United States v. Rosario-Peralta , 199 F.3d 552 ( 1999 )


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  •              United States Court of Appeals
    For the First Circuit
    No. 97-2084
    UNITED STATES,
    Appellee,
    v.
    CRUZ ROSARIO-PERALTA,
    A/K/A CRESCENCIO CEDEO-PERALTA,
    Defendant, Appellant.
    No. 97-2085
    UNITED STATES,
    Appellee,
    v.
    JOHNNY DAVID DIAZ-MORLA,
    Defendant, Appellant.
    No. 97-2086
    UNITED STATES,
    Appellee,
    v.
    RAMON ANTONIO JAVIER,
    Defendant, Appellant.
    APPEALS FROM THE UNITED STATES DISTRICT COURT
    FOR THE DISTRICT OF PUERTO RICO
    [Hon. Juan M. Prez-Gimnez, U.S. District Judge]
    Before
    Torruella, Chief Judge,
    Coffin, Senior Circuit Judge,
    and Selya, Circuit Judge.
    Jorge A. Toro-McGowan for appellant Cruz Rosario-Peralta.
    Benjamn Angueira-Aguirre for appellant Johnny Daz-Morla.
    Zygmunt G. Slominski, by appointment of the Court, for
    appellant Ramn Antonio Javier.
    Michelle Morales, Assistant United States Attorney, with whom
    Guillermo Gil, United States Attorney, and Nelson Prez-Sosa,
    Assistant United States Attorney, were on brief, for appellee.
    April 20, 1999
    TORRUELLA, Chief Judge.  Defendants Cruz Rosario-Peralta,
    Johnny David Daz-Morla, and Ramn Antonio Javier were apprehended
    after aircraft and vessels from the United States Coast Guard,
    Customs Service, Army National Guard, and Puerto Rico Police
    Department pursued a suspect vessel for hours off the coast of
    Puerto Rico.  Defendants have asserted throughout that the
    government units lost track of the original vessel and intercepted
    their boat by mistake.  Defendants were arrested, charged,
    convicted, and sentenced for possession of the estimated $1 billion
    worth of cocaine dumped into the ocean during the chase.
    Defendants raise numerous claims on appeal, including a
    claim that the government violated their statutory and
    constitutional rights to discovery by refusing to disclose logs
    from two central communications agencies that monitored the
    pursuit.  Defendants allege that those logs are likely to contain
    evidence of times and locations of the suspect vessel that make it
    impossible for defendants' vessel to have been the vessel spotted
    dumping the bales of cocaine.  Because this argument is facially
    appealing, and because we cannot test its merits on a deeper level
    without delving into matters outside the record, we remand this
    case to the district court to review the disputed logs and
    determine whether they should have been disclosed and whether their
    nondisclosure prejudiced the defendants.  Although we remand for
    these limited purposes, we retain jurisdiction over this appeal so
    that we may consider defendants' other arguments (save for their
    "sufficiency of the evidence" challenge, which we dispose of today)
    if the district court's findings make it necessary to continue.
    BACKGROUND
    At approximately 1:11 a.m. on October 17, 1996, a United
    States Customs Service aircraft referred to as OMAHA 13 detected a
    vessel approximately twenty-two nautical miles off the coast of St.
    Thomas, U.S.V.I., traveling westbound to Puerto Rico without any
    lights.  OMAHA 13, piloted by Pedro Rodrguez, tracked the vessel
    for nearly two hours to a position approximately twenty nautical
    miles off the coast of Puerto Rico, near the Fajardo lighthouse.
    Air Interdiction Officer James Sasser was also aboard OMAHA 13,
    operating the radar and forward looking infrared ("FLIR")
    surveillance and tracking system.  Sasser testified at trial that
    OMAHA 13 established a FLIR orbit of the suspect vessel at 2:13
    a.m., meaning that it was orbiting the vessel at a radius of
    approximately one and a half to two miles in order to keep it under
    surveillance with the FLIR system.  Sasser testified that OMAHA 13
