United States v. Paul Manafort, Jr. , 897 F.3d 340 ( 2018 )


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  •  United States Court of Appeals
    FOR THE DISTRICT OF COLUMBIA CIRCUIT
    Decided July 31, 2018
    No. 18-3037
    UNITED STATES OF AMERICA,
    APPELLEE
    v.
    PAUL JOHN MANAFORT, JR.,
    APPELLANT
    On Appeal of a Pretrial Detention Order
    (No. 1:17-cr-00201-1)
    Frank P. Cihlar, Richard W. Westling, and Thomas E.
    Zehnle were on appellant=s Memorandum of Law and Fact.
    Andrew Weissman and Scott A.C. Meisler, Attorneys, U.S.
    Department of Justice, were on appellee=s Memorandum of
    Law and Fact. Michael R. Dreeben and Adam C. Jed,
    Attorneys, U.S. Department of Justice, entered appearances.
    Before: TATEL, GRIFFITH and WILKINS, Circuit Judges.
    Opinion for the Court filed by Circuit Judge WILKINS.
    WILKINS, Circuit Judge: We consider an appeal of a
    pretrial detention order issued after revoking release due to the
    2
    defendant’s alleged commission of new crimes of witness
    tampering while released. We affirm.
    I.
    On October 27, 2017, the United States, by and through a
    Grand Jury convened by Special Counsel Robert S. Mueller,
    III, indicted Appellant Paul Manafort on nine criminal charges,
    including conspiracy against the United States, money
    laundering, failure to file reports of foreign bank and financial
    accounts, acting as an unregistered agent of a foreign principal
    in violation of the Foreign Asset Registration Act (“FARA”),
    and making false and misleading statements. See Indictment,
    United States v. Manafort, No. 17-cr-201 (D.D.C. Oct. 30,
    2017), ECF No. 13. Following his arrest and arraignment, the
    District Court released Appellant to home confinement with
    various conditions. See Order Setting Conditions for High
    Intensity Supervision Program, United States v. Manafort, No.
    17-cr-201 (D.D.C. Oct. 30, 2017), ECF No. 9. Among the
    conditions, the release order stated that Appellant was “not to
    commit any criminal offense” while on release, and “a rearrest
    for any offense based upon probable cause may be grounds for
    revoking [] release.” 
    Id. at 2.
    This condition – to not commit
    any further crimes – was imposed yet again when his release
    conditions were modified a few weeks later. See Order, United
    States v. Manafort, No. 17-cr-201 (D.D.C. Dec. 15, 2017), ECF
    No. 95.
    As discussed below, the alleged violation of this release
    condition is the core of this appeal.
    In the meantime, the District Court issued a “gag order,”
    which commanded all parties involved in the case “to refrain
    from making further statements to the media or in public
    settings that are ‘substantially likely to have a materially
    3
    prejudicial effect on this case,’” without objection. Order
    (“Gag Order”) at 1, United States v. Manafort, No. 17-cr-201
    (D.D.C. Nov. 8, 2017), ECF No. 38 (quoting Gentile v. State
    Bar of Nev., 
    501 U.S. 1030
    , 1076 (1991)). In a filing relating
    to conditions of release, the Government proffered that
    Appellant had violated the Gag Order by “ghostwriting an
    editorial . . . regarding his political work for Ukraine.” See
    Gov.’s Opp’n to Def.’s Mot. to Modify Conditions of Release
    at 2, United States v. Manafort, No. 17-cr-201 (D.D.C. Dec. 4,
    2017), ECF No. 73. On December 5, the District Court ordered
    Appellant to show cause why he had not violated the Gag
    Order. See Minute Order, United States v. Manafort, No.
