United States v. Darren Reagan , 725 F.3d 471 ( 2013 )


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  •      Case: 10-10211        Document: 00512330432          Page: 1    Date Filed: 08/02/2013
    IN THE UNITED STATES COURT OF APPEALS
    FOR THE FIFTH CIRCUIT  United States Court of Appeals
    Fifth Circuit
    FILED
    August 2, 2013
    No. 10-10211                        Lyle W. Cayce
    Clerk
    UNITED STATES OF AMERICA,
    Plaintiff – Appellee
    v.
    DARREN L. REAGAN, also known as Dr. Darren L. Reagan; D’ANGELO
    LEE; DONALD W. HILL, also known as Don Hill; SHEILA D.
    FARRINGTON, also known as Sheila Hill,
    Defendants – Appellants
    Appeals from the United States District Court
    for the Northern District of Texas
    Before JONES and CLEMENT, Circuit Judges, and KAZEN*, District Judge.
    EDITH BROWN CLEMENT, Circuit Judge:
    Donald Hill, D’Angelo Lee, Sheila Farrington, and Darren Reagan (the
    “appellants”) appeal on numerous grounds their convictions and sentences in
    this case involving substantial and wide-ranging public corruption charges
    related to government-subsidized development projects in Dallas, Texas. We
    AFFIRM the judgment of the district court.
    FACTS AND PROCEEDINGS
    A. Procedural background
    *
    District Judge of the Southern District of Texas, sitting by designation.
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    No. 10-10211
    The appellants were four of fourteen defendants indicted by a federal
    grand jury on September 27, 2007. During the time period covered by the
    indictment, roughly 2003 through 2005, Donald Hill was an elected member of
    the Dallas City Council, representing a South Dallas district. City Council
    members had the power to nominate members of a number of city commissions,
    including the City Plan and Zoning Commission (“CPC”). On Hill’s nomination,
    the City Council appointed D’Angelo Lee to the CPC in October 2003. Sheila
    Farrington, Hill’s mistress and later his wife, purported to work as a consultant
    using the business name Farrington & Associates. Darren Reagan was the
    chairman and chief executive of the Black State Employees Association of Texas
    (“BSEAT”) and the BSEAT Community Development Corporation (“BSEAT
    CDC”).
    The indictment alleged that the appellants had been involved in various
    capacities in illegal schemes related to attempts by two housing developers,
    Brian Potashnik and James “Bill” Fisher, to obtain public financing, zoning
    clearance, and political support for their rival housing development plans in
    Dallas.   Specifically, Count 10 of the indictment charged Hill, Lee, and
    Farrington with having conspired to solicit bribes from Potashnik, in violation
    of 
    18 U.S.C. §§ 371
     and 666. Counts 11 and 12 charged Hill and Lee with having
    solicited bribes from Potashnik, in violation of § 666, and Farrington with having
    aided and abetted the bribery. Count 15 charged Hill, Lee, Farrington, and
    Reagan with having conspired to extort Fisher, in violation of 
    18 U.S.C. § 1951
    .
    Count 16 charged Hill and Lee with extorting Fisher, in violation of § 1951, and
    Farrington and Reagan with aiding and abetting that extortion. Count 17
    charged Hill and Reagan with a separate instance of extorting Fisher, in
    violation of § 1951. Count 18 charged Hill, Lee, and Farrington with honest
    services fraud, in violation of 
    18 U.S.C. § 1346
    . Count 19 charged Hill, Lee, and
    Farrington with having conspired to commit money laundering, in violation of
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    18 U.S.C. § 1956
    (h), with respect to the funds obtained from bribery. Count 20
    charged Hill and Reagan with the same with respect to the funds obtained from
    extortion.
    The appellants proceeded to trial, which commenced on June 22, 2009, and
    stretched over the course of 47 days, concluding on September 23.1
    B. Summary of the evidence
    Among many other witnesses, both Fisher and Potashnik testified for the
    Government at trial. Fisher had cooperated extensively with the FBI during the
    investigation, while Potashnik had been charged in the same indictment as the
    appellants and pled guilty to a single count of conspiracy to commit bribery.
    The Government’s evidence showed that, in order to obtain Hill’s political
    support for his housing developments, Potashnik agreed to hire Farrington as
    a community consultant. Potashnik regularly paid Farrington, through a bank
    account set up in the name of Farrington & Associates, despite Farrington never
    having done any work for him. Hill and Lee also demanded that Potashnik
    involve various non-profit organizations in his developments, and these
    organizations then remitted part of their fees to Farrington through her
    Farrington & Associates account. Farrington used money from this account to
    buy cars for Hill and Lee and made cash withdrawals from the account for Lee.
    In return for Potashnik’s cooperation, Hill, among other acts, pushed the City
    Council to approve a financing deal for one of Potashnik’s housing developments.
    Lee also demanded that Potashnik agree to use a certain percentage of
    minority labor in the construction of one of his developments. To that end, Lee
    instructed Potashnik to hire a woman named Andrea Spencer as a minority
    1
    Of the other ten defendants named in the indictment, seven pled guilty. One, Rickey
    Robertson, pled not guilty and was tried alongside the appellants but has not appealed the
    judgment against him. Robertson was convicted on Counts 15 and 19. The final two
    defendants pled not guilty and were tried separately.
    3
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    contractor. Spencer herself did no contracting work, but instead partnered with
    a contractor named Ron Slovacek, a white male, to do the work she obtained as
    a result of her minority contractor certification. Potashnik gave Spencer and
    Slovacek an $800,000 concrete contract. Shortly thereafter, Hill pushed the City
    Council for tax credit funding for two of Potashnik’s developments, and Lee
    helped Potashnik obtain a permit to build a community center and swimming
    pool at one of his developments. Slovacek eventually admitted to Spencer that
    he was remitting 10% of every check he received through this scheme to Lee,
    much of it through checks made out to Farrington.
    Potashnik had further dealings with Lee and Hill with respect to a
    proposal before the City Council that would have reduced the number of rent-
    restricted apartments required in three of his developments.2 Potashnik told
    Lee that he would work out a deal with Spencer and Slovacek on a new concrete
    contract, despite their bid being $250,000 higher than competitors’ bids. In
    return, Lee told Potashnik that he and Hill would ensure that the City Council
    proposal passed and had a conversation with Hill in which he confirmed this
    arrangement. When the measure failed to pass the City Council, Potashnik
    refused to give the concrete contract to Spencer and Slovacek, and his
    relationship with Lee and Hill irreparably broke down.
    While these machinations with respect to Potashnik were ongoing, the
    appellants were also involved in illegal schemes related to Potashnik’s rival,
    Fisher. Beginning in August 2004, Reagan began asking Fisher for lump sums
    of money and percentages of the general partner developer’s fee that Fisher
    2
    This measure would have made the expiration of the consent decree that settled a
    number of public housing desegregation cases (the “Walker Consent Decree”) retroactively
    applicable to Potashnik’s developments. The Walker Consent Decree had the effect of
    requiring a certain percentage of highly-rent-restricted units in every subsidized affordable
    housing project. See generally Walker v. U.S. Dep’t of Hous. & Urban Dev., 
    912 F.2d 819
    , 821-
    23 (5th Cir. 1990).
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    received on each of his developments. Reagan frequently referenced Hill in his
    conversations with Fisher. Reagan indicated that, if Fisher involved Reagan in
    his development plans, Reagan would ensure that Fisher would not have
    problems with Hill and the City Council. Hill, on one occasion, also told Fisher
    that he needed to work out his problems with Reagan in order to resolve issues
    related to one of his developments.
    On October 27, 2004, Fisher suffered a number of adverse zoning rulings.
    A few days later, Lee asked Fisher to contribute money to fund Hill’s birthday
    party. Fisher refused, and shortly thereafter a CPC vote affecting Fisher was
    postponed. Reagan continued to make demands of Fisher, requesting that his
    wife and parents be given community outreach jobs by Fisher. On November 10,
    Fisher signed a contract for $100,000 with Reagan, and Hill then shepherded
    through the City Council a motion to approve financing for one of Fisher’s
    developments, Pecan Grove.
    Then Fisher was called by two men, Rickey Robertson and Jibreel Rashad,
    who had recently formed an entity called RA-MILL, LLC. Neither Robertson nor
    Rashad had substantial prior experience as contractors. Robertson told Fisher
    that Lee had referred him to Fisher and that RA-MILL was interested in serving
    as a subcontractor on Fisher’s Pecan Grove project. Robertson later told Fisher
    that Lee was a silent partner in RA-MILL and that, if Fisher hired RA-MILL,
    Lee would speed approval for another one of Fisher’s projects, Dallas West
    Village, through the CPC, after which Hill would support the project before the
    City Council. Lee later helped bring Dallas West Village through the CPC
    process.
    On December 29, Fisher met with Lee and Hill to discuss ongoing zoning
    issues. At that meeting, Lee and Hill encouraged him to sign contracts with RA-
    MILL. The next day, Robertson and Rashad sent Fisher one-page contracts
    obligating him to pay RA-MILL a fee of 10% of the total value of the projects
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    they had proposed they be cut in on. This 10% fee would have amounted to
    between $600,000 and $800,000. Fisher rejected the contracts, and Robertson
    told him that Lee wanted the contracts signed before an upcoming CPC zoning
    vote. A week later, on discovering that Robertson and Rashad were planning to
    subcontract out all of the work that Fisher would give them, Fisher refused to
    deal with them further. He then received two proposals from RA-MILL: either
    he could give RA-MILL contracts for concrete and drywall work and pay an
    initial contractor fee of $180,000, or he could pay RA-MILL 3% of the total
    construction cost of his projects in return for RA-MILL not pursuing any further
    work on them. Robertson told Fisher that Lee was in support of these proposals,
    although Lee, fearing that he was being recorded, later denied that he had been
    involved in their formulation.
    Around this time, as the Pecan Grove project began to progress, Reagan
    began invoicing Fisher for additional sums of money. Reagan told Fisher that
    Lee and Hill had told him to coordinate his activities with respect to Pecan
    Grove with RA-MILL’s. To this end, Fisher received invoices from Reagan
    demanding $180,000 for RA-MILL for construction consulting services and
    $30,000 for Reagan. Reagan told Fisher that if Fisher did not make the
    payments Reagan would make a report to the City Council. After Fisher did not
    pay the invoices, Hill delayed a City Council zoning vote on one of Fisher’s
    projects.
    On February 16, 2005, Reagan sent a letter to Fisher demanding 50% of
    the developer’s fee for both the Pecan Grove project and the Dallas West Village
    project for which Fisher was trying to get approval. Fisher estimated this
    demand as amounting to $1.4 million per project.            Reagan also named
