United States v. Paul Bergrin , 682 F.3d 261 ( 2012 )


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  •                                PRECEDENTIAL
    UNITED STATES COURT OF APPEALS
    FOR THE THIRD CIRCUIT
    _____________
    Nos. 11-4300/4552
    _____________
    UNITED STATES OF AMERICA,
    Appellant
    v.
    PAUL W. BERGRIN
    _______________
    On Appeal from the United States District Court
    for the District of New Jersey
    (D.C. No. 09-cr-369)
    District Judge: Hon. William J. Martini
    _______________
    Argued
    March 29, 2012
    Before: FUENTES, SMITH, and JORDAN, Circuit Judges.
    (Filed: June 15, 2012)
    _______________
    Mark E. Coyne
    Steven G. Sanders [ARGUED]
    Office of United States Attorney
    970 Broad Street – Rm. 700
    Newark, NJ 07102
    Counsel for Appellant
    Lawrence S. Lustberg [ARGUED]
    Gibbons
    One Gateway Center
    Newark, NJ 07102
    Counsel for Appellee
    _______________
    OPINION OF THE COURT
    _______________
    JORDAN, Circuit Judge.
    Paul Bergrin, a former federal prosecutor and
    prominent defense attorney, was indicted in the United States
    District Court for the District of New Jersey on numerous
    charges, including violations of the Racketeering Influenced
    and Corrupt Organizations Act (“RICO”). Reasoning that the
    RICO charges were inappropriate in light of “the disparate
    nature of the substantive crimes that … serve[d] as the
    racketeering predicates,” the District Court dismissed them.
    United States v. Bergrin, 
    707 F. Supp. 2d 503
    , 511 (D.N.J.
    2010). The government appealed that decision and we
    reversed, observing that the concerns of the District Court
    were “either endemic to RICO prosecutions or involve[d] the
    application of irrelevant legal standards.” United States v.
    Bergrin, 
    650 F.3d 257
    , 274 (3d Cir. 2011).
    2
    After remand, the government filed a 33-count second
    superseding indictment (the “Indictment”) charging Bergrin
    with RICO violations, witness tampering, participating in a
    cocaine-trafficking conspiracy, and tax evasion. Two of the
    Indictment’s witness-tampering counts charge Bergrin for his
    role in facilitating the murder of a man named Kemo McCray
    (“Kemo”), 1 who was to have been a witness against one of
    Bergrin’s clients. 2 The District Court ordered those counts
    (the “Kemo Murder Counts”) to be severed and tried first and
    separately from the rest of the crimes charged. At the ensuing
    trial, the Court precluded the government from introducing
    evidence of two other witness-murder plots to prove
    Bergrin’s intent to have Kemo murdered, and the jury was
    ultimately unable to reach a verdict.
    As soon as the jury was dismissed, the government, in
    anticipation of a retrial, asked whether the District Court
    would adhere to its earlier evidentiary rulings. “Absolutely,”
    was the response, though the Court noted that the government
    would be permitted to try to “convince [the Court]
    otherwise.” (Joint App. at 49.) The government now appeals
    those evidentiary rulings and also asks us to review an
    1
    For ease of reference, we will refer to Mr. McCray by
    his first name, intending no undue familiarity or disrespect.
    2
    Specifically, Count 12 charges Bergrin with
    conspiring to murder Kemo to prevent his testimony in
    violation of 
    18 U.S.C. § 1512
    (k), and Count 13 charges that
    Bergrin “knowingly and intentionally … counsel[ed], and
    induce[d] others to kill” Kemo with “malice aforethought and
    with intent to prevent” his testimony in violation of 
    18 U.S.C. § 1512
    (a)(1)(A). (Joint App. at 199.)
    3
    additional severance order that the Court entered. 3 In
    addition, the government urges that the case be reassigned to
    a new judge, contending that a reasonable person would
    conclude that the District Court’s impartiality might
    reasonably be questioned.
    We will vacate the District Court’s decision with
    respect to one of the challenged evidentiary rulings, and,
    because we will direct the Chief Judge of the District Court to
    reassign this matter, will leave the other issues presented to be
    considered afresh by the judge who will take up the case.
    I.     Factual Background and Procedural History
    A.     Facts
    Centered around RICO counts that are substantially
    similar to the ones we held to be validly pleaded the last time
    this case was before us, see Bergrin, 650 F.3d at 261-63
    (summarizing the RICO charges), the Indictment accuses
    Bergrin of misusing his law practice to traffic drugs, facilitate
    prostitution, tamper with witnesses, and evade taxes. Three
    different instances of witness tampering, all of which are
    alleged in the RICO violation charged in Count 1, are relevant
    to this appeal.      Specifically, Bergrin is charged with
    3
    After the government took its appeal with respect to
    the evidentiary decisions pertaining to the Kemo Murder
    Counts, the Court severed the majority of the Indictment’s
    remaining substantive counts and ordered that they be tried
    before the rest of the charges. The government appealed that
    ruling, too, see infra note 20, and we consolidated the
    government’s two appeals for disposition.
    4
    instigating Kemo’s murder, plotting to kill witnesses in
    connection with the legal defense of an individual named
    Vicente Esteves (the “Esteves Plot”), and plotting to kill a
    witness who planned to testify against a client named Richard
    Pozo (the “Pozo Plot”). 4 Counts 2 through 4 of the
    Indictment also plead RICO violations relating to some or all
    of those three instances of witness tampering, 5 while the
    Indictment’s remaining counts charge Bergrin with other
    substantive or conspiracy offenses that rest on many of the
    allegations set forth in the RICO counts.
    1.     The Kemo Murder
    4
    Although the three witness-tampering plots are all
    alleged in Count 1, only the Kemo murder and the Esteves
    Plot are charged as predicate racketeering acts. The Pozo
    Plot, by contrast, is listed as one of the “methods and means”
    through which Bergrin’s firm engaged in racketeering.
    5
    Count 2 charges Bergrin with participating in a RICO
    conspiracy and alleges that the Kemo murder, the Esteves
    Plot, and the Pozo Plot were overt acts in furtherance of the
    conspiracy. Counts 3 and 4 charge violent crimes in aid of
    racketeering offenses for Bergrin’s involvement in the Kemo
    murder and the Esteves Plot, respectively. See 
    18 U.S.C. § 1959
    (a) (providing for criminal sanction where “[one]
    murders, kidnaps, maims, assaults with a dangerous weapon,
    commits assault resulting in serious bodily injury upon, or
    threatens to commit a crime of violence against any
    individual in violation of the laws of any State or the United
    States, or attempts or conspires so to do” in connection with a
    racketeering activity).
    5
    The Kemo Murder Counts were the subject of the trial
    that ultimately led to the present appeal, and, as charged, they
    carry a mandatory life sentence. 6            See 
    18 U.S.C. § 1512
    (a)(3)(A) (tampering with a witness by killing is
    punishable as “provided in sections 1111 and 1112”); 
    id.
     §
    1512(k) (“Whoever conspires to commit any offense under
    this section shall be subject to the same penalties as those
    prescribed for the offense the commission of which was the
    object of the conspiracy.”); id. § 1111(b) (“Whoever is guilty
    of murder in the first degree shall be punished by death or by
    imprisonment for life.”).
    At the trial on those counts, the government introduced
    evidence that Kemo’s murder arose out of Bergrin’s
    representation of William Baskerville. Baskerville was an
    associate in a drug-trafficking organization run by Hakeem
    Curry and was arrested on federal drug charges in November
    2003 for drug sales he made to Kemo. Baskerville told
    Bergrin that he suspected Kemo to be the likely source of the
    government’s evidence against him.           Bergrin, in turn,
    telephoned Curry and told him that Kemo was the
    confidential witness against Baskerville.
    6
    The violent crimes in aid of racketeering offense
    pertaining to the Kemo murder, see supra note 5, also carries
    a mandatory life sentence, see 
    18 U.S.C. § 1959
    (a)(1) (violent
    crimes in aid of racketeering that result in murder are
    punished “by death or life imprisonment, or a fine …, or
    both”); United States v. Carson, 
    455 F.3d 336
    , 385 n.44 (D.C.
    Cir. 2006) (reaching the “common sense conclusion” that,
    despite the language employed, the violent crimes in aid of
    racketeering statute “does not permit a fine to be levied in lieu
    of imprisonment or death”).
    6
    Anthony Young, a member of Curry’s organization
    and the government’s key witness at the trial of the Kemo
    Murder Counts, 7 was with Curry during that conversation and
    overheard Bergrin say that “Kamo” was the confidential
    witness against Baskerville. Young realized, however, that
    Bergrin was referring to Kemo. According to Young, Bergrin
    met with him and other Curry organization members
    approximately one week after Baskerville’s arrest. At that
    meeting, Bergrin told the group that “if Kemo testif[ied]
    against [Baskerville], [Baskerville] w[ould] never see the
    streets again” (Joint App. at 2528), but that he could “get
    [Baskerville] out if Kemo d[id]n’t testify” (id. at 2529).
    Bergrin twice reiterated “No Kemo, no case” and emphasized
    that the group should not “let that kid testify against
    [Baskerville].” (Id.)
    Members of Curry’s organization thereafter discussed
    how to find and kill Kemo, and, in March of 2004, Young
    found Kemo and shot him to death.
    7
    Young was not the only witness who offered
    testimony incriminating Bergrin in Kemo’s murder. Alberto
    Castro, a drug dealer, testified that Bergrin offered him
    $10,000 to murder Kemo, and two former confidants of
    Bergrin’s testified that Bergrin implied his complicity in the
    events that led to Kemo’s death. (See Joint App. at 3409
    (testimony that Bergrin expressed his worry that “Baskerville
    would implicate him in the Kemo case”); id. at 3781
    (testimony that Bergrin stated he had “met with Baskerville’s
    people at the office,” “told them the name of the [witness],”
    and that they had “killed [the witness] three months later”).)
    7
    2.     The Other Murder Plots
    The government also sought to prove Kemo’s murder
    using evidence of the Pozo Plot and the Esteves Plot, which
    the District Court ultimately precluded after considering
    evidentiary proffers.
    The government’s first effort to rely on those other
    murder plots developed pretrial when, after we ruled that the
    RICO counts had been wrongly dismissed and remanded the
    case, Bergrin filed a motion under Federal Rule of Criminal
    Procedure 14 to sever the Kemo Murder Counts from the
    Indictment. 8 Bergrin argued that a trial on every offense in
    the Indictment would be unfairly prejudicial.              The
    government disagreed, contending that severing the Kemo
    Murder Counts “would be a waste of judicial resources, …
    would present increased danger for witnesses, and that
    regardless of the severance plan … all or most of the evidence
    of the related crimes would be admissible at … [any] of the
    severed trials.” (Id. at 57-58.) It proffered, in that regard,
    that it would seek to prove the Kemo Murder Counts in part
    by relying on evidence of the Pozo Plot and the Esteves Plot
    under Federal Rule of Evidence 404(b). 9
    8
    We refer to the Federal Rules of Criminal Procedure
    simply as “Criminal Rules.” Criminal Rule 14(a) provides
    that a “court may order separate trials of counts, sever the
    defendants’ trials, or provide any other relief that justice
    requires” when joinder “appears to prejudice a defendant or
    the government.” Fed. R. Crim. P. 14(a).
    9
    We refer to the Federal Rules of Evidence simply as
    “Rules.” Rule 404(b), as we discuss further infra, provides
    8
    i.     The Pozo Plot
    Pozo, the government asserted, was a “large scale drug
    trafficker who distributed multi-hundred kilogram shipments
    of cocaine he received in New Jersey via Texas.” (D.N.J.
    ECF no. 09-369, doc. no. 304-1, at 13.) 10 In February 2004,
    he was charged in the Western District of Texas for his role in
    that drug distribution scheme, and he hired Bergrin to
    represent him. Bergrin determined that Pozo’s co-defendant,
    Pedro Ramos, was cooperating with the government against
    Pozo. He told Pozo that Ramos was an informant, asked him
    if he knew where Ramos lived, and told him that, if “we
    could get to [Ramos] and take him out, Pozo’s headache (his
    drug charges) would go away.” (D.N.J. ECF no. 09-369, doc.
    no. 302, at 1 (internal quotation marks omitted).) Pozo
    responded, “Are you nuts? I am not involved in murdering
    people,” and later retained new counsel. (Id. (internal
    quotation marks omitted).)
    ii.   The Esteves Plot
    that although “[e]vidence of a crime, wrong, or other act” is
    inadmissible to prove a person acted “in accordance with [his
    or her] character,” Fed. R. Evid. 404(b)(1), it may be admitted
    for “another purpose, such as proving motive, opportunity,
    intent, preparation, plan, knowledge, identity, absence of
    mistake, or lack of accident,” Fed. R. Evid. 404(b)(2).
    10
    Our references to documents on the District Court’s
    docket cite to the pagination contained in the ECF-generated
    header on each page.
    9
    Esteves, too, was a former client of Bergrin’s who
    “operated a large scale drug trafficking business based in
    New Jersey.” (D.N.J. ECF no. 09-369, doc. no. 304-1, at 23.)
    He was prepared to testify that, when he met with Bergrin in
    May 2008, after being charged in the Superior Court of New
    Jersey with drug trafficking, Bergrin told him that “the only
    way to beat the case was if [Esteves] took care of the
    witnesses” on a list of those Bergrin believed were
    cooperating with the government.          (Id.)    During that
    conversation, Bergrin also told Esteves that he “hate[d] rats
    and … would kill a rat himself,” that “this was not the first
    time he ha[d] done this,” and that, “if there are no witnesses,
    there is no case.” (Id.) An informant named Oscar Cordova,
    whom Bergrin believed was a hitman, subsequently recorded
    Bergrin instructing him to kill a witness on that list. (Id.; see
    Joint App. at 225-28 (describing the plot).)            In that
    conversation, Bergrin stated, “we gotta make it look like a
    robbery. It cannot under any circumstances look like a hit. …
    We have to make it look like a home invasion robbery.”
    (D.N.J. ECF no. 09-369, doc. no. 304-5, at 3.)
    B.     Procedural History
    1.     The First Severance
    In a September 21, 2011 opinion (the “First Severance
    Opinion”) citing those proffers, the District Court decided
    that severance was necessary and ordered that the Kemo
    Murder Counts be tried first.
    The Court did say, however, that it would “likely allow
    certain … Rule 404(b) evidence into the separate trial on the
    [Kemo Murder] Counts.” (Joint App. at 58.) In particular, it
    10
    indicated that evidence of the Pozo Plot would be admissible
    because that plot occurred “before or around the same time as
    the [Kemo] murder conspiracy.” (Id. at 59.) Evidence of the
    Esteves Plot, by contrast, troubled the Court. The Esteves
    Plot was unlike the “other-crime evidence most typically
    admitted under Rule 404(b),” the Court said, because it
    pertained to acts that “happened more than four years after
    the [Kemo] murder conspiracy” and was therefore evidence
    of a “subsequent criminal act.” (Id.) Although the Court
    acknowledged that there was no categorical “bar to
    subsequent act evidence,” it observed that “evidence of a
    subsequent act” is not necessarily “permissible or relevant in
    the same way that evidence of a prior bad act may be.” (Id.)
    Nevertheless, the Court seemed to take for granted that
    the government would be permitted to use Bergrin’s own
    admissions to Esteves in proving the Kemo Murder Counts.
    (See id. at 62 (suggesting that certain evidence pertaining to
    the Esteves Plot would “likely be admissible to provide the
    requisite background information to support” the testimony of
    the witnesses, including Esteves, who would testify to
    Bergrin’s admissions).) Aside from that, however, the Court
    made it clear that most of the proffered evidence pertaining to
    the Esteves Plot would be inadmissible in a trial on the Kemo
    Murder Counts. The Court was particularly concerned about
    the tape recording of Bergrin’s conversation with Cordova,
    evidently believing that the tape’s probative value was likely
    to be substantially outweighed by the danger of unfair
    prejudice:
    The Government proffers that it will introduce
    evidence, including audio recordings, showing
    that in 2008 Bergrin had conversations with a
    11
    confidential informant – dubbed by the
    Government as “the Hitman” – during which
    Bergrin explicitly discussed killing [a witness]
    and instructed the Hitman to make the murder
    look like a home invasion robbery. By contrast,
    the Government’s proffered evidence regarding
    the [Kemo] murder is much more
    circumstantial. The Government intends to
    prove that Bergrin said the words “no Kemo, no
    case” to certain other persons and that by
    uttering these words Bergrin specifically
    intended to cause those individuals to murder
    [Kemo] to keep him from testifying. And
    although the Government has a variety of
    evidence specifically probative of the [Kemo
    Murder] Counts it intends to introduce, the
    evidence will likely be nowhere near as
    overwhelming as the evidence relating to the
    [Esteves Plot].
    ….
    [I]n considering Bergrin’s guilt for the
    [Kemo Murder] Counts, any limiting
    instructions would likely be insufficient. It
    would be perhaps unavoidable – and merely
    human – for the jury to use the direct, explicit
    evidence from the [Esteves Plot] murder
    conspiracy case to infer Bergrin’s guilt of the
    [Kemo Murder] Counts regardless of any
    limiting instruction.
    12
    (Id. at 56.) Because Bergrin faced a life sentence on the
    Kemo Murder Counts, the Court found that risk to be
    particularly unacceptable. (See id. at 57 (“[A]lthough he is
    charged with a variety of crimes, the stakes on the [Kemo
    Murder] Counts are especially high for Bergrin: if a jury finds
    him guilty on those counts, he faces a mandatory life
    sentence.”).)
    Thus, based in part on its view that evidence of the
    other witness-murder plots would not, despite the
    government’s argument, necessarily be admissible in a trial
    on the Kemo Murder Counts, the Court severed those counts
    from the Indictment and ordered them to be tried first.
    2.     The Government’s Motion to Admit Rule
    404(b) Evidence and the District Court’s
    Initial Ruling
    On September 29, 2011, the government moved to
    admit much of the Rule 404(b) evidence it had set forth in its
    prior proffer, asking the Court to make “preliminary, pretrial
    rulings on the admissibility of [the] other acts evidence” that
    the Court’s First Severance Opinion had suggested would be
    admissible in a trial on the Kemo Murder Counts. (D.N.J.
    ECF no. 09-369, doc. no. 304-2, at 3.) Among other things,
    the government sought admission of Pozo’s testimony about
    the Pozo Plot, and Esteves’s testimony as to Bergrin’s
    statements during the Esteves Plot. 11 At an October 7, 2011
    11
    Although the government implied that it was not
    asking to introduce Bergrin’s recorded statement to Cordova
    because of the Court’s ruling in the First Severance Opinion,
    the government noted that “Bergrin’s defense strategy
    13
    hearing four days before jury selection was scheduled to
    begin, the government followed up on the status of its Rule
    404(b) motion, “requesting that the Court make at least some
    preliminary rulings … certainly before the jury is sworn.” 12
    (Joint App. at 584-85.) The Court did not do so, however,
    and a jury was empaneled on October 13, 2011.
    The next day, the Court announced its ruling on the
    government’s motion which was memorialized in an undated
    and unfiled opinion “handed to the parties the following
    week.” 13 (D.N.J. ECF no. 09-369, doc. no. 304, at 7.)
    Highlighting the factual similarities between the Pozo Plot
    and the Kemo murder, the Court ruled that the government
    would be permitted to introduce Pozo’s testimony under Rule
    404(b):
    [would] likely … open the door to additional Rule 404(b)
    evidence.” (D.N.J. ECF no. 09-369, doc. no. 304-2, at 3.)
    12
    As the government explained to the Court, such a
    ruling would permit it to “properly prepare an opening
    statement” and “properly prepare [witnesses] so that they
    don’t say something that’s inadmissible.” (Joint App. at 584-
    85.) What was unsaid but perhaps implicit was that the
    swearing in of a jury would cut off the government’s right
    under 
    18 U.S.C. § 3731
     to an immediate appeal of an adverse
    evidentiary ruling.
    13
    Although it was attached as an exhibit to a motion
    for reconsideration the government subsequently filed, the
    Court’s Rule 404(b) opinion remains unfiled on the District
    Court’s docket.
    14
    [E]vidence of the [Pozo Plot] … is admissible
    under Rule 404(b). The Government seeks to
    admit evidence that around February 2004,
    while Bergrin was acting as [Pozo’s] lawyer in
    a drug-trafficking case in federal court, Bergrin
    provided [Pozo] with the identity of a
    government witness against him, and counseled
    [Pozo] that if the witnesses were killed, Bergrin
    would win [Pozo’s] case.              The factual
    similarities of this case are so striking, and it is
    so close in time – occurring contemporaneously