    17-cr-201 (D.D.C. Dec. 5, 2017). Appellant responded that he
    merely had “edited” the op-ed “to ensure its accuracy” and that
    the Ukrainian editorial was unlikely to reach an American
    audience, so it did not pose a substantial likelihood of a
    materially prejudicial effect. See Def.’s Reply Mem. to Gov.’s
    Opp’n to Mot. to Modify Conditions of Release and Resp. to
    Minute Order, United States v. Manafort, No. 17-cr-201
    (D.D.C. Dec. 7, 2017), ECF No. 79. The District Court
    discharged the show-cause order, but noted that it would “view
    similar conduct in the future to be an effort to circumvent and
    evade the requirements” of the Gag Order. Status Conference
    Tr. at 12, United States v. Manafort, No. 17-cr-201 (D.D.C.
    Dec. 11, 2017), ECF No. 112. The District Court also stated
    that it would consider the issue of the editorial “in connection
    with [its] consideration of the bond issue.” 
    Id. The investigation
    of Appellant apparently continued,
    because the Special Counsel filed a superseding indictment
    against Appellant on February 23, 2018. See Superseding
    Indictment, United States v. Manafort, No. 17-cr-201 (D.D.C.
    Feb. 23, 2018), ECF No. 202. The February 23 Superseding
    Indictment included new details about how Appellant allegedly
    acted as an unregistered agent of a foreign principal and related
    4
    offenses. Specifically, the indictment alleged that Appellant
    and his associates retained former senior European politicians,
    which they referred to as the “Hapsburg group,” to advocate on
    behalf of certain Ukrainian principals by conducting “outreach
    to United States politicians and press” and by “lobbying in the
    United States.” 
    Id. ¶¶ 29-30.
    The indictment in our District Court is not the only federal
    criminal case pending against Appellant. On February 22,
    2018, the Special Counsel filed a separate superseding
    indictment against Appellant in the United States District Court
    for the Eastern District of Virginia, alleging tax evasion, failure
    to report foreign assets, and bank fraud. United States v.
    Manafort, No. 18-cr-83 (E.D. Va. Feb. 22, 2018), ECF No. 9.
    (Apparently venue for these charges does not lie in the District
    of Columbia, and Appellant declined to waive venue. See
    Appellee’s Br. 6 n.4.) The District Court for the Eastern
    District of Virginia entered a pretrial release order on March 9,
    2018, which contained a condition not found in the District of
    Columbia release orders, namely that Appellant “must avoid
    all contact, directly or indirectly, with any person who is a
    victim or witness in the investigation or prosecution of the
    defendant.” Order (“EDVA Stay-Away Order”) at 3, United
    States v. Manafort, No. 18-cr-83 (E.D. Va. Mar. 9, 2018), ECF
    No. 25.
    This brings us to the events directly underlying the instant
    appeal. On June 4, 2018, the Government moved to revoke
    Appellant’s release and remand him into custody pending trial
    pursuant to 18 U.S.C. § 3148. See Gov.’s Mot. to Revoke or
    Revise Def.’s Current Order of Pretrial Release, United States
    v. Manafort, No. 17-cr-201 (D.D.C. June 4, 2018), ECF No.
    315. The Government argued that Appellant violated the terms
    of his release “by attempting to tamper with potential
    witnesses” in violation of 18 U.S.C. § 1512(b)(1). 
    Id. at 1.
    The
    5
    core allegations of the Government’s motion related to “[t]wo
    individuals who were principals of a public-relations company
    [that] acted as intermediaries between Manafort, [an associate
    then identified as Person A], co-defendant Richard Gates, and
    the Hapsburg group.” 
    Id. at 4.
    The Government contended that
    Appellant “repeatedly contacted” these two witnesses –
    Persons D1 and D2 – “in an effort to secure materially false
    testimony concerning the activities of the Hapsburg group.” 
    Id. at 5.
    As detailed in FBI Agent Brock Domin’s declaration,
    filed with the Government’s revocation motion, the
    Government alleges that Appellant attempted to contact D1 and
    D2 on multiple occasions from February 24, 2018, to April 4,
    2018. Decl. in Supp. of Gov’s Mot. to Revoke or Revise Def.’s
    Current Order of Pretrial Release (“Domin Decl.”), United
    States v. Manafort, No. 17-cr-201 (D.D.C. June 4, 2018), ECF
    No. 315-2. These attempts included a call to D1 in which
    “Manafort stated that he wanted to give Person D1 a heads-up
    about Hapsburg,” a message Appellant sent to D1 via an
    encrypted application transmitting a link to a news story about
    the February 23 Superseding Indictment with a note that “[w]e
    should talk. I have made clear that they worked in Europe,”
    and text messages from Person A to D1 and D2 conveying that
    “P want[ed] to give [D1] a quick summary that he says to
    everybody (which is true) that our friends never lobbied in the
    US, and the purpose of the program was EU.” Domin Decl.