    subcontractors that he wanted Fisher to use. Fisher told Reagan that he could
    not agree to these new terms, and in a phone call a few days later Reagan told
    Hill that Fisher had been “waffling,” that he needed Hill to “pull it,” and that he
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    had told Lee that “we gonna hold the line.” Hill responded that he was “waiting
    to hear from you. I’m just waiting for you.”
    Even though he had refused Reagan’s new terms, Fisher did pay Reagan
    $22,500, through Reagan’s organization BSEAT, as partial payment on Reagan’s
    previous invoices. The FBI then photographed Reagan giving Hill an envelope
    containing $10,000 on February 22. Hill then gave $5,000 to Farrington, who
    gave $2,500 to Lee in cash. As Hill continued to delay votes on Fisher’s Dallas
    West Village development, Reagan continued to demand more money. Fisher
    paid Reagan an additional $40,000 on March 7. The FBI photographed Reagan
    giving $7,000 to Lee, and the next day $2,500 in cash was deposited into Hill’s
    campaign account.      Fisher continued to refuse to cut Reagan in on his
    developer’s fees, though, and Hill continued to postpone votes on the Dallas West
    Village development.
    Finally, Fisher was put in touch with Kevin Dean, who owned an asphalt
    company, and John Lewis, an attorney. Dean and Lewis told him that by
    working with them he could get City Council approval for Dallas West Village.
    On May 11, the day of a City Council vote on the Dallas West Village
    development, Fisher signed an agreement with Dean’s company and signed a
    contract with Lewis for legal work amounting to $250,000. After Fisher paid
    Lewis $50,000 as an initial payment, Lewis text messaged Hill, “Everything is
    signed! Approve the project!!!” That day, Hill successfully moved for zoning
    approval for Dallas West Village in a City Council meeting.
    C. Verdict and judgment
    The jury deliberated from September 23 through October 5, 2009, before
    returning its verdict. The jury found Hill, Lee, and Farrington guilty to Count
    10 (bribery conspiracy); Hill and Lee guilty, and Farrington not guilty, to Count
    11 (bribery); Hill and Lee guilty to Count 12 (bribery), and Farrington guilty to
    aiding and abetting; Hill, Lee, Farrington, and Reagan guilty to Count 15
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    (extortion conspiracy); Hill and Lee guilty to Count 16 (extortion), with
    Farrington and Reagan guilty to aiding and abetting; Hill and Reagan not guilty
    to Count 17 (extortion); Hill, Lee, and Farrington guilty to Count 18 (honest
    services fraud); Hill, Lee, and Farrington guilty to Count 19 (conspiracy to
    launder money); and Hill and Reagan not guilty to Count 20 (conspiracy to
    launder money). The district court later entered a judgment of acquittal on
    Count 18. The district court sentenced Hill to 216 months’ imprisonment, Lee
    and Reagan to 168 months’ imprisonment, and Farrington to 108 months’
    imprisonment.
    DISCUSSION
    The appellants appeal on numerous grounds. (A) All four challenge the
    sufficiency of the evidence presented with respect to their various convictions.
    (B) Reagan contends that his right to a speedy trial was violated. (C) Reagan
    contends that the district court erred by not holding a hearing into potential
    conflicts of interest among defense counsel and into alleged prosecutorial
    misconduct. (D) Hill, Farrington, and Reagan argue that the district court erred
    by sealing the courtroom during voir dire and during a post-verdict discussion
    with a juror. (E) Reagan argues that the district court erred in permitting him
    to waive a challenge to the Government’s purportedly racially discriminatory use
    of peremptory strikes during jury selection. (F) Lee and Reagan challenge a
    number of the district court’s evidentiary rulings, specifically its limiting the
    scope of permissible cross-examination of Fisher and by allowing evidence
    related to Reagan’s prior business dealings. (G) Reagan contends that the
    district court judge should have recused herself because she presided over a
    previous case involving Fisher. (H) Reagan contends that the district court erred
    in failing to sever his trial from that of his co-defendants. (I) Hill and Farrington
    charge that the Government committed prosecutorial misconduct during closing
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    argument, necessitating a new trial. (J) Finally, Lee and Reagan challenge a
    number of the district court’s sentencing decisions.
    A. Evidentiary sufficiency
    1. Standard of review
    When a defendant raises a “sufficiency argument in a motion for judgment
    of acquittal, we review the district court’s denial of that motion by examining the
    evidence and all reasonable inferences drawn therefrom in the light most
    favorable to the verdict, and asking whether a rational trier of fact could have
    found guilty beyond a reasonable doubt.” United States v. Montes, 
    602 F.3d 381
    ,
    388 (5th Cir. 2010). “A jury is free to choose among reasonable constructions of
    the evidence,” United States v. Bell, 
    678 F.2d 547
    , 549 (5th Cir. 1982), and “[o]ur
    role does not extend to weighing the evidence or assessing the credibility of
    witnesses,” United States v. Lopez, 
    74 F.3d 575
    , 577 (5th Cir. 1996).
    When a defendant raises a sufficiency argument in a motion for a new
    trial, we review the district court’s decision to grant or deny a new trial for “clear
    abuse of discretion.” United States v. Robertson, 
    110 F.3d 1113
    , 1118 (5th Cir.
    1997) (quoting United States v. Dula, 
    989 F.2d 772
    , 778 (5th Cir. 1993)). For a
    district court to disturb a jury’s verdict and order a new trial, “[t]he evidence
    must preponderate heavily against the verdict, such that it would be a
    miscarriage of justice to let the verdict stand.” Id.
    2. Bribery
    It is illegal for any agent of a local or state government that receives in
    excess of $10,000 from any federal program to “corruptly solicit[] or demand[] for
    the benefit of any person, or accept[] or agree[] to accept, anything of value from
    any person, intending to be influenced or rewarded in connection with any
    business, transaction, or series of transactions of such . . . government . . .
    involving any thing of value of $5,000 or more.” 
    18 U.S.C. § 666
    (a)(1)(B), (b).
    Lee, Hill, and Farrington were all convicted under this section of conspiracy to
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    commit bribery for their machinations with respect to Potashnik. Lee and Hill
    were convicted of two substantive counts of bribery for the deals they arranged
    first for Farrington and second for Spencer and Slovacek. Farrington was
    convicted of aiding and abetting one of these instances of bribery. These three
    defendants challenge the sufficiency of evidence presented against them on these
    counts.
    a. Hill
    Hill challenges his convictions on Counts 11 and 12, the two substantive
    bribery charges, and on Count 10, the bribery conspiracy charge, on the ground
    that the evidence presented at trial failed to show that he intended to be
    influenced to change his official conduct as a result of his knowledge of
    Potashnik’s payments to Farrington, Spencer, and Slovacek. Furthermore, he
    argues that the evidence presented at trial was consistent with him being a mere
    bystander “to Lee’s machinations.”
    The evidence presented at trial contradicts this framing of Hill’s role in the
    conspiracy. Potashnik testified that he expected that Hill would take various
    official actions in his favor as a result of the bribes he was paying, and Hill’s
    actions support Potashnik’s view of the arrangement. Hill made a number of
    votes favorable to Potashnik shortly after Potashnik agreed to make various
    payments to Hill’s co-conspirators. For instance, while he had voted to postpone
    a vote on one of Potashnik’s development proposals on October 13, 2004, Hill
    voted in Potashnik’s favor on October 27, shortly after Potashnik made his first
    payment to Farrington on October 22 and agreed to other concessions requested
    by Hill and Lee.      On January 4, 2005, after Potashnik awarded concrete
    contracts to Spencer and Slovacek, Hill wrote letters to a Texas state agency
    supporting tax credit financing for two of Potashnik’s developments.
    Based on Potashnik’s testimony as to his own subjective belief and Hill’s
    subsequent actions tending to confirm that belief, a reasonable jury could have
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    inferred that Hill did in fact intend to be influenced in his official actions by
    Potashnik’s bribery, and as a result Hill’s evidentiary insufficiency argument on
    these counts is unavailing.
    b. Farrington
    Farrington asserts that there was insufficient evidence to convict her
    either of conspiring to commit bribery or of aiding and abetting bribery. She
    argues that she did not know that the conspiracy existed and thus could not
    have joined it, and that she had no knowledge that the bribery was ongoing and
    thus could not have aided and abetted it. She contends that she believed that
    her contracts with Potashnik were for legitimate consulting services only.
    The Government presented ample evidence tending to show that
    Farrington knew that she was not engaged in a legitimate consulting business
    in her dealings with Potashnik. In one recorded phone call between Farrington
    and Hill, for example, Farrington stated that she was “just going to work [the
    contract with Potashnik] like a real consultant,” implying that she was not in
    fact “a real consultant.” Farrington communicated with Lee and Hill about the
    status of the checks she was receiving from Potashnik, and they in turn
    communicated with Potashnik about these checks. Furthermore, despite being
    paid purportedly for consulting services, Potashnik testified that Farrington
    never did any work for him, and that the only time he met with her after
    retaining her as a “consultant” was on a single occasion when she tried to get
    him to hire one of her associates. He stated that the only communications he
    ever received from her were monthly summary invoices, which provided no
    details as to what if any work she was doing, and on which his name was often
    misspelled.
    We conclude that the evidence presented against Farrington—namely her
    communications with Lee and Hill and Potashnik’s testimony that she did no
    actual work for him—was sufficient to allow a reasonable jury to find that she
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    had knowingly joined the conspiracy and aided and abetted the substantive acts
    of bribery.
    c. Lee
    Lee contends that the evidence presented against him on the bribery
    counts was insufficient, as the Government introduced no evidence tending to
    show a connection between the bribes paid and any federal money received by
    the city of Dallas. He argues that the requirement of such a nexus is implied by
    the Supreme Court’s decision in Salinas v. United States, 
    522 U.S. 52
    , 57-59
    (1997).
    Because Lee did not challenge this aspect of the Government’s case against
    him before the district court, our review is for plain error only. See FED. R. CRIM.
    P. 52(b). Under this or any other standard, Lee’s argument is precluded by the
    Supreme Court’s decision in Sabri v. United States, in which the Court stated
    “that not every bribe or kickback offered or paid to agents of governments
    covered by § 666(b) will be traceably skimmed from specific federal payments,”
    and held that the lack of a closer nexus requirement did not render the statute
    unconstitutional or otherwise invalid. 
    541 U.S. 600
    , 605-06 (2004). Lee’s
    argument is unavailing.
    3. Money laundering
    
