United States v. Adkins, Asher ( 2001 )


Menu:
  • In the
    United States Court of Appeals
    For the Seventh Circuit
    No. 00-1057
    United States of America,
    Plaintiff-Appellee,
    v.
    Asher Adkins,
    Defendant-Appellant.
    Appeal from the United States District Court
    for the Northern District of Indiana, Fort Wayne Division.
    No. 1:93-CR-27--William C. Lee, Chief Judge.
    Argued November 28, 2000--Decided December 13, 2001
    Before Fairchild, Diane P. Wood and Evans,
    Circuit Judges.
    Diane P. Wood, Circuit Judge. In 1993,
    Asher Adkins was convicted of five counts
    of distribution of methamphetamine, two
    counts of conspiracy to distribute
    methamphetamine, and two counts of using
    or carrying a handgun during a drug
    trafficking offense. He disappeared
    before the last day of his trial and was
    convicted in absentia. He remained a
    fugitive until 1999, when he was caught,
    returned to Indiana, and sentenced by the
    trial court. Adkins now appeals various
    aspects of his conviction and sentence.
    I
    In 1989, Adkins and Marvin Miller began
    making regular trips to California to
    purchase large quantities of
    methamphetamine. According to the trial
    testimony, Adkins, sometimes with Miller
    and sometimes alone, made at least 10 and
    perhaps as many as 40 trips between 1989
    and 1993; on each trip, they brought back
    between 1 and 1 pounds of
    methamphetamine. Adkins sold the drugs
    from these trips, in bulk, to Dan Tyner
    and Scott Hummel, who then further
    distributed the drugs. Several witnesses
    testified that Adkins and Miller
    regularly carried handguns on their trips
    to California, and that Adkins and Miller
    had told them they carried the guns to
    protect themselves and the drugs because
    the trips were "risky business." Hummel
    also testified that on at least one
    occasion, just after Adkins had given him
    a pound of methamphetamine, Adkins pulled
    a gun out from under his truck seat and
    showed it to Hummel.
    After the first delivery, Adkins and
    Miller realized that they could increase
    their profits by taking some of the
    methamphetamine out of the packages they
    sold to Hummel and Tyner and replacing it
    with filler. Adkins and Miller sold the
    drugs they removed to smaller-scale
    dealers. Using drugs from this source and
    possibly from other sources, Adkins began
    a smaller-scale distribution business, in
    which he distributed quantities of
    between   ounce and 4 ounces of
    methamphetamine to at least three street-
    level dealers on an almost daily basis.
    Adkins used Lori Tuttle as a go-between
    for many of these transactions: he
    supplied her with a pager and told his
    buyers that they should contact her if he
    was not available. She actually made many
    of the sales for him. Tuttle, who was
    Adkins’s co-defendant at trial, also kept
    a ledger detailing the sales she made to
    the street dealers and the amount of
    money the dealers owed Adkins.
    Based on this evidence, the jury
    convicted Adkins of two counts of
    conspiracy to distribute methamphetamine
    in violation of 21 U.S.C. sec. 846, five
    counts of distribution of methamphetamine
    in violation of 21 U.S.C. sec. 841(a)(1),
    and two counts of using or carrying a
    handgun during a drug trafficking offense
    in violation of 18 U.S.C. sec. 924(c). As
    noted above, Adkins disappeared before
    the last day of trial, so the jury
    convicted him in absentia. Nearly six
    years later, after he was caught and
    returned to Indiana, the district court
    sentenced Adkins to concurrent 27-year
    sentences on each of the seven drug
    counts and consecutive sentences of 20
    years and five years on the two gun
    counts. In this appeal, Adkins raises
    various challenges to the convictions on
    the conspiracy and gun counts. He also
    argues that he is entitled to a new trial
    because his trial counsel was
    ineffective. Finally, he argues that the
    sentences the district court imposed on
    the drug counts were unconstitutional in
    light of the Supreme Court’s recent
    holding in Apprendi v. New Jersey, 
    530 U.S. 466
    (2000). Only the last of
    Adkins’s contentions has merit.
    II
    Adkins raises two challenges to his
    conspiracy convictions. First, he argues
    that he was guilty of at most one
    conspiracy, not two, and thus the
    conspiracy charges were multiplicitous.
    In the alternative, Adkins argues that
    the evidence presented at trial was
    insufficient to convict him of either
    conspiracy the government alleged.
