United States v. Randy Banks
U.S. Court of Appeals for the Fourth Circuit
United States v. Randy Banks, 104 F.4th 496 (4th Cir. 2024)
United States v. Randy Banks
Opinion
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PUBLISHED
UNITED STATES COURT OF APPEALS
FOR THE FOURTH CIRCUIT
No. 19-4620
UNITED STATES OF AMERICA,
Plaintiff – Appellee,
v.
RANDY BANKS, a/k/a Dirt,
Defendant – Appellant.
No. 19-4826
UNITED STATES OF AMERICA,
Plaintiff – Appellee,
v.
JAMAL LOCKLEY, a/k/a T-Roy, a/k/a Droid,
Defendant – Appellant.
No. 20-4193
UNITED STATES OF AMERICA,
Plaintiff – Appellee,
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v.
CORLOYD ANDERSON, a/k/a Bo,
Defendant – Appellant.
No. 20-4250
UNITED STATES OF AMERICA,
Plaintiff – Appellee,
v.
SHAKEEN DAVIS, a/k/a Creams,
Defendant – Appellant.
No. 20-4266
UNITED STATES OF AMERICA,
Plaintiff – Appellee,
v.
DANTE D. BAILEY, a/k/a Gutta, a/k/a Almighty, a/k/a Wolf,
Defendant – Appellant.
Appeals from the United States District Court for the District of Maryland, at Baltimore.
Catherine C. Blake, Senior District Judge. (1:16-cr-00267-CCB-5; 1:16-cr-00267-CCB-8;
1:16-cr-00267-CCB-11; 1:16-cr-00267-CCB-20; 1:16-cr-00267-CCB-1)
Argued: May 7, 2024 Decided: June 12, 2024
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Before AGEE and WYNN, Circuit Judges, and Gina M. GROH, United States District
Judge for the Northern District of West Virginia, sitting by designation.
Affirmed in part, reversed in part, and remanded with instructions by published opinion.
Judge Agee wrote the opinion in which Judge Wynn and Judge Groh joined.
ARGUED: Stuart A. Berman, LERCH, EARLY & BREWER, CHARTERED, Bethesda,
Maryland; Lauren Nicole Beebe, ALLEN OVERY SHEARMAN STERLING US LLP,
Washington, D.C.; Gerald Thomas Zerkin, Richmond, Virginia; Carmen D. Hernandez,
LAW OFFICES OF CARMEN D. HERNANDEZ, Highland, Maryland, for Appellants.
Jefferson McClure Gray, OFFICE OF THE UNITED STATES ATTORNEY, Baltimore,
Maryland, for Appellee. ON BRIEF: Allen H. Orenberg, THE ORENBERG LAW FIRM,
PC, Potomac, Maryland, for Appellant Jamal Lockley. Adam B. Schwartz, ALLEN
OVERY SHEARMAN STERLING US LLP, Washington, D.C., for Appellant Dante
Bailey. Erek L. Barron, United States Attorney, Brandon K. Moore, Assistant United States
Attorney, OFFICE OF THE UNITED STATES ATTORNEY, Baltimore, Maryland, for
Appellee.
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AGEE, Circuit Judge:
Five members and associates of a Baltimore-based gang appeal multiple
components of their convictions and sentences. As discussed below, because Shakeen
Davis’ two felon-in-possession convictions were obtained in violation of Rehaif v. United
States, 588 U.S. 225 (2019), we reverse those convictions and remand for entry of a
corrected judgment. As for all the other challenged convictions and sentences, we affirm.
I.
Recounted in the light most favorable to the Government, the evidence adduced at
trial showed the following: Over a decade ago, Dante Bailey founded Murdaland Mafia
Piru (MMP) as a branch of the Bloods gang operating throughout Baltimore City and
County, Maryland. The so-called “5200 boys” operated alongside MMP members, earning
their moniker from the 5200 block of Windsor Mill Road, which was considered MMP’s
headquarters. MMP had a hierarchical structure and adopted many features of the Italian
mafia. Bailey was its “Don” or “Godfather.” Subordinates operated MMP’s extensive drug-
trafficking operation involving the distribution of heroin, cocaine, cocaine base, fentanyl,
marijuana, and other controlled substances. MMP required non-gang members who wanted
to distribute drugs in its territory to pay “taxes.”
In addition to MMP’s drug-trafficking endeavors, it also undertook various
enforcement measures—often violent ones—to ensure its operations ran smoothly and to
maintain control of its territory. Bailey (and MMP generally) took any sign of disrespect
seriously, leading to punishment of MMP members and non-members alike. In furtherance
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of its operations, MMP members and affiliates were responsible for the attempted murders
and murders of multiple individuals.