    ¶¶ 14-17. Other messages conveyed Appellant’s interest in
    contacting D1 and D2. 
    Id. ¶ 18.
    Significantly, both D1 and D2 told Agent Domin that the
    Hapsburg group lobbied in the United States, not just in
    Europe. 
    Id. ¶¶ 19-20.
    Thus, “D1 understood [Appellant’s]
    messages to be an effort to ‘suborn perjury.’” 
    Id. ¶ 19.
    Similarly, D2 understood Appellant’s outreach as an effort to
    get D1 to tell the members of the Hapsburg group that if they
    “were contacted by anyone, they should say that their lobbying
    6
    . . . work was exclusively in Europe,” 
    id. ¶ 20,
    even though that
    was not true.
    A few days after filing the motion to revoke Appellant’s
    release, the Special Counsel filed a second Superseding
    Indictment.    Superseding Indictment, United States v.
    Manafort, No. 17-cr-201 (D.D.C. June 8, 2018), ECF No. 318.
    The June 8 Superseding Indictment named Appellant’s
    associate Konstantin Kilimnik as Person A, who coordinated
    with D1 regarding lobbying for Ukraine, and it charged
    Appellant and Kilimnik with obstruction of justice and
    conspiracy to obstruct justice in violation of 18 U.S.C.
    § 1512(b)(1) (“witness tampering”). 
    Id. Appellant opposed
    the Government’s efforts to detain him.
    He argued that the accusations of witness tampering rested “on
    the thinnest of evidence” because the alleged communications
    did not “reflect an intent to corruptly influence a trial witness.”
    Def.’s Opp’n to Gov.’s Mot. to Revoke or Revise the Current
    Order of Pretrial Release at 1-2, United States v. Manafort, No.
    17-cr-201 (D.D.C. June 8, 2018), ECF No. 319. Rather,
    Appellant insisted that the few substantive communications
    were “entirely consistent with Mr. Manafort’s stated position
    and repeated assertion of his innocence.” 
    Id. at 4.
    Appellant
    also argued that he was not precluded from communicating
    with anyone, including possible witnesses, by the District of
    Columbia release orders, and he was unaware of which
    individuals would be potential witnesses in any event. 
    Id. at 7-8.
    After convening a hearing and allowing extensive
    argument by both sides, the District Court granted the
    Government’s motion and ordered Appellant detained. See
    June 15, 2018 Hr’g Tr. (“Hr’g Tr.”), United States v. Manafort,
    No. 17-cr-201 (D.D.C. June 15, 2018), ECF No. 329. The
    7
    District Court stated its findings and conclusions on the record,
    and it supplemented the oral findings by written memorandum
    opinion later that day, incorporating the reasons stated at the
    hearing. See Order of Detention (“Mem. Op.”) at 1, United
    States v. Manafort, No. 17-cr-201 (D.D.C. June 15, 2018), ECF
    No. 328.
    First, the District Court concluded that the Grand Jury’s
    indictment of Appellant on witness-tampering charges gave
    rise to a finding under 18 U.S.C. § 3148(b)(1)(A) of “probable
    cause to believe that the person has committed a Federal, State,
    or local crime while on release.” See Hr’g Tr. at 19; Mem. Op.
    at 11. The court noted that the “commission of a crime” was
    the only potential violation of a condition of release that “[had]
    been put before [the District Court],” Hr’g Tr. at 19, and so
    rested the § 3148(b)(1) finding solely on the commission of a
    subsequent offense while on release. The District Court
    declined to “get into any assessment of the strength or the
    deficiencies of the evidence that’s been presented” because the
    Grand Jury indictment was conclusive as to probable cause. 
