United States v. Gonzalez

U.S. Court of Appeals for the First Circuit
United States v. Gonzalez, 949 F.3d 30 (1st Cir. 2020)

United States v. Gonzalez

Opinion

United States Court of Appeals For the First Circuit

No. 18-1597

UNITED STATES OF AMERICA,

Appellee,

v.

ALFREDO GONZALEZ,

Defendant, Appellant.

APPEAL FROM THE UNITED STATES DISTRICT COURT FOR THE DISTRICT OF NEW HAMPSHIRE

[Hon. Paul J. Barbadoro, U.S. District Judge]

Before

Kayatta, Selya, and Stahl, Circuit Judges.

Tina Schneider for appellant. Seth R. Aframe, Assistant United States Attorney, with whom Scott W. Murray, United States Attorney, and Kasey A. Weiland, Assistant United States Attorney, were on brief, for appellee.

January 31, 2020 SELYA, Circuit Judge. Defendant-appellant Alfredo

Gonzalez argues that his federal drug-trafficking conviction

should be set aside because an ineligible juror was seated on his

jury. In the alternative, he argues that his twenty-year mandatory

minimum recidivist sentence should be vacated. Concluding that

the appellant's asseverational array lacks merit, we affirm both

his conviction and his sentence.

I. BACKGROUND

We start by rehearsing the travel of the case. On

October 5, 2016, a federal grand jury sitting in the District of

New Hampshire indicted the appellant, along with fifteen co-

defendants, on a charge of conspiracy to distribute and to possess

with intent to distribute controlled substances. See

21 U.S.C. §§ 841

(a), 846. Pertinently, the indictment alleged that the

appellant's conduct as a member of the conspiracy "involved one

kilogram or more of a mixture or substance containing a detectable

amount of heroin" in violation of

21 U.S.C. § 841

(b)(1)(A)(i).

The appellant entered a "not guilty" plea to the indictment.

While the case was awaiting trial, the government filed

an Information pursuant to

21 U.S.C. § 851

(a) (the Information).

Through the Information, the government placed on record the

appellant's 1997 New Hampshire state conviction for possession of

a narcotic drug with intent to sell. See

N.H. Rev. Stat. Ann. § 318

-B:2(I) (1990). It is undisputed that the appellant received

- 2 - a prison sentence of three-and-one-half to seven years in the state

case. The government asserted that the state conviction and

sentence rendered the appellant subject to a mandatory minimum

recidivist sentence of twenty years if found guilty of the federal

drug-conspiracy charge. See

21 U.S.C. § 841

(b)(1)(A) (2012).

A jury trial ensued in the district court, and the

appellant was convicted of the conspiracy charge on November 9,

2017. The jury found specially that the weight of heroin involved

in the conspiracy and attributable to the appellant was one

kilogram or more. Within a matter of days, though, the district

court notified the parties of a nascent issue involving the

residency of Juror No. 127. Insofar as they are pertinent here,

we sketch the facts summarized in the court's memorandum:

 Before jury empanelment began, the parties received

a packet of information from the district court

clerk's office regarding the jury venire. This

packet included a jury selection list, compiled by

the clerk's office, which recounted each juror's

self-reported permanent address (city and state).

It also included supplemental questionnaires filled

out by the prospective jurors.

 The jury selection list noted, next to the name of

Juror No. 127, "Derry NH." In contrast, his

supplemental questionnaire indicated that he had

- 3 - been working in Massachusetts and had been a

Massachusetts resident for the last fifteen months.

 Prior to the voir dire, Juror No. 127 spoke with

two district court staff members about how to

describe his residency. Court staff instructed the

juror to address this matter with the judge (which

he apparently failed to do).

From aught that appears from the record, neither the

parties nor the judge were aware of any problem with Juror No.

127's residency either before or during the trial. The problem

came to light only on the final day of the trial (after the jury

had returned its verdict and been discharged).1 When the

appellant's counsel reviewed the court's memorandum and belatedly

perused Juror No. 127's supplemental questionnaire, he concluded

that Juror No. 127 was, in fact, not a resident of New Hampshire

at the time of the trial. Rather, Juror No. 127 was a New Hampshire

1The problem surfaced when Juror No. 127 went to the clerk's office after the verdict had been returned and the jury had been discharged. He explained that he had stayed with his sister (a New Hampshire resident) during the trial; complained that his car was towed from a "resident only" parking spot at his sister's building; and inquired whether the court could resolve his towing charges. In the course of this discussion, court staff realized that Juror No. 127 had no current residence in New Hampshire and alerted the judge. The chief deputy clerk prepared a memorandum summarizing relevant facts, and the judge directed that the parties be notified about the residency issue.