    with the [Kemo] murder conspiracy – that this
    evidence is highly probative of Bergrin’s intent
    with respect to the charged conduct. And while
    it carries a risk of undue prejudice, that
    prejudice is insufficient to substantially
    outweigh its high probative value. And the
    Court will, again, mitigate the risk of prejudice
    by providing a proper limiting instruction.
    (Joint App. at 10 (internal citations omitted).)
    The Court, however, retreated from its previous
    suggestion that it would allow the government to introduce
    some of the evidence pertaining to the Esteves Plot. It ruled
    instead that no such evidence – including the “admissions
    themselves” – would be allowed “under Rule 404(b) because
    the potential for prejudice far outweigh[ed that evidence’s]
    minimal probative value.” (Id. at 13.) As the Court
    explained it, the admissions were minimally probative
    because they were made in connection with a subsequent, as
    opposed to a prior, crime and were therefore too attenuated
    from the Kemo murder:
    15
    In its [First Severance Opinion], this Court
    expressed at length its concerns regarding the
    minimal probative value of – and the undue risk
    of prejudice pose[d] by – this subsequent crime
    evidence. And while the Court previously
    indicated its willingness to consider allowing a
    limited amount of evidence to provide the
    necessary context as to these admissions, this
    no longer seems appropriate now that the Court
    has a better understanding of those admissions.
    The admissions that Bergrin allegedly made are
    too vague to be of great probative value –
    indeed, Bergrin does not mention the [Kemo]
    murder specifically, but alludes in general terms
    to some past act of indeterminate nature. And
    they, like the other evidence of the [Esteves
    Plot] … are potentially unduly prejudicial. If
    the admissions were admitted, the Government
    would also be entitled to introduce additional
    evidence regarding the [Esteves Plot], thereby
    compounding the risk of prejudice. And, as
    discussed previously, the potential prejudice of
    evidence regarding the murder conspiracy with
    Estevez [sic] is so great that it threatens to
    prevent the jury from making a proper
    determination of Bergrin’s guilt for the [Kemo]
    murder – an untenable result, in light of this
    Court’s previous rulings.
    (Id. (internal citation omitted).)
    3.     Bergrin’s Opening Statement
    16
    Opening statements began on October 17, 2011.
    Proceeding pro se with standby counsel, Bergrin told the jury
    that the evidence would prove he “never wanted, … never
    expected, …never believed … that one hair on Kemo’s head
    would be hurt.” (Id. at 648.) Instead, as he explained to the
    jury, he had simply acted as a zealous advocate on
    Baskerville’s behalf: “[W]hen I represented – was called …
    to represent William Baskerville, who was accused of a
    criminal offense, the Sixth Amendment of the United States
    Constitution said that I had to represent him, that he deserved
    to be represented effectively. And that’s all I ever did in this
    case.” (Id.) Thus, although Bergrin acknowledged calling
    Curry and informing him that Kemo was the confidential
    witness, he characterized that call as part of his legal duty to
    represent Baskerville and denied any malicious motives. 14
    Bergrin spoke similarly in explaining the Pozo Plot to
    the jury, stating:
    Let me tell you about the facts of
    Richard Pozo which will come out in this case.
    Richard Pozo was dealing cocaine. He sent a
    car with a bunch of cocaine in it from Elizabeth,
    … where he was living, to Texas. The car
    began to be investigated. The car was dropped
    off in the driveway of somebody’s house.
    While the car is being investigated, Richard
    14
    Correspondingly, Bergrin claimed during the course
    of trial that he never participated in a meeting with Curry-
    organization members in which he allegedly implied that
    Kemo should be killed by saying, among other things, “No
    Kemo, no case.”
    17
    Pozo comes to see me and says: I think I have a
    problem. I believe they detected cocaine in a
    car that I had sent to Texas. Will you represent
    me?
    There is no informant involved. We
    have absolutely … no idea whatsoever who any
    informants are.      The name Pedro Ramon
    doesn’t even fit into the equation. We have no
    clue who the informant is, he has no clue who
    any informant is. And I question him in front of
    Peter Willis and another outstanding attorney by
    the name of John Whipple in Texas, and that’s
    borne out here in this particular case. I never
    say to [Pozo]: Let’s get rid of the informant.
    Because what does it matter? It doesn’t matter.
    I would never say that because it has no impact,
    has no effect and I would never say that to this
    type of individual.
    (Id. at 691-92.)
    Believing that Bergrin had made “various door-
    opening assertions during his opening statement” the
    government filed a letter-motion the next day, asking the
    District Court to reconsider its evidentiary ruling excluding
    the Esteves Plot evidence. 15 (D.N.J. ECF no. 09-369, doc. no.
    263, at 1.) The Court declined.
    15
    More specifically, the government argued that
    Bergrin “exploited [the] Court’s [evidentiary] rulings, and
    abused his status as a pro se litigant, by testifying in his
    opening statement.” (D.N.J. ECF no. 09-369, doc. no. 263, at
    18
    4.     The District Court’s Decision to Exclude
    Evidence of the Pozo Plot
    Worse yet for the government, on November 8, 2011,
    the Court reversed course on the admissibility of Pozo’s
    testimony. Acknowledging that it had previously “indicate[d]
    that that testimony would be admissible under [Rule] 404(b),”
    the Court said it had changed its mind, “after hearing the case
    and the context in which [the testimony was] now being
    offered.” (Joint App. at 19.) The Court described a three-
    step process for considering whether to admit evidence under
    Rule 404(b): first, to “decide whether there is sufficient
    evidence that the other act in question actually occurred”;
    second, to assess “whether the evidence of other acts is
    probative of the material issue other than character”; and
    third, to consider “whether the probative value of the
    evidence is substantially outweighed by its potential
    prejudicial effect.” (Id.)
    Pozo’s testimony, the Court said, was problematic
    under the first step of that procedure, because there was no
    independent documentation corroborating the substance of his
    intended testimony:
    2.) And because it believed that Bergrin had brought his
    intent into question, the government asked the Court to allow
    it to introduce, among other things, Esteves’s testimony so as
    to rebut Bergrin’s “blanket, self-serving assertion” that he
    would never say “[l]et’s get rid of the informant … to … a
    client facing charges because of a cooperating witness.” (Id.
    at 5 (alteration in original) (internal quotation marks
    omitted).)
    19
    The first step is very rarely even an
    issue. … [It] is almost typically a prior
    conviction. It will be evidence of even a prior
    arrest which has some independen[t]
    corroboration because police make a prior arrest
    and then they seek to offer that type of
    evidence. It might even be a wiretap.
    ….
    One of the concerns I have, and I’ve had,
    is that we’re talking about conversations which
    allegedly occurred many years ago, and we’re
    talking about people’s best recollections of that
    conversation without it having been recorded,
    without     it    having    been     documented
    immediately.
    ….
    We have that in this case already. We
    have this case, one of the biggest contentions in
    this case is if the statement “No Kemo, no case”
    was made, what exactly does that mean.
    And the conversation with Mr. Pozo, I
    know the Government will say that’s Mr.
    Pozo’s best recollection. But there’s nothing to
    document – when we’re talking about parsing
    such important words, there’s nothing to
    document what actually was spoken at that time
    in those few little sentences that the
    Government contends would show that Mr.
    20
    Bergrin was attempting [to] … you know, to
    murder the witness.
    (Id. at 19-21.)
    The Court suggested that its concern about whether
    Pozo’s testimony was truthful also played a role in assessing
    whether, under the third step, the probative value of the
    evidence was substantially outweighed by “its potential
    prejudicial effect.” (Id. at 19.) And the Court declared
    Pozo’s testimony would be “cumulative,” “collateral,” and
    “confusing.” It explained:
    I have no sense of confidence that this evidence
    would be so reliable that its probative value
    would outweigh its prejudicial effect. And I
    think, you know, there’s a concern that it would
    be considered by this jury as propensity versus
    really going to intent.
    Now, in that context, let me also say, one
    of the considerations is, is there other evidence
    of intent in this case?
    And, you know, you have other
    evidence, so this would be cumulative and very
    collateral and very confusing, in this Court’s
    opinion.
    ….
    [Y]ou have evidence of intent, you have,
    if the jury believes Mr. Young, you have the
    21
    conversation that Mr. Young testified to …,
    which is a very specific conversation that he
    says he recalls Mr. Bergrin making at that time
    back in 2004, shortly after … Mr. Baskerville’s
    arrest. He testified at … some length about that
    conversation. So you have evidence of what
    “No Kemo, no case” means.
    You also have the evidence that you
    brought forth about Mr. Castro. You brought
    forth evidence that Mr. Bergrin went to …
    another motivated witness, … which the jury
    will have to consider in which he says, Mr.
    Bergrin went to him at some point and said, you
    know: I’ll give you $10,000 if you would, you
    know, kill this guy.
    Mr. Pozo would be another witness, a
    drug dealer who is claiming at some point some
    conversation occurred. It’s not documented.
    And in weighing the factors that I need to weigh
    as far as, you know, the minimum degree it will
    have with respect to intent, because the jury
    would have to parse those words, whatever they
    finally conclude were the words, first of all,
    because there’s nothing to document other than
    Mr. Pozo saying what he remembers, and then
    on cross it may come out to … be something
    else, they’d have to document those – they’d
    have to parse those words along with the “No
    Kemo, no case.” And I think their challenge as
    far as dealing with “No Kemo, no case” is
    enough.
    22
    (Id. at 23-26.)
    That evening, the government filed a motion asking
    the Court to reconsider its decision to exclude evidence of the
    Pozo Plot and the Esteves Plot. As the government argued
    the next morning in support of its motion, one might perceive
    “an inherent tension” between the ruling that the Pozo Plot
    was based on “insufficient proof … because we don’t have a
    tape” and the ruling that the Esteves Plot was too prejudicial
    “because we do have a tape.” (Id. at 36, 37.) The District
    Court was not persuaded, however, and reaffirmed its
    rulings. 16
    5.     Closing Arguments and the Jury’s
    Verdict
    At a subsequent conference about jury instructions,
    Bergrin successfully requested that the jury be told it “is a
    defense to the charges in the Indictment that the defendant’s
    acts constituted lawful and legitimate legal representation of a
    client.” (D.N.J. ECF doc. no. 09-369, no. 327, at 46; see Joint
    App. at 4024-25 (Bergrin’s request).) Then, in summation, he
    16
    As to the Esteves Plot, the Court stated that if “there
    was a conviction [in Bergrin’s case], I would believe … that
    that conviction was the result of the Esteves evidence,
    because I don’t see how [the jury] could humanly put that out
    of their mind.” (Joint App. at 38.) As to the Pozo Plot, the
    Court again laid out its fear that “the jury would … have to
    parse out what exactly did Mr. Bergrin say … according to
    Mr. Pozo’s recollections eight months after the incident”
    given that “we’re talking about a drug dealer, and hearing
    words that he thought.” (Id. at 39.)
    23
    echoed his opening statement’s assertion that he was being
    “accused for doing [his] job,” to “defend the Constitution [by]
    mak[ing] sure that [Baskerville] ha[d] effective
    representation.” (Joint App. at 4188.) Indeed, while Bergrin
    again acknowledged that he had discussed Kemo’s name with
    Baskerville and disclosed it to Curry over the phone, he
    attributed his behavior to legitimate representation, and
    implored the jury not to conclude “under any circumstance,
    under any leap of bound and faith that [he] ever intended for
    one hair to be hurt on poor Kemo’s head.” (Id. at 4277;
    accord id. at 4194 (“I, under no circumstances, ever intended,
    ever wanted, ever told, ever warned, ever advised, ever
    informed anyone to ever harm a hair on the head of Kemo
    McCray. I never had that intent.”).)
    After six days of deliberation, the jury was unable to
    reach a verdict. As a result, the Court declared a mistrial on
    November 23, 2011, and scheduled a retrial on the Kemo
    Murder Counts for January 2012.
    6.     The Government’s Appeal and Efforts to
    Determine Which Counts to Try Next
    Shortly thereafter, the government inquired “about
    rulings that [the Court] made excluding evidence,” asking the
    Court to clarify if it was “going to adhere to those; Pozo and
    Esteves and the things that were contained in the … 404(b)
    ruling.” (Id. at 49.) The Court responded as follows:
    “Absolutely. I don’t see – unless you can convince me
    otherwise, as to why those rulings – I know you feel
    otherwise – but on reflection I feel strongly that those rulings
    were appropriate. So I don’t expect I would be changing
    those rulings.” (Id. at 49-50.) On November 30, 2011, the
    24
    government filed a notice of appeal challenging those
    evidentiary rulings. 17
    The next day, the government moved to try the
    remainder of the counts in the Indictment at the January 2012
    retrial, though it stated it would be willing to sever the tax
    evasion counts upon Bergrin’s request. The Court held a
    hearing on December 8, 2011 to consider which counts to try
    next. Bergrin appeared at the hearing and asked the Court to
    stay proceedings pending our disposition of the government’s
    appeal of the evidentiary rulings. After consulting with the
    government, the Court suggested a second severance in which
    the drug-trafficking counts and the witness-tampering counts
    pertaining to the Esteves Plot would be severed and tried
    before the rest of the Indictment. 18 The government declined
    the Court’s suggestion, however, prompting Bergrin to file a
    severance motion.
    At an ensuing hearing on December 14, 2011, the
    government again requested that it be permitted to try the
    17
    As discussed infra in Part II.A, the government
    invoked 
    18 U.S.C. § 3731
     as the basis for appellate
    jurisdiction.
    18
    Under that proposal, Count 5 of the Indictment –
    which charges a drug-trafficking conspiracy and lists the
    Kemo murder, the Pozo Plot, and the Esteves Plot as part of
    the conspiracy’s “manner and means” – would have been
    altered to delete allegations relating to the Kemo murder so
    that “the Government [would be precluded] from introducing
    any such evidence.” (D.N.J. ECF no. 09-369, doc. no. 352, at
    1.)
    25
    entirety of its case against Bergrin, because “[t]he Kemo
    murder and the Esteves thing [were] not [disconnected]
    bookends” but rather were charged as “a racketeering RICO
    violation because” that was what they were. (Id. at 4436.)
    The Court, however, made clear that it would not accept the
    government’s request to “go forward with the Kemo
    allegations … in the” RICO counts:
    The concern I always had and the reason I
    severed out [the Kemo Murder Counts] was
    because of what I believed, and still do believe
    – and I think, frankly, the result of the jury
    being hung reflects what I had a concern about
    – is that charge, standing alone, for the reasons I
    stated in the severance, I always was concerned
    about the prejudice there would have been if [it]
    would have been tried with Esteves and all of
    the drug evidence that occurred subsequently.
    And I still feel the jury wouldn’t have been able
    to separate that out and decide the Kemo case
    just based on that case and the prior crime
    evidence that this Court didn’t let in.
    (Id. at 4433.) Trying the RICO counts next, the Court said,
    would unfairly expose Bergrin to a potential life sentence:
    The Court: … [I]n my opinion it would
    have been inherently unfair to have him
    convicted under a RICO – the way that was
    framed for the murder case facing a life in
    prison sentence tried that way. That’s how I felt
    and I still feel that way. And yet, you still feel
    insistent on that’s a fair trial, he should be
    facing that kind of penalty on the Kemo part of
    26
    the case when you already now saw a jury come
    back and couldn’t reach a verdict on that.
    Sure, if you get all your other evidence
    in he’ll get convicted on the Kemo murder part
    of the case and, you know, that’s what you
    want.
    [Government’s Counsel]: Well, Judge –
    The Court: And that’s the way you want
    to do it, and that’s what I have a real difference
    of opinion with.
    [Government’s Counsel]: I understand.
    The Court: And the Government, you
    know, they can charge a ham sandwich. I know
    that; you know that.
    So if you charge a RICO case on its face
    on the indictment, it doesn’t take a whole lot to
    charge a RICO case.
    (Id. at 4463-64.) Given that, in the Court’s view, the
    government’s case on the charges other than the Kemo
    Murder Counts and the related RICO counts was “very
    strong,” 19 that it could be proven without the witnesses who
    19
    The Court opined that, aside from the Kemo Murder
    Counts, the government had a “very clean, strong case,” with
    witnesses “more credible than Anthony Young and Castro
    type witnesses.” (Joint App. at 4461.)
    27
    had testified in the trial on the Kemo Murder Counts, and that
    it would warrant a “sentence that would reflect the severity of
    [those other charges],” the Court suggested that the
    government should not “spend the taxpayers’ money to come
    in here, put on [the Kemo Murder Counts] evidence again,
    [and] stand behind those kinds of witnesses again when [the
    government did not] have to do it.” (Id. at 4460.)
    In response to those concerns, the government invited
    the Court to dismiss the RICO counts if it believed “that Mr.
    Bergrin [could not] get a fair trial … as presently
    constituted.” (Id. at 4458.) The Court, however, refused to
    dismiss the Indictment’s RICO counts, stating that it had
    already “[done] that once … because at the time I still was
    concerned about the RICO allegations, quite frankly, mostly
    for the same reason.” (Id.)
    7.     The Second Severance
    Instead, on December 27, 2011, the Court severed the
    substantive counts charging Bergrin with drug trafficking and
    participating in the Esteves Plot from the rest of the counts in
    the Indictment, and ordered that they be tried in January 2012
    (the “Second Severance Order”). The Court explained that its
    “original premise [was] that trying Bergrin for his alleged
    involvement in the [Kemo] murder conspiracy with extensive
    evidence from the [Esteves Plot] … would be fundamentally
    unfair and improper” (id. at 67), and it went on to say that the
    concerns memorialized in its First Severance Opinion
    required an additional severance, because the government’s
    appeal with respect to the Kemo Murder Counts made it
    “impossible” to pursue the “most logical solution” of simply
    retrying those counts (id. at 69).
    28
    Severing the Indictment’s drug-trafficking and Esteves
    Plot counts was the next best solution, the Court said, since
    such a severance would
    avoid[] undue prejudice because Bergrin faces
    no exposure for his alleged involvement in the
    [Kemo] murder conspiracy, and so the jury
    cannot find him guilty of those charges based
    on improper spillover evidence.         It also
    incorporates as many of the remaining counts as
    may properly be joined, and, if Bergrin is
    convicted, carries a substantial penalty which
    should satisfy the Government’s desire for
    justice.
    (Id. at 73.) The Court also ruled that it was necessary to
    ensure that those counts were tried before the RICO counts in
    which the Kemo murder and the Esteves Plot were intrinsic,
    rejecting the government’s statement that it should be
    permitted to proceed on its RICO charges first, and
    characterizing that position as a “thinly veiled attempt to
    either circumvent [the Court’s] prior decision or discourage
    the Court from taking further actions required by justice.”
    (Id.)
    That same day, the government filed a second notice
    of appeal, this time challenging the Second Severance Order.
    II.   Discussion
    The government argues that the District Court abused
    its discretion by precluding the introduction of evidence of
    29
    the Pozo Plot and the Esteves Plot in the retrial on the Kemo
    Murder Counts, and in ordering the drug-trafficking and
    Esteves Plot counts to be severed. It also contends that this
    case should be reassigned to another district judge. Bergrin
    of course disagrees, but spends the bulk of his efforts arguing
    that we lack jurisdiction to entertain any of the government’s
    arguments.
    We begin by addressing the jurisdictional issue.
    A.     Jurisdiction
    The District Court had jurisdiction over this case under
    