    continued FLIR orbits until the end of its role in the operation.
    OMAHA 13 was running low on fuel, so, at approximately
    2:30 a.m., it contacted a United States Army National Guard
    helicopter ("HAWK 514") that was in the area and requested
    assistance.  HAWK 514, piloted by Captain Jos Roig, commander for
    the Recognizance and Interdiction Detachment ("RAID"), arrived on
    the scene ten to twelve minutes later.  When HAWK 514 arrived on
    the scene, Captain Roig established visual contact with both OMAHA
    13 and the suspect vessel, using night vision goggles and HAWK
    514's own FLIR system.  Captain Roig communicated to OMAHA 13 a
    description of the suspect vessel:  an approximately 25-foot long
    vessel with two outboard engines and three persons and several
    bales on board.  At approximately 2:50 a.m., OMAHA 13 directed HAWK
    514 to illuminate the vessel with its "night sun," a 500-million
    candle flood light.  When HAWK 514 did so, the suspect vessel
    accelerated and began unloading bales into the ocean.  Captain Roig
    testified that HAWK 514 remained over the suspect vessel and
    continued to light the vessel until it was intercepted.
    OMAHA 13 also contacted the United States Coast Guard for
    assistance in intercepting the vessel, and the Coast Guard cutter
    MONHEGAN was directed to proceed to the area at approximately 3:00
    a.m.  The crew of MONHEGAN quickly determined that, due to the wind
    and sea conditions, it would not be able to get on the scene in
    time to be of assistance.  Nevertheless, a Customs vessel operated
    by Special Agent Pedro Vicns and responding to OMAHA 13's request
    for assistance arrived on the scene.  At approximately 3:03 a.m.,
    OMAHA 13 left the area to refuel and was replaced by another
    Customs aircraft, OMAHA 85.  The Customs vessel then approached the
    suspect vessel from astern, and the Customs crew identified
    themselves as police officers.  The suspect vessel momentarily
    stopped, but then accelerated again.  The Customs vessel pursued
    and rammed the suspect vessel from astern in an attempt to disable
    the engines.  Upon impact, defendants Rosario-Peralta and Javier
    jumped from the suspect vessel into the water.  The Customs vessel
    stopped to retrieve the two individuals, while the suspect vessel
    sped away.  The Customs crew threw lines to Rosario-Peralta and
    Javier, but they swam away from the vessel.  After fifteen to
    twenty-five minutes of pursuit and discussion, the defendants
    boarded the Customs vessel and were placed under arrest.
    While the Customs crew did this, a Puerto Rico Police
    Department FURA vessel that had arrived on the scene pursued the
    suspect vessel.  The FURA vessel identified itself as the police of
    Puerto Rico and ordered the vessel to stop.  While the vessel
    initially refused, it finally stopped when Agent Pedro Crespo
    threatened to neutralize its engines.  Agent Crespo then boarded
    the vessel and placed its operator, defendant Daz-Morla, under
    arrest.  Agent Crespo navigated the vessel to shore, and Special
    Agent Vicns, who already had custody of Rosario-Peralta and
    Javier, took custody of Daz-Morla.
    All three defendants were taken to the Roosevelt Roads
    base for questioning, where they signed waivers of their
    constitutional rights and made several statements.  Rosario-Peralta
    allegedly stated that they were fishing north of St. Thomas, but
    did not know who the owner of the vessel was or how they obtained
    the keys to the boat.  Javier allegedly stated that they departed
    from the Maternillo area in Fajardo, Puerto Rico to go fishing, but
    that he did not know who the owner of the vessel was or how they
    obtained the keys to the boat.  Daz-Morla allegedly stated that
    they departed the Maternillo area to go fishing around Culebra,
    that he did not know how they obtained the keys or the vessel, and