- 4 - native who had been residing for over a year in neighboring

Massachusetts.

Based on this anomaly, the appellant moved for a new

trial. See Fed. R. Crim. P. 33. The government opposed the

motion, and the district court conducted an evidentiary hearing.

The court reserved decision and thereafter, in a thoughtful

rescript, denied the appellant's motion. See United States v.

Gonzalez, No. 16-cr-162-12-PB,

2018 WL 1936473

(D.N.H. Apr. 24,

2018).

In due course, the district court received the

presentence investigation report (the PSI Report). When

chronicling the appellant's criminal record and calculating his

criminal history score, the PSI Report included the appellant's

1997 New Hampshire conviction for possession of a narcotic drug

with intent to sell. The appellant did not object to the inclusion

of the 1997 New Hampshire drug conviction in his criminal history,

and, predicated on that conviction and the Information previously

filed by the government, the PSI Report concluded that the

appellant was subject to a twenty-year mandatory minimum

recidivist term of immurement. At the disposition hearing, the

district court accepted this conclusion and imposed a twenty-year

sentence. This timely appeal followed.

- 5 - II. ANALYSIS

The centerpiece of the appellant's asseverational array

is his claim that his conviction and sentence must be vacated

because the jury that convicted him included a nonresident. The

appellant's remaining claims of error are focused on his sentence.

We first address his "nonresident juror" claim and then confront

his various sentence-related challenges.

A. The Nonresident Juror Claim.

The appellant asserts that he is entitled to a new trial

because one of the seated jurors was not a New Hampshire resident.

This assertion rests on both the Jury Selection and Service Act

(JSSA), see

28 U.S.C. § 1865

(b)(1), and the Sixth Amendment. The

district court denied the appellant's motion for a new trial,

rejecting both his statutory and constitutional arguments. In the

court's view, the appellant advanced his claim too late and, in

all events, could not show any prejudice flowing from the

nonresident juror's participation in the trial.

Federal Rule of Criminal Procedure 33 permits a district

court to "vacate any judgment and grant a new trial if the interest

of justice so requires." We review a denial of a motion for a new

trial for abuse of discretion. See United States v. Connolly,

504 F.3d 206, 211

(1st Cir. 2007). Where, as here, the judge who hears

the motion for a new trial is the same judge who presided over the

trial, substantial deference is due to the judge's perceptions.

- 6 - See id.; United States v. Natanel,

938 F.2d 302, 313

(1st Cir.

1991). Of course, a material error of law is always an abuse of

discretion. See Connolly,

504 F.3d at 211

.

The JSSA premises eligibility for jury service on, among

other things, residency for at least one year in the judicial

district in which the trial is to be held. See

28 U.S.C. § 1865

(b)(1). In this case, though, it is undisputed that Juror

No. 127 was not a New Hampshire resident at the time of the trial

and, therefore, was not then eligible for jury service in the

District of New Hampshire. Even so, the JSSA requires a defendant

to raise any residency issue "before the voir dire examination

begins, or within seven days after the defendant discovered or

could have discovered" such issue, "by the exercise of diligence

. . . whichever is earlier."

Id.

§ 1867(a); see United States v.

Uribe,

890 F.2d 554, 561

(1st Cir. 1989). This timing requirement

serves an eminently practical purpose: when an objection to a

juror's lack of the required residency is made on a timely basis,

the court can rectify the situation by the simple expedient of

replacing the ineligible juror with an eligible juror. See United

States v. Novod,

923 F.2d 970, 978

(2d Cir.), aff'd in part, rev'd

in part on reh'g on other grounds,

927 F.2d 726

(2d Cir. 1991);

cf. United States v. Gale,

109 U.S. 65, 69-70

(explaining that

when objection regarding juror ineligibility is made timely, "the

irregularity might be corrected by reforming the panel").

- 7 - In this instance, the appellant had available to him —

before voir dire — Juror No. 127's supplemental questionnaire.

This document clearly indicated that Juror No. 127 was not a New

Hampshire resident. But the appellant's counsel neglected to

review this form, relying instead on a summary jury selection list

that set forth "City & State" for each prospective juror

(information extracted from the prospective jurors' self-reported

permanent addresses on other forms). Juror No. 127 had reported

that his permanent address was in Derry, New Hampshire, so that

city and state appeared opposite his name on the jury selection

list. And even though the supplemental questionnaire made it plain

that Juror No. 127 had been a resident of Massachusetts for at

least fifteen months prior to jury empanelment, the appellant's

counsel did not object when Juror No. 127 was seated on the jury.