    18 U.S.C. § 3231
    . We, in turn, have appellate jurisdiction to
    consider challenges to “decision[s] or order[s] of a district
    court suppressing or excluding evidence …, not made after
    the defendant has been put in jeopardy,” so long as the
    “United States attorney certifies to the district court that the
    appeal is not taken for purpose of delay and that the evidence
    is a substantial proof of a fact material in the proceeding.” 
    18 U.S.C. § 3731
    . The government’s appeal from the District
    Court’s ruling excluding evidence of the Pozo Plot and the
    Esteves Plot invokes that jurisdiction on the ground that the
    District Court’s verbal statement that it would “[a]bsolutely”
    adhere to its prior rulings on retrial (Joint App. at 49) was an
    appealable “decision or order” excluding evidence.
    Given § 3731’s express mandate that its provisions
    “shall be liberally construed to effectuate its purposes,” 
    18 U.S.C. § 3731
    , there is wide agreement that oral decisions
    dealing with subjects within the statute’s scope are
    appealable. See United States v. Farnsworth, 
    456 F.3d 394
    ,
    398-99 (3d Cir. 2006) (presuming an “oral ruling” is
    30
    appealable under § 3731, but holding the ruling at issue was
    not appealable because it was not, as the government
    contended, a dismissal); United States v. Janati, 
    374 F.3d 263
    , 269 (4th Cir. 2004) (exercising appellate jurisdiction
    over an “oral ruling”); United States v. Presser, 
    844 F.2d 1275
    , 1280 (6th Cir. 1988) (“[W]e view the district court’s
    oral statement as evidencing an intent to exclude government
    evidence … and consequently, its statement qualifies as an
    appealable order … .”); United States v. Flores, 
    538 F.2d 939
    ,
    942-43 (2d Cir. 1976) (oral ruling “exclud[ing] evidence of
    prior acts and statements” was appealable under § 3731).
    Bergrin argues, however, that the District Court’s statement
    was not sufficiently definite to constitute an appealable
    decision or order, because the District Court was not
    unequivocal in saying it would exclude evidence of the Pozo
    Plot and the Esteves Plot at Bergrin’s retrial. Cf. United
    States v. Brooks, 
    145 F.3d 446
    , 453-54 (1st Cir. 1998) (stating
    that orders lacking a requisite “degree of finality … may not
    qualify as … order[s] excluding evidence under section
    3731”). The record belies that claim.
    Although the Court’s colloquy did include some
    qualifying language, the first thing it said was that it would
    “[a]bsolutely” exclude that evidence from Bergrin’s retrial.
    (Joint App. at 49.) And it further stated that it “fe[lt] strongly
    that [its] rulings were appropriate.” (Id.) The Court’s rulings
    over the course of Bergrin’s trial on the Kemo Murder Counts
    reflect similarly strong convictions, even amidst repeated
    requests by the government to introduce the Pozo Plot and the
    Esteves Plot evidence after Bergrin denied any intent to harm
    Kemo. Moreover, the Court confirmed its resolve to keep out
    the questioned evidence when, at a hearing after the
    government’s first appeal was filed, it reiterated that
    31
    excluding the evidence was “the right decision” (id. at 4446),
    and subsequently ordered a second severance based on its
    belief “that trying Bergrin for his alleged involvement in the
    [Kemo] murder conspiracy with extensive evidence from the
    [Esteves Plot] … would be fundamentally unfair and
    improper” (id. at 67).
    The District Court did, to be sure, leave open the
    possibility that it would reconsider its evidentiary
    determinations, and it is possible, as Bergrin points out, that
    circumstances may change in the future. But the chance of
    change is inherent in virtually every pretrial evidentiary
    ruling and treating such rulings as unreviewable “would
    insulate [them] from appellate review, thus frustrating … the
    purposes of § 3731.” United States v. Siegel, 
    536 F.3d 306
    ,
    315 (4th Cir. 2008). Indeed, even a district court’s explicit
    suggestion that a ruling is “preliminary and could change”
    does not make it an unappealable one under § 3731. Id. at
    314; cf. United States v. Horwitz, 
    622 F.2d 1101
    , 1104 (2d
    Cir. 1980) (stating that even “conditional … ruling[s], which
    raise[] the remote prospect that suppression will not be
    ordered, [do not] necessarily deprive[] [an appellate] court of
    jurisdiction under section 3731”). Thus, while there was
    perhaps some “ambiguity about the district court’s future
    actions,” its statement clearly “evidenc[ed] an intent to
    exclude government evidence” at Bergrin’s retrial, Presser,
    