    18 U.S.C. § 1956
     prohibits a range of financial transactions involving the
    proceeds of unlawful activity, including transactions designed “to conceal or
    disguise the nature, the location, the source, the ownership, or the control of the
    proceeds of specified unlawful activity,” 
    id.
     § 1956(a)(1)(B)(i), or “to avoid a
    transaction reporting requirement under State or Federal law,” id.
    § 1956(a)(1)(B)(ii). Similarly, 
    18 U.S.C. § 1957
    (a) prohibits engaging in a
    monetary transaction involving criminally-derived property of a value greater
    than $10,000. 
    18 U.S.C. § 1956
    (h) prohibits conspiring to commit any offense
    contained in § 1956 or § 1957.
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    Lee, Hill, and Farrington were convicted of conspiring to commit money
    laundering under these subsections for transactions made via the Farrington &
    Associates account, through which Farrington was receiving and disbursing
    money from Potashnik, the non-profits Potashnik had included in his
    developments, and a number of other sources.
    Hill and Farrington challenge the sufficiency of the evidence supporting
    their convictions under Count 19 for conspiring to launder money. They argue
    that the money paid to Farrington did not constitute the proceeds of unlawful
    activity at the time that it was deposited into the Farrington & Associates
    account. They contend that, at the time of the deposits, the money had not
    reached Hill, and the underlying bribery offenses had thus not yet been
    completed. They further assert that the transactions undertaken, if anything,
    constituted the bribery offenses themselves, and not an effort to conceal the
    proceeds of those offenses.
    These arguments are unavailing. Under § 666, a bribery offense is
    completed as soon as a government agent “corruptly solicits or demands for the
    benefit of any person . . . anything of value” with the requisite intent to be
    influenced. § 666(a)(1)(B). As a result, a substantive count of bribery was
    completed as soon as Hill solicited payments from Potashnik. By the time
    Farrington received the payments they were the proceeds of this unlawful
    activity. Moreover, the notion that Hill never received any money is incorrect,
    as the Government presented ample evidence showing that he and Lee directed
    Farrington’s deposits and withdrawals from the Farrington & Associates account
    and therefore had constructive possession over the funds in that account. Under
    our caselaw, a defendant can constructively possess funds in the money
    laundering context once he has effective control over that money, even if it
    remains in a third party’s account. See United States v. Nguyen, 
    504 F.3d 561
    ,
    570-71 (5th Cir. 2007).
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    The Government also presented ample evidence that the purpose of the
    Farrington & Associates account was to conceal the money being paid to the
    appellants as a result of their unlawful activities. For example, Lee and Hill
    managed the transfer of money into and out of the account, even though it was
    nominally Farrington’s. On one occasion, Hill told Farrington to withdraw
    $9,000 instead of $10,000 for Lee in order to avoid reporting requirements
    triggered by the higher sum, which in and of itself constituted a violation of
    § 1956(a)(1)(B)(ii). Farrington & Associates money was used to buy a BMW for
    Hill, which was left titled in the name of Farrington & Associates. Hill told
    Farrington to say that the car was a “retainer” for her lawyer, even though this
    was not true.
    Based on this evidence, a reasonable jury could have inferred that Hill and
    Farrington conspired to launder the proceeds of unlawful bribery through the
    use of the Farrington & Associates account, in violation of § 1956(h).
    4. Extortion
    The Hobbs Acts prohibits, inter alia, the interference in interstate
    commerce by extortion, with extortion defined as “the obtaining of property from
    another, with his consent, induced by wrongful use of actual or threatened force,
    violence, or fear, or under color of official right.” 
    18 U.S.C. §§ 1951
    (a), (b)(2).
    The Government alleged two theories of Hobbs Act liability: that the appellants
    had conspired to obtain and had obtained money from Fisher through the use of
    fear, or alternatively that they had done so under color of official right. “‘Fear
    of economic loss’ may underlie extortion” charges so long as the loss is
    particularized and not merely a loss of a prospective future benefit, United
    States v. Rashad, 
    687 F.3d 637
    , 642 (5th Cir. 2012) (quoting United States v.
    Edwards, 
    303 F.3d 606
    , 635-36 (5th Cir. 2002)), and private individuals can be
    convicted for extortion “under color of official right” when they “conspire[] with
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    corrupt public officials, masquerade[] as public officials . . . or [speak] for a
    public official,” 
    id. at 643
    .
    a. Hill, Lee, and Reagan
    Hill, Lee, and Reagan challenge the sufficiency of the evidence supporting
    their convictions on Count 15, which charged them with conspiring to commit
    extortion, and Count 16, which charged Hill and Lee with extortion and Reagan
    with aiding and abetting extortion, all pursuant to the Hobbs Act.
    They advance various arguments for why the evidence presented was
    legally insufficient, including that their actions were merely “hard bargaining”
    with Fisher, any payments they obtained were not received “under color of
    official right,” Fisher voluntarily associated himself with Reagan, there were
    legitimate reasons for opposing Fisher’s proposed developments, Fisher was
    never threatened with a complete shutdown of his business, Fisher only stood
    to lose a prospective economic benefit, and Fisher was successful despite their
    actions.
    We reject these characterizations of the relationship between the
    appellants and Fisher. The evidence presented at trial, including Fisher’s
    testimony, amply demonstrated that Fisher signed his contracts with Reagan
    out of fear of the economic loss that would result from Hill and Lee taking
    further action against him, and that he stood to lose significant investments he
    had already made in his affected development projects, Pecan Grove and Dallas
    West Village. Fisher testified that Lee told him that if he did not make certain
    payments his developments would be held up, and Lee and Hill did in fact vote
    against Fisher and delay various votes related to his projects. Reagan, Lee, and
    Hill communicated about the status of Fisher’s payments to Reagan and the
    need to “hold the line” until Fisher complied with Reagan’s demands. On
    February 22, 2005, and on March 7, 2005, the FBI photographed Reagan passing
    cash to Hill and Lee after he received payments from Fisher through BSEAT.
    15
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    No. 10-10211
    This evidence, considered along with the rest of the trial record, amply
    supports the jury’s verdict that Hill, Lee, and Reagan conspired to obtain money
    from, and did in fact succeed in obtaining money from, Fisher as a result of his
    fear of economic loss if he did not comply with their demands, or under color of
    official right.3
    Lee and Reagan also argue for the first time on appeal that the
    Government did not introduce sufficient evidence of the transactions’ impact on
    interstate commerce to meet the Hobbs Act’s jurisdictional nexus. However,
    they stipulated to this element at trial and agreed to a jury instruction stating
    that they had stipulated to it. The presence of such a stipulation defeats any
    evidentiary insufficiency argument with respect to the interstate nexus element.
    United States v. Branch, 
    46 F.3d 440
    , 442 (5th Cir. 1995) (“Once a stipulation is
    entered, even in a criminal case, the government is relieved of its burden to
    prove the fact which has been stipulated by the parties. . . . Appellant . . . cannot
    now claim that the government failed to offer evidence on an element to which
    he confessed.”).
    b. Farrington
    Farrington also challenges the sufficiency of the evidence supporting her
    conviction under Count 16 for having aided and abetted the extortion of Fisher.
    She argues principally that there was no evidence introduced showing that she
    even knew of any extortion scheme, much less formed the requisite intent to aid
    and abet it, that she did not in fact aid and abet any extortion scheme, and that
    any extortion scheme was completed prior to any of her related acts, rendering
    her aiding and abetting any extortion scheme a legal impossibility. These
    arguments are unavailing in light of the evidence presented at trial.
    3
    We have already upheld the extortion conspiracy conviction of one of the appellants’
    co-conspirators, Jabreel Rashad, who was tried separately, on these two grounds on the basis
    of a similar evidentiary record. Rashad, 687 F.3d at 642-43.
    16
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    No. 10-10211
    Documents related to the extortionate conduct directed at Fisher were
    found in Farrington’s apartment. Specifically, authorities found a BSEAT
    invoice that Reagan had sent to Fisher, along with copies of the contracts
    Reagan had attempted to get Fisher to sign, a letter from Reagan to Fisher
    relating to these contracts, and a copy of a check Fisher had given to Reagan.
    Additionally, on February 22, 2005—less than two hours after Reagan, who had
    just received $22,500 from Fisher through BSEAT, passed Hill $10,000 in cash—
    Farrington deposited $5,000 that she received from Hill into the Farrington &
    Associates account. Farrington then gave $2,500 to Lee.
    Based on the documents and her close relationship with Hill and Lee, a
    reasonable jury could have concluded that she was aware of the extortion
    scheme. A reasonable jury could also have concluded that she knowingly served
    as a conduit for the transfer of money between Reagan, Hill, and Lee. Because
    the extortion scheme involved payments to Hill and Lee to forestall their taking
    negative actions against Fisher, a reasonable jury could have concluded that the
    extortion was not completed prior to the final payment to Lee and found that
    Farrington had aided and abetted an act of extortion. As a result, we hold that
    there was sufficient evidence to support Farrington’s conviction on this count.
    5. New trial
    Farrington moved the district court for a new trial based on the weight of
    the evidence, pursuant to Federal Rule of Criminal Procedure 33. The district
    court denied her motion, and she now argues that the district court’s decision
    was an abuse of discretion. Because we hold that the evidence amply supported
    Farrington’s convictions and that the evidence did not “preponderate heavily
    against the verdict,” Robertson, 
    110 F.3d at 1118
    , we decline to find an abuse of
    discretion in the district court’s denial of her motion for a new trial.4
    4
    Hill argues that he too should be granted a new trial, but concedes that he did not file
    a motion requesting one. Because a “district court is ‘powerless to order a new trial except on
    17
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    No. 10-10211
    B. Speedy trial
    The Sixth Amendment provides that, “[i]n all criminal prosecutions, the
    accused shall enjoy the right to a speedy . . . trial.” U.S. CONST. amend. VI. “The
    Speedy Trial Act of 1974 provides that, in ‘any case in which a plea of not guilty
    is entered, the trial . . . shall commence within seventy days’ from the later of (1)
    the ‘filing date’ of the information or indictment or (2) the defendant’s initial
    appearance before a judicial officer.” United States v. Tinklenberg, 
    131 S. Ct. 2007
    , 2010 (2011) (citation omitted) (quoting 
    18 U.S.C. § 3161
    (c)(1)). Reagan’s
    initial appearance was on October 1, 2007, and his trial did not commence until
    June 22, 2009, a gap of 628 days. Reagan contends that this delay in bringing
    him to trial deprived him of his constitutional and statutory rights.
    Reagan did not move for dismissal of his indictment before the district
    court on the basis of a Speedy Trial Act violation, and he has therefore waived
    his statutory claim. See 
    18 U.S.C. § 3162
    (a)(2); see also United States v.
    Westbrook, 
    119 F.3d 1176
    , 1186 (5th Cir. 1997) (holding a Speedy Trial Act claim
    waived when a defendant failed to join his co-defendant’s motion to dismiss the
    indictment). Although the Supreme Court has held that a defendant does not
    waive his constitutional right to a speedy trial by failing to raise it before the
    district court, we consider constitutional speedy-trial arguments raised for the
    first time on appeal for plain error only. See United States v. Serna-Villareal,
    