It was not until after the verdict was returned that the appellant

mounted a residency-based challenge. That was too late, see

28 U.S.C. § 1867

(a), and the district court determined that the

appellant's challenge was unavailing.

We discern no abuse of discretion. Before voir dire

commenced, the appellant's counsel easily could have discovered,

through the exercise of due diligence, that Juror No. 127 was not

a New Hampshire resident.2 All that he had to do was review the

2 Here, as in other contexts, the sins of the lawyer are visited upon the client. See Taylor v. Illinois,

484 U.S. 400

,

- 8 - completed questionnaire that had been given to him. A party who

chooses not to read a document in his possession scarcely can be

heard to complain that he was unaware of the contents of the

document. See

id.

(charging defendant with notice of defect when

he "could have discovered" it "by the exercise of diligence");

Uribe,

890 F.2d at 561

(finding waiver when basis for objection

could have been gleaned from jury questionnaires available to

counsel on motion).

The appellant attempts to sidestep the effects of his

waiver. He suggests that his failure to raise a timely challenge

to Juror No. 127's eligibility should be excused because the

district court provided inconsistent information about the juror's

place of residence; court staff had more information about the

juror's residence than did the appellant; and court staff shirked

their responsibility of getting to the bottom of the residency

issue after Juror No. 127 made an initial inquiry.

The plain language of the statute, though, precludes the

appellant from relying on these excuses to overcome his waiver.

The JSSA provides that following the statutory procedure

(including the timing requirement) constitutes "the exclusive

means" for a defendant to raise a challenge to jury composition

based on noncompliance with the JSSA.

28 U.S.C. § 1867

(e). In

416-18 (1988); Gonzalez v. Banco Cent. Corp.,

27 F.3d 751

, 762 n.12 (1st Cir. 1994).

- 9 - comparable contexts, courts consistently have found waiver when

defendants failed to comply strictly with JSSA requirements. See,

e.g., United States v. Foxworth,

599 F.2d 1, 3

(1st Cir. 1979)

(concluding that appellant's "failure to comply with the express

statutory requirement . . . precludes his statutory challenge to

the jury selection process"); United States v. Marrapese,

610 F. Supp. 991, 997

(D.R.I. 1985) (Selya, J.) ("Under the statutory

scheme, § 1867 ministers to the vigilant — not to those who sleep

upon their perceptible rights."). This principle holds sway even

when — as in this case — the objecting party proffers an excuse

based on some idiosyncratic circumstance. See United States v.

Hawkins,

566 F.2d 1006, 1013-14

, 1013 n.13 (5th Cir. 1978)

(explaining why the JSSA should not be interpreted as "impliedly

excusing compliance with the timeliness requirement" even when

"potential irregularity in the jury selection process" is known to

court and government but not to defendant).

We add, moreover, that the appellant's claim under the

JSSA is doubly barred: even if the residency glitch had been

entirely unknowable prior to verdict, the appellant would still

have to carry the burden of establishing prejudice. See Uribe,

890 F.2d at 562

. The district court found no prejudice, and its

assessment is entitled to substantial deference. See

id.

The

appellant has pointed to nothing that calls the district court's

assessment into legitimate question.

- 10 - The parties agree that, in this case, the existence of

prejudice depends on whether there is any good reason to believe

that Juror No. 127 may have been biased. Struggling to make such

a showing, the appellant argues that Juror No. 127 was less than

candid about his residency and, thus, should be deemed biased.

But in order to obtain a new trial based on a juror's lack of

forthrightness regarding a statutory qualification during voir

dire, a party ordinarily must demonstrate harm. See

id.

In most

instances — and this case is no exception — a claim based on a

statutorily ineligible juror's lack of candor "reduces to one based

on actual or likely bias."

Id.

In Sampson v. United States,

724 F.3d 150

(1st Cir.

2013), we addressed the issue of bias when examining a claim that

a new trial was required because a seated juror had been dishonest

during voir dire. See

id. at 163-66

. There, we made pellucid

that an "inquiry into potential bias . . . . depends on whether a

reasonable judge, armed with the information that the . . . juror

failed to disclose . . . would conclude under the totality of the

circumstances that the juror lacked the capacity and the will to

decide the case based on the evidence."