    844 F.2d at 1280
    , and thereby laid the foundation for our
    jurisdiction under § 3731.
    32
    We turn, then, to consider the government’s challenge
    to the merits of those evidentiary rulings. 20
    20
    Although we can undoubtedly review the District
    Court’s second severance to determine whether it warrants
    mandamus relief, since the government has alternatively
    petitioned for that writ, see United States v. Santtini, 
    963 F.2d 585
    , 590 (3d Cir. 1992) (“[P]arties are free to proceed
    alternatively on application for a writ or by appeal, with the
    court determining which, if any, procedure is more
    appropriate.”), the jurisdictional question presented by the
    appeal of the Second Severance Order is more difficult. The
    government argues that we have pendent appellate
    jurisdiction to consider that appeal based on our § 3731
    jurisdiction to consider the District Court’s evidentiary
    rulings. We have “recognized ‘a discretionary, though
    ‘narrow,’ doctrine of pendent appellate jurisdiction,’” E.I.
    DuPont de Nemours & Co. v. Rhone Poulenc Fiber & Resin
    Intermediates, S.A.S., 
    269 F.3d 187
    , 204 (3d Cir. 2001)
    (citation omitted), but there is a split in authority as to
    whether that doctrine applies in criminal cases and we have
    not expressly employed it in that context, compare, e.g.,
    United States v. Ferguson, 
    246 F.3d 129
    , 138 (2d Cir. 2001)
    (“[T]here is no pendent appellate jurisdiction in criminal
    cases.” (citing Abney v. United States, 
    431 U.S. 651
    , 662-63
    (1977))), with United States v. Lopez-Lukis, 
    102 F.3d 1164
    ,
    1167 & n.10 (11th Cir. 1997) (exercising pendent appellate
    jurisdiction over an order striking a count from an indictment
    where the government appealed an order suppressing
    evidence under § 3731), and United States v. Maker, 
    751 F.2d 614
    , 626 (3d Cir. 1984) (reviewing a severance order for an
    abuse of discretion without explicitly relying on, or referring
    to, pendent appellate jurisdiction). Because we will require
    33
    B.     The District Court’s Exclusion of Pozo’s
    Testimony 21
    Before trial, the District Court had ruled that the
    government would be permitted under Rule 404(b) to
    introduce Pozo’s testimony that Bergrin counseled him to
    murder a witness. As the Court noted at that time, “[t]he
    factual similarities” between that incident and the Kemo
    murder are “striking,” and the “evidence is highly probative
    of Bergrin’s intent with respect to [the Kemo murder].”
    (Joint App. at 10.) Although the Court thought the admission
    of that testimony “carrie[d] a risk of undue prejudice,” it
    concluded “that [the] prejudice [was] insufficient to
    substantially outweigh its high probative value” and noted
    that it would “mitigate the risk of prejudice by providing a
    proper limiting instruction.” (Id.) At trial, however, even
    after Bergrin told the jury in his opening statement that he
    would not have made the statements to which Pozo would
    testify and declared that he had been acting legitimately as an
    attorney in representing Baskerville, the Court turned about
    and ruled that the evidence was inadmissible. We agree with
    the government that the reasons given for that change reflect
    an abuse of discretion.
    this case to be reassigned and will ask that the severance
    rulings be revisited, see infra Part II.C, we need not determine
    the propriety of the Second Severance Order and therefore do
    not decide whether we have appellate jurisdiction to review it.
    21
    We review a “district court’s decision regarding the
    admissibility of evidence … for abuse of discretion.” United
    States v. Higdon, 
    638 F.3d 233
    , 238 (3d Cir. 2011).
    34
    Rule 404(b), as we have noted, 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 … the
    person acted in accordance with the character,” Fed. R. Evid.
    404(b)(1), but the Rule permits such evidence “for another
    purpose, such as proving motive, opportunity, intent,
    preparation, plan, knowledge, identity, absence of mistake, or
    lack of accident,” Fed. R. Evid. 404(b)(2). To be admissible
    under Rule 404(b), then, evidence of uncharged crimes or
    wrongs must have a proper evidentiary purpose. “A proper
    purpose is one that is ‘probative of a material issue other than
    character.’” United States v. Green, 
    617 F.3d 233
    , 250 (3d
    Cir. 2010) (quoting Huddleston v. United States, 
    485 U.S. 681
    , 686 (1988)); see United States v. Johnson, 
    199 F.3d 123
    ,
    128 (3d Cir. 1999) (stating that Rule 404(b) evidence is
    proper “if relevant for any other purpose than to show a mere
    propensity or disposition on the part of the defendant to
    commit the crime” (citation and internal quotation marks
    omitted)). As long as evidence offered under Rule 404(b)
    satisfies that criterion, we favor its admission. Johnson, 
    199 F.3d at 128
    . Of course, such evidence may be excluded if “its
    probative value is substantially outweighed by a danger of …
    unfair prejudice, confusing the issues, misleading the jury,
    undue delay, wasting time, or needlessly presenting
    cumulative evidence.” Fed. R. Evid. 403. We have also
    emphasized that limiting instructions may be appropriate
    when admitting Rule 404(b) evidence. See Green, 
    617 F.3d at 249
     (noting that a limiting instruction should be given
    where requested).
    1.     The Decision That There Was
    Insufficient Evidence to Establish That
    Pozo’s Testimony Was Truthful
    35
    As the District Court correctly explained, one step in
    evaluating whether to admit Rule 404(b) evidence is to
    determine whether there is sufficient evidence to conclude
    that the crime, wrong, or other act in question actually
    occurred, because “similar act evidence is relevant only if …
    the act occurred and … the defendant was the actor.”
    Huddleston, 
    485 U.S. at 689
    . Applying that inquiry to Pozo’s
    proffered testimony, however, the Court made its own
    credibility assessment, saying that there was “nothing to
    document what actually was spoken at that time in those few
    little sentences that the Government contends would show
    that Mr. Bergrin was attempting [to] … you know, to murder
    the witness.” (Joint App. at 21.) Owing to the lack of
    independent corroboration, the Court decided that “Mr.
    Pozo’s best recollection” would not suffice. (Id.) That was
    an error of law.
    In Huddleston v. United States, the Supreme Court
    expressly rejected the “level of judicial oversight” that the
    District Court applied here in excluding Pozo’s testimony.
    
