In terms of the furtherance, there’s no close proximity.
    There’s no drugs and guns next to each other. They’re basically separate transactions.” R. 39
    (Sentencing Tr. at 14) (Page ID #183).1
    The district court was not persuaded, stating that counsel was “talking about a production
    of a drug and a production of a gun from the same person on or about the same time,” R. 39
    (Sentencing Tr. at 15) (Page ID #184), and concluding that “the basic framework of a felon in
    possession of a firearm and a distribution of heroin and the drug in connection with the sale of
    hard drugs is clearly met here,” R. 39 (Sentencing Tr. at 16) (Page ID #185). Nevertheless, the
    district court departed downward by ten months from the lower bound of the Guidelines’
    recommendation, imposing a sentence of 100 months. R. 39 (Sentencing Tr. at 25) (Page ID
    #194). Had the court ruled that the four-level enhancement under U.S.S.G. § 2K2.1(b)(6)(B)
    was not applicable to Jackson, the recommended sentencing range, in light of Jackson’s criminal
    history category of VI, would have been 77 to 96 months. See U.S.S.G. § 5A (sentencing table).
    Jackson appealed.
    II. DISCUSSION
    Jackson argues that the district court (1) improperly applied the four-level enhancement
    under §2K2.1(b)(6)(B) to his sentence, and (2) committed plain error by not detecting—and
    accordingly reducing his sentence on the basis of—sentencing-factor manipulation. For the
    reasons that follow, we agree with Jackson’s first argument and deny his second.
    A. Standard of Review
    “We review a district court’s sentence for procedural and substantive reasonableness,
    applying the abuse of discretion standard.” United States v. Seymour, 
    739 F.3d 923
    , 929 (6th
    1
    Jackson did not, in his written objections or at the hearing, argue sentencing-factor manipulation. See R.
    39 (Sentencing Tr.) (Page ID #170–98).
    No. 16-2415                        United States v. Jackson                                Page 5
    Cir. 2014). “Our review of procedural reasonableness includes determining whether the district
    court properly calculated a defendant’s Guidelines range.” 
    Id. “In the
    specific context of the § 2K2.1(b)(6)(B) firearm enhancement, ‘we review the
    district court’s factual findings for clear error and accord due deference to the district court’s
    determination that the firearm was used or possessed in connection with the other felony, thus
    warranting the application of the . . . enhancement.’” 
    Id. (internal quotation
    marks omitted)
    (quoting United States v. Taylor, 
    648 F.3d 417
    , 432 (6th Cir. 2011)). “The government bears the
    burden of establishing the factors supporting this enhancement by a preponderance of the
    evidence.” Id.; see also United States v. Shields, 
    664 F.3d 1040
    , 1043 (6th Cir. 2011).
    Where a defendant has “failed to preserve [a] procedural objection by first giving the
    district court the opportunity to address and remedy it, we review only for plain error.” United
    States v. Coppenger, 
    775 F.3d 799
    , 803 (6th Cir. 2015). “To demonstrate plain error, an
    appellant must prove: (1) that an error occurred in the district court; (2) that the error was plain,
    i.e., obvious or clear; (3) that the error affected defendant’s substantial rights; and (4) that this
    adverse impact seriously affected the fairness, integrity, or public reputation of the judicial
    proceedings.” 
    Id. B. The
    Four-Level Enhancement Under U.S.S.G. § 2K2.1(b)(6)(B)
    This case turns on whether the four-level enhancement prescribed by U.S.S.G.
    § 2K2.1(b)(6)(B) applies to Jackson’s conduct. The subsection provides for the enhancement to
    apply “[i]f the defendant . . . used or possessed any firearm or ammunition in connection with
    another felony offense.”     
    Id. § 2K2.1(b)(6)(B).
       The accompanying notes clarify that this
    subsection applies “if the firearm or ammunition facilitated, or had the potential of facilitating,
    another felony offense or another offense, respectively.” 
    Id. § 2K2.1
    cmt. n. 14(A). Further, the
    enhancement applies “in the case of a drug trafficking offense in which a firearm is found in
    close proximity to drugs, drug manufacturing materials, or drug paraphernalia.” 
    Id. § 2K2.1
    cmt.
    n. 14(B).
    We have outlined a number of fact situations that can fall within the “broad wording,” see
    United States v. Williams, 601 F. App’x 423, 424 (6th Cir. 2015), of this provision. There is, for
    No. 16-2415                          United States v. Jackson                                Page 6
    example, the “fortress theory” (an example of “proximity”), which applies “if it reasonably
    appears that the firearms found on the premises controlled or owned by a defendant and in his
    actual or constructive possession are to be used to protect the drugs or otherwise facilitate a drug
    transaction.” United States v. Angel, 
    576 F.3d 318
    , 321 (6th Cir. 2009) (quoting United States v.