Id. at 165-66

. Although

the Sampson court was dealing with a dishonest juror, see

id. at 162-63

, the same inquiry applies where a juror is confused or

mistaken rather than dishonest, see McDonough Power Equip., Inc.

v. Greenwood,

464 U.S. 548, 555-56

(1984) (establishing

- 11 - impartiality test when juror gave "mistaken, though honest,

response" to voir dire question).

It is manifest that a juror's ineligibility, premised on

lack of residency, does not, in itself, impair the impartial

performance of the juror's duties. See United States v. Haywood,

452 F.2d 1330, 1332

(D.C. Cir. 1971). The appellant has shown

nothing more: the record reflects genuine confusion, not outright

dishonesty, concerning Juror No. 127's residency. The

supplemental questionnaire, which was in the appellant's

possession before voir dire, makes it apparent that the juror

disclosed that he had been a Massachusetts resident for over a

year. What is more, Juror No. 127 spoke to a pair of court

employees about the complexities of determining his residency.

So, too, Juror No. 127's self-report of a permanent address in

Derry, New Hampshire, was not pulled out of thin air: he was a

New Hampshire native and had maintained his New Hampshire address

to register and insure his motor vehicle, retain his New Hampshire

driver's license, and register to vote in that state. He even had

instructed his employer to send the confirmations of the periodic

direct deposits of his wages to his New Hampshire address. We

hold, therefore, that the district court did not abuse its

discretion in finding that Juror No. 127 had not intentionally

furnished false information.

- 12 - If more were needed — and we doubt that it is — there is

nothing in the record that suggests any actual bias. The district

court impliedly found that, apart from his nonresidency, Juror No.

127 was fully qualified to serve. And it found no inkling of bias.

We agree that, in light of the totality of the circumstances,

neither Juror No. 127's Massachusetts residency nor his mistaken

claim of New Hampshire residency would lead a reasonable judge to

conclude that he would be unable or unwilling to weigh the evidence

even-handedly. Given the absence of anything fairly suggesting

bias on Juror No. 127's part, we affirm the district court's

determination that the appellant did not suffer any prejudice.

This leaves the appellant's constitutional claim. The

Sixth Amendment affords a criminal defendant the right to a fair

trial "by an impartial jury of the State and district" in which

the crime was committed. U.S. Const. amend. VI. Much like a

counterpart claim made under the JSSA, a Sixth Amendment challenge

to the impartiality of a jury ordinarily must be proffered in a

timely manner. See Novod,

923 F.2d at 978

; see also Queen v.

Hepburn,

11 U.S. (7 Cranch) 290, 297

(1813) (noting requirement

that objection to juror qualification based on residence must be

made before juror is sworn).

When a party is aware — or ought to be — of a juror's

nonresidence before the trial begins, and does not object timely,

he waives his right to complain that seating the juror violates

- 13 - the Sixth Amendment. See Novod,

923 F.2d at 978

; see also

Thornburg v. United States,

574 F.2d 33, 34-36

(1st Cir. 1978)

(reaching same result when alleged disqualification was lack of

English proficiency). As discussed above, the appellant's counsel

had the supplemental questionnaire indicating Juror No. 127's

Massachusetts residency before voir dire but did not interpose a

timely objection. Thus, cloaking the residency issue in the

raiment of the Sixth Amendment does not advance the appellant's

quest for a new trial.

B. Claims of Sentencing Error.

None of the appellant's four claims of sentencing error

were raised below. Consequently, our review is presumptively for

plain error. See Fed. R. Crim. P. 52(b); United States v. Duarte,

246 F.3d 56, 60

(1st Cir. 2001). "Review for plain error entails

four showings: (1) that an error occurred (2) which was clear or

obvious and which not only (3) affected the defendant's substantial

rights, but also (4) seriously impaired the fairness, integrity,

or public reputation of judicial proceedings." Duarte,

246 F.3d at 60

. The appellant, as the proponent of plain error, bears the

burden of persuasion on each facet of this quadripartite test.

See United States v. Brown,

235 F.3d 2, 4

(1st Cir. 2000).

With this standard in place, we turn to the appellant's

claims of error. We discuss them one by one.

- 14 - 1. The Vagueness Claim. The appellant asserts that he

should not have been subjected to a twenty-year mandatory minimum

recidivist sentence. Here, though, the appellant was convicted of

a felony: conspiracy to distribute and possess with intent to

distribute one kilogram or more of a controlled substance. And

the statute of conviction, as it read at the time, specifically

provided that "[i]f any person commits such a violation after a

prior conviction for a felony drug offense has become final, such

person shall be sentenced to a term of imprisonment which may not

be less than 20 years."