    485 U.S. at 688
    . It said, rather, that Rule 404(b) evidence
    need only be supported by sufficient evidence for a jury to be
    able to “reasonably conclude that the act occurred and that the
    defendant was the actor.” 
    Id. at 689
    . A court’s task in that
    regard is simply to decide, in accordance with Rule 104(b),
    “whether the jury could reasonably find th[ose] facts … by a
    preponderance of the evidence.” 22 
    Id. at 690
    ; see Fed. R.
    22
    Thus, although the standard of proof in criminal
    cases requires a greater showing than a preponderance of
    proof, evidence of a contested fact may be admissible towards
    that greater burden when the “evidence in the case” permits a
    36
    Evid. 104(b) (“When the relevance of evidence depends on
    whether a fact exists, proof must be introduced sufficient to
    support a finding that the fact does exist.”). Importantly, the
    Supreme Court instructed that, in making that determination,
    trial courts must not “weigh[] credibility” or “make[] a
    finding.” Huddleston, 
    485 U.S. at 690
    .
    By discounting Pozo’s testimony based on a lack of
    corroboration and questions about credibility, the Court
    usurped the jury’s role. See United States v. Dillon, 
    532 F.3d 379
    , 391 (5th Cir. 2008) (“Rule 104(b) does not require
    corroboration. It only requires that the district court consider
    the witness’s testimony and determine that a reasonable jury
    could [make the required] find[ing] by a preponderance of the
    evidence … .” (internal footnote omitted)); Siegel, 
    536 F.3d at 319
     (“Evidence is [sufficiently] reliable for purposes of
    Rule 404(b) ‘unless it is so preposterous that it could not be
    believed by a rational and properly instructed juror.’”
    (citation omitted)); cf. United States v. Haut, 
    107 F.3d 213
    ,
    220 (3d Cir. 1997) (noting that it “is a basic tenet of the jury
    system that it is improper for a district court to substitute[ ]
    [its] judgment of the facts and the credibility of the witnesses
    for that of the jury” (alteration in original) (citation and
    internal quotation marks omitted)). While Pozo’s credibility
    and motivation for testifying may be open to question, his
    testimony itself was sufficient to permit a jury to reasonably
    conclude, by a preponderance of the evidence, that Bergrin
    did the things that Pozo said he did. See United States v.
    Bailey, 
    990 F.2d 119
    , 123 (4th Cir. 1993) (explaining that a
    witness’s testimony should not be precluded “simply because
    jury to “reasonably find the … fact … by a preponderance of
    the evidence.” Huddleston, 
    485 U.S. at 690
    .
    37
    it is in conflict with or contradicted by other testimony” or is
    offered by a “witness [who] has an unsavory past,” as those
    “are merely circumstances for the jury to consider”).
    Consequently, the Court was obliged to permit a jury
    to consider that testimony, provided it was otherwise
    admissible under the Federal Rules of Evidence.
    2.     The Finding That Pozo’s Testimony Was
    Substantially More Prejudicial Than
    Probative
    The District Court did not believe that Pozo’s
    testimony was otherwise admissible, because, under Rule
    403, the Court determined that the testimony was cumulative
    and confusing, and that the prejudice from it substantially
    outweighed any probative value. All of those conclusions are
    problematic.
    To begin with, it is not clear that the Court applied the
    proper test under Rule 403, because, at times, it spoke simply
    in terms of “prejudice” to Bergrin. (Joint App. at 23.) It must
    always be remembered that unfair prejudice is what Rule 403
    is meant to guard against, that is, prejudice “based on
    something other than [the evidence’s] persuasive weight.”
    United States v. Cruz-Garcia, 
    344 F.3d 951
    , 956 (9th Cir.
    2003); see United States v. Starnes, 
    583 F.3d 196
    , 215 (3d
    Cir. 2009) (“[U]nfair prejudice does not simply mean damage
    to the opponent’s cause.” (citation and internal quotation
    marks omitted)). Assuming the Court was using the term
    “prejudice” as shorthand for “unfair prejudice,” we are
    examining the kind of balancing decision to which we would
    ordinarily accord great deference. See United States v.
    38
    Kellogg, 
    510 F.3d 188
    , 197 (3d Cir. 2007) (noting that if
    “judicial self-restraint is ever desirable, it is when a Rule 403
    analysis of a trial court is reviewed by an appellate tribunal”
    (citation and internal quotation marks omitted)). In general, a
    Rule 403 decision will not be reversed unless the “analysis
    [undertaken] and resulting conclusion” is “arbitrary or
    irrational.” 
    Id.
     (citation and internal quotation marks
    omitted). Here, unfortunately, the District Court’s Rule 403
    analysis was arbitrary, in that it was based on the same legally
    flawed credibility determination that led the Court to
    conclude that Pozo’s testimony was inadmissible without
    independent corroboration.
    Pozo, as the District Court saw it, “would be another
    witness, a drug dealer who is claiming at some point some
    conversation occurred.” (Joint App. at 25.) Assessing his
    proffered testimony in that light, the Court characterized it as
    having a “minimum degree [of persuasiveness] … with
    respect to intent.” (Id.) An assumption about how the jury
    would view Pozo’s credibility was, however, an improper
    basis for discounting his testimony’s probative value. See
    United States v. Welsh, 
    774 F.2d 670
    , 672 (4th Cir. 1986)
    (“[A]s a general rule, the credibility of a witness has nothing
    to do with whether or not his testimony is probative with
    respect to the fact which it seeks to prove.”); 22 Charles Alan
    Wright & Kenneth W. Graham, Jr., Federal Practice and
    Procedure § 5214 (4th ed. 1996) (“[I]t seems relatively clear
    that in the weighing process under Rule 403 the judge cannot
    consider the credibility of witnesses.”). And that errant
    starting point likewise tainted the Court’s conclusion that the
    jury would be confused by Pozo’s testimony indicating that
    Bergrin told him to “take out” a cooperating witness. The
    39
    only possible confusion, if it can be called that, would arise
    from discrediting the source of the testimony. 23
    Stripped of improper credibility assessments, Pozo’s
    proffered testimony is – as the District Court initially
    observed when saying it would be admissible – highly
    probative of Bergrin’s guilt, because the factual similarities
    between the Pozo Plot and the Kemo murder truly are
    “striking.” (Joint App. at 10.) Pozo was a drug dealer
    represented by Bergrin around the same time as the Kemo
    murder, and he was prepared to testify that Bergrin suggested
    that he kill a witness. Pozo’s testimony is, therefore,
    powerfully suggestive of Bergrin’s intent in passing Kemo’s
    identity on from Baskerville to Curry. It is likewise relevant
    to deciding whether Bergrin uttered the words “No Kemo, no
    case,” and, if he did, what he meant. 24
    23
    Nor was the testimony, as the District Court
    suggested, cumulative. After all, the Court itself recognized
    that the credibility of the primary witnesses against Bergrin
    on the Kemo Murder Counts is open to question. See supra
    note 19. Pozo’s testimony would therefore have added much
    “to the probative force of the other evidence in the case,” and
    “contribut[ed] to the determination of truth,” United States v.
    Williams, 
    81 F.3d 1434
    , 1443 (7th Cir. 1996), and so it cannot
    properly be said to be “cumulative,” United States v. Brown,
    