    Because Adkins did not object to the
    multiple conspiracy counts in the
    district court, our review of his
    contention that the counts were
    multiplicitous is for plain error only.
    United States v. Briscoe, 
    896 F.2d 1476
    ,
    1522 (7th Cir. 1990). In reviewing the
    sufficiency of the evidence on each
    conspiracy count, we take the evidence
    presented at trial and all reasonable
    inferences that can be drawn from it in
    the light most favorable to the
    government, and we will reverse the
    convictions only if no reasonable jury
    could have found each element of the
    conspiracies beyond a reasonable doubt.
    United States v. Swan, 
    250 F.3d 495
    , 500
    (7th Cir. 2001).
    Although Adkins denies that there was
    sufficient evidence to convict him of a
    conspiracy at all, he argues that if
    there was a conspiracy, there was only
    one large conspiracy, not the two
    separate conspiracies charged in the
    indictment. The critical question in
    determining whether an indictment
    charging two conspiracies is
    multiplicitous "is whether a conspiracy
    has been subdivided arbitrarily,
    resulting in multiple [counts] for a
    single illegal agreement." United States
    v. Morrison, 
    946 F.2d 484
    , 493-94 (7th
    Cir. 1991). In considering whether there
    are two agreements or only a single,
    arbitrarily divided agreement, we
    consider "such factors as whether the
    conspiracies involve the same time
    period, alleged co-conspirators and
    places, overt acts, and whether the two
    conspiracies depend upon each other for
    success." United States v. Powell, 
    894 F.2d 895
    , 898 (7th Cir. 1990). In
    undertaking this analysis, we are mindful
    of "the rock and the hard place between
    which we place the government if we are
    overly exacting in [our] analysis: on the
    one hand, . . . the government may not
    charge multiplicitous conspiracies; on
    the other, we have not infrequently
    discouraged the government from indicting
    too many defendants under the skimpy
    guise of a single overarching
    conspiracy." 
    Morrison, 946 F.2d at 494
    .
    In arguing that there was only one
    conspiracy in this case, Adkins points
    out that both he and Miller were involved
    in all the conduct charged by the
    government, that only one type of drug
    was involved in the case, that all the
    drugs involved came from the same source,
    and that the time frame the government
    charged for the first conspiracy, July to
    August of 1992, was completely within the
    time frame of the second conspiracy,
    which was from the summer of 1989 until
    April 1993. Therefore, Adkins argues, the
    majority of the factors discussed in
    Powell weigh in favor of a finding that
    there was at most a single conspiracy.
    However, there was another way to look
    at the case. As the government saw it,
    Adkins, Miller, Tyner, and Hummel were
    involved in one conspiracy to import
    large quantities of meth from California.
    That conspiracy lasted for several years,
    and Adkins’s involvement was limited to
    bringing the bulk drugs back and selling
    them to Tyner and Hummel. Adkins
    exercised no control over the drugs after
    Tyner and Hummel took possession of them.
    The second conspiracy was Adkins’s
    smaller-scale operation in the summer of
    1992. That conspiracy involved Adkins,
    Tuttle, Miller, and Adkins’s other
    street-level dealers. Adkins’s role in
    that conspiracy was to supply the street-
    level dealers with small quantities of
    drugs. As evidence that the two
    conspiracies were separate, the
    government notes that Tuttle and the
    street-level dealers, other than Miller,
    had no knowledge of the large-quantity
    conspiracy and did not know Tyner and
    Hummel. Tyner and Hummel similarly were
    not involved in the small-quantity
    operation. Moreover, the small-quantity
    operation began as a way to dispose of
    the drugs that Adkins and Miller were
    stealing from the large-quantity
    conspiracy, and so the two operations
    were not only separate, but had
    conflicting interests.
    This was enough, in our view, to permit
    the government to charge separate
    conspiracies. There was little
    overlapbetween the conspirators in each
    conspiracy. The large-quantity conspiracy
    went on for much longer than the small-
    quantity conspiracy did. The overt acts
    that made up each conspiracy were
    entirely distinct, and the conspiracies
    were carried out in different places: the
    large-quantity conspiracy involved trips
    back and forth to California and
    transactions in Hummel’s and Tyner’s
    houses, while the small-quantity sales
    were made in the parking lots of various
    Indiana establishments. Finally, although
    the conspiracies depended on each other
    for success in the sense that Adkins was
    the primary supplier of drugs for both
    conspiracies, the conspiracies were not
    economically interdependent, and Adkins
    could have discontinued one and continued
    the other at any time. For these reasons,
    the government’s decision to treat the
    two conspiracies separately cannot be
    considered arbitrary, and the two
    conspiracy counts were not
    multiplicitous.