    352 F.3d 225
    , 231 (5th Cir. 2003).
    In assessing a defendant’s claim that he was deprived of his constitutional
    right to a speedy trial, this court considers four factors: “Length of delay, the
    reason for the delay, the defendant’s assertion of his right, and prejudice to the
    defendant.” Barker v. Wingo, 
    407 U.S. 514
    , 530 (1972). “Once a speedy trial
    the motion of the defendant,’” United States v. Nguyen, 
    507 F.3d 836
    , 838 (5th Cir. 2007)
    (quoting United States v. Brown, 
    587 F.2d 187
    , 189 (5th Cir. 1979)), as a matter of law he
    cannot be entitled to relief on this ground.
    18
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    No. 10-10211
    analysis is triggered, the court ‘determines whether the first three Barker factors
    weigh so heavily in favor of the defendant that prejudice is presumed.’” United
    States v. Bishop, 
    629 F.3d 462
    , 465 (5th Cir. 2010) (quoting United States v. Frye,
    
    489 F.3d 201
    , 209 (5th Cir. 2007)). In the absence of such a presumption, the
    defendant must affirmatively demonstrate prejudice. See United States v.
    Molina-Solorio, 
    577 F.3d 300
    , 307 (5th Cir. 2009).
    With respect to the length of the delay, in United States v. Parker, 
    505 F.3d 323
     (5th Cir. 2007), we held that delays of less than five years cannot alone
    support a presumption of prejudice. 
    Id. at 328-29
    . The second and third Barker
    factors both militate against a presumption of prejudice: the delay was partially
    attributable to Reagan’s requests for two continuances owing to the complexities
    of the case, which the district court granted, see Cowart v. Hargett, 
    16 F.3d 642
    ,
    647 (5th Cir. 1994) (“Where the state advances valid reasons for the delay, or the
    delay is attributable to acts of the defendant, this factor is weighed in favor of
    the state.”), and Reagan never asserted his right to a speedy trial. Because none
    of these factors supports a presumption of prejudice, and because the delay was
    not long enough to require a presumption of prejudice by itself, we do not
    presume prejudice. Reagan bore the burden of showing that he was prejudiced
    by the delay in bringing him to trial. Molina-Solorio, 
    577 F.3d at 307
    . As
    Reagan has not argued that he was actually prejudiced by the delay, his
    constitutional speedy trial claim fails.
    C. Conflict of interest/prosecutorial misconduct
    We review a district court’s decision not to hold an evidentiary hearing
    into an alleged conflict of interest for abuse of discretion. United States v. Garza,
    