    597 F.3d 399
    , 406 (D.C. Cir. 2010) (stating evidence should
    only be deemed “cumulative” when the “evidence on one side
    is so full that no jury that rejected it would be likely to change
    its mind because of the introduction of the proffered
    evidence” (citation omitted)).
    24
    The District Court itself recognized that intent was a
    key issue in the case in its colloquy excluding Pozo’s
    40
    In sum, we conclude that the District Court’s ruling
    excluding Pozo’s testimony cannot “be reconciled with a
    sound exercise of discretion,” United States v. Gatto, 
    924 F.2d 491
    , 501 (3d Cir. 1991), and, accordingly, must be
    vacated. 25
    testimony under Rule 403. (See Joint App. at 20-21 (“[O]ne
    of the biggest contentions in this case is if the statement ‘No
    Kemo, no case’ was made, what exactly does that mean.”).)
    But Bergrin argues that his intent is not at issue with respect
    to the Kemo Murder Counts, because his primary defense is
    that he never attended the meeting in which he allegedly said
    “No Kemo, no case.” We disagree. Bergrin’s insistence that
    he did not say those words does not mean the jury will not
    have to consider them. It is for the jury to decide whether he
    said them. Moreover, as we have just noted, the question of
    Bergrin’s intent is not only relevant to determining what “No
    Kemo, no case” may mean, but also to ascertaining Bergrin’s
    purpose in telling Curry who the witness against Baskerville
    was.
    25
    Pozo’s proffered testimony was proper Rule 404(b)
    evidence, and, as we have made plain, our review of the
    record thus far reveals no sound basis upon which it should
    have been precluded from the government’s case on the
    Kemo Murder Counts under Rule 403. We nevertheless leave
    it to the new judge to whom this case will be assigned to
    conduct his or her own balancing under Rule 403 if the
    government again seeks to prove the Kemo Murder Counts
    using evidence of the Pozo Plot.
    With respect to the Esteves Plot, we agree with the
    government that the District Court observed an unwarranted
    41
    analytical distinction between a “prior bad act” and a
    “subsequent bad act,” reasoning that the latter “looks more
    like evidence that is being offered to show that the accused is
    a ‘bad guy,’ someone with the propensity to commit criminal
    acts.” (Joint App. at 60.) Rule 404(b) refers to evidence of
    crimes, wrongs, or other acts, saying nothing about whether
    the act in question is a “prior” or “subsequent” act. That
    makes sense because light can be shed on motive, intent, and
    the other issues listed in Rule 404(b)(2) as much by a
    subsequent course of behavior as it can by a prior one. Cf.
    Huddleston, 
    485 U.S. at 686
     (referring to “similar acts
    evidence under Rule 404(b)” (emphasis added)). So although
    we once questioned, in dicta “[t]he logic of showing prior
    intent or knowledge by proof of subsequent activity,” United
    States v. Boyd, 
    595 F.2d 120
    , 126 (3d Cir. 1978), the District
    Court erred to the extent it dismissed the probative value of
    subsequent act evidence. See United States v. McGilberry,
    