    that the light on the vessel burned out during the trip.  A boat
    certificate, a tax payment receipt, and a driver's license
    belonging to the registered owner of the vessel were found in Daz-
    Morla's possession.
    At approximately 4:00 a.m., the crew of the Coast Guard
    cutter MONHEGAN recovered 19 bales floating near the area where the
    helicopter had witnessed the drop-off.  A Puerto Rico Police
    maritime unit recovered 12 more bales from the same area.  Coast
    Guard Petty Officer Christopher St. Martin field tested the
    substance found inside one of the bales, and the substance tested
    positive for cocaine. The 31 bales contained a total of 1,040
    kilograms of a substance later found by a forensic chemist to be
    cocaine.  Later that morning, Agent Rafael Ocasio-Cruz of the
    Canine Unit of the Puerto Rico Police Department placed Gator, a
    canine specialized in detecting controlled substances, on the
    vessel recovered from defendants.  Gator directed Agent Ocasio-Cruz
    to the front of the vessel and gave a positive sign for narcotics.
    Defendants were charged with possession with intent to
    distribute cocaine while on the high seas, in violation of 46
    U.S.C.  1903(a)(b)(l) and (f), and aiding and abetting, in
    violation of 18 U.S.C.  2.  Defendants were indicted on these
    charges on October 23, 1996, and entered pleas of not guilty.
    Following an eleven-day jury trial, guilty verdicts were returned
    against all three defendants.  On September 7, 1997, the district
    court imposed the maximum sentences allowed by the recommended
    guidelines: (1) 327 months of imprisonment for defendant Rosario-
    Peralta; and (2) 293 months of imprisonment for defendants Javier
    and Daz-Morla.  On September 15, 1997, defendants filed timely
    notices of appeal, challenging their convictions and sentences.
    DISCUSSION
    Defendants raise numerous arguments on appeal.  They
    claim: (1) that the district court's refusal to compel discovery of
    certain materials denied defendants their statutory and
    constitutional rights to discovery, due process, confrontation of
    witnesses, and cross-examination; (2) that the district court
    engaged in advocacy by interfering with the defense expert's
    testimony; (3) that the district court erred in allowing
    prejudicial testimony of a positive canine alert for narcotics;
    (4) that the district court erred in refusing to allow defense
    counsel to voir dire the canine handler outside the presence of the
    jury; (5) that the district court erred in allowing defendants'
    statements to be used against them at trial; (6) that the
    government failed to prove beyond a reasonable doubt that
    defendants possessed the bales of cocaine in question; (7) that the
    district court erred in allowing prejudicial testimony that the
    street value of the cocaine seized was one billion dollars;
    (8) that the district court communicated to the jury that it had
    already convicted defendants by issuing a gag order stating that
    defendants were "caught" near Fajardo; (9) that the district court
    erred in refusing to give an instruction on defendants' theory of
    the case; and (10) that the sentences of incarceration imposed by
    the court were excessive and contrary to the intent of the
    sentencing guidelines.  Because we find that the district court
    could not have properly denied the discovery -- on relevancy
    grounds -- of one of the sets of materials requested by defendants
    without reviewing those materials, we do not reach defendants'
    other contentions at this time, save one.  Rather, we retain
    jurisdiction over the appeal, but remand this case to the district
    court with instructions to review the requested materials,
    determine whether they should have been disclosed, and, if so,
    determine whether defendants were prejudiced by the nondisclosure.
    Notwithstanding our focus on the discovery issue and our