    429 F.3d 165
    , 171 (5th Cir. 2005). A district court’s decision as to whether such
    a conflict actually exists is a legal question that we review de novo. 
    Id.
     Where
    a district court does find a conflict of interest between a defendant and his
    counsel, it “must conduct what is commonly known as a ‘Garcia hearing’ to
    19
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    ensure a valid waiver by the defendant of his Sixth Amendment right.” United
    States v. Garcia-Jasso, 
    472 F.3d 239
    , 243 (5th Cir. 2006) (citing United States v.
    Garcia, 
    517 F.2d 272
    , 278 (5th Cir. 1975)).
    During trial, Reagan made three allegations of conflicts to the district
    court in pro se letters, and he asserts the district court should have held
    hearings to investigate them. First, he contends that a conflict of interest
    existed between him and Hill’s counsel, because Hill’s counsel was also
    representing a man named Autry, who had, “with his gang dressed in law
    enforcement uniforms, broke into, and invaded, Reagan’s home,” with the
    complicity of law enforcement. Second, he alleges that he and Fisher had both
    at times used the same attorney prior to that attorney’s death a few months
    before the start of trial. Third, he asserts that the marriage of one of the
    Government’s prosecutors to a partner at the law firm that represented Fisher
    merited further investigation by the district court.
    The district court did not abuse its discretion by failing to hold a Garcia
    hearing into, or to otherwise investigate, any of these claims, as none presented
    an instance of conflicted counsel that would have necessitated such a hearing on
    Sixth Amendment grounds, or required an investigation with respect to any
    other type of conflict of interest. First, even assuming that Hill’s attorney did
    represent Autrey, and assuming that Autrey did in fact break into Reagan’s
    home, there still was no conflict requiring investigation as Hill’s attorney at no
    point represented Reagan. Cf., e.g., United States v. Holley, 
    826 F.2d 331
    , 334
    (5th Cir. 1987) (discussing the potential for conflict arising from the appellant’s
    counsel’s representation of both the appellant and his co-defendant). Second, the
    fact that a now-deceased attorney represented Reagan and Fisher in other
    matters prior to the trial did not implicate Reagan’s right to conflict-free counsel.
    Cf. Perillo v. Johnson, 
    205 F.3d 775
    , 801-06 (5th Cir. 2000) (discussing the
    conflict of interest present when a defendant’s trial counsel also represents a
    20
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    witness against the defendant). Finally, the mere fact that the prosecutor’s
    husband worked at a firm that represented one of the witnesses did not create
    a conflict, as Reagan did not show that the prosecutor or her husband had a
    financial stake in the outcome of Reagan’s trial creating a conflict or requiring
    her disqualification. Cf., e.g., United States v. Tierney, 
    947 F.2d 854
    , 864-65 (8th
    Cir. 1991) (not requiring disqualification of a prosecutor whose husband’s firm
    was representing an insurer with a financial stake in the outcome of the
    defendant’s case because of the attenuated financial stake the husband himself
    had in the outcome).
    We hold that the district court did not abuse its discretion in not
    investigating these claims further.
    D. Courtroom closure
    “Waived errors are entirely unreviewable, unlike forfeited errors, which
    are reviewable for plain error.” United States v. Musquiz, 
    45 F.3d 927
    , 931 (5th
    Cir. 1995). Hill, Farrington, and Reagan argue that the district court violated
    the Sixth Amendment by allegedly sealing the courtroom during voir dire and
    during a post-verdict discussion with a juror.5 They made this argument for the
    first time in a motion for a new trial filed well after their trial had concluded and
    over three months after the motion deadline had passed.6 We hold that the
    defendants waived their right to a public trial with respect to the proceedings in
    question. See United States v. Hitt, 
    473 F.3d 146
    , 155 (5th Cir. 2006) (“Where
    5
    The record is unclear as to whether the courtroom was actually sealed during the
    periods in question.
    6
    The appellants claim that their failure to object contemporaneously to the alleged
    closure of the voir dire proceedings should be excused by the Supreme Court’s decision in
    Presley v. Georgia, 
    558 U.S. 209
     (2010). Presley stands for the proposition that a criminal
    defendant has a Sixth Amendment right to an open courtroom during voir dire. 
    Id. at 213
    .
    However, we had extended the ambit of the Sixth Amendment to cover voir-dire-related
    proceedings well before Presley in United States v. Edwards, 
    303 F.3d 606
    , 615-16 (5th Cir.
    2002), and nothing else in Presley excuses the appellants’ waiver of this issue.
    21
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    a defendant, with knowledge of the closure of the courtroom, fails to object, that
    defendant waives his right to a public trial.”).
    E. Batson challenge
    Batson v. Kentucky holds impermissible the use of peremptory challenges
    to exclude potential jurors on the basis of their race. 
    476 U.S. 79
    , 86-87 (1986).
    At the conclusion of voir dire, Reagan lodged a Batson challenge because the
    Government had used some of its peremptory challenges against black
    veniremen. The district court asked the Government if it had race-neutral
    explanations for each of the challenges in question. As the Government began
    to respond, the district court called a pause in the proceedings, and the parties
    conferred. At the conclusion of this brief conference, the district court stated on
    the record that it understood that the parties had come to an agreement that, in
    return for the Government’s agreement to replace one juror with another who
    had been peremptorily struck, Reagan would waive his Batson challenge. Each
    of the defendants and the Government accepted this arrangement on the record.
    Reagan now argues that the district court’s acceptance of this
    arrangement was reversible error necessitating vacatur and retrial. However,
    when a defendant withdraws a challenge to a jury’s make-up, he waives his
    objection thereto. Musquiz, 
    45 F.3d at 931-32
     (so holding in the context of a
    challenge of a juror for cause). Because Reagan withdrew his Batson challenge,
    it is waived and unreviewable on appeal. 
    Id. at 931
    .
    F. Evidentiary rulings
    1. Standard of review
    “Evidentiary rulings are reviewed for an abuse of discretion, subject to
    harmless-error analysis.” United States v. Crawley, 
    533 F.3d 349
    , 353 (5th Cir.
    2008).   “We review alleged violations of a defendant’s Sixth Amendment
    confrontation right de novo . . . subject to harmless error review.” United States
    v. Skelton, 
    514 F.3d 433
    , 438 (5th Cir. 2008) (citations omitted).
    22
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    2. Fisher cross-examination
    Lee and Reagan contend that the district court violated their rights under
    the Confrontation Clause by prohibiting cross-examination of Fisher about a
    bank fraud case that he had been involved in during the 1990’s, in which he was
    at first convicted but then had his verdict overturned on appeal. See generally
    United States v. Fisher, 
    106 F.3d 622
     (5th Cir. 1997). Fisher was acquitted on
    retrial and later sued the Government for malicious prosecution.
    Lee and Reagan argued to the district court that information about this
    case should have been allowed in evidence because it related to Fisher’s
    understanding of how investigations proceeded.            They argued that this
    knowledge could have indicated that Fisher’s cooperation with the Government
    was a deliberate effort at gaining an advantage over his rival, Potashnik. The
    district court ruled that this connection was far too tenuous to support the
    inclusion of Fisher’s legal history in the trial and excluded it as either irrelevant
    or excludable under Federal Rule of Evidence 403. See United States v. Perez-
    Solis, 
    709 F.3d 453
    , 464 (5th Cir. 2013) (“Rule 403 provides that ‘[a]lthough
    relevant, evidence may be excluded if its probative value is substantially
    outweighed by the danger of unfair prejudice.’” (quoting FED. R. EVID. 403)).
    “[T]rial judges retain wide latitude insofar as the Confrontation Clause is
    concerned to impose reasonable limits on . . . cross-examination based on
    concerns about, among other things, harassment, prejudice, confusion of the
    issues, the witness’ safety, or interrogation that is repetitive or only marginally
    relevant.” Delaware v. Van Arsdall, 
    475 U.S. 673
    , 679 (1986). The district
    court’s decision to restrict inquiry into an investigation over a decade old that
    resulted in no conviction of the witness in question, in light of the highly-
    attenuated conspiracy-theory-like argument as to its relevance was not in error.
    The district court did not abuse its discretion under Rule 403, and the district
    23
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    No. 10-10211
    court’s decision in that respect did not violate the appellants’ Confrontation
    Clause rights
    3. West Cliff Mall