    Id. at 18.
    The finding of probable cause that Appellant committed
    an offense while on release gave rise to a “rebuttable
    presumption” “that no condition or combination of conditions
    will assure that the person will not pose a danger to the safety
    of any other person or the community.” 
    Id. at 19.
    Because
    Appellant “did supply some exhibits” regarding the
    witness-tampering charges, the District Court found, “given the
    low threshold here, that [Manafort] ha[d] come forward with
    some evidence to rebut the presumption.” 
    Id. at 23;
    Mem. Op.
    at 15. However, the presumption remained a relevant factor in
    the District Court’s assessment of the danger Appellant may
    pose to the safety of the community. Hr’g Tr. at 22; Mem. Op.
    at 15. The District Court also discussed the possibility that the
    8
    witness contacts at issue violated the EDVA Stay-Away Order,
    and it explained its concerns regarding Appellant’s November
    2017 activity in editing the Ukrainian editorial while restricted
    by the Gag Order, which it considered “skating close to the
    line.” Hr’g Tr. at 49-51.
    Weighing this information, the District Court made two
    findings under 18 U.S.C. § 3148(b)(2). First, the District Court
    concluded under § 3148(b)(2)(A) that no combination of
    conditions could assure that Appellant would not pose a danger
    to the safety of the community if he remained on release. 1 The
    court reasoned that the witness-tampering charges indicate that
    Appellant poses a danger to the safety of the community
    through “harm to the administration of justice; harm to the
    integrity of the courts.” Mem. Op. at 17. While these risks are
    “abstract,” the court explained, the charges represent “a corrupt
    attempt to undermine the integrity and truth of the fact-finding
    process upon which our system of justice depends.” 
    Id. Moreover, the
    potential harm relates to the “danger that the
    defendant will commit another crime of any nature while he is
    on release.” 
    Id. Weighing “the
    nature of allegations in the
    superseding indictment and the evidence supplied in support of
    the government’s motion . . . and the clear impact the
    1
    The District Court did not state by what standard of proof it made
    this finding, and we can resolve this appeal without delving into that
    issue. Cf. United States v. Simpkins, 
    826 F.2d 94
    , 96 (D.C. Cir. 1987)
    (detention based on communal safety reviewed to determine if
    supported by clear and convincing evidence, while detention based
    on risk of flight reviewed to determine if supported by a
    preponderance of the evidence). Nonetheless, district courts would
    be well advised to state the standard of proof being employed on the
    record in future circumstances, just in case. Cf. United States v.
    Nwokoro, 
    651 F.3d 108
    , 111-12 (D.C. Cir. 2011) (per curiam)
    (remanding for further explication of reasoning where explanation in
    detention order was insufficient).
    9
    statements had on the recipient, who reported them to the
    prosecution as an attempt to suborn perjury,” with the
    presumption arising from the Grand Jury’s finding of probable
    cause for the witness-tampering charges, the court concluded
    “that there are no conditions that would assure that the
    defendant will comply with the most fundamental condition of
    release under the Bail Reform Act: that he not commit a
    Federal, State, or Local crime during the period of release.” 
    Id. at 19.
    Second, the District Court held that Appellant could not
    “be trusted to comply with the Court’s directives” with respect
    to any conditions of release. See Hr’g Tr. at 51; Mem. Op. at
    17, 19. The District Court reasoned that “[i]t would be entirely
    impractical and ineffective to demand the surrender of
    [Manafort’s] cell phone or to disconnect his internet service at
    home,” due to the difficulty of monitoring to ensure
    compliance. Mem. Op. at 17. The District Court further
    explained that it was “very troubled” that some of the alleged
    contacts with witnesses were made after the EDVA Stay-Away
    Order was in place, noting that it would “consider the
    defendant’s adherence to that Court’s admonitions in
    determining whether it can place its trust in the defendant.” 
    Id. at 18.
    Finally, the court considered Appellant’s request for “the
    issuance of an order [listing witnesses] that would absolutely
    be clear enough for him to follow.” 