    620 F.3d 880
    , 886 (8th Cir. 2010) (“Rule 404(b) draw[s] no
    distinction between prior and subsequent acts that would
    support different analyses … .” (citation and internal
    quotation marks omitted)); United States v. Rutkoske, 
    506 F.3d 170
    , 177 (2d Cir. 2007) (“The courts of appeals mostly
    agree that the admission of subsequent acts under Rule 404(b)
    is governed by the same four-part test as prior acts … .”);
    United States v. Mohr, 
    318 F.3d 613
    , 617 (4th Cir. 2003)
    (“Rule 404(b) … covers evidence of both prior and
    subsequent acts.”); United States v. Jernigan, 
    341 F.3d 1273
    ,
    1283 (11th Cir. 2003) (“[T]he standard for evaluating the
    admissibility of a subsequent bad act under Rule 404(b) is
    identical to that for determining whether a prior bad act
    should be admitted under this Rule.”); United States v.
    Echeverri, 
    854 F.2d 638
    , 645 (3d Cir. 1988) (“We do not
    42
    dispute that there may be cases in which evidence of
    subsequent wrongful acts may properly be admitted under
    Rule 404(b)”); United States v. Alker, 
    260 F.2d 135
    , 157 (3d
    Cir. 1958) (stating that “prior and subsequent acts …
    substantially similar to the subject matter forming the basis of
    the indictment [that] are probative to negate the inference that
    the crucial conduct was … innocent”).
    Unlike the District Court’s ruling with respect to the
    Pozo Plot, however, the District Court’s decision to exclude
    evidence of the Esteves Plot was not clearly rooted in a
    flawed premise. Indeed, the Court spoke at length about its
    concerns regarding the nature of the Esteves Plot evidence,
    (see, e.g., Joint App. at 38 (explaining that if “there was a
    conviction, I would believe … that that conviction was the
    result of the Esteves evidence, because I don’t see how they
    could humanly put that out of their mind and the purposes of
    the cautionary instruction would be and then weigh the rest of
    this case accordingly”)), and we cannot glean whether or not
    its Rule 403 balancing was tainted by the mistaken distinction
    it drew between subsequent and prior acts. Thus, it is
    difficult to tell whether or not the Court’s judgment is entitled
    to the deference ordinarily accorded a Rule 403 decision. See
    Kellogg, 
    510 F.3d at 197
     (stating the general maxim that
    “judicial self-restraint” is desirable “when a Rule 403 analysis
    of a trial court is reviewed” (citation and internal quotation
    marks omitted)). However, because we will be reassigning
    this case and directing the new district judge to determine
    afresh the admissibility of the Esteves Plot evidence, see infra
    Part II.C, we need not tackle the issue at this juncture. It
    suffices to say that, in considering that issue on remand, the
    judge should bear in mind that subsequent act evidence may
    be properly admitted under Rule 404(b), although Rule 403
    43
    C.     Reassignment
    The government also asks that this case be given to
    another district judge, and we agree, reluctantly, that
    reassignment is appropriate. Our authority to direct the
    reassignment of a case on remand is based on 
    28 U.S.C. § 455
    (a) and 
    28 U.S.C. § 2106
    . United States v. Bertoli, 
    40 F.3d 1384
    , 1411 (3d Cir. 1994). Under § 455(a), a judge
    should no longer preside over a case when “a reasonable
    person, with knowledge of all the facts, would conclude that
    the judge’s impartiality might reasonably be questioned.” 26
    United States v. Wecht, 
    484 F.3d 194
    , 213 (3d Cir. 2007)
    (citation and internal quotation marks omitted). To warrant
    reassignment under § 455(a), a case generally must involve
    apparent bias deriving from an extrajudicial source, meaning
    permits exclusion when the probative value of such evidence
    is “substantially outweighed by a danger of … unfair
    prejudice,” see Fed. R. Evid. 403, which, again, refers to
    prejudice “based on something other than [the evidence’s]
    persuasive weight.” Cruz-Garcia, 
    344 F.3d at 956
    .
    All of this, of course, becomes essentially moot if the
    new judge disagrees with the approach to severance that had
    been followed here, though a limiting instruction might still
    be warranted with respect to the jury’s consideration of the
    Pozo Plot and the Esteves Plot in connection with the Kemo
    Murder Counts.
    26
    “[T]he hypothetical reasonable person … must be
    someone outside the judicial system because judicial insiders
    … may regard asserted conflicts to be more innocuous than
    an outsider would.” In re Kensington Int’l Ltd., 
    368 F.3d 289
    , 303 (3d Cir. 2004).
    44
    something above and beyond judicial rulings or opinions
    formed in presiding over the case. See Liteky v. United
    States, 
    510 U.S. 540
    , 555 (1994) (noting that “judicial rulings
    alone almost never constitute a valid basis for a bias or
    partiality motion [under § 455(a)]” since they rarely
    “evidence the degree of favoritism or antagonism required …
    when no extrajudicial source is involved”). Our supervisory
    powers under § 2106, however, also permit reassignment and
    are not necessarily constrained by that limitation. See id. at
    554 (noting that “[f]ederal appellate courts’ ability to assign a
    case to a different judge on remand rests not on the recusal
    statutes alone, but on the appellate courts’ statutory power”
    under § 2106 which “may permit a different standard” than
    that applicable to § 455(a)). Notwithstanding the potential
    differences between the standards for reassignment under
    § 455(a) and § 2106, we have typically reviewed requests for
    reassignment under § 2106 “under an ‘appearance of
    impartiality’ standard” like that applicable in the § 455(a)
    context. Bertoli, 
    40 F.3d at 1414
     (citation omitted); see Gov’t
    of the V.I. v. Walker, 
    261 F.3d 370
    , 376 (3d Cir. 2001)
    (exercising the supervisory power to reassign a case because
    the “conduct and comments of the trial judge … ma[d]e it
    exceedingly difficult to resurrect an appearance of
    impartiality”).
    Although reassignment is an extraordinary remedy that
    should seldom be employed, see United States v. Higdon, 
    638 F.3d 233
    , 248 (3d Cir. 2011) (recognizing that reassignment
    should “be considered seriously and made only rarely”
    (citation and internal quotation marks omitted)), we conclude
    that it is appropriate in this case despite our sincere respect
    for the District Judge who has presided to this point. Key to
    our decision is the District Court’s repeated expressions of
    45
    discomfort with the manner in which the Indictment pulls the
    various criminal acts, including the witness-tampering plots,
    together under the umbrella of RICO charges.                 That
    discomfort manifested itself when the Court entered its first
    dismissal of the RICO counts. While the Court pointed to
    what may be called “equitable or logistical concerns,”
    Bergrin, 650 F.3d at 274, in examining “the sufficiency of the
    [then-existing indictment’s] allegations” under Criminal Rule
    12, Bergrin, 
    707 F. Supp. 2d at 509
    , it was not explicit about
    how prominent a role those concerns played in its decision. It
    now appears that the Court ruled as it did, at least in part,
    because it believes that it is impossible for Bergrin to get a
    fair trial on the RICO counts due to the very nature of RICO,
    allowing, as it does, for multiple criminal acts to be charged
    as a pattern of racketeering activity. 27 (See Joint App. at 4458
    (the Court’s answer, in response to the government’s
    invitation to dismiss the RICO counts if the Court believed
    they could not be fairly tried, that “I did that once … because
    at the time I still was concerned about the RICO allegations,
    quite frankly, mostly for the same reason”).)
    The Court expressed that same fear when, after the
    government appealed the evidentiary rulings relating to the
    Kemo Murder Counts, it balked at the government’s request
    to try the RICO counts. In suggesting that a trial of those
    27
    We recognize that the District Court’s primary
    concern here was that Kemo’s murder, for which Bergrin
    faces a potential life sentence, is an integral component of the
    Indictment’s RICO counts. See supra note 6. We do not
    intend to suggest that, in different circumstances, there would
    be hostility to trying RICO counts simply because they allow
    the government to address multiple criminal acts in one
    charge.
    46
    counts would be a fundamentally unfair and inefficient use of
    prosecutorial resources, the Court said:
    And now you’re sitting here saying:
    Judge, we want to do it that way. We’re going
    to bring back these guys and we’re going to
    spend all this taxpayers’ money, all these people
    in witness protection, they’re going to come
    flying in, coming in, we’re going to go through
    all of this, when you have an option. You have
    an option of a five to seven-week trial, clean,
    probably a conviction if the evidence is what I
    see it is. I mean, you know, and yet you’re
    insisting on trying to prove an enterprise, a
    pattern, all these predicate acts, confusing a
    jury, bringing in these guys again, and he’ll be
    cross-examining them again. For what?
    (Id. at 4461-62.)
    To mitigate that perceived inequity, and in an apparent
    effort to dissuade the government from seeking to try the
    RICO counts, the Court tried to assure the government that
    “there would be a sentence that would reflect the severity of”
    the Indictment’s other charges if it secured a conviction on
    those charges. (Joint App. at 4460.) In that same colloquy,
    the Court did not dispute the government’s assertion that the
    Court had “all but accused [the prosecution of] having
    wrapped [the Kemo murder and the Esteves Plot] in the
    Indictment in order to prevent [Bergrin] from getting a fair
    trial” (id. at 4450), confirming instead that, in the Court’s
    view, it would indeed “have been inherently unfair to have
    [Bergrin] convicted under … RICO” (id. at 4463). Most
    47
    recently, in ordering a second severance, the Court made clear
    its view that “trying Bergrin for his alleged involvement in
    the [Kemo] murder conspiracy with extensive evidence from
    the [Esteves Plot] … would be fundamentally unfair and
    improper.” (Id. at 67.)
    The problem with that view is that presenting the
    witness-tampering allegations as part of a related pattern of
    racketeering activity is exactly what the Indictment and RICO
    allow. The Indictment contains valid RICO charges which
    allege the Kemo murder along with the Esteves Plot and the
    Pozo Plot, and, if the government ever brings its RICO
    charges in this case to trial, it will necessarily introduce
    evidence of those murder plots to meet its burden of proof.
    We do not doubt the depth of the District Court’s
    commitment to ensuring a fair trial for all parties, and the
    Court’s concern for the rights of a criminal defendant is
    commendable. But, as we have already held, Congress
    validly paved a path for prosecutions like the one charged in
    the Indictment. See Bergrin, 650 F.3d at 276 (reversing the
    dismissal of substantially similar RICO counts). It is not a
    court’s prerogative to construct a detour around RICO simply
    because the court is uncomfortable with how that statute may
    “significantly alter[] the way trials are conducted in cases that
    involve racketeering acts committed by members of an
    enterprise.” 28 Id. at 275; see United States v. Vitillo, 
    490 F.3d 28
    We do not mean to imply that a district court is
    powerless in a RICO case to consider severance orders. On
    the contrary, as we said the first time we had this case, the
    District Court could appropriately “discuss[] joinder and
    severance under Rules 8 and 14 of the Federal Rules of
    Criminal Procedure” when presented with the former iteration
    48
    314, 320 (3d Cir. 2007) (“It is well-established that ‘[a]n
    indictment returned by a legally constituted and unbiased
    grand jury … if valid on its face, is enough to call for trial of
    the charge on the merits.” (alterations and emphasis in
    original) (quoting Costello v. United States, 
    350 U.S. 359
    ,
    363 (1956))).
    Ultimately, in light of the District Court’s statements –
    both before and after the earlier appeal in this case – about a
    perceived unfairness in trying the various witness-tampering
    counts together, we believe that the Court’s “impartiality
    might reasonably be questioned,” Wecht, 
    484 F.3d at 226
    (citation and internal quotation marks omitted), and will
    therefore order that this case be reassigned under § 2106, see
    Bertoli, 
    40 F.3d at 1414
     (noting that supervisory power
    reassignment has typically been applied “under an
    ‘appearance of impartiality’ standard” (citation omitted)).
    Because the Court’s discomfort with the Indictment may well
    have prompted its evidentiary and case management rulings
    (see Joint App. at 4458 (the Court’s statement that it initially
    dismissed the RICO counts “because at the time I still was
    of the Indictment. Bergrin, 650 F.3d at 276. That authority,
    of course, is not unyielding or unbounded, see United States
    v. Giannattasio, 
    979 F.2d 98
    , 100 (7th Cir. 1992) (Posner, J.)
    (rejecting a court’s direction to a prosecutor to “select five …
    counts for prosecution” of a fifteen count indictment and
    proceed to trial on those counts alone, and noting that “[a]
    judge in our system does not have the authority to tell
    prosecutors which crimes to prosecute or when to prosecute
    them”), but, as we have already noted, we need not and do not
    attempt to delineate its contours as applied to the severance
    orders entered in this case. See supra note 20.
    49
    concerned about the RICO allegations, quite frankly, mostly
    for the same reason”)), we direct the judge to whom this case
    is reassigned to consider anew whether the Indictment should
    be severed in any respect and, as necessary, the extent to
    which evidence of the Esteves Plot and the Pozo Plot can
    properly be used to prove the government’s case against
    Bergrin on the Kemo Murder Counts. 29 See 
    28 U.S.C. § 2106
    (affording courts of appeals the authority to “require such
    further proceedings to be had as may be just under the
    circumstances”); cf. Rimbert v. Eli Lilly & Co., 
    647 F.3d 1247
    , 1252 (10th Cir. 2011) (stating that the “law of the case
    doctrine has no bearing on the revisiting of interlocutory
    orders, even when a case has been reassigned from one judge
    to another”); Perez-Ruiz v. Crespo-Guillen, 
    25 F.3d 40
    , 42
    (1st Cir. 1994) (“Interlocutory orders … remain open to trial
    court reconsideration, and do not constitute the law of the
    case.”).
    III.   Conclusion
    For the foregoing reasons, we will vacate the District
    Court’s decision to exclude evidence of the Pozo Plot and
    will direct the Chief Judge of the District Court to reassign
    this matter.
    29
    Although we have vacated the District Court’s
    decision to exclude evidence of the Pozo Plot from Bergrin’s
    retrial, we note, again, that, depending on what is offered in
    evidence, the new judge may well be asked to determine the
    admissibility of the Pozo Plot evidence with respect to the
    Kemo Murder Counts and will, in that event, need to conduct
    an appropriate Rule 403 balancing. See supra note 25.
    50
    