    Ennenga, 
    263 F.3d 499
    , 503 (6th Cir. 2001)). There is also “[s]weetening-the-pot” (an example
    of “facilitat[ion]”), which “occurs when firearms are added to a drug sale under circumstances
    that could cause the seller to believe that he would obtain a greater profit with a relatively low
    increase to the risk of detection by law enforcement.” United States v. Henry, 
    819 F.3d 856
    , 869
    (6th Cir. 2016). And there is simple facilitation by exchange: “[t]rading firearms for drugs,”
    such that “but for the transfer of guns to the drug dealer, the drug distribution would never have
    occurred.” United States v. Sweet, 
    776 F.3d 447
    , 450 (6th Cir. 2015).
    On the other hand, “[p]ossession of firearms that is merely coincidental to the underlying
    felony offense is insufficient to support the application of” the enhancement, as is the simple
    “presence of drugs in a home under a firearm conviction.” United States v. Taylor, 
    648 F.3d 417
    , 432 (6th Cir. 2011) (first quoting 
    Ennenga, 263 F.3d at 503
    ; then quoting United States v.
    Hardin, 
    248 F.3d 489
    , 501 (6th Cir. 2001)). In other words, there must be (and thus the
    Government must prove by a preponderance of the evidence) “‘a clear connection’ between the
    gun that served as the basis for the conviction for felon in possession of a firearm and the gun
    possessed during the other offense that triggers the enhancement.” United States v. Goodman,
    
    519 F.3d 310
    , 322 (6th Cir. 2008) (quoting United States v. Howse, 
    478 F.3d 729
    , 733 (6th Cir.
    2007)).
    In the sections that follow, and in light of the lack of any indication that Jackson actually
    used a gun in connection with a drug sale, we discuss (1) Jackson’s lack of actual or constructive
    possession of a gun in connection with the drug sales; (2) the lack of close proximity between
    any gun and any drugs and, relatedly, the inapplicability of the fortress theory; and (3) the lack of
    any way in which a gun facilitated a drug sale.
    No. 16-2415                         United States v. Jackson                                  Page 7
    1.   Lack of Actual or Constructive Possession of a Gun in Connection with the
    Drug Sales
    Even giving due deference to the district court’s application of this case’s undisputed
    facts to the language of the Guidelines, Jackson’s sentence was procedurally unreasonable. Even
    if a defendant did not use a gun, the § 2K2.1(b)(6)(B) enhancement applies if the defendant
    actually or constructively “possessed the gun in connection with [the] felony.” See 
    Hardin, 248 F.3d at 498
    ;2 see also 
    Angel, 576 F.3d at 321
    . Because the record reveals no reason to
    conclude that Jackson actually possessed or used either gun in connection with the two drug
    sales, we focus here on constructive possession.
    “Constructive possession occurs when a person ‘knowingly has the power and the
    intention at a given time to exercise dominion and control over an object, either directly or
    through others.’” 
    Hardin, 248 F.3d at 498
    (quoting United States v. Covert, 
    117 F.3d 940
    , 948
    (6th Cir. 1997)). Thus, for example, when police located a gun “on a nightstand,” with “a bag of
    marijuana . . . next to the gun” and “54 grams of cocaine” in the same room, 
    id. at 491,
    we ruled
    that it was permissible to apply the enhancement, regardless of formal ownership or actual
    possession, in light of the fact that the defendant had clearly intended to put himself in a position
    to exercise dominion and control over the gun in connection with his drug trafficking, see 
    id. at 498–500.
    “The bedroom was the stash location for the cocaine, and . . . a readily accessible
    firearm was there if needed to protect the cocaine.” 
    Id. at 500.
    Here, by contrast, Jackson’s conduct does not reveal that he at any time had both “the
    power and intention . . . to exercise dominion and control” over a gun in connection with the sale
    of drugs. See 
    Hardin, 248 F.3d at 498
    (citation omitted). Key to this conclusion are the facts
    that Jackson appears to have kept his guns and drugs housed at separate locations, did not bring a
    gun and drugs together to either sale, and had no reason to believe that either initial sale for one
    of the two types of contraband would beget a sale of the other type. Take the first pair of sales:
    Jackson exchanged a gram heroin for money at one property and then, with the heroin out of his
    possession, learned that the CI also wanted to buy a gun. R. 24 (Gov’t Obj. to PSR at 2) (Page
    2
    At the time that Hardin was decided, the provision now found at § 2K2.1(b)(6)(B) was located at
    § 2K2.1(b)(5). United States v. Seymour, 
    739 F.3d 923
    , 929 & n.2 (6th Cir. 2014).