21 U.S.C. § 841

(b)(1)(A) (2012). Given

the appellant's 1997 New Hampshire conviction for possession of a

narcotic drug with intent to sell, the mandatory twenty-year term

of immurement imposed by the district court appears, on its face,

to be appropriate.

The appellant demurs. To begin, he challenges the

mandatory minimum recidivist sentence on the grounds that the term

"felony drug offense," as used in section 841, is void for

vagueness. In mounting this challenge, the appellant relies

heavily on the Supreme Court's decision in Johnson v. United

States,

135 S. Ct. 2551

(2015), which held that the residual clause

defining "violent felony" in the Armed Career Criminal Act offended

the Due Process Clause. See

id. at 2563

.

The residual clause defined "violent felony" as an

offense that "otherwise involves conduct that presents a serious

- 15 - potential risk of physical injury to another."

18 U.S.C. § 924

(e)(2)(B)(ii) (2012). The Court concluded that this

definition was void for vagueness because it required judges to

look beyond the elements of a crime and examine "a judicially

imagined 'ordinary case' of a crime" rather than "real-world facts

or statutory elements." Johnson,

135 S. Ct. at 2557

. That

process, the Court stated, not only left "grave uncertainty about

how to estimate the risk posed by a crime" but also left

"uncertainty about how much risk it takes for a crime to qualify

as a violent felony."

Id. at 2557-58

. To shore up this argument,

the appellant cites to other Supreme Court cases that held residual

clauses defining the term "crime of violence" void for vagueness.

See United States v. Davis,

139 S. Ct. 2319, 2336

(2019); Sessions

v. Dimaya,

138 S. Ct. 1204, 1216

(2018).

Building on this foundation, the appellant strives to

persuade us that the term "felony drug offense" is void for

vagueness because, as he envisions it, judges must look beyond the

statutory elements of the charged crime in order to determine

whether a prior conviction qualifies as a predicate. We are not

convinced. As Congress has employed the term, a "felony drug

offense" is "an offense that is punishable by imprisonment for

more than one year . . . that prohibits or restricts conduct

relating to . . . drugs."

21 U.S.C. § 802

(44). In attempting to

- 16 - draw a parallel to the Johnson line of cases, the appellant focuses

on Congress's use of the word "conduct." This focus is misplaced.

A federal law violates the Due Process Clause only if it

is "so vague that it fails to give ordinary people fair notice of

the conduct it punishes, or so standardless that it invites

arbitrary enforcement." Johnson,

135 S. Ct. at 2556

. We think it

plain that "felony drug offense," as used in section 841, is

neither vague nor standardless. Its definition and application

require asking no more than three simple questions. See

21 U.S.C. §§ 802

(44), 841(b)(1)(A). Those questions are: (1) Was there a

prior conviction? (2) Was that conviction for a felony (that is,

for an offense punishable by a year or more in prison)? and (3) Was

that conviction for an offense that "prohibits or restricts conduct

relating to" drugs,

id.

§ 802(44)? All three of these questions

have objectively ascertainable answers, and answering them

requires nothing more than examining the statute of conviction.

So long as these answers are all in the affirmative, the offense

qualifies as a "felony drug offense" for the purpose of triggering

the mandatory minimum. Seen in this light, the statute affords

fair notice of the conduct leading to the sentencing enhancement,

and the necessary analysis is not plagued by the need for judicial

imagination and hypothesis that concerned the Johnson Court.

The cases cited by the appellant do not deal either with

the statutory provision at issue here or with any analogous

- 17 - provision. See Davis,

139 S. Ct. at 2324

; Dimaya,

138 S. Ct. at 1210-11

; Johnson,

135 S. Ct. at 2555-56

. Put bluntly, their

holdings are inapposite. In the absence of any on-point authority,

there is no principled way for us to say that the district court

committed a clear or obvious error in treating the statute as

constitutional and following its dictates to impose a mandatory

minimum recidivist sentence. See United States v. Morosco,

822 F.3d 1, 21

(1st Cir. 2016) (concluding that challenged ruling

"[wa]s not within a country mile of plain error" when no

controlling precedent existed); United States v. Caraballo-

Rodriguez,

480 F.3d 62, 73

(1st Cir. 2007) ("[S]ince we have not

yet adopted the [statutory] construction [that the appellant]

urges, there is no plain error."). We conclude, therefore, that

the appellant's vagueness claim lacks force.

