United States v. Michael Johnson ( 2012 )


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  •                                                                            FILED
    NOT FOR PUBLICATION                              MAR 01 2012
    MOLLY C. DWYER, CLERK
    UNITED STATES COURT OF APPEALS                       U .S. C O U R T OF APPE ALS
    FOR THE NINTH CIRCUIT
    UNITED STATES OF AMERICA,                        No. 10-30364
    Plaintiff - Appellee,              D.C. No. 2:10-cr-00024-RSM-1
    v.
    MEMORANDUM *
    MICHAEL A. JOHNSON,
    Defendant - Appellant.
    Appeal from the United States District Court
    for the Western District of Washington
    Ricardo S. Martinez, District Judge, Presiding
    Argued and Submitted February 6, 2012
    Seattle, Washington
    Before: SCHROEDER, ALARCÓN, and GOULD, Circuit Judges.
    Michael A. Johnson appeals from his conviction and sentence for
    (1) conspiracy to distribute fifty grams or more of actual methamphetamine, in
    violation of 
    21 U.S.C. §§ 841
    (a)(1), 841(b)(1)(A), and 846; (2) possession of five
    grams or more of actual methamphetamine with intent to distribute, in violation of
    *
    This disposition is not appropriate for publication and is not precedent
    except as provided by 9th Cir. R. 36-3.
    
    21 U.S.C. §§ 841
    (a)(1) and 841(b)(1)(B), and 
    18 U.S.C. §2
    ; (3) felon in possession
    of a firearm, in violation of 
    18 U.S.C. § 922
    (g)(1) and 924(a)(2); and (4) felon in
    possession of explosives, in violation of 
    18 U.S.C. §§ 842
    (i)(1) and 844(a).
    Johnson contends the district court erred in denying his motion to suppress,
    motion for a new trial or to arrest judgment, and motion to strike the 
    21 U.S.C. § 851
     enhanced penalty information, as well as in limiting defense counsel’s cross-
    examination of Charles Beedle and Detective Nicole Richardson. We affirm
    because we conclude that the district court did not err.
    I
    Johnson challenges the district court’s denial of his motion to suppress on
    the ground that there was not probable cause to issue the search warrant. Johnson
    also contends that the warrant lacked sufficient particularity and the search of his
    residential unit exceeded the scope of the warrant. We review a district court’s
    denial of a motion to suppress de novo and its factual findings for clear error.
    United States v. Gorman, 
    314 F.3d 1105
    , 1110 (9th Cir. 2002). We review a
    magistrate’s finding of probable cause to issue a search warrant for clear error “and
    give ‘great deference’ to such a finding.” United States v. Hill, 
    459 F.3d 966
    , 970
    (9th Cir. 2006) (quoting United States v. Hay, 
    231 F.3d 630
    , 634 n.4 (9th Cir.
    2000)).
    2
    A
    When reviewing a magistrate’s issuance of a search warrant, we have
    previously explained that magistrates are “entitled to draw reasonable inferences
    about where evidence is likely to be kept, based on the nature of the evidence and
    the type of offense. In the case of drug dealers, evidence is likely to be found
    where the dealers live.” United States v. Angulo-Lopez, 
    791 F.2d 1394
    , 1399 (9th
    Cir. 1986) (citations omitted); United States v. Foster, 
    711 F.2d 871
    , 879 (9th Cir.
    1983) (rejecting probable cause challenge to search warrant for residence of
    lieutenant in drug organization). Indeed, we have upheld search warrants against
    probable cause challenges based, in part, on evidence showing that members of a
    drug trafficking organization frequented the defendant’s residence. United States
    v. Garcia-Villalba, 
    585 F.3d 1223
    , 1234 (9th Cir. 2009).
    Here, the application for the search warrant for 135 South Ann Street,
    Monroe, Washington was supported by probable cause. Detective Corey
    Williams’s affidavit described several incidents in which Christopher Jeter was
    seen with members of the Barajas Garcia organization in connection with drug
    trafficking. Detective Williams also identified Jeter as the primary resident of the
    house located at 135 South Ann. As the district court recognized, “[t]he fact that
    Mr. Jeter lived there . . . is sufficient at that point in time, knowing he is involved
    3
    in numerous instances of illegal drug dealing, for the magistrate judge to conclude
    that a fair probability existed that evidence . . . could be found in that particular
    area.” Transcript of Hearing at 124-25, United States v. Johnson, No. 2:10-CR-
    00024-RSM-1 (W.D. Wash. May 4, 2010), ECF No. 97.