    No. 16-2415                              United States v. Jackson                                            Page 8
    ID #59). Not having a gun with him, Jackson walked to another property a block away to
    retrieve the gun that he then exchanged for money. R. 24 (Gov’t Obj. to PSR at 2) (Page ID
    #59); R. 26 (PSR at ¶¶ 13–14) (Page ID #67); R. 39 (Sentencing Tr. at 7, 9) (Page ID #176, 178).
    Because the gun was down the block during the initial heroin sale and because Jackson had no
    reason to expect there even would be a gun sale when he bought the drugs, there is no evidence
    that Jackson had either the power or the intention to exercise dominion or control over the gun in
    connection with this first sale of heroin.
    During the second pair of sales, Jackson transferred a gun for money at one property and
    then, with the gun out of his possession, was asked if he wanted to sell a half-gram of heroin.
    R. 24 (Gov’t Obj. to PSR at 4–5) (Page ID #61–62). Jackson agreed, at which point the CI left
    the property and Jackson went to an unestablished location3 to retrieve the heroin before walking
    to the car to exchange that heroin for money. R. 24 (Gov’t Obj. to PSR at 5) (Page ID #62).
    Thus, by the time Jackson knew that he might be engaging in a heroin transaction, he had already
    divested himself of the gun, which was by that point in the CI’s possession.                                There is,
    accordingly, insufficient evidence to conclude that Jackson intended to exercise dominion or
    control over a gun in connection with the second drug sale either.4 In the absence of even
    constructive possession—let alone actual possession or use—connected to drug trafficking,
    U.S.S.G. § 2K2.1(b)(6)(B) does not apply.                  See 
    Hardin, 248 F.3d at 498
    ; see also, e.g.,
    
    Goodman, 519 F.3d at 322
    .
    2.   Lack of Proximity and Inapplicability of the Fortress Theory
    Moreover, just as there is no evidence that Jackson ever possessed, actually or
    constructively, a gun in connection with either of the drug deals, there is likewise no indication
    that Jackson ever kept a gun in “close proximity” with drugs, see U.S.S.G. § 2K2.1 cmt. n.
    3
    The heroin may have been located elsewhere within the property, but the record does not disclose if that
    was the case, and the Government has not put forward evidence to clarify the question. It is possible that the drugs
    were buried outside, or hidden on a neighboring property, or kept in some other place.
    4
    It is true, of course, that Jackson might have anticipated a potential drug sale at this second meeting, given
    that he had already sold heroin once to the CI. But “[t]he government bears the burden of establishing the factors
    supporting this enhancement by a preponderance of the evidence,” 
    Seymour, 739 F.3d at 929
    , and it has not done so
    here.
    No. 16-2415                         United States v. Jackson                                Page 9
    14(B), or that he satisfied a close relative of this basis, the “fortress theory,” see, e.g., 
    Seymour, 739 F.3d at 929
    (observing that the “fortress theory . . . presume[s] that, under certain
    circumstances, guns in close proximity to drugs warrant the § 2K2.1(b)(6)(B) enhancement”).
    The fortress theory applies “if it reasonably appears that the firearms found on the
    premises controlled or owned by a defendant and in his actual or constructive possession are to
    be used to protect the drugs or otherwise facilitate a drug transaction.” 
    Angel, 576 F.3d at 321
    (quoting 
    Ennenga, 263 F.3d at 503
    ).          It rests on the commonsense rationale that “drug
    transactions” are “potentially dangerous,” United States v. Herron, 554 F. App’x 388, 394 (6th
    Cir. 2014), and thus that keeping guns near one’s drugs might not only serve to protect the drugs,
    see, e.g., 
    Angel, 576 F.3d at 321
    ; 
    Ennenga, 263 F.3d at 503
    , but might also “embolden the
    offender to carry a large amount of drugs, to show up at a location where the parties on the other
    side of the transaction are armed, and to ensure . . . that both the money and the drugs change
    hands,” 
    Shields, 664 F.3d at 1046
    .