Federal, state, and local authorities investigated MMP’s illicit activities for many
years, eventually amassing extensive evidence against a network of street-level dealers all
the way to Bailey himself. This evidence took many forms, from recorded controlled buys
and surveillance footage to wiretap conversations, cellphone data, and the statements of
cooperating witnesses.
The investigation into MMP led to indictments charging over two-dozen defendants
with a Racketeer Influenced and Corrupt Organizations Act (RICO) conspiracy, a narcotics
conspiracy, and related offenses. All but six individuals pleaded guilty. At issue before us
is the appeal from the joint, six-week trial against five defendants: Dante Bailey, Shakeen
Davis, Corloyd Anderson, Jamal Lockley, and Randy Banks. 1
Bailey was convicted of conspiracy under RICO, in violation of 18 U.S.C.
§ 1962(d); conspiracy to distribute controlled substances, in violation of21 U.S.C. § 846
;
murder in aid of racketeering, in violation of 18 U.S.C. § 1959(a)(1), (2); and possession
with intent to distribute controlled substances, in violation of 21 U.S.C. § 841and18 U.S.C. § 2
. For these four convictions, Bailey was sentenced to concurrent terms of life
imprisonment. Bailey was also convicted of possession of a firearm and ammunition as a
1
A sixth defendant, Sydni Frazier, was initially part of this trial, but was severed
after his attorney could not proceed in the joint trial. He was subsequently convicted in a
separate trial and his appeal is pending in this Court, Case No. 22-4368, but it is not part
of this appeal.
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convicted felon, in violation of 18 U.S.C. § 922(g), for which he received a 20-year
sentence, to run concurrent to the life sentences.
Davis was convicted of both conspiracies, for which he was sentenced to a term of
300 months’ imprisonment for each count, to run concurrent to each other. In addition, he
was convicted of two counts of possession of a firearm and ammunition as a convicted
felon, in violation of 18 U.S.C. § 922(g), for which he was sentenced to 120 months’
imprisonment, to run concurrent to the sentence for the conspiracies. Davis was also
convicted of one count of distribution and possession with intent to distribute controlled
substances, in violation of 21 U.S.C. § 841, for which he received a 240-month sentence,
to run concurrent with the previously mentioned sentences. Lastly, Davis was convicted of
one count of possession of a firearm in furtherance of a drug trafficking crime, in violation
of 18 U.S.C. § 924(c), for which he received a 60-month term of imprisonment, to run
consecutive to his other sentences.
Anderson was convicted of both conspiracies, for which he received a sentence of
264 months’ imprisonment on each count, to run concurrent to each other. He was also
convicted of one count of possession of a firearm and ammunition as a convicted felon, in
violation of 18 U.S.C. § 922(g). But in light of the Supreme Court’s later-issued decision
in Rehaif, the Government stipulated to the dismissal of that conviction.
Lockley was convicted of both conspiracies, for which he was sentenced to a 360-
month term of imprisonment on each count, to be served concurrent to each other. In
addition, he was convicted of one count of distribution and possession with intent to
distribute controlled substances, in violation of 21 U.S.C. § 841, for which he was
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sentenced to 120 months’ imprisonment, to run concurrent to the sentences for the
conspiracy convictions.
Lastly, Banks was convicted of the narcotics conspiracy, for which he was
sentenced to a total term of 216 months’ imprisonment. The jury returned a verdict of not
guilty on the RICO conspiracy charge.
After trial, but before the Defendants’ sentencing hearings, it came to light that one
of the law enforcement officers who had been part of the investigation had—many years
prior and in an unrelated incident—obtained proceeds from the sale of controlled
substances seized at the scene of a crime. That (now-former) officer later pleaded guilty to
an offense arising from the investigation into that misconduct. And because this former
officer had been the affiant on several wiretap applications and search warrants during the
MMP investigation, the Defendants moved for a new trial, arguing that the officer’s
misconduct tainted evidence that had been obtained and introduced against them. The
district court denied the motion, concluding that the former officer’s misconduct did not
implicate the trial evidence or otherwise undermine confidence in the verdict.
The Defendants noted timely appeals, and we consolidated their cases for briefing
and oral argument. We exercise jurisdiction under 28 U.S.C. § 1291and18 U.S.C. § 3742
(a).
II.
On appeal, the Defendants raise fifteen discrete issues challenging their convictions
and sentences, and even more arguments in support of those issues. We note at the outset
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that we have considered all these arguments, even if we do not directly address them in the
discussion that follows.
A. Challenges to the Trial