    We therefore turn to Adkins’s contention
    that the evidence of each conspiracy was
    insufficient to sustain his convictions.
    "A conspiracy conviction requires a
    showing that a conspiracy existed (two or
    more persons joined together for the
    purpose of committing a criminal act) and
    that the charged party knew of and
    intended to join the agreement." United
    States v. Cavender, 
    228 F.3d 792
    , 800
    (7th Cir. 2000). A mere buyer-seller
    relationship is not enough to sustain a
    conspiracy conviction; rather, there must
    be some evidence of jointly undertaken
    activity. See, e.g., United States v.
    Blankenship, 
    970 F.2d 283
    , 285-86 (7th
    Cir. 1992). In the drug context, evidence
    of "large quantities of drugs, prolonged
    cooperation between the parties,
    standardized dealings, and sales on a
    credit" can be sufficient to show that a
    conspiracy existed, United States v.
    Berry, 
    133 F.3d 1020
    , 1023 (7th Cir.
    1998), as can evidence that one of the
    alleged conspirators bought or sold drugs
    as an agent of another conspirator,
    rather than as an independent market
    participant, United States v. Garcia, 
    89 F.3d 362
    , 365 (7th Cir. 1996).
    There was ample evidence on which the
    jury could have relied in convicting
    Adkins of both conspiracies. As to the
    large-quantity conspiracy, there was
    evidence that Miller and Adkins traveled
    together to and from California to
    purchase drugs for the conspiracy on
    numerous occasions. The fact that the
    drugs Adkins supplied to Hummel and Tyner
    were in such large quantities and were
    often sold partially on credit suggested
    that Adkins not only knew that Hummel and
    Tyner would resell the drugs, but also
    depended on the resales in order to get
    paid. The participants in the conspiracy
    cooperated with each other over a period
    of several years, and their dealings were
    standardized: Miller and Adkins made
    regular trips to California and brought
    Hummel and Tyner 1 to 1 pounds of meth
    each time. Additionally, there was
    evidence that Adkins and Miller set
    Hummel and Tyner up in the
    methamphetamine business: Adkins was the
    one who first approached Tyner and asked
    him if he wanted to start selling meth,
    and Miller taught Hummel and Tyner how to
    "cut" the meth to prepare it for resale.
    This evidence was more than sufficient to
    sustain the conviction for the large-
    quantity conspiracy.
    As to the small-quantity conspiracy,
    there was substantial evidence that
    Adkins used Tuttle as his agent or go-
    between to pass drugs to the street-level
    dealers. Adkins set Tuttle up with a
    pager and instructed his buyers to
    contact Tuttle when Adkins was
    unavailable. Tuttle made many of the
    sales for Adkins and kept a ledger of
    accounts for him; Adkins apparently paid
    Tuttle a commission of $100 per ounce she
    sold. Although it is possible that Adkins
    had a mere buyer-seller relationship with
    the street-level dealers, viewing the
    evidence in the light most favorable to
    the government, it is clear that Adkins
    and Tuttle, at the least, were involved
    in a conspiracy rather than a mere-buyer-
    seller arrangement. Therefore, Adkins’s
    challenge to his conspiracy convictions
    fails.
    III
    The next argument Adkins raises relates
    to his convictions for using or carrying
    a handgun during the commission of a drug
    trafficking offense. Those convictions,
    he urges, must be reversed in light of
    the Supreme Court’s decision in Bailey v.
    United States, 
    516 U.S. 137
    (1995). The
    statute under which Adkins was convicted,
    18 U.S.C. sec. 924(c), penalizes
    defendants who "use" or "carry" a firearm
    during the commission of a drug
    trafficking offense. The term "use,"
    Bailey established authoritatively, means
    active use, not passive availability.
    This circuit, and hence the district
    courts in this circuit, did not interpret
    the statute that way at the time of
    Adkins’s trial, and thus the instruction
    given in his case was wrong. The question
    now is whether that amounts to a ground
    for reversing Adkins’s convictions on the
    two gun charges, Counts 3 and 4.