    While it is true, as the Government notes, Appellee’s Br. at 10, that we have turned to
    “the fortress theory to uphold applications of the firearm enhancement where the defendant was
    engaged in drug trafficking or simply in a house associated with drug trafficking,” we have
    generally done so in cases in which (1) large quantities of drugs have been found (2) “in close
    proximity to” the relevant guns themselves. See 
    Seymour, 739 F.3d at 930
    (citing cases); see
    also U.S.S.G. § 2K2.1 cmt. n. 14(B) (explaining applicability when “a firearm is found in close
    proximity to drugs, drug-manufacturing materials, or drug paraphernalia”); 
    Shields, 664 F.3d at 1046
    (discussing the importance of the “quantity” and “value” of the drugs at issue for assessing
    whether the enhancement should apply); 
    Angel, 765 F.3d at 321
    (discussing the importance of
    “proximity” and “easy access” for assessing whether the enhancement should apply (quoting
    United States v. Oglesby, 210 F. App’x 503, 506 (6th Cir. 2007))). For example, we upheld the
    imposition of the enhancement in Angel after agents found in the defendant’s “upstairs bedroom
    . . . 81.2 grams of processed marijuana in two containers on the floor, drug paraphernalia,
    assorted ammunition, and three firearms—a 12-gauge shotgun, a loaded .22 caliber pistol, and a
    .32 caliber handgun with an altered serial 
    number.” 576 F.3d at 319
    ; see 
    id. at 322.
    We upheld
    the enhancement in Hardin after a gun was found next to a bag of marijuana and in the same
    No. 16-2415                             United States v. Jackson                                        Page 10
    room as 54 grams of 
    cocaine. 248 F.3d at 491
    . And we upheld the enhancement in Herron after
    authorities discovered “‘numerous handguns, large amount of crack cocaine, as well as a large
    amount of powder cocaine’ and ‘several hundred dollars,’” 554 F. App’x at 390, inside the
    defendant’s small house, 
    id. at 393.5
    By contrast, as Jackson points out, Appellant’s Br. at 9–10, we have ruled application of
    the enhancement procedurally unreasonable where “[f]irst, Defendant had only a small amount
    of drugs in his possession, and the government admit[ted] that nothing in the record show[ed]
    that Defendant was engaged in any sort of narcotics trafficking,” and “[s]econd, . . . Defendant
    was attempting to sell”—rather than keep for protection or intimidation—“his handgun,”
    
    Seymour, 739 F.3d at 930
    –31. Though Jackson acknowledges that, unlike Seymour, he was
    engaged in narcotics trafficking, he argues that the other two features of our cases upholding the
    enhancements—large quantities of drugs and the purposeful keeping together of drugs and
    guns—do not apply to him. See Appellant’s Br. at 9–10. We agree.
    There is no evidence that Jackson ever actually kept a gun near his drugs. See R. 24
    (Gov’t Obj. to PSR at 2, 4–5) (Page ID #59, 61–62).6 Rather, much as we concluded in
    Seymour, if Jackson sought to create a fortress for his small-time drug-dealing, he had a strange
    way of going about it. With regard to the second sale, Jackson is like the defendant in Seymour,
    where we said that a defendant “can hardly have been emboldened in his drug possession, or
    have hoped to protect his modest stash, while simultaneously attempting to rid himself of the
    5
    We observed in Herron, it bears emphasizing, that “[m]ost importantly, the loaded firearm was located on
    the first floor where the drugs and drug paraphernalia were located”; we thus concluded that “[t]he most likely
    reason that Herron possessed the loaded weapon was to protect himself during potentially dangerous drug
    transactions.” United States v. Herron, 554 F. App’x 388, 394 (6th Cir. 2014); see also United States v. Taylor,
    
    648 F.3d 417
    , 433 (6th Cir. 2011) (upholding enhancement where evidence showed that “Taylor obtained the gun to
    protect himself and his possessions, which included a valuable quantity of cocaine base and cash”); United States v.
    Huffman, 
    461 F.3d 777
    , 788 (6th Cir. 2006) (upholding enhancement where evidence showed that “Huffman was
    staying at a known ‘dope house,’” that he “purposefully kept the gun and ammunition nearby after [the house] was
    shot up the night before, and that the drug-dealing owner of the gun had entrusted Huffman with its care”); United
    States v. Ennenga, 
    263 F.3d 499
    , 504 (6th Cir. 2001) (upholding enhancement where the “district court reasonably
    concluded that Ennenga had ‘established a system by which he could protect himself and his possessions in his
    basement apartment, which included his sizeable stash of marijuana plants’”).
    6
    Indeed, the evidence presented in this case is consistent with—and perhaps points in favor of—the theory
    that Jackson kept whatever drugs he had to sell at one property and whatever guns he had for sale at another
    property down the street.
    No. 16-2415                        United States v. Jackson                               Page 11
    weapon that could accomplish these goals.” 
    Seymour, 739 F.3d at 931
    . And by even stronger
    logic, with regard to the first sale, he “can hardly have been emboldened in his drug possession,
    or have hoped to protect his modest stash,” by keeping a gun in a property down the block,
    where it could be of zero offensive or defensive use to him. See 
    id. There is
    thus no reason to
    conclude that Jackson satisfies the “close proximity” basis for the enhancement, see U.S.S.G.