2. The Section 851(b) Claim. The appellant next argues

that we must vacate his sentence because the district court did

not comply with certain statutory prerequisites prior to imposing

the mandatory minimum recidivist term of immurement.

Specifically, he complains that the court did not engage in a

colloquy with him inquiring whether he affirmed the prior

conviction and advising him that any challenge to it must be raised

before sentencing. See

21 U.S.C. § 851

(b).

21 U.S.C. § 851

delineates the procedures for seeking

and imposing an enhanced recidivist sentence. First, the

- 18 - government must "file[] an information with the court . . . stating

in writing the previous convictions to be relied upon."

Id.

§ 851(a)(1). The government did so here. Next, the court

must "inquire of the person with respect to whom the information

was filed whether he affirms or denies that he has been previously

convicted as alleged" and "inform him that any challenge to a prior

conviction which is not made before sentence is imposed may not

thereafter be raised." Id. § 851(b). It is undisputed that the

court below failed to engage in such a colloquy.

Section 851(c) prescribes the procedures by which a

defendant may seek to challenge a prior conviction — procedures

that the appellant did not follow. Another statutory provision

further limits a defendant's ability to challenge past

convictions. See id. § 851(e) (prohibiting "challenge[s] [to] the

validity of any prior conviction . . . which occurred more than

five years before the date of the information").

Before reaching the merits of the appellant's argument,

a threshold matter looms. Despite conceding that he did not object

to the absence of the required colloquy in the district court, the

appellant nonetheless protests the appropriateness of plain error

review. Remarking that section 851(b) places the onus on the

district court to inform a defendant of his right to affirm or

deny a prior conviction, the appellant asserts that it makes no

sense to require him to object contemporaneously to the court's

- 19 - failure to provide the required warning. He exhorts us instead to

review the absence of the required colloquy for harmless error,

not plain error. See United States v. Lopez,

907 F.3d 537

, 547-

48 (7th Cir. 2018), cert. denied,

139 S. Ct. 1612

(2019); United

States v. Baugham,

613 F.3d 291, 295-96

(D.C. Cir. 2010) (per

curiam).

The appellant's standard-of-review argument runs

headlong into the law of the circuit doctrine. As a general

matter, that doctrine commands our adherence to our own prior panel

decisions. See, e.g., United States v. Barbosa,

896 F.3d 60, 74

(1st Cir.), cert. denied,

139 S. Ct. 579

(2018); United States v.

Rodríguez,

527 F.3d 221, 224

(1st Cir. 2008); United States v.

Lewis,

517 F.3d 20, 23

(1st Cir. 2008). Unless a litigant can fit

his case into one of the narrow exceptions to this doctrine,3 prior

circuit precedent controls. See Barbosa,

896 F.3d at 74

.

Here, none of the exceptions applies, and our prior

circuit precedent teaches that we must review previously unraised

claims regarding a district court's failure to conduct a section

851(b) colloquy for plain error. See United States v. Curet, 670

3 We have said that "the exceptions to the law of the circuit doctrine are narrowly circumscribed and their incidence is 'hen's- teeth-rare.'" Barbosa,

896 F.3d at 74

(quoting San Juan Cable LLC v. P.R. Tel. Co.,

612 F.3d 25, 33

(1st Cir. 2010)). For instance, an exception pertains "when the holding of a previous panel is contradicted by subsequent controlling authority, such as a decision by the Supreme Court, an en banc decision of the originating court, or a statutory overruling."

Id.

- 20 - F.3d 296, 300 (1st Cir. 2012) ("We review failure to conduct a

§ 851(b) colloquy for harmless error where there is an objection,

and for plain error in the absence of an objection."); United

States v. Dickerson,

514 F.3d 60, 64-65

, 65 n.4 (1st Cir. 2008).

Accordingly, we are bound to review the appellant's section 851(b)

claim for plain error.

The appellant says that plain error occurred simply

because the district court failed to adhere to the procedure limned

in

21 U.S.C. § 851

(b). The relevant facts are not in dispute:

the district court neither made the required inquiry nor informed

the appellant of the limited time available within which to

challenge the prior conviction. Even so, the appellant's argument

faces an insurmountable obstacle: his predicate conviction

occurred some twenty years before the date of the Information in

this case, and statutory law forecloses challenges to the validity

of convictions that are more than five years old. See

21 U.S.C. § 851

(e); see also Dickerson,

514 F.3d at 65

. Thus, even though

the section 851(b) colloquy was omitted, the appellant cannot

demonstrate that its omission in any way affected his substantial

rights. See United States v. Romero-Carrion,

54 F.3d 15, 18

(1st

Cir. 1995). Plain error is plainly absent: the district court's

- 21 - error was harmless, and a harmless error cannot be a plain one.4

See Dickerson,

514 F.3d at 65

.