    Detective Williams’s affidavit showed that members of the Barajas Garcia
    organization visited the property located at 135 South Ann on several occasions in
    connection with drug trafficking. Indeed, Detective Williams described
    intercepted telephone calls, in which it appeared that members of the organization
    conducted criminal activity on the premises. For example, during two separate
    intercepted telephone calls (1) Candido Hernandez told Barajas Garcia he had the
    “papers” (i.e., money), to call him, and that he was at the “recycling,” which
    officers believed referred to the house at 135 South Ann; and (2) Hernandez
    discussed drug proceeds with Barajas Garcia, told him that he was at the
    “recycler,” and that Barajas Garcia could come into the house when he arrived.
    B
    Johnson characterizes his challenge based on the division of the house into
    two separate living units as a particularity challenge. Relevant case law, however,
    distinguishes challenges to the validity of a search warrant based on a lack of
    particularity in the description of the premises to be searched from challenges to
    4
    the reasonableness of law enforcement’s execution of a search warrant. Maryland
    v. Garrison, 
    480 U.S. 79
    , 84 (1987). Indeed, in Garrison, the United States
    Supreme Court described these two challenges as presenting “two separate
    constitutional issues, one concerning the validity of the warrant and the other
    concerning the reasonableness of the manner in which it was executed.” 
    Id.
    Johnson argues that the search warrant lacked sufficient particularity
    because it described the house on 135 South Ann as a single-family residence.
    The Fourth Amendment requires that “no Warrants shall issue” except, inter
    alia, those “particularly describing the place to be searched.” U.S. Const. amend.
    IV. We have set forth the following test for determining whether a warrant
    satisfies the particularity requirement:
    [W]hether the warrant describes the place to be searched
    with “sufficient particularity to enable law enforcement
    officers to locate and identify the premises with
    reasonable effort,” and whether any reasonable
    probability exists that the officers may mistakenly search
    another premise.
    United States v. Mann, 
    389 F.3d 869
    , 876 (9th Cir. 2004) (quoting United States v.
    Turner, 
    770 F.2d 1508
    , 1510 (9th Cir. 1985)).
    A search warrant that contains a mistake in the description of the premises to
    be searched is not automatically invalid. See Garrison, 
    480 U.S. at
    83 n.3, 85–86
    5
    (rejecting invalidity argument despite warrant’s broad description of search target
    as “third floor apartment” where there were two separate third floor apartments).
    Such a warrant may survive a particularity challenge if it describes the premises as
    they were known or should have been known to officers, at the time of the
    application for the warrant. 
    Id. at 85
    ; see Mena v. City of Simi Valley, 
    226 F.3d 1031
    , 1036–37 (9th Cir. 2000) (relying on Garrison and stating that there was no
    evidence that officers knew or should have known prior to the application for the
    search warrant that the residence was a multi-unit dwelling). Indeed, “the
    discovery of facts demonstrating that a valid warrant was unnecessarily broad does
    not retroactively invalidate the warrant. The validity of the warrant must be
    assessed on the basis of the information that the officers disclosed, or had a duty to
    discover and to disclose, to the issuing Magistrate.” Garrison, 
    480 U.S. at 85
    .
    Here, the application for the search warrant and the warrant itself contained
    sufficient facts to satisfy the particularity requirement even though it described the
    house as a single-family residence because there is no evidence that officers knew
    or should have known that the house contained two separate residential units.
    From the outside, the house appeared to be a single-family residence: officers
    believed there was a single front door, did not know that the house was divided,
    6
    and had confirmed that the utilities were registered to one person, Jeter. As the
    district court recognized, there was no separate address.
    In addition, the warrant contained a detailed description of the premises to
    be searched. The warrant described the location of the property. It also identified
    key features of the house, such as the color and type of construction of the house
    and the trim and siding on the house.