    § 2K2.1 cmt. n. 14(B), on the fortress theory or any other ground.
    3.   Lack of Facilitation
    Similarly, there is no reason to believe that either “firearm . . . facilitated, or had the
    potential of facilitating,” either heroin sale. See U.S.S.G. § 2K2.1 cmt. n. 14(A). As noted
    above, one way in which a gun can facilitate a drug sale is by “sweeten[ing] the pot,” 
    Henry, 819 F.3d at 869
    (quoting United States v. Davis, 372 F. App’x 628, 630 (6th Cir. 2010)), which
    “occurs when firearms are added to a drug sale under circumstances that could cause the seller to
    believe that he would obtain a greater profit with a relatively low increase to the risk of detection
    by law enforcement,” 
    id. Thus, in
    a case in which a defendant purchased, among other
    transactions, “thirty-one tablets of Hydrocodone and a shotgun,” Davis, 372 F. App’x at 628, we
    concluded “that § 2K2.1(b)(6) is broad enough to cover the sale of firearms as part of a drug
    deal,” 
    id. at 630,
    even though the defendant there had made other sales of only drugs, 
    id. at 628,
    630. Similarly, where “sales of the gun and the drugs were negotiated, at least in part, during the
    same meeting, and they occurred contemporaneously,” we have likewise found sufficient
    justification to conclude that the guns facilitated the drug trafficking. 
    Henry, 819 F.3d at 869
    .
    By contrast, in Davis, we noted that Davis’s claim that there was no facilitation “might be more
    convincing if all the drug sales preceded the sale of the guns (and if the future sale of the guns
    played no part in greasing the wheels for the preceding drug sales).” Davis, 372 F. App’x at 630.
    Jackson’s conduct is unlike the conduct at issue in Davis and Henry, but much like
    Davis’s “more convincing” counterfactual. See Davis, 372 F. App’x at 630. Although the sales
    in each pair of transactions occurred in quick succession, each was a separate exchange for
    separate consideration—there were no joint sales, nor any joint negotiations. And there is no
    indication that either gun sale increased the profit of the corresponding close-in-time drug sale or
    induced either sale in any other way: the first drug sale, after all, occurred before the idea of a
    No. 16-2415                        United States v. Jackson                               Page 12
    gun sale was even introduced, and the second drug sale occurred after the second gun sale had
    been completed. See R. 24 (Gov’t Obj. to PSR at 2, 4–5) (Page ID #59, 61–62). Neither, in
    other words, sweetened the pot.
    Sweetening the pot is not the only way, of course, that a gun can facilitate a drug sale. In
    fact, as we have made clear, all that “use or possession of” a gun must do is “make the sale of the
    pills easier.” 
    Henry, 819 F.3d at 869
    ; see also 
    id. (“In the
    context of criminal law, to ‘facilitate’
    generally means ‘[t]o make the commission of [ ]a crime[ ] easier.’” (quoting Facilitate,
    BLACK’S LAW DICTIONARY (10th ed. 2014))). In Henry, for example, we ruled that the joint sale
    of a rifle and a number of morphine pills met the standard for facilitation. 
    Id. “Henry’s agreement
    to sell the rifle had the potential to ensure that the pills were not purchased from a
    competitor,” we explained. 
    Id. “Additionally, a
    joint sale such as [the one Henry negotiated]
    can be expected to reduce the transaction costs attendant to each sale—e.g., by requiring less
    time per sale.” 
    Id. For reasons
    similar to those just noted, however, Jackson’s conduct does not meet this
    standard of facilitation. Because the first drug sale was concluded before the idea of a gun sale
    was even introduced, there is no way that the already-completed gun sale could have enticed
    Jackson’s purchaser away “from a competitor.” See 
    id. And because
    the second gun sale was
    completed before the idea of a second drug sale was introduced, there is similarly no way that the
    second gun sale created the kind of competitive advantage that we identified in Henry.
    Meanwhile, the independence of both sales within each of the two pairs of sales created exactly
    the inefficiency that we said in Henry that a drug dealer might seek to avoid: it “requir[ed]
    [more] time per sale,” not “less.” See 
    id. Needless to
    say, of course, this was also not a situation in which there was facilitation or
    use through exchange—as, for example, in Sweet, a case in which “defendants traded the
    firearms for drugs.” 
    Sweet, 776 F.3d at 448
    ; see also United States v. Harris, 552 F. App’x 432,
    438 (6th Cir. 2014) (affirming enhancement where defendant “traded [a] firearm for cocaine”).
    There, we observed, “but for the transfer of guns to the drug dealer, the drug distribution would
    never have occurred.” 