There is one loose end. The appellant suggests that

even though he could not challenge the validity of the 1997

conviction, he could still have challenged allegations in the

Information by following the procedure outlined in section 851(c).

See

21 U.S.C. § 851

(c)(1). This is true as far as it goes — but

it does not take the appellant very far. Neither in any filing in

the district court nor in his appellate briefing did he raise any

viable challenge to any specific allegation in the Information.

The mere possibility that such a challenge might be open to him

does not, without more, support a finding of plain error.

At oral argument in this court, the appellant's

appellate counsel attempted to fill this void. She suggested that

the appellant may not have been the same "Alfredo Gonzalez" who

was convicted in the 1997 New Hampshire drug case. This belated

suggestion, presented without either an affidavit from the

appellant or any other shred of documentation, is too little and

too late. See

id.

§ 851(c)(2); cf. United States v. Serrano-

Mercado,

784 F.3d 838, 847

(1st Cir. 2015) (recognizing that

4 Given this conclusion, it is nose-on-the-face plain that the standard of review makes no meaningful difference in this instance. Because the section 851(b) error was patently harmless, the appellant's claim of error would founder even under his preferred standard of review.

- 22 - defendant in categorical case who does not tender Shepard documents

on appeal "could not meet the heightened prejudice showing plain

error review requires"). And this suggestion strikes a

particularly dissonant chord inasmuch as the appellant did not

object to the inclusion of this conviction in his criminal history

(as recounted in the PSI Report). And if, despite this seeming

admission, he actually wishes to make and pursue a "not me" claim,

he may do so by means of a petition for post-conviction relief,

accompanied by appropriate documentation, under

28 U.S.C. § 2255

.

Battling on, the appellant's counsel suggests that

"[b]ased on the scant details in the information, it is unclear

even whether the prior conviction was a felony." This suggestion

elevates hope over reason. A "felony drug offense" is one that is

"punishable by imprisonment for more than one year under any law

. . . of a State . . . that prohibits or restricts conduct relating

to . . . drugs."

21 U.S.C. § 802

(44). Here, the record makes

manifest that the prison sentence received by the appellant in the

New Hampshire drug case was for substantially more than one year.

To cinch the matter, the nature of the offense — possession of a

narcotic drug with intent to sell — indicates just as clearly that

the conviction was for an offense "that prohibits or restricts

conduct relating to narcotic drugs." Id.; see United States v.

Burghardt,

939 F.3d 397, 406-09

(1st Cir. 2019) (holding that

violation of

N.H. Rev. Stat. Ann. § 318

-B:2(I) is categorically a

- 23 - "serious drug offense" under

18 U.S.C. § 924

(e)(2) — holding that

forecloses any argument that it is not a "felony drug offense"

under the more broadly worded

21 U.S.C. § 802

(44)).

That ends this aspect of the matter. We conclude that

the district court's error in failing to conduct the required

section 851(b) colloquy was harmless and that, therefore, the

appellant's assignment of error fails.

3. The Apprendi Claim. As a further fallback, the

appellant submits that using his 1997 New Hampshire drug conviction

as the foundation for the twenty-year mandatory minimum recidivist

sentence transgressed his Fifth and Sixth Amendment rights. In

support, he points out that the federal indictment did not itself

allege the prior conviction, nor did the government prove the fact

of the conviction beyond a reasonable doubt. See Apprendi v. New

Jersey,

530 U.S. 466, 490

(2000).

In Apprendi, the Supreme Court held that "any fact that

increases the penalty for a crime beyond the prescribed statutory

maximum must be submitted to a jury, and proved beyond a reasonable

doubt."

Id.

Apprendi, however, is not the Court's controlling

precedent on the question of when a prior conviction may be used

to enhance a defendant's sentence. "[T]he Supreme Court's decision

in Almendarez-Torres v. United States,

523 U.S. 224

(1998), fairly

construed, established that a sentencing enhancement may be

grounded on prior criminal convictions neither separately charged

- 24 - nor proven to a jury." United States v. Richards,

456 F.3d 260, 262

(1st Cir. 2006). Since Almendarez-Torres has neither been

overruled nor abrogated by the Supreme Court, we are bound by its

specific holding. See

id.