    Reagan also argues that the district court erred in admitting evidence and
    testimony about how he had committed fraud during the sale of a shopping
    center, the West Cliff Mall, which he had been involved in developing. Federal
    Rule of Evidence 404(b)(1) provides that “[e]vidence of a crime, wrong, or other
    act is not admissible to prove a person’s character in order to show that on a
    particular occasion the person acted in accordance with the character.” FED. R.
    EVID. 404(b)(1). Reagan contends that admission of the evidence regarding the
    West Cliff Mall was an abuse of discretion under Rule 404(b).
    The West Cliff Mall was of great importance to Reagan’s defense. He
    repeatedly pointed to BSEAT’s involvement with the West Cliff Mall project as
    showing that BSEAT was a legitimate organization with deep ties to the
    community. In response, the Government introduced documentary evidence in
    the form of a contract relating to the mall and a transcript of a phone recording
    between Reagan, his business partner, and his partner’s wife, both of which
    indicated that Reagan and his associates were planning to defraud the principal
    investor in the mall. Reagan consented to the admission of this documentary
    evidence.
    The Government then proceeded to question Reagan’s partner about the
    West Cliff Mall scheme, and Reagan objected, arguing that the testimony was
    excludable under Rule 404(b)(1). The district court held that Reagan had waived
    his objection by consenting to the admission of the documents, or, alternatively,
    that the evidence was admissible under the exception in Rule 404(b)(2), which
    allows for the use of evidence barred by Rule 404(b)(1) for the limited purposes
    of “proving motive, opportunity, intent, preparation, plan, knowledge, identity,
    absence of mistake, or lack of accident.” The district court then issued an
    24
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    instruction to the jury limiting their consideration of the West Cliff Mall
    evidence to the purposes allowed by Rule 404(b)(2).
    On appeal, Reagan contends that the West Cliff Mall evidence was
    irrelevant with respect to any issue other than Reagan’s character and should
    have been excluded under Rule 404(b). However, even if Reagan is correct, he
    would still have to demonstrate that any error in this regard was not harmless.
    See Crawley, 
    533 F.3d at 353
    . Because a district court’s issuance of a limiting
    instruction “greatly minimize[s]” the risk of undue prejudice posed by an
    erroneous admission under Rule 404(b), 
    id. at 355
    , and because the evidence
    presented at trial supporting the jury’s verdict was substantial, see United States
    v. Hale, 
    685 F.3d 522
    , 539 (5th Cir. 2012), we fail to see how any error in
    admitting the West Cliff Mall evidence was not harmless.
    G. Judicial disqualification
    For the first time on appeal, Reagan challenges the decision by the trial
    judge not to recuse herself sua sponte in light of the fact that she had presided
    over the malicious prosecution suit that Fisher filed after he was acquitted in his
    bank fraud retrial. “Any . . . judge . . . of the United States shall disqualify
    himself in any proceeding . . . [w]here he has . . . personal knowledge of disputed
    evidentiary facts.”    
    28 U.S.C. § 455
    (a). Reagan argues that the judge’s
    involvement in that case casts doubt on her impartiality because of the
    knowledge of Fisher she gained as a result. However, “[a]s a general rule, for
    purposes of recusal, a judge’s ‘[p]ersonal knowledge of evidentiary facts means
    extrajudicial,’ so ‘[f]acts learned by a judge in his or her judicial capacity
    regarding the parties before the court . . . cannot be the basis for
    disqualification.’” Conkling v. Turner, 
    138 F.3d 577
    , 592 (5th Cir. 1998) (second
    and third alterations in original) (quoting Lac Du Flambeau Indians v. Stop
    Treaty Abuse-Wis., 
    991 F.2d 1249
    , 1255-56 (7th Cir. 1993)). Because any
    knowledge the judge may have had about Fisher was garnered in her judicial
    25
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    No. 10-10211
    capacity, disqualification was not required by § 455, and we hold Reagan’s
    challenge to be unavailing.
    H. Severance
    1. Standard of review
    We review for abuse of discretion the denial of a motion for severance.
    United States v. Mitchell, 
    484 F.3d 762
    , 775 (5th Cir. 2007). Where a defendant
    fails to move to sever, we review for plain error only whether the district court
    should have nevertheless severed the case. United States v. Bernard, 
    299 F.3d 467
    , 475 (5th Cir. 2002). Under plain error review, we will reverse only where
    there was (1) an error, (2) that was clear and obvious, (3) that affected the
    defendant’s substantial rights, and (4) that, if not corrected, would seriously
    affect the fairness, integrity, or public reputation of the judicial proceedings.
    United States v. Olano, 
    507 U.S. 725
    , 730-37 (1993).
    2. Analysis
    Reagan alleges that the district court erred in denying his motion to sever
    Count 18—an honest services fraud charge against Lee, Hill, and Farrington—
    from the rest of the trial. While Lee, Hill, and Farrington were all convicted on
    Count 18, the district court granted each of them a judgment of acquittal after
    trial. The Government claims that Reagan never made a motion to sever, and
    Reagan does not indicate where in the record or when he made such a motion.
    As a result, we review his claim for plain error only.
    Reagan cannot show that his substantial rights were affected by the
    district court’s failure to sever this count from the remainder of the trial. The
    district court properly instructed the jury to consider each charge and each
    defendant separately and individually, and the jury did in fact acquit some of the
    defendants on various counts, including Reagan himself on one of the
    substantive extortion counts. We have previously held that the issuance of such
    instructions, which a jury is presumed to follow, militates against spillover
    26
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    prejudice from a failure to sever. See United States v. Owens, 
    683 F.3d 93
    , 99
    (5th Cir. 2012). We have also held that a jury’s decision to acquit a defendant
    on some of the charges against him indicates that the defendant was not
    prejudiced by evidentiary spillover. See United States v. Arledge, 
    553 F.3d 881
    ,
    896 (5th Cir. 2008). Thus, to the extent that the district court erred in not
    severing the honest services fraud charge from the remainder of the trial,
    Reagan cannot show that his substantial rights were affected, and his claim is
    unavailing.
    I. Closing argument misconduct
    1. Standard of review
    “Counsel is accorded wide latitude during closing argument.” United
    States v. Rodriguez, 
    43 F.3d 117
    , 123 (5th Cir. 1995) (quoting United States v.
    Willis, 
    6 F.3d 257
    , 263 (5th Cir. 1993)). Although a “prosecutor is confined in
    closing argument to discussing properly admitted evidence and any reasonable
    inferences or conclusions that can be drawn from that evidence,” United States
    v. Mendoza, 
    522 F.3d 482
    , 491 (5th Cir. 2008), “[r]eversal based on improper
    argument by the prosecutor is not called for when there has not been a strong
    showing of a deleterious effect upon the right to a fair trial.” Rodriguez, 
    43 F.3d at 124
    . “The closing argument must be analyzed in the context of the entire trial
    to determine whether it affected substantial rights of the accused.” 
    Id.
     “When
    analyzing the impropriety of prosecutorial comments, the central issue for this
    court is ‘whether the prosecutor’s remarks cast serious doubt on the correctness
    of the jury’s verdict.’ This step ‘sets a high bar.’” Rashad, 687 F.3d at 643
    (citation omitted) (quoting United States v. Gracia, 
    522 F.3d 597
    , 603 (5th Cir.
    2008)).   When “there are no timely objections to statements made by the
    prosecution, this court reviews them for plain error.” 
    Id. at 643
    .
    2. Analysis
    27
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    During the closing argument, the only objection made was to a comment
    made by the Government during its rebuttal that Hill and Farrington claim was
    improper bolstering of witnesses’ credibility.      The objection followed the
    Government’s statement that Potashnik’s wife Cheryl had been given a choice
    as to whether to plead guilty to Count 10, the bribery conspiracy count, or a
    different charge, a fact that was not in evidence. The appellants contend that
    this improperly bolstered the credibility of Government witnesses because it
    added the personal “imprimatur” of the prosecutor to the plea deals struck,
    including those entered into by Brian and Cheryl Potashnik, who testified
    against the appellants.
    However, immediately after this statement and the appellants’ resultant
    objection, the district court reminded the jury that “you’re bound to the evidence
    that you have heard, and you will recall what it was.” “[T]he district court can
    ‘purge the taint of a prosecutor’s prejudicial comments’ with a cautionary
    instruction, even, in some cases, one that is ‘merely generic.’” United States v.
    Turner, 
    674 F.3d 420
    , 439-440 (5th Cir. 2012) (quoting United States v. McCann,
    