    Sweet, 776 F.3d at 450
    ; see also Harris, 552 F. App’x at 438 (“[B]ut for
    the firearm, [Harris’s dealer] would not have sold [him] the cocaine.”). Here, there is no such
    No. 16-2415                        United States v. Jackson                                Page 13
    causal inference to be made: the sales were independent, and there is no reason to conclude that
    but for either gun sale, there would not have been a drug sale. The first gun sale, after all, was
    raised after the first drug sale was completed, and the second gun sale was completed before the
    second drug sale was raised. No sale was contemplated by the parties, in other words, while
    another sale was open for discussion.
    The Government nevertheless argues that this causal inference is justified in the context
    of the second drug sale. Appellee’s Br. at 15 (“[B]ut for the firearm sale on December 1, the
    heroin transaction would not have occurred.”). It contends that “[w]hile the firearm was not, as
    in Sweet, part of the consideration for the drug transaction, the firearm sale on December 1 was a
    literal ‘but for’ cause of the heroin transaction.” 
    Id. Presumably, the
    Government’s theory here
    is that if the CI had not arranged to purchase a gun from Jackson on December 1, then the CI
    would not have been there, with Jackson, to begin to negotiate—after the gun sale was
    completed for separate consideration—a separate exchange for drugs.
    This theory misunderstands but-for causation, a causal test that provides that “an act
    (omission, condition, etc.) was a cause of an injury if and only if, but for the act, the injury would
    not have occurred.” Richard W. Wright, Causation in Tort Law, 73 CAL. L. REV. 1735, 1775
    (1985). “That is, the act must have been a necessary condition for the occurrence of the injury.”
    Id.; see also United States v. Miller, 
    767 F.3d 585
    , 605 (6th Cir. 2014) (“[T]he pertinent inquiry
    is always this: in the absence of the cause or factor at issue, would the statutorily prohibited
    outcome have occurred?”). Here, there is no proof that but for the arrangement to purchase a
    gun on December 1, the CI would not have negotiated a drug transaction. It is just as possible
    that, if Jackson had no gun to sell that day, the CI still would have sought to arrange a drug
    purchase, much the same way the CI contacted Jackson to arrange a drug sale the first time.
    Although Jackson did sell both a gun and drugs in quick succession, the Government’s
    burden was to prove that he “used or possessed” the gun “in connection with” his drug dealing,
    U.S.S.G. § 2K2.1(b)(6)(B), for example by “facilitat[ing]” it or “ha[ving] the potential of
    facilitating” it in some way, 
    id. § 2K2.1
    cmt. n. 14(A). But the conduct here does not provide
    sufficient reason to conclude that these were anything but independent sales of guns and drugs—
    both illegal and rightly punishable, but not subject to the extra punishment that our laws reserve
    No. 16-2415                       United States v. Jackson                              Page 14
    for those who make the bad choice of mixing the two. Cf. Smith v. United States, 
    508 U.S. 223
    ,
    240 (1993) (observing that Congress, “was no doubt aware,” in enacting harsh penalties for those
    who use or carry firearms while committing certain crimes, “that drugs and guns are a dangerous
    combination”). Jackson made many bad decisions as part of the events giving rise to this case,
    and he is paying the price for them. But the conduct at issue does not justify the conclusion that
    Jackson made the additional bad decision of “us[ing] or possess[ing] any firearm or ammunition
    in connection with” his drug trafficking offenses. See U.S.S.G. § 2K2.1(b)(6)(B). Accordingly,
    and giving due deference to the district court’s ruling, we conclude that the four-level
    enhancement was procedurally unreasonable.
    C. Sentencing-Factor Manipulation
    Jackson also argues that the district court committed plain error by failing, on its own, to
    reduce his sentence on the ground that the Government had committed sentencing-factor
    manipulation. Appellant’s Br. at 14–16. This claim can be dealt with more briefly, particularly
    on the more deferential, plain-error standard of review that Jackson must overcome by virtue of
    having failed to make this argument to the district court. As noted above, plain error occurs
    when the district court makes an “obvious or clear” error that “affected defendant’s substantial
    rights” and thus “seriously affected the fairness, integrity, or public reputation of the judicial
    proceedings.” 
    Coppenger, 775 F.3d at 803
    . As Jackson and the Government agree, “sentencing
    factor manipulation . . . occurs when the government ‘improperly enlarge[s] the scope or scale of
    [a] crime’ to secure a longer sentence than would otherwise obtain.’” United States v. DePierre,
    
    599 F.3d 25
    , 28–29 (1st Cir. 2010) (quoting United States v. Vasco, 
    564 F.3d 12
    , 24 (1st Cir.