    We have been over this ground many times
    before. Suffice it to say that a
    conviction under sec. 924(c) can be
    upheld on plain error review (which
    applies to Adkins, as he did not object
    to the instruction at trial) even if the
    instructions on "use" were incorrect in
    light of Bailey, if the record makes it
    plain that the defendant also "carried"
    the weapon during and in relation to the
    commission of the drug offense. The Court
    has adopted a relatively broad definition
    of the term "carry," holding that a
    defendant is guilty of "carrying" a
    firearm during a drug transaction if he
    carried the firearm either on his person
    or in a vehicle which he accompanies,
    including carrying the gun in the glove
    compartment or in a locked trunk.
    Muscarello v. United States, 
    524 U.S. 125
    , 126-27 (1998).
    We agree with the government that all
    the evidence on which the jury could have
    based the sec. 924(c) convictions
    demonstrates that Adkins "carried" a
    firearm during a drug offense under the
    Muscarello definition. The first of the
    sec. 924(c) counts charged that Adkins
    used or carried a handgun in connection
    with a drug trafficking conspiracy
    between 1989 and 1993. In its
    instructions to the jury, the district
    court was clear that this charge related
    to the large-scale conspiracy and that
    the jury could convict on this count only
    if it found that the conspiracy existed
    and that either Adkins or Miller used or
    carried a handgun in furtherance of the
    conspiracy. The government introduced
    testimony from several witnesses who
    stated that Adkins and Miller regularly
    carried handguns on their trips to
    California with the drug money and from
    California with the drugs. One witness
    testified that she had seen Adkins
    wearing a gun holster as he was leaving a
    hotel in California to exchange money for
    drugs, and other witnesses testified that
    Adkins told them he carried a gun on the
    trips to protect himself, the money, and
    the drugs, because the enterprise was
    "risky business." Therefore, there was
    abundant evidence that Adkins "carried" a
    handgun on the California trips as that
    term was defined in Muscarello.
    On the other hand, Adkins argues that
    some evidence introduced at trial
    established mere possession of a firearm,
    which is not sufficient to sustain his
    conviction after Bailey. It is true that
    the government offered evidence that
    Adkins received a firearm permit in 1991
    and that a 1993 search of Adkins’s home
    turned up a substantial amount of ammuni
    tion. However, this evidence was, at
    most, circumstantial evidence that Adkins
    possessed a firearm at some point around
    the same time as the drug conspiracy.
    Even under the pre-Bailey definition of
    "use," which allowed a conviction upon
    proof that the defendant possessed or had
    control of a firearm during the
    commission of a drug offense, this
    evidence would not have been sufficient
    to convict Adkins. The district court’s
    instruction recognized this limitation on
    the concept of use by requiring the jury
    to find that the firearm was in the
    defendant’s possession or control "at the
    time the drug trafficking crime was
    committed." We assume that the jury
    correctly followed this instruction.
    United States v. Wilson, 
    237 F.3d 827
    ,
    835 (7th Cir. 2001). Therefore, the jury
    could not have based Adkins’s conviction
    solely on evidence that he had a gun
    permit and that he possessed ammunition
    when his house was searched in 1993.
    The only other evidence that Adkins
    argues might have led the jury to convict
    him based on mere possession of a firearm
    is Hummel’s testimony that on one
    occasion when he went to Adkins’s house
    to purchase drugs, he saw several long-
    barreled guns standing in a corner of the
    house. But the jury could not properly
    have based its conviction on this
    testimony either. The indictment on this
    count charged Adkins with using or
    carrying a "handgun" in connection with
    the conspiracy, not with using or
    carrying any other type of gun. The
    indictment was incorporated into the jury
    instructions and the jury was given a
    copy of it, and again, we assume that the
    jury correctly followed its instructions
    and based its conviction on evidence that
    Adkins used or carried a handgun, not
    some other type of weapon. Because all of
    the evidence on which the jury could have
    based its conviction on this count
    qualifies as evidence that Adkins
    "carried" a handgun as that term was
    defined in Muscarello, we affirm the
    conviction on this count.
    The conviction on the second sec. 924(c)
    count also withstands Adkins’s challenge.
    That count charged Adkins with using or
    carrying a firearm in connection with a
    sale of methamphetamine to Hummel in
    February 1992. Hummel testified that on
    one occasion in February 1992, he met
    Adkins in a parking lot and got into
    Adkins’s truck. Adkins gave Hummel a
    pound of methamphetamine. Shortly
    thereafter, Adkins pulled a .38-caliber
    handgun out from under the front seat of
    the truck and showed it to Hummel. After
    a few minutes, Adkins replaced the gun.