    613 F.3d 486
    , 496-97 (5th Cir. 2010)). In light of this instruction, we decline to
    hold that the prosecutor’s objected-to statement “cast serious doubt on the
    correctness of the jury’s verdict.” Rashad, 687 F.3d at 643 (quoting Gracia, 
    522 F.3d at 603
    ).
    Additionally, for the first time on appeal, Hill and Farrington challenge
    numerous additional aspects of the Government’s argument, including that it:
    (1) asked the jury to send a larger social message through their verdict and to
    strike a blow against government corruption; (2) appealed to wealth and class
    biases; (3) improperly focused on municipal layoffs; (4) improperly focused on
    Hill and Farrington’s sexual relationship; (5) improperly expressed personal
    opinion and beliefs; (6) misled the jury by misstating the distinction between
    factual and legal conclusions; and (7) improperly referenced the defendants’
    28
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    No. 10-10211
    exercise of their right to a jury trial. Because these were not raised before the
    district court, we review these claims for plain error only. Rashad, 687 F.3d at
    643.
    We note at the outset that most of the specific statements that Hill and
    Farrington have identified in these arguments were comprised of restatements
    of “properly admitted evidence and . . . reasonable inferences or conclusions that
    can be drawn from that evidence,” Mendoza, 
    522 F.3d at 491
    .               That the
    defendants disliked the facts that the Government chose to highlight, or the
    inferential gloss that the Government chose to put on those facts, cannot be a
    ground for reversal, in light of attorneys’ “wide latitude” in crafting their closing
    arguments. Rodriguez, 
    43 F.3d at 123
     (quoting Willis, 
    6 F.3d at 263
    ).
    To the extent that the appellants validly challenge aspects of the
    Government’s closing argument, we note that the district court issued several
    cautionary instructions to the jury that it was not to consider counsel’s
    arguments as evidence.       Furthermore, the Government’s case against the
    appellants was strong. See supra Part A. We have previously held that the
    curative effect of cautionary instructions and the strength of the Government’s
    case are important facts in assessing the impact of a claim of prosecutorial
    misconduct. See United States v. Fields, 
    483 F.3d 313
    , 360 (5th Cir. 2007). We
    fail to see the “deleterious effect upon the right to a fair trial,” Rodriguez, 
    43 F.3d at 124
    , in this instance required to warrant reversal, and we decline to find
    plain error in the Government’s closing argument as a result.
    J. Sentencing
    1. Standard of review
    We review a district court’s sentencing decisions under a deferential
    abuse-of-discretion standard, first ensuring that the district court committed no
    significant procedural error before assessing the substantive reasonableness of
    the sentence imposed. See Gall v. United States, 
    552 U.S. 38
    , 51 (2007). We
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    No. 10-10211
    review a district court’s interpretation and application of the sentencing
    guidelines de novo and its findings of fact for clear error. United States v.
    Cisneros-Gutierrez, 
    517 F.3d 751
    , 764 (5th Cir. 2008) (citation omitted).
    2. Loss calculation
    Lee and Reagan both challenge the 18-point offense level increases
    imposed by the district court based on its finding that their offenses implicated
    a loss of more than $2.5 million. See U.S.S.G. §§ 2C1.1(b)(2); 2B1.1(b)(1)(J). The
    district court found this loss threshold met on the basis of Reagan’s demand for
    $2.8 million from Fisher through the two proffered BSEAT contracts that Fisher
    rejected, which would have given BSEAT a 50% share in Fisher’s developer’s
    fees.
    Lee and Reagan argue that the district court’s finding was erroneous
    because the benefit BSEAT would have actually derived from the contracts is not
    ascertainable. As a result, they contend that the district court should have
    replaced its loss calculation with a determination of actual gain.             See
    § 2C1.1(b)(2).    Because Fisher never agreed to Reagan’s more aggressive
    demands, this amount would have been far less than $2.5 million.
    We reject the appellants’ argument on this ground and hold that the
    district court’s finding was not in error. The facts presented at sentencing
    showed that Reagan had demanded contracts valued at $2.8 million from Fisher
    and that the prospective value of those contracts was known to the conspirators.
    Section 2C1.1 allows loss calculation on the basis of “the value of anything
    obtained or to be obtained by a public official or others acting with a public
    official.”   It was not error for the district court to find that the value of
    “anything” that would have been obtained by the public officials and those acting
    with them as a result of the extortion conspiracy was in fact ascertainable and
    would have been the $2.8 million-value of the contracts that the appellants
    attempted to extort from Fisher.
    30
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    No. 10-10211
    3. Supervisory role
    Lee challenges the district court’s imposition of a further three-point
    increase in his offense level on the basis of his having been a manager or
    supervisor of criminal activity involving five or more participants. See U.S.S.G.
    § 3B1.1(b). Application note 4 to section 3B1.1(b) lists a number of factors that
    tend to support a finding of manager status, including the defendant’s
    participation in planning, recruitment of accomplices, and exercise of control and
    authority over others. The facts presented at sentencing showed that Lee had
    planned and coordinated the structure of the conspiracy’s takings from
    Potashnik, had recruited Spencer into the conspiracy, and had exercised control
    and authority over others on a number of occasions, including ordering the
    disbursement of funds from Farrington’s account. We hold that the district
    court’s finding that Lee was a manager or supervisor within the meaning of the
    Guidelines was not in error.
    4. Multiple acts
    Finally, Reagan challenges the district court’s imposition of a two-point
    increase in his offense level pursuant to U.S.S.G. § 2C1.1(b)(1) for his conviction
    having involved more than one instance of extortion. Reagan contends that he
    engaged in only a single overarching act of extortion. In light of the fact that
    Reagan pushed Fisher into signing two separate contracts with him, attempted
    to get Fisher to sign the two $1.4 million contracts that Fisher rejected,
    attempted to get Fisher to hire his wife and parents, was involved in billing
    Fisher for RA-MILL’s illusory work on the Pecan Grove development, and
    attempted to have Potashnik sign a contract with him as well, we hold that the
    district court had ample factual bases for determining that Reagan committed
    multiple instances of extortion.
    CONCLUSION
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    For the foregoing reasons, we AFFIRM the judgment of the district court
    in all respects.
    32
    