    Id. In the
    District Court’s
    view, such an order would be unworkable: “there is a real risk
    that the defendant will interpret any list naming certain
    individuals as license to contact any other individuals involved
    in the investigation. The Court cannot draft an order that is
    specific enough to cover every possible future violation of the
    United States Code, and it should not have to.” 
    Id. at 18-19.
    On this rationale, the District Court held that “it could not find,
    as the statute requires that it must, that defendant Manafort
    10
    would abide by [any additional] conditions” of release. 
    Id. at 19.
    Having made the required findings under 18 U.S.C.
    § 3148(b), the District Court ordered Appellant detained.
    Manafort appealed the District Court’s detention order ten
    days later. He sought release pending his appeal under Federal
    Rule of Appellate Procedure 9(a)(3), which this Court denied.
    We now address Appellant’s merits appeal.
    II.
    The District Court relied solely on probable cause of
    Appellant’s commission of a crime to find that Appellant was
    subject to revocation of his release under § 3148(b)(1)(A).
    That finding is not contested here. The District Court then
    made each of the two § 3148(b)(2) findings, that the proposed
    package of release conditions would not assure the safety of the
    community under § 3148(b)(2)(A), and that Appellant is
    unlikely to abide by any conditions of release under
    § 3148(b)(2)(B). Appellant challenges each of these findings.
    Either finding provides an independent basis for detention, so
    upholding either finding is sufficient to uphold the District
    Court’s detention order.
    Appellant asserts that both findings are reviewed for clear
    error, Appellant’s Br. 9-10, and the Government does not
    disagree, Appellee’s Br. 12-13, 19. We employ the clear error
    standard of review because both parties ask us to do so, though
    we note that the standard of review for the determination that a
    defendant is unlikely to abide by any conditions of release
    11
    remains an open question in this Court. 2 Because we find no
    clear error in the District Court’s finding that Appellant is
    unlikely to abide by any conditions of release, we affirm and
    therefore do not reach the challenge to the dangerousness
    finding.
    Appellant attacks three underlying factual bases upon
    which the District Court found that Appellant would be
    unlikely to abide by any conditions the District Court might
    craft: (1) the June 8 Superseding Indictment against Appellant
    for witness tampering; (2) Appellant’s potential violation of the
    2
    Although we have previously characterized a finding of
    dangerousness in a detention determination as a finding of fact to be
    reviewed for clear error, United States v. Smith, 
    79 F.3d 1208
    , 1209
    (D.C. Cir. 1996) (per curiam) (citing 
    Simpkins, 826 F.2d at 96
    ), we
    have never addressed detention based upon a finding that the
    defendant was unlikely to abide by conditions of release. Other
    circuits have taken varying approaches to review of detention orders.
    Some treat the ultimate determinations of dangerousness, risk of
    flight, or likelihood of abiding by conditions of release as factual
    findings to which a clear error standard of review applies. See United
    States v. English, 
    629 F.3d 311
    , 319 (2d Cir. 2011); United States v.
    Clark, 
    865 F.2d 1433
    , 1437 (4th Cir. 1989) (en banc); United States
    v. Gotti, 
    794 F.2d 773
    , 779 (2d Cir. 1986). Others have applied what
    has been described as “independent review” with some deference to
    the district court. United States v. O’Brien, 
    895 F.2d 810
    , 814 (1st
    Cir. 1990); United States v. Portes, 
    786 F.2d 758
    , 762 (7th Cir.
    1985). Still other courts defer to the district-court factual findings,
    but treat “conclusions based on such factual findings,” including the
    necessity of detention, as mixed questions of fact and law, reviewed
    de novo. See United States v. Howard, 
    793 F.3d 1113
    , 1113 (9th Cir.
    2015) (citing United States v. Hir, 
    517 F.3d 1081
    , 1086-87 (9th Cir.
    2008)); accord United States v. Stone, 
    608 F.3d 939
    , 945 (6th Cir.
    2010) (reviewing “the ultimate question whether detention is
    warranted” de novo). We leave resolution of these thorny questions
    for another day when they are fully presented and briefed.