    C
    Johnson contends that the search was overbroad because officers were
    required to suspend the search of his residential unit when they discovered that the
    house was divided into two separate apartments. “Police officers’ authority to
    search premises that are described in a warrant is not unlimited.” Mena, 
    226 F.3d at 1038
    . “Generally, if a structure is divided into more than one occupancy unit,
    probable cause must exist for each unit to be searched.” 
    Id.
     (citing United States v.
    Whitney, 
    633 F.2d 902
    , 907 (9th Cir. 1980)).
    “‘If, during the search, the officers become aware that the warrant describes
    multiple residences, the officers must confine their search to the residence of the
    suspect.’” 
    Id.
     (quoting United States v. Kyles, 
    40 F.3d 519
    , 524 (2d Cir. 1994)).
    Indeed, officers are “required to discontinue the search . . . as soon as they
    discover[] that there [are] two separate units . . . and therefore [are] put on notice of
    7
    the risk that they might be in a unit erroneously included within the terms of the
    warrant.” Garrison, 
    480 U.S. at 87
    .
    The general rule requiring probable cause for each unit does not apply when
    the entire house is suspect. See, e.g., United States v. Gilman, 
    684 F.2d 616
    , 618
    (9th Cir. 1982) (stating that “general rule voiding the warrant for an undisclosed
    multi[-]unit structure does not apply if the defendant was in control of the whole
    premises or they were occupied in common, if the entire premises were suspect, or
    if the multi[-]unit character of the premises was not known to the officers” (citation
    omitted)); Whitney, 
    633 F.2d at 907
     (recognizing that the rule requiring probable
    cause as to individual units “would not apply if ‘the entire building is actually
    being used as a single unit’” (quoting United States v. Hinton, 
    219 F.2d 324
    , 326
    (7th Cir. 1955))).
    Detective Williams’s affidavit in support of the application for the search
    warrant showed that the entire house was suspect because it was used to sell and
    store methamphetamine. His affidavit explained that surveillance showed that
    members of the Barajas Garcia organization had visited the residence on several
    occasions and appeared to have free access to the residence. Intercepted telephone
    calls also revealed that a member of the organization visited the residence in
    8
    connection with discussing and distributing the proceeds of methamphetamine
    sales.
    II
    Johnson contends the district court’s limitation on the cross-examination of
    Beedle and Detective Richardson violated his rights under the Confrontation
    Clause. We review de novo a defendant’s Confrontation Clause challenge based
    on the exclusion of an area of inquiry. United States v. Larson, 
    495 F.3d 1094
    ,
    1101 (9th Cir. 2007). We review for abuse of discretion a district court’s
    limitations on the scope of questioning within a given area. 
    Id.
    “The Confrontation Clause of the Sixth Amendment secures a defendant’s
    right to cross-examine government witnesses.” United States v. Adamson, 
    291 F.3d 606
    , 612 (9th Cir. 2002). “The constitutional right to cross examine is
    ‘[s]ubject always to the broad discretion of a trial judge to preclude repetitive and
    unduly harassing interrogation . . . .’” United States v. Schoneberg, 
    396 F.3d 1036
    ,
    1042 (9th Cir. 2005) (quoting Davis v. Alaska, 
    415 U.S. 308
    , 316 (1974)). A court,
    however, “cannot preclude a defendant from asking, not only ‘whether [the
    witness] was biased’ but also ‘to make a record from which to argue why [the
    witness] might have been biased.’” 
    Id.
     (quoting Davis, 
    415 U.S. at 318
     (emphasis
    added)).
    9
    A
    Johnson contends that the district court erred by limiting the scope of the
    cross-examination of Beedle regarding his understanding, based on sources other
    than his attorney, of the enhanced penalty he would have faced had he not
    cooperated with the Government. According to Johnson, had the district court
    allowed this line of questioning, he would have shown that Beedle knew that he
    faced a twenty-year mandatory minimum sentence under the enhanced penalty.