    2009)), aff’d, 
    564 U.S. 70
    (2011). But as the Government notes, Appellee’s Br. at 17–18, “we
    have never before recognized [this] theor[y] as [a] valid reason[] to depart downward.” United
    States v. Hammadi, 
    737 F.3d 1043
    , 1048 (6th Cir. 2013). We would be hard pressed to say that
    the district court committed plain error by failing to apply sua sponte a doctrine that our circuit
    has never endorsed.
    Even if we were to adopt the doctrine of sentencing-factor manipulation, the
    circumstances of Jackson’s case would not qualify. As the Government observes, Appellee’s Br.
    at 19, a defendant arguing sentencing-factor manipulation “bears the burden of proof as to his
    No. 16-2415                       United States v. Jackson                             Page 15
    lack of predisposition and to the outrageousness of government conduct,” 
    Hammadi, 737 F.3d at 1048
    . Here, at the very least, Jackson has not proven that the government’s conduct was
    sufficiently outrageous to qualify.    See 
    id. at 1050
    (“Here, the government’s conduct sits
    squarely within [the] latitude [courts have given the government]; its tactics do not shock the
    conscience. The government provided Hammadi with an opportunity to commit a crime, and he
    took it.” (citation omitted)). Accordingly, there was no plain error.
    III. CONCLUSION
    Jackson’s gun and drug sales lacked a connection sufficient to justify the district court’s
    imposition of the four-level sentencing enhancement under § 2K2.1(b)(6)(B).          Because the
    transactions at issue appear instead to have been independent and unanticipated sales—with no
    indication that a gun was ever actually or constructively possessed in connection with a drug
    sale, or kept near a stash of drugs, or facilitative of a drug sale—the enhancement did not apply
    to the conduct at issue and thus was procedurally unreasonable. Our holding today is a limited
    one: were there evidence that Jackson had come armed to sell drugs to the CI, or stored a gun
    with a stash of drugs, or traded a gun for drugs, or negotiated the sales of guns and drugs
    together, our precedents would likely justify the enhancement that the district court imposed.
    But these are not the case here. Instead, where from the beginning of the negotiation of each
    drug transaction until after it was fully consummated, the firearm in question was either a block
    away or in the exclusive possession of someone other than the defendant, the Guideline does not
    apply. We thus VACATE the district court’s application of the four-level enhancement under
    § 2K2.1(b)(6)(B) and REMAND to the district court for resentencing.
    No. 16-2415                        United States v. Jackson                                 Page 16
    _________________
    DISSENT
    _________________
    RALPH B. GUY, JR., Circuit Judge, dissenting. I believe defendant’s second pair of
    transactions in narcotics and a firearm was sufficiently interconnected to justify imposing the
    enhancement. I also believe the but-for causation standard does not apply to whether one sale
    “facilitated” the other. Accordingly, I respectfully dissent.
    On November 23, 2015, defendant sold the government’s confidential informant (“CI”)
    some narcotics, and then, after some prodding by the CI, a firearm. Defendant had to walk down
    the block to retrieve the firearm before selling it to the CI. I agree with the majority that this pair
    of sales was insufficient to trigger USSG § 2K2.1(b)(6)(B).
    On November 27, 2015, Jackson contacted the CI and offered to sell the CI another
    firearm. The CI agreed, and on December 1, 2015, the CI went to the same residence at which
    he previously met with defendant. Immediately after the CI and defendant completed the firearm
    sale, the CI offered to introduce defendant to his companion — who was waiting in the car — so
    that defendant could sell him narcotics. Defendant accepted the offer, telling the CI, “you go to
    the car and I’ll be over there.” The CI returned to the car, and “[s]hortly thereafter, the defendant
    also exited [the residence], walked to the same vehicle, and got inside.” Defendant then sold
    narcotics to the CI’s companion.
    The firearm enhancement can apply “in the case of a drug trafficking offense in which a
    firearm is found in close proximity to drugs, drug-manufacturing materials, or drug
    paraphernalia.” USSG § 2K2.1 cmt. n.14(B). The majority concludes that defendant lacked
    actual or constructive possession of the firearm in connection with the drug trafficking felony.
    Key premises to the majority’s analysis are “the facts that [defendant] seems to have kept his
    guns and drugs housed at separate locations, did not bring a gun and drugs together to either sale,
    and had no reason to believe that either initial sale for one of the two types of contraband would
    beget a sale of another type.”
    No. 16-2415                             United States v. Jackson                                        Page 17
    The district court, however, did not abuse its discretion by finding otherwise. At the
    December 1 sale, defendant was observed delivering the narcotics after leaving the same
    residence from which he had just sold the firearm (and from which he had sold narcotics on
    November 23). These facts comprise circumstantial evidence that defendant brought narcotics to
    the December 1 firearm sale, and there is no evidence to the contrary.1 See United States v.