    postponement of decisions on defendants' other claims, we do
    consider defendants' claim that the evidence was insufficient to
    demonstrate their guilt beyond a reasonable doubt.  A resolution of
    this claim in defendants' favor would obviate the need for any
    further proceedings and would moot the discovery issue.  Defendants
    argue that the government failed to prove beyond a reasonable doubt
    that their vessel was the vessel spotted throwing bales of cocaine
    into the water.  Viewing the evidence, as we must, in the light
    most favorable to the verdict, see United States v. Noah, 
    130 F.3d 490
    , 493 (1st Cir. 1997), we cannot accept the defendants'
    argument.  The evidence in this case was clearly sufficient to
    support the defendants' convictions.  The officers involved in the
    pursuit testified that they saw the bales being thrown from the
    suspect vessel and that they followed the suspect vessel until it
    was intercepted.  Defendants' attacks on this testimony are mainly
    credibility arguments that are ill-suited to the standard of review
    in this type of claim.  The jury heard testimony linking
    defendants' vessel to the bales of cocaine, and defendants have not
    adequately demonstrated that this testimony was false or
    inaccurate.  Thus, the record amply supports a finding that
    defendants possessed the cocaine in question beyond a reasonable
    doubt.
    The claim we focus on is defendants' allegation that the
    district court abused its discretion in failing to compel the
    government to produce the communication records and logs of two
    land-based central communications agencies, codenamed "Salty Dog"
    and "Razorback."  Defendants argue that those central
    communications agencies maintained constant surveillance of the
    operation and were involved in the direction, tracking, and
    coordination of the government assets assigned to the operation.
    Several times prior to and during trial, defendants requested the
    records and logs of those agencies in order to attempt to cast
    doubt upon the testimony of the government witnesses regarding the
    locations of the units and vessels involved.  Defendants argue that
    the district court erred in failing to require these records and
    logs to be produced.     A.  The Government's Discovery Obligations
    Defendants cite three sources for the government's
    obligation to disclose the records and logs: (1) Fed. R. Crim. P.
    16(a)(1)(C); (2) Brady v. Maryland, 
    373 U.S. 83
     (1963); and (3) the
    Jencks Act, 18 U.S.C.  3500.  Rule 16(a)(1)(C) of the Federal
    Rules of Criminal Procedure provides, in relevant part:
    Upon the request of the defendant the
    government shall permit the defendant to
    inspect and copy or photograph books, papers,
    documents, photographs, tangible objects,
    buildings or places, or copies or portions
    thereof, which are within the possession,
    custody or control of the government, and
    which are material to the preparation of the
    defendant's defense or are intended for use by
    the government as evidence in chief at the
    trial, or were obtained from or belong to the
    defendant.
    Fed. R. Crim. P. 16(a)(1)(C) (emphasis supplied).  Because the
    records and logs in question were not used or intended for use by
    the government, they were only required to be disclosed under Rule
    16(a)(1)(C) if they were "material to the preparation of the
    defendant[s'] defense."  Additionally, in order to succeed on a
    claimed violation of Rule 16, a defendant must demonstrate that he
    has been prejudiced.  See United States v. Spinosa, 
    982 F.2d 620
    ,
    631 (1st Cir. 1992); United States v. Hemmer, 
    729 F.2d 10
    , 13 (1st
    Cir.), cert. denied, 
    467 U.S. 1218
     (1984).
    Under Brady, exculpatory evidence is discoverable by the
    defendant where it "is material to guilt or punishment."  Brady,
    