Document Info

Docket Number: 10-10211

Citation Numbers: 725 F.3d 471, 2013 WL 3967991

Judges: Jones, Clement, Kazen

Filed Date: 8/2/2013

Precedential Status: Precedential

Modified Date: 11/5/2024

Authorities (48)

United States v. Montes , 602 F. Supp. 3d 381 ( 2010 )

United States v. Landen Max Dula and Accrabond Corporation , 989 F.2d 772 ( 1993 )

United States v. Garza , 429 F.3d 165 ( 2005 )

United States v. Skelton , 514 F.3d 433 ( 2008 )

lac-du-flambeau-band-of-lake-superior-chippewa-indians-michael-allen , 991 F.2d 1249 ( 1993 )

Gall v. United States , 128 S. Ct. 586 ( 2007 )

United States v. Cisneros-Gutierrez , 517 F.3d 751 ( 2008 )

United States v. Musquiz , 45 F.3d 927 ( 1995 )

United States v. Nguyen , 504 F.3d 561 ( 2007 )

Llewyn J. Cowart v. Edward Hargett, Superintendent, ... , 16 F.3d 642 ( 1994 )

United States v. Gregory A. Robertson , 110 F.3d 1113 ( 1997 )

United States v. Mendoza , 522 F.3d 482 ( 2008 )

United States v. Parker , 505 F.3d 323 ( 2007 )

United States v. Nelson Bell , 678 F.2d 547 ( 1982 )

United States v. McCann , 613 F.3d 486 ( 2010 )

United States v. Wayne L. Branch , 46 F.3d 440 ( 1995 )

United States v. J. Marshall Brown , 51 A.L.R. Fed. 475 ( 1979 )

United States v. James R. Fisher and John H. Carney , 106 F.3d 622 ( 1997 )

United States v. Nguyen , 507 F.3d 836 ( 2007 )

Presley v. Georgia , 130 S. Ct. 721 ( 2010 )

View All Authorities »