    Wilder, 615 F. App’x 351, 354 (6th Cir. 2015) (observation that defendant’s errand to sell
    narcotics originated at his home was evidence that he stored narcotics at his home, supporting
    § 2K2.1(b)(6)(B) enhancement). Moreover, defendant indeed had “reason to believe” that such a
    joint sale would take place: a week prior, he made a nearly identical joint sale to the CI. Finally,
    it bears repeating that defendant was trafficking narcotics, not merely possessing them — a fact
    that lowers the government’s burden when it seeks application of the enhancement. See United
    States v. Seymour, 
    739 F.3d 923
    , 930 (6th Cir. 2014); United States v. Berkey, 406 F. App’x 938,
    940-41 (6th Cir. 2011). Accordingly, I would hold that the district court did not abuse its
    discretion by applying the enhancement on the basis that defendant possessed the firearm in
    connection with the drug trafficking felony.
    In the alternative, the majority holds that “there is no reason to believe that either firearm
    ‘facilitated, or had the potential of facilitating,’ either heroin sale.”                 With respect to the
    December 1 transaction, I disagree. Facilitation can be found when a defendant becomes a “one-
    stop-shop for [drugs] and firearms.” United States v. Davis, 372 F. App’x 628, 630 (6th Cir.
    2010) (quoting United States v. McGill, 139 F. App’x 201, 204 (11th Cir. 2005)). “[T]he fact
    that the sales of guns and drugs are negotiated as separate items does not prevent them from
    ‘essentially amount[ing] to a single transaction.’” United States v. Henry, 
    819 F.3d 856
    , 869 (6th
    Cir. 2016) (quoting United States v. Timmons, 
    283 F.3d 1246
    , 1252 (11th Cir. 2002)). Both of
    these principles are at work here. Defendant and the CI arranged the sale of the narcotics during
    the same meeting at which the firearm was sold. The fact that a thin line can be drawn between
    1
    The majority places a burden on the government to “clarify the question” of whether the firearm was
    located in the same residence as the drugs on December 1. But requiring the government to conclusively refute the
    possibilities “that the drugs were buried outside, or hidden on a neighboring property, or kept in some other place”
    fails to account for the evidence that the drugs were in the same residence, and the lack of evidence that they were
    stored somewhere else.
    No. 16-2415                            United States v. Jackson                                       Page 18
    the two sales has little practical import.2 The sale of the narcotics took place because the CI —
    primarily there to buy a firearm but equipped with the knowledge that defendant sold drugs,
    too — utilized the opportunity to avail himself of both facets of defendant’s “one stop shop.”
    The majority rejects the government’s argument that, “[b]ut for the firearm sale on
    December 1, the heroin transaction would not have occurred,” on the basis that the government
    did not actually satisfy the but-for test for causation. However, we have held that “[b]ut-for
    causation is not the applicable standard under § 2K2.1(b)(6); all that is required is that the
    firearm ‘facilitated, or had the potential of facilitating, another felony offense.’” 
    Id. (quoting USSG
    § 2K2.1 cmt. n.14(A)). Because defendant’s possession of the firearm “ma[d]e the sale of
    the [drugs] easier” by bringing a drug customer to defendant’s doorstep, the facilitation test is
    satisfied. The government’s failure to show but-for causation is immaterial. Id.; see also Davis,
    372 F. App’x at 629 (demonstrating the enhancement applies is “not a particularly onerous
    burden”).3
    Finally, the decision whether to apply the firearm enhancement or not requires an
    examination of the totality of the circumstances. 
    Henry, 819 F.3d at 866
    (citing United States v.
    Warwick, 
    167 F.3d 965
    , 971 (6th Cir. 1999)). Here, the totality of the circumstances includes the
    fact that defendant made two pairs of transactions in firearms and narcotics. Although the first
    pair of transactions, standing alone, was insufficient to impose the enhancement, its existence
    supports the district court’s conclusion that defendant’s possession of a firearm facilitated, or had
    the potential to facilitate, his drug trafficking felony.
    2
    Although the majority suggests that the bifurcated transaction was “inefficient,” any inefficiency was
    nominal. The record does not reflect any material inconvenience to defendant, as opposed to the November 23 sale,
    which required defendant to retrieve the firearm from another residence.
    3
    The majority cites two cases in which a but-for connection between the drug and gun sales was sufficient
    to impose the enhancement. United States v. Sweet, 
    776 F.3d 447
    , 450 (6th Cir. 2015); United States v. Harris,
    552 F. App’x 432, 438 (6th Cir. 2014). As Henry makes clear, however, recognizing that a but-for connection may
    be sufficient to impose the enhancement does not mean it is necessary to impose the enhancement if no such
    connection exists.