    373 U.S. at 87
    .  In order to succeed on a Brady claim, "a defendant
    must show that the withheld 'evidence was exculpatory, as measured
    by its materiality.'"  United States v. Watson, 
    76 F.3d 4
    , 7 (1st
    Cir.) (quoting Hemmer, 729 F.2d at 14), cert. denied, 
    517 U.S. 1239
    (1996).  Information is "material" "if there is a reasonable
    probability that, had the evidence been disclosed to the defense,
    the result of the proceeding would have been different."  SeeUnited States v. Blais, 
    98 F.3d 647
    , 651 (1st Cir. 1996) (quoting
    United States v. Bagley, 
    473 U.S. 667
     (1985)), cert. denied, 
    519 U.S. 1134
     (1997).  A "reasonable probability" is a probability
    sufficient to undermine confidence in the outcome.  See Bagley, 
    473 U.S. at 682
    .
    The Jencks Act requires the government to provide, upon
    request, any prior statements of government witnesses that relate
    to the subject matter of the witnesses' testimony.  See 18 U.S.C.
    3500(b).  A Jencks Act "statement" is: (1) a written statement
    made, adopted, or approved by the witness; (2) a recording (or
    transcription thereof) that is a substantially verbatim recital of
    an oral statement made by the witness and recorded
    contemporaneously with the making of the oral statement; or (3) a
    statement (or transcription thereof) made by the witness to a grand
    jury.  See 18 U.S.C.  3500(e).  The government is required to
    produce those statements whether they are exculpatory or not.  SeeUnited States v. Stern, 
    13 F.3d 489
    , 494 (1st Cir. 1994).  In order
    to succeed on a claimed violation of the Jencks Act, defendants
    must demonstrate that they have been prejudiced by the failure to
    disclose.  See United States v. Izzi, 
    613 F.2d 1205
    , 1213 (1st
    Cir.) (citing United States v. McGovern, 
    499 F.2d 1140
    , 1143 (1st
    Cir. 1974)), cert. denied, 
    446 U.S. 940
     (1980).
    B.  Nondisclosure of the Central Communications Agency
    Records and Logs
    A review of the procedural history of this claim
    demonstrates that it is unclear exactly what grounds the district
    court relied on in denying this discovery request, although it
    appears to have found that the records and logs were irrelevant.
    On February 7, 1997, defendants filed a motion to compel the
    disclosure of, inter alia, the identities of all of the central
    communications agencies used in the operation and their internal
    logs, records, and communication tapes.  At the February 10, 1997
    Status Conference, the district court delayed ruling on defendants'
    request for these materials because the court wanted to "see what
    the government provides to [defendants]" before ruling on the
    motion to compel.  The court then scheduled a status conference for
    two weeks later.
    On February 20, 1997, the government filed a response to
    defendants' motion to compel, claiming that the records and tapes
    of the central communications agencies were not subject to
    disclosure on the grounds of confidentiality.  The government
    argued that its burden to demonstrate the need for confidentiality
    had not yet been triggered because defendants had not yet
    demonstrated the need for the records and tapes.
    At the February 24, 1997 Status Conference, defendants
    argued that the units pursuing the vessel lost sight of it and
    consciously avoided communicating that information on the channels
    that were being recorded.  Defendants argued that the central
    communication records and tapes contained evidence that the
    pursuers lost sight of the vessel.  Without addressing the asserted
    need for confidentiality, the district court found that defendants
    had not demonstrated that the records and tapes were necessary and
    denied the motion.
    On May 1, 1997, defendants raised the issue again in
    their Joint Motion to Compel Additional Discovery and/or For
    Reconsideration of Motion to Compel Discovery.  Defendants argued
    that they needed all government communications surrounding the
    tracking and interception of the vessel in question.  Defendants
    attacked the government's confidentiality rationale for withholding
    the records, claiming that the government's surveillance techniques
    and the location of the central communications agencies had already
    been compromised by the disclosure of the FLIR videotapes,
    recordings, and other documents.  Defendants argued that they could
    not assess the materiality of the records and tapes without an
    opportunity to review them and suggested that any remaining
    confidentiality concerns could be preserved by disclosing the
    records and tapes to the defendants under seal.
    On May 8, 1997, the government filed a response to
    defendants' motion.  In that response, the government argued that
    no such recordings of the surveillance operation existed and that
    the central communications logs contained classified information
    and were irrelevant.  The government also noted that defendants had
    already been provided with the surveillance videotapes, which
    recorded communications between the government assets involved in
    the tracking and apprehension of the vessel, as well as the reports
    of all of those government assets.  The docket does not reflect a
    resolution of defendants' May 1, 1997 joint motion by the district
    court, even though defendants moved for a final status conference
    or pre-trial conference to address the issues.
    On May 14, 1997, the third day of trial, defendants again
    moved to compel the records and logs of "Salty Dog" and
    "Razorback."  Defendants claimed that Pedro Rodrguez, the pilot of
    OMAHA 13, testified that he was required to make position reports
    to "Salty Dog" every thirty minutes and that he maintained
    communications with his home base, "Razorback."  Defendants again
    claimed that they were entitled to inspect and review the records
    of "Salty Dog" and "Razorback" in order to determine whether they
    contained any relevant information.  The district court immediately
    denied this motion "for the same reasons that [it] denied it
    before."  The issue did not arise again until defendants appealed.
    C.  Abuse of Discretion
    We review the district court's determinations under
    Brady, the Jencks Act, and Rule 16 for abuse of discretion. SeeUnited States v. Brimage, 
    115 F.3d 73
    , 78 (1st Cir.), cert. denied,
    