    12
    Stay-Away Order issued in his separate case pending in the
    Eastern District of Virginia; and (3) Appellant’s actions in
    relation to the Gag Order issued by the District Court in the
    DDC case. Appellant’s Br. 18, 19-20, 20-22.
    We agree with Appellant that the District Court’s implicit
    finding that his communications violated the EDVA
    Stay-Away Order is problematic. At the detention hearing, the
    District Court viewed the EDVA Stay-Away Order as
    sufficiently broad to cover any potential witnesses in the
    EDVA or DDC cases, Hr’g Tr. at 50, and the written detention
    ruling, after characterizing the EDVA Stay-Away Order as
    “clear and unambiguous,” suggested that Appellant had not
    adhered to that order, Mem. Op. at 18. For several reasons, we
    disagree.
    First, the statutory scheme supports a narrow reading of
    stay-away orders. Congress specified that a release order
    “include a written statement that sets forth all the conditions to
    which the release is subject, in a manner sufficiently clear and
    specific to serve as a guide for the person’s conduct.” 18
    U.S.C. § 3142(h)(1) (emphasis added).              The statutory
    requirement for clarity accords with the familiar rule that the
    court should not punish someone for violating an order if the
    terms of that order are unclear. Cf. Armstrong v. Exec. Office
    of the President, Office of Admin., 
    1 F.3d 1274
    , 1289 (D.C. Cir.
    1993) (reversing a civil contempt finding because of ambiguity
    in the order). The language in the EDVA Stay-Away Order is
    at the very least ambiguous with respect to whether the
    prohibition on contact with “any person who is a victim or
    witness in the investigation or prosecution” prohibits contact
    with potential witnesses to conduct underlying charges brought
    in a separate case in another jurisdiction. And any ambiguity
    in the EDVA Stay-Away Order should be construed against the
    Government, not Appellant.
    13
    Second, the statutory provision authorizing stay-away
    orders focuses on the specific offense pending before that court
    at that moment. Section 3142 provides, as a potential condition
    of release, a requirement that the defendant “avoid all contact
    with an alleged victim of the crime and with a potential witness
    who may testify concerning the offense.”              18 U.S.C.
    § 3142(c)(1)(B)(v) (emphases added). The use of the definite
    article “the” before “crime” and “offense” suggests a narrow
    reading of pretrial release orders, confined to witnesses to the
    alleged conduct charged in the particular case for which the
    defendant has sought pretrial release. That same definite article
    is incorporated into the EDVA release order. EDVA
    Stay-Away Order at 3 (Appellant “must avoid all contact,
    directly or indirectly, with any person who is a victim or
    witness in the investigation or prosecution of the defendant”
    (emphasis added)). Thus, it would be natural for anyone,
    including Appellant, to believe that the no-contact provision is
    applicable only to the particular charges brought in the EDVA
    case. While we agree that the Stay-Away Order could
    plausibly be read to cover witnesses in the District of Columbia
    case, such a reading is not clear and unambiguous.
    Third, we find it significant that the Government never
    contended below that Appellant violated the EDVA
    Stay-Away Order. If the no-contact provisions of the order
    clearly applied to Appellant’s conduct, it seems quite curious
    that the Government never said so below. (The Government
    attempts to do so now, see Appellee’s Br. 20, but because it did
    not raise this argument before the District Court, it is forfeited.)
    The context of the hearing indicates that the District Court
    concluded that the EDVA Stay-Away Order covered witnesses
    in the District of Columbia case. See Hr’g Tr. at 31 (asking
    Appellant if it is his “position that he could call witnesses in
    14
    this [District of Columbia] case, but not witnesses in that
    [EDVA] case?”). Further, the District Court construed D1 and
    D2 to be witnesses in the District of Columbia case, because all
    of the discussion centered around Appellant’s attempts to
    discuss their testimony about the then-new allegations related
    to the unregistered-foreign-agent charges in the February 23
    Superseding Indictment in the District of Columbia. Thus, the
    District Court found that Appellant violated the EDVA
    Stay-Away Order by contacting witnesses in the District of
    Columbia case, not witnesses in the EDVA case. This finding
    was error.