    This was the only testimony that related
    to Adkins’s February 1992 sale of drugs
    to Hummel, and it established that Adkins
    carried a handgun during the sale within
    the Muscarello definition. A properly
    charged jury would certainly have
    convicted Adkins on both of the gun
    counts, so the error in the jury charges
    did not affect Adkins’s substantial
    rights or call into question the fairness
    or integrity of the proceedings against
    him.
    IV
    Adkins next contends that his trial
    counsel, who represented both Adkins and
    Tuttle at their joint trial, was rendered
    ineffective by a conflict of interest
    between his two clients. In particular,
    Adkins argues that the joint
    representation prevented him from
    testifying in his own defense. We find,
    however, that Adkins affirmatively waived
    his right to conflict-free counsel during
    an extensive colloquy with the district
    court.
    The Sixth Amendment entitles a criminal
    defendant to representation by conflict-
    free counsel. Cuyler v. Sullivan, 
    446 U.S. 335
    , 345 (1980). Nevertheless, a
    defendant may waive his right to
    conflict-free counsel, and, having made a
    knowing and intelligent waiver, may not
    later attack his conviction based on an
    asserted conflict. United States v.
    Lowry, 
    971 F.2d 55
    , 60 (7th Cir. 1992). A
    waiver is "knowing and intelligent" if it
    is "made with sufficient awareness of the
    relevant circumstances and likely
    consequences." 
    Id. The key
    question is
    whether the defendant knew enough to
    "make the choice an informed one--a
    rational reconciliation of risks and
    gains that are in the main understood."
    
    Id. at 61.
    Here, the trial court engaged in an
    extensive colloquy with Adkins at his
    arraignment about his decision to waive
    his right to conflict-free counsel.
    During the colloquy, which takes up nine
    transcript pages, the court explained the
    right to conflict-free counsel to Adkins
    in detail and warned him that the court
    could not necessarily anticipate every
    possible conflict that could arise. The
    court then went into a detailed list of
    possible conflicts and asked Adkins if he
    waived each one. In particular, the court
    asked Adkins: "Dual representation may
    adversely affect the decision whether you
    or your co-defendant or both should
    testify. Do you understand that?" To
    which Adkins replied: "Yes, sir." After
    the extensive colloquy, the trial court
    had Adkins sign a written waiver form.
    The defense contends that, despite all
    of this, Adkins’s waiver was not "knowing
    and intelligent," because the trial court
    did not ask Adkins’s lawyer about
    potential conflicts before he permitted
    Adkins to waive his right to separate
    counsel. On this point, although the
    court did not ask Adkins’s lawyer any
    questions on the record, the court did
    ask Adkins whether his lawyer had
    discussed the possibility of conflict
    with Adkins, and Adkins replied that he
    had. Although the trial court certainly
    could have questioned the lawyer as well
    as Adkins, we have never suggested that
    the court was required to do so. We do
    not "require a judge to follow a script
    in eliciting waivers of this sort."
    United States v. Roth, 
    860 F.2d 1383
    ,
    1387 (7th Cir. 1988). The trial judge’s
    extensive colloquy with Adkins was more
    than sufficient to ensure that Adkins
    made a "rational reconciliation of risks
    and gains that [were] in the main
    understood." 
    Id. V Finally,
    Adkins argues that the
    sentences the district court imposed on
    his drug convictions were
    unconstitutional in light of the Supreme
    Court’s recent decision in Apprendi v.
    New Jersey, 
    530 U.S. 466
    (2000).
    Apprendi, as readers of the Federal
    Reporter know only too well by this time,
    held that factual findings (other than a
    prior conviction) that raise a
    defendant’s sentence above the statutory
    maximum for the crime of conviction "must
    be charged in an indictment, submitted to
    a jury, and proven beyond a reasonable
    
    doubt." 530 U.S. at 476
    ; Jones v. United
    States, 
    526 U.S. 227
    , 243 n.6 (1999). For
    the drug crimes described in 21 U.S.C.
    sec.sec. 841 and 846, before a defendant
    can be sentenced to a term of
    imprisonment above the default statutory
    maximum provided in sec. 841(b)(1)(C) or
    (D), Apprendi requires that a drug type
    and amount sufficient to trigger the
    higher statutory maximums of sec.