    While the proposed line of questioning may have been relevant to show
    whether and why Beedle was biased, it was repetitive because Beedle had already
    testified repeatedly that he lacked an understanding of the precise term he would
    have faced under the enhanced penalty. The jury had sufficient information to
    assess Beedle’s credibility. On direct examination, Beedle revealed he had a
    substance abuse problem with methamphetamine and marijuana, sold drugs, and
    was cooperating with the Government in hopes of receiving a reduced sentence.
    During defense counsel’s initial cross-examination, Beedle also admitted that he
    had lied during direct examination, lied to agents about the identity and “back
    story” of the woman with whom he visited Johnson to buy drugs, lied on monthly
    probation reports regarding his drug use, and admitted he knew that, absent
    cooperation, he faced a ten-year mandatory minimum sentence on his most recent
    10
    drug charge. Moreover, during further cross-examination, Beedle also admitted he
    knew that, had he not cooperated, he would have faced an enhanced penalty.
    Therefore, Johnson has failed to demonstrate that the district court abused its
    discretion in limiting the scope of the cross-examination of Beedle.
    B
    Johnson also contends that the district court erred by limiting the scope of
    the cross-examination of Detective Richardson regarding her conversation with
    Jeter on October 20, 2009. Johnson argues that the district court should have
    admitted Detective Richardson’s notes into evidence because they were offered to
    show her state of mind, not for their truth.
    Johnson has not shown that the district court abused its discretion by
    refusing to admit Detective Richardson’s notes to show her state of mind. Indeed,
    Johnson has not explained how exclusion of the notes limited the scope of his
    cross-examination of Detective Richardson regarding her state of mind. The
    record shows that Johnson was not precluded from questioning Detective
    Richardson about Jeter.
    III
    Johnson contends the district court erred when it denied his motion for new
    trial or to arrest judgment. We review for abuse of discretion a district court’s
    11
    denial of a motion for new trial or to arrest judgment. United States v. Moses, 
    496 F.3d 984
    , 987 (9th Cir. 2007); United States v. Rodriguez, 
    360 F.3d 949
    , 955 (9th
    Cir. 2004).
    A
    Johnson contends that the prosecutor’s decision to charge him separately
    from the underlying conspiracy violated his right to due process by preventing him
    from presenting evidence supporting his theory that Jeter “set him up.”
    “Whether to prosecute and what charge to file or bring before a grand jury
    are decisions that generally rest in the prosecutor’s discretion.” United States v.
    Batchelder, 
    442 U.S. 114
    , 124 (1979); see, e.g., United States v. Armstrong, 
    517 U.S. 456
    , 464 (1996) (explaining that charging decisions are left to the discretion
    of the prosecutor subject to the limitation that such decisions cannot be based on
    “‘an unjustifiable standard such as race, religion, or other arbitrary classification’”
    (quoting Oyler v. Boles, 
    368 U.S. 448
    , 456 (1962))). A prosecutor may, but is not
    required to, charge two or more defendants in a single indictment if “they are
    alleged to have participated in the same act or transaction, or in the same series of
    acts or transactions, constituting an offense or offenses.” Fed. R. Crim. P. 8(b).
    Here, Johnson has not shown that the Government’s decision to charge him
    separately from the underlying conspiracy was an improper exercise of the
    12
    prosecutor’s discretion or that it denied him his due process right to a meaningful
    opportunity to present a complete defense. Johnson has not pointed to any
    evidence suggesting that the prosecutor’s charging decision was motivated by bad
    faith or discrimination.
    B
    Johnson contends further that law enforcement mishandled the firearms
    found during the search of Johnson’s residential unit and failed to preserve
    potential fingerprints. Johnson also contends that law enforcement failed to record
    details of the search. According to Johnson, this prevented him from presenting
    his defense that others, including Jeter, handled the weapons and had access to the
    area where the items were found.
    In order for the loss or destruction of evidence to constitute a due process
    violation, the evidence must “[1] possess an exculpatory value that was apparent
    before the evidence was destroyed, and [2] be of such a nature that the defendant
    would be unable to obtain comparable evidence by other reasonably available
    means.” California v. Trombetta, 
    467 U.S. 479
    , 489 (1984). In Arizona v.