In an effort to blunt the force of this reasoning, the

appellant says that later Supreme Court decisions intimate that

the Justices may be prepared to disavow Almendarez-Torres. See,

e.g., United States v. Haymond,

139 S. Ct. 2369, 2376-79

(2019);

Alleyne v. United States,

570 U.S. 99, 103

(2013); see also

Apprendi,

530 U.S. at 520-21

(Thomas, J., concurring). But we are

not at liberty to browse through these tea leaves and vaticinate

what future holdings the Supreme Court may (or may not) make.

Where, as here, a Supreme Court decision applies directly to a

case before us yet arguably depends on a rationale called into

question by a later decision, we must still follow the decision

that directly applies. See Agostini v. Felton,

521 U.S. 203, 237

(1997); Rodriguez de Quijas v. Shearson/Am. Express, Inc.,

490 U.S. 477, 484

(1989). Consequently, we reject the appellant's

Apprendi challenge to his mandatory minimum recidivist sentence.

The district court hardly could have committed plain error by

adhering to binding Supreme Court precedent.

4. The First Step Act Claim. On December 21, 2018,

Congress enacted the First Step Act of 2018 (the Act),

Pub. L. No. 115-391, 132

Stat. 5194 (to be codified in scattered sections of

- 25 - 18, 21, and 34 U.S.C.). Section 401(a)(2)(A)(i) of the Act amended

the statute of conviction to reduce the mandatory minimum sentence

applicable for this crime from twenty years to fifteen years. See

§ 401, 132 Stat. at 5220 (to be codified at

21 U.S.C. § 841

(b)(1)).

The appellant contends that this reduction of the mandatory minimum

sentence should be applied retroactively to his behoof. To

undergird this contention, he notes that the Act became law while

his appeal was pending.

We do not write on a pristine page. Section 401(c) of

the Act states precisely when and to what extent the Act's

provisions apply to pending cases. See

id. at 5221

. Pertinently,

"[t]his section, and the amendments made by this section, shall

apply to any offense that was committed before the date of

enactment of this Act, if a sentence for the offense has not been

imposed as of such date of enactment."

Id.

(emphasis supplied).

The appellant acknowledges that the district court

sentenced him prior to the December 21, 2018, effective date. He

nonetheless asserts that when "a defendant is appealing the

sentence, it cannot yet be considered final." And because the

sentence is not yet final, his thesis runs, it has not yet been

"imposed," and the Act's reduced mandatory minimum should apply to

him.

The appellant's contention conflates finality with

imposition, and the Act's plain language defeats it. The word

- 26 - "imposed" is not specially defined in the Act, and we therefore

give that word its ordinary meaning. See United States v. Gordon,

875 F.3d 26, 33

(1st Cir. 2017); Stornawaye Fin. Corp. v. Hill (In

re Hill),

562 F.3d 29, 32

(1st Cir. 2009). A sentence is

customarily understood to be imposed either when it is pronounced

or entered in the trial court, regardless of subsequent appeals.

See United States v. Pierson,

925 F.3d 913, 927

(7th Cir. 2019)

("In common usage in federal sentencing law, a sentence is

'imposed' in the district court, regardless of later appeals."),

petition for cert. filed, — U.S.L.W. — (U.S. Oct. 28, 2019) (No.

19-566); United States v. Davis,

924 F.3d 899

, 905 n.4 (6th Cir.

2019) (observing that sentence is imposed when it is orally

pronounced); see also United States v. Burgos-Andújar,

275 F.3d 23

, 32 n.6 (1st Cir. 2001) (indicating that First Circuit "has not

decided" precisely "when a sentence is imposed" but noting that

choice is between oral pronouncement of sentence and trial court's

entry of judgment); Fed. R. Crim. P. 35 advisory committee's note

to 2004 amendment (advocating oral announcement as sentencing

date). We need not decide today whether a sentence is imposed on

the date of its pronouncement or on the date of entry of judgment;

either way, the sentence is imposed before an appeal from that

sentence can be taken.

- 27 - In the case at hand, the appellant's sentence was imposed

in June of 20185 — several months before the Act was passed — so

the appellant cannot reap the benefit of the Act's reduction of

the mandatory minimum. His claim of error is, therefore, hopeless.

III. CONCLUSION

We need go no further. For the reasons elucidated above,

the judgment of the district court is

Affirmed.

5 The court below orally pronounced the appellant's sentence on June 14, 2018. The judgment was entered on the district court's docket the next day.

- 28 -

Reference

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