    But what impact does this error have on the ultimate
    finding that Appellant is unlikely to abide by conditions of
    release in the future? When reviewing under the clear error
    standard, “we do not weigh each piece of evidence in isolation,
    but consider all of the evidence taken as a whole.” Barhoumi
    v. Obama, 
    609 F.3d 416
    , 424 (D.C. Cir. 2010) (quoting Awad
    v. Obama, 
    608 F.3d 1
    , 7 (D.C. Cir. 2010)).
    Despite the District Court’s finding that Appellant violated
    the terms of the EDVA Stay-Away Order, that error does not
    undermine the District Court’s ultimate conclusion. Given the
    District Court’s consideration of all of the information before
    it and its other subsidiary findings, we are not “left with the
    definite and firm conviction that a mistake has been
    committed” in the District Court’s finding under
    § 3148(b)(2)(B), in light of “the entire evidence.” See
    
    Barhoumi, 609 F.3d at 423
    (quoting United States v. U.S.
    Gypsum Co., 
    333 U.S. 364
    , 395 (1948)).
    We find no clear error in the District Court’s ultimate
    finding that “there are no conditions that would assure that the
    defendant will comply with the most fundamental condition of
    release under the Bail Reform Act: that he not commit a
    15
    Federal, State, or local crime during the period of release.”
    Mem. Op. at 19. This finding was based on Appellant’s course
    of conduct throughout the “six months” he had remained
    released in the District of Columbia case and Appellant’s
    “abuse[] [of] the trust placed in” him by the District Court
    during that time. Hr’g Tr. at 51. That course of conduct
    included Appellant’s decision to push the envelope by
    contributing to an op-ed in a foreign newspaper while under the
    Gag Order and his repeated communications with potential
    witnesses, personally and through an intermediary. “[A]ll of
    this” conduct, which the District Court chronicled in detail
    during the hearing, “affect[ed] [the District Court’s] judgment
    about whether [Appellant] can be trusted to comply with the
    Court’s directives.” 
    Id. The District
    Court did not clearly err
    by finding Appellant was unlikely to do so.
    The conduct that loomed largest – in both the briefing on
    the revocation motion and in the District Court’s findings – was
    the evidence suggesting Appellant had committed a crime
    while on release. The District Court found that if Appellant
    had committed a new crime even while ordered not to commit
    a new crime, it was likely to happen again. The District Court
    observed that there was no way to prevent Appellant from
    accessing devices that would enable him to contact witnesses
    while released, Mem. Op. at 17, and thus no way to ensure that
    further witness tampering would not occur in the future unless
    he were detained. After all, the communications with D1 and
    D2 were only discovered by the Government because the
    witnesses reported them; otherwise, they likely would have
    gone undetected. The District Court’s core conclusion was that
    even if it entered an order commanding Appellant not to
    commit further crimes, and even if the order listed every
    offense in the U.S. Code, it would not be effective because
    Appellant would attempt to circumvent it. 
    Id. at 18-19.
    It was
    also not lost on the District Court that Appellant had been
    16
    warned about “skating close to the line” with respect to the
    potential violation of the Gag Order, Hr’g Tr. at 50, and yet
    Appellant failed to heed those warnings and went right past the
    line with the alleged witness tampering.
    While it is true that the District Court also considered the
    communications to be a violation of the EDVA Stay-Away
    Order, we do not find clear error after reviewing the entirety of
    the District Court record. The ultimate § 3148(b)(2)(B) finding
    was that Appellant was unlikely to abide by any conditions the
    District Court might impose, including the “most fundamental
    condition of release . . . that he not commit [additional]
    crime[s] during the period of release.” Mem. Op. at 19. The
    District Court’s treatment of the EDVA Stay-Away Order was
    merely part of the icing; the cake had already been baked.
    We find Appellant’s remaining arguments to be without
    merit. Therefore the District Court’s detention order is
    Affirmed.