    118 S. Ct. 321
     (1997); Spinosa, 
    982 F.2d at 630-31
    .  Based on the
    information currently in the record, we find that the district
    court abused its discretion in finding that the records and logs
    were irrelevant without first reviewing them.
    Defendants' theory throughout has been that their boat
    could not have traveled the distance between the point where the
    bales were dumped and the point of defendants' interception in the
    time illustrated by the FLIR videotapes.  Defendants argue that the
    locations of the vessels and aircraft at various points in time,
    coupled with the maximum speed of their boat under the reported
    conditions, make it impossible for their boat to have been the
    vessel that was spotted dumping the bales of cocaine.  Thus, the
    exact position of the suspect vessel at various junctures was
    critical to defendants' theory and was a disputed issue at trial.
    Defendants argue that the logs contain the time and position of
    every unit in the area during the pursuit of the suspect vessel,
    including that of HAWK 514, the National Guard helicopter that was
    allegedly over the top of the suspect vessel the entire time.  If
    the logs in fact contain such information, we do not see how they
    could fail to be relevant.
    The government agrees that the logs contain reports of
    the positions of the aircraft, but argues that defendants already
    had this information.  In doing so, the government does not argue
    that the information in the logs is irrelevant, only that the
    defendants already possessed this information in other forms.  The
    government cites no authority for the proposition that it may deny
    discovery of relevant evidence on the ground that defendants
    already have enough evidence on that issue.  Even if the
    government were able to unilaterally deny discovery on this ground,
    neither we nor the district court would know for certain that
    defendants already possessed every relevant item of information
    contained in the logs.  We can only pass upon such an issue after
    viewing those records.  Defendants claim that the FLIR tape
    includes instances where the government agents were specifically
    instructed to go "off the record" so that the communications would
    not be recorded on the FLIR tape.  Those "off the record"
    communications may well be included in the logs of the central
    communications agencies.  Additionally, there is the possibility
    that the locations contemporaneously recorded in the logs will
    differ from the testimony of the pilots of the vessels or the
    reports filed after the incident.  Defendants already contend that
    the positions recorded in the FLIR tapes and marked in the reports
    do not match up with the testimony of Captain Roig or Special Agent
    Vicns, and the logs could well provide evidence of other such
    discrepancies.  In light of defendants' theory of the case, and in
    light of the fact that the government does not dispute that the
    logs contain the seemingly relevant times and locations of the
    units in the area, we find that the district court abused its
    discretion in finding the logs to be irrelevant without first
    reviewing them.
    In addition to their relevancy arguments, defendants
    claim: (1) that the logs constitute "statements" required to be
    produced under the Jencks Act, and (2) that the logs are
    exculpatory Brady material because they could have been used as
    substantive evidence of aircraft locations and as impeachment
    material for the cross-examination of government witnesses
    regarding those locations.  The district court apparently denied
    this discovery because it found that the logs were not relevant.
    It thus did not reach these more specific questions.  Therefore, we
    have no determinations to review in considering defendants' Bradyand Jencks Act arguments.
    To answer all of these concerns, the government has
    submitted a copy of what it proffers to be the only relevant log
    for our review.  At oral argument, government counsel was asked
    whether the relevant logs or records were in the possession of the
    government.  The Court requested that government counsel obtain and
    preserve the logs in the event that the Court found a need for