Document Info

Docket Number: 11-4300, 11-4552

Citation Numbers: 682 F.3d 261, 88 Fed. R. Serv. 921, 2012 U.S. App. LEXIS 12174, 2012 WL 2161392

Judges: Fuentes, Smith, Jordan

Filed Date: 6/15/2012

Precedential Status: Precedential

Modified Date: 10/19/2024

Authorities (41)

United States v. Bergrin , 707 F. Supp. 2d 503 ( 2010 )

United States of America, Appellant-Cross-Appellee v. ... , 246 F.3d 129 ( 2001 )

ei-dupont-de-nemours-and-company-a-delaware-corporation-v-rhone-poulenc , 269 F.3d 187 ( 2001 )

United States v. Abdorasool Janati Forouzandeh Janati , 198 A.L.R. Fed. 811 ( 2004 )

Costello v. United States , 76 S. Ct. 406 ( 1956 )

Government of the Virgin Islands v. Charles Walker , 261 F.3d 370 ( 2001 )

United States v. Kellogg , 510 F.3d 188 ( 2007 )

United States v. Brooks , 145 F.3d 446 ( 1998 )

Liteky v. United States , 114 S. Ct. 1147 ( 1994 )

United States v. Echeverri, Elkin A. , 854 F.2d 638 ( 1988 )

United States v. Rutkoske , 506 F.3d 170 ( 2007 )

United States v. Starnes , 583 F.3d 196 ( 2009 )

United States v. Brown , 597 F.3d 399 ( 2010 )

United States v. Harry J. Alker, Jr. , 260 F.2d 135 ( 1958 )

United States v. Robert James Maker, A/K/A Robert Maker, A/... , 751 F.2d 614 ( 1984 )

United States v. Antonio Flores , 538 F.2d 939 ( 1976 )

united-states-v-louis-gatto-sr-aka-streaky-alan-grecco-aka-alan , 924 F.2d 491 ( 1991 )

Medicare & Medicaid Guide P 40,892 United States of America ... , 979 F.2d 98 ( 1992 )

United States v. Carson, Samuel , 455 F.3d 336 ( 2006 )

united-states-of-america-no-92-5105-v-paulo-santtini-aka-carlos , 963 F.2d 585 ( 1992 )

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