    841(b)(1)(A) or (B) should be specified
    in the indictment and must be found by
    the trier of fact using the reasonable
    doubt standard. See, e.g., United States
    v. Bjorkman, 
    270 F.3d 482
    , 492 (7th Cir.
    2001); United States v. Nance, 
    236 F.3d 820
    (7th Cir. 2000).
    Adkins’s Apprendi claim requires close
    attention, because his sentence of 27
    years on each drug count exceeds the
    default statutory maximum sentence of 20
    years contained in 21 U.S.C. sec.
    841(b)(1)(C). Before his sentence could
    fall between 20 and 40 years under the
    statute that was in force at the time of
    his offense, he had to be convicted of
    distributing or conspiring to distribute
    at least "10 grams or more of
    methamphetamine . . . or 100 grams or
    more of a mixture or substance containing
    a detectable amount of methamphetamine .
    . . ." 21 U.S.C. sec. 841(b)(1)(B)(viii)
    (1993). (Under the current version of
    sec. 841(b)(1)(B)(viii), 5 grams of
    methamphetamine or 50 grams of a mixture
    containing a detectable amount of the
    drug is sufficient to trigger a statutory
    maximum sentence of 40 years.) Count 2 of
    the indictment, which was for the large-
    scale conspiracy, specified that over 1
    kilogram of a mixture containing a
    detectable amount of methamphetamine was
    involved, while Counts 5 and 8 (two of
    the distribution counts) specified that
    over 100 grams of a mixture containing a
    detectable amount of methamphetamine was
    distributed. With respect to these
    counts, the indictment was thus
    sufficient under Apprendi. It did not
    specify any particular amount of drugs
    involved in either the small-scale
    conspiracy (Count 1) or the other three
    distribution counts (Counts 6, 7, and 9).
    Each of these said only that a "mixture"
    was involved. Furthermore, the district
    court instructed the jury (in accordance
    with the now-superseded practice that
    prevailed at the time) that it could find
    Adkins guilty on each drug count if it
    found that he distributed or conspired to
    distribute a detectable amount of
    methamphetamine; the jury was not
    required to find any particular amount
    beyond a reasonable doubt. In light of
    Apprendi, as the government concedes,
    this was inadequate to allow the district
    court to impose sentences exceeding 20
    years.
    Nonetheless, these errors do not
    necessarily entitle Adkins to any relief.
    While a few circuits have found that the
    failure to charge drug quantity in the
    indictment deprives the district court of
    jurisdiction and requires automatic
    reversal, see United States v. Cotton,
    
    261 F.3d 397
    , 407 (4th Cir. 2001); United
    States v. Gonzalez, 
    259 F.3d 355
    , 361
    (5th Cir. 2001), it is now well
    established in this circuit that Apprendi
    errors in both the indictment and the
    charge to the jury are subject to
    harmless error analysis. See 
    Bjorkman, 270 F.3d at 492
    ; United States v.
    Martinez, 
    258 F.3d 582
    , 586 (7th Cir.
    2001); 
    Nance, 236 F.3d at 825
    . Adkins did
    not raise this issue at his sentencing
    hearing in January 2000, despite the fact
    that Apprendi was clearly on the horizon
    by that time, see 
    Nance, 236 F.3d at 823
    -
    24, and so, as in Bjorkman, Martinez, and
    Nance, our review of his challenge is for
    plain error only. Under that standard of
    review, even though it is now clear in
    light of Apprendi that the district court
    erred, that the error is plain, and that
    the error, which added seven years to
    Adkins’s sentences, affected a
    substantial right, we will reverse the
    sentences only if the error also
    "seriously affect[ed] the fairness,
    integrity, or public reputation of
    judicial proceedings." Johnson v. United
    States, 
    520 U.S. 461
    , 467 (1997). If it
    is clear beyond a reasonable doubt that a
    properly-instructed jury would have found
    Adkins guilty of distributing or
    conspiring to distribute over 100 grams
    of a methamphetamine mixture on each
    count, then we cannot say that the
    Apprendi error was so serious that it
    requires us to set aside the judgment.
    See 
    Bjorkman, 270 F.3d at 492
    ; 
    Nance, 236 F.3d at 826
    .