    them.  After oral argument, the government submitted to the Court
    a three-page copy of the October 17, 1996 morning log of the United
    States Command Center Sector for United States Customs ("Sector").
    It is not appropriate for us to consider this submission.
    It is elementary that evidence cannot be submitted for the first
    time on appeal.  The district court made no rulings based upon a
    review of the Sector log; in fact, the district court has not seen
    it.  The log was not part of the district court record, and
    therefore should not be part of our analysis.  Any determinations
    that we would make regarding the relevancy of the log, its
    exculpatory nature, or its characterization as a "statement" under
    the Jencks Act would be the first such determinations in this case.
    This is not our role.  See Goldberg v. United States, 
    425 U.S. 94
    ,
    108 (1976) (holding that the Court of Appeals erred in making the
    initial determination of whether certain materials constituted
    "statements" producible under the Jencks Act and expressing doubt
    that this function may ever be properly undertaken by a court of
    appeals); United States v. North American Reporting, Inc., 
    740 F.2d 50
    , 56 (D.C. Cir. 1984) (citing Goldberg for the general rule that
    the initial determination of whether documents are producible
    "statements" under the Jencks Act should be made in the district
    court); United States v. Sorrentino, 
    726 F.2d 876
    , 888 (1st Cir.
    1984) (declining to examine a report to determine which portions
    were producible when the district court had not first done so and
    remanding to the district court with instructions to examine the
    report, determine which portions were producible, and determine
    whether the failure to produce those portions materially prejudiced
    the defense).
    Accordingly, we retain jurisdiction over this appeal, but
    decline to rule on any of defendants' other arguments until the
    district court has reviewed the Sector log and any other similar
    logs and has determined whether they were material to the
    preparation of the defendants' defense and were therefore required
    to be disclosed under Rule 16(a)(1)(C).  If the district court
    determines that the logs were not discoverable under Rule
    16(a)(1)(C), it shall determine whether the logs were required to
    be disclosed as Brady material or as Jencks Act "statements."  If
    the district court determines that any of the logs should have been
    produced under Rule 16, Brady, or the Jencks Act, it shall hold a
    hearing to determine whether the government's failure to turn over
    that log materially prejudiced the defense.  If the district court
    finds that the nondisclosure materially prejudiced the defense, a
    new trial must be granted.  However, if, after reviewing the logs,
    the district court finds either that they were not discoverable or
    that defendants were not prejudiced by their nondisclosure, we will
    review those determinations for abuse of discretion and then resume
    our consideration of defendants' remaining contentions on appeal.
    CONCLUSION
    Based on the foregoing, we retain jurisdiction over the
    present appeal and remand to the district court for the limited
    purposes outlined above.  The district court is granted 90 days
    from the date of this opinion to make the appropriate
    determinations.  It shall do so by making written findings, and
    shall transmit a copy thereof to the Clerk of the court.  When the
    district court has made its determinations, counsel for both
    parties shall notify the Court, at which time, if necessary, we
    will decide the remaining issues raised by defendants' appeal.
    

Document Info

Docket Number: 97-2084

Citation Numbers: 199 F.3d 552

Filed Date: 4/28/1999

Precedential Status: Precedential

Modified Date: 5/23/2019

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Anderson v. Comcast, Corp. , 500 F.3d 66 ( 2007 )

Jones v. Sharon Credit Union ( 2009 )

United States v. Mendez Otero ( 2001 )

United States v. Hilton , 257 F.3d 50 ( 2001 )

United States v. Rivera-Rosario , 352 F.3d 1 ( 2003 )

Cody v. United States , 249 F.3d 47 ( 2001 )

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