    Youngblood, 
    488 U.S. 51
     (1988), the United States Supreme Court held that where
    lost or destroyed evidence is “only potentially exculpatory, as opposed to
    apparently exculpatory, the defendant must show that the evidence was destroyed
    13
    in bad faith.” United States v. Estrada, 
    453 F.3d 1208
    , 1212 (9th Cir. 2006) (citing
    Youngblood, 488 U.S. at 58).
    Here, Johnson has not shown that the potential fingerprint evidence on the
    weapons found during the search of his residential unit was “apparently
    exculpatory” nor has he shown bad faith. Johnson merely speculates that other
    individuals’ fingerprints may have been found on the weapons, but has not pointed
    to any evidence that officers intentionally mishandled the weapons.
    As for Johnson’s contention that officers failed to record the details of the
    search, he has similarly not shown bad faith. Although somewhat unclear, Johnson
    suggests that the Government’s failure to introduce the testimony of Special Agent
    Kyle Bowen, who oversaw the search, was improper. Johnson, however, has not
    explained how the Government’s failure to call this witness lead to a denial of his
    due process rights nor how it demonstrates bad faith.
    C
    Johnson contends that, during rebuttal argument, the Government
    misrepresented Beedle’s testimony by stating that Beedle testified that he had
    purchased four ounces of methamphetamine from Johnson shortly before the
    search of 135 South Ann. According to Johnson, this misrepresented Beedle’s
    14
    testimony, which was that he couldn’t “quite remember” but thought he purchased
    “three to four ounces.”
    It is well established that “it is improper for the government to present to the
    jury statements or inferences it knows to be false or has very strong reason to
    doubt.” United States v. Reyes, 
    577 F.3d 1069
    , 1077 (9th Cir. 2009) (citing United
    States v. Blueford, 
    312 F.3d 962
    , 968 (9th Cir. 2002)). Not all misstatements by a
    prosecutor during a trial, however, require reversal. See, e.g., United States v.
    Kojayan, 
    8 F.3d 1315
    , 1318 (9th Cir. 1993) (“Words uttered spontaneously
    sometimes come out wrong; the exigencies of trial may make it hard to consider all
    the implications of a particular assertion. The mere fact of a misstatement to the
    jury therefore isn’t the end of the matter.”). Indeed, technical or insignificant
    misstatements are often disregarded. See United States v. Hudson, 
    432 F.2d 413
    ,
    414 (9th Cir. 1970) (per curiam) (rejecting defendant’s contention that court should
    reverse his conviction because the prosecutor misstated trial testimony). In order
    to obtain a new trial based on a prosecutor’s misstatement to the jury, the
    defendant must show “both misconduct and prejudice.” United States v. Wright,
    
    625 F.3d 583
    , 609-10 (9th Cir. 2010).
    Here, Johnson has not shown that the prosecutor’s statements during rebuttal
    argument constituted misconduct resulting in prejudice. There is no evidence that
    15
    the statement was intentionally false. Johnson has also not explained how he was
    prejudiced by this statement.
    IV
    Johnson contends that the prosecution’s decision to file a § 851 enhanced
    penalty information after Johnson rejected a plea offer constitutes vindictive
    prosecution and deprived him of due process. We review a defendant’s claim of
    prosecutorial vindictiveness and denial of due process de novo. United States v .
    Jenkins, 
    504 F.3d 694
    , 699 (9th Cir. 2007).
    Johnson cannot rely on the filing of the § 851 enhanced penalty information
    following failed plea negotiations, alone, to establish actual or presumptive
    vindictiveness. We recently held in United States v. Kent, 
    649 F.3d 906
     (9th Cir.),
    cert. denied, 
    132 S. Ct. 355
     (2011), that “[a]s a matter of law, the filing of
    additional charges to make good on a plea bargaining threat . . . will not establish
    the requisite punitive motive . . . .” 
    Id. at 914
    ; see also Bordenkircher v. Hayes,
    
    434 U.S. 357
    , 363-65 (1978) (rejecting prosecutorial vindictiveness claim despite
    prosecutor’s concession that threat of additional charges was intended to influence
    defendant to plead guilty).
    AFFIRMED.
    16