    We have no hesitation in finding that it
    is clear beyond a reasonable doubt that a
    properly-instructed jury would have found
    that the conspiracies Adkins was involved
    in each involved well over 100 grams
    (about 3.5 ounces) of a mixture
    containing detectable amounts of
    methamphetamine. The first conspiracy
    involved sales in quantities of 1 to 1
    pounds at a time (i.e. from about 454
    grams to about 680 grams). Even if the
    jury believed the witness who testified
    to the least number of trips to
    California, there were at least ten
    trips. Therefore, that conspiracy
    involved at a minimum 10 pounds, or 4.5
    kilograms, of methamphetamine. The second
    conspiracy involved almost daily sales of
    between   and 4 ounces (i.e. about 14
    grams to 114 grams) at a time. The ledger
    that Tuttle kept, which was before the
    jury, recorded 17 separate transactions
    involving a total of 28.5 ounces; two of
    the transactions recorded involved 4
    ounces each, which would in themselves
    have been more than the amount needed to
    meet the sec. 841(b)(1)(B)(viii)
    threshold. There was also testimony of
    many additional sales that were not in
    the ledger. Based on this evidence, it is
    clear that the Apprendi errors on the
    conspiracy counts did not seriously
    affect the fairness or integrity of the
    proceedings against Adkins.
    The sentences on Counts 5 and 8, which
    are the two that charged distribution of
    more than 100 grams of a mixture
    containing detectable amounts of
    methamphetamine, also survive plain error
    review. Although the trial judge
    instructed the jury that the government
    did not have to prove the amounts in the
    indictment, the reference to the amount
    would have indicated to the jury that
    these counts involved the large-quantity
    deals, not the small-quantity deals. The
    evidence on these counts to which the
    government pointed in its closing
    argument also involved large-quantity
    transactions, and all the testimony at
    trial indicated that these transactions
    involved 1 to 1 pounds of
    methamphetamine per trip. Count 5
    referred to a transaction in 1989, at a
    time when Adkins was running only the
    large-quantity deals, and Count 8
    referred to a specific 1 -pound
    transaction in September 1992 to which
    Hummel testified in detail. The only
    testimony relating to these transactions
    established that Adkins and Miller went
    to California and returned with bulk-
    distribution quantities of
    methamphetamine. It is impossible to
    think that the jury could have believed
    Miller and the other witnesses’ testimony
    about the nature and purpose of these
    trips without believing that each trip
    involved well over 100 grams (again, only
    about 3.5 ounces) of methamphetamine.
    The other three distribution counts (6,
    7, and 9), in contrast, are more
    troublesome. The indictment on these
    counts does not specify any particular
    amount, and the evidence to which the
    government pointed on each count involved
    transactions that were part of the small-
    quantity conspiracy. The sales that
    Adkins and Tuttle made in furtherance of
    the small-quantity conspiracy ranged from
    ounce to 4 ounces of methamphetamine at
    a time. Taking the smaller amount to be
    cautious, this is about 14 grams, well
    below the 100-gram threshold. We note as
    well that even though Count 9 specifies a
    transaction on or about August 6, and
    Tuttle’s ledger shows a 4-ounce sale on
    that date, that evidence in itself does
    not necessarily show that the jury based
    its conviction on that alleged sale,
    rather than on one of the many smaller
    transactions that occurred around that
    date. The other two counts just point to
    distributions in November 1992, and the
    trial evidence was that Adkins made
    numerous sales that month, most of
    relatively small amounts.
    Because we cannot be certain that a
    properly-instructed jury would have found
    beyond a reasonable doubt that Adkins
    distributed at least 100 grams of
    methamphetamine mixture in connection
    with these counts, we must vacate his
    sentences on Counts 6, 7, and 9. Our
    practice under the circumstances is to
    remand these counts to the district
    court, which must adjust Adkins’s
    sentence to a term no greater than the
    statutory maximum. See United States v.
    Noble, 
    246 F.3d 946
    , 956 (7th Cir. 2001);
    United States v. Westmoreland, 
    240 F.3d 618
    , 635 (7th Cir. 2001). See also
    U.S.S.G. sec. 5G1.1(a) ("Where the
    statutorily authorized maximum sentence
    is less than the minimum of the
    applicable guideline range, the
    statutorily authorized maximum sentence
    shall be the guideline sentence.").
    The conviction on all counts is Affirmed.
    Adkins’s sentences on Counts 1, 2, 3, 4,
    5, and 8 are Affirmed, and his sentences
    on Counts 6, 7, and 9 are Vacated and
    Remanded to the district court with
    instructions to enter sentences no
    greater than 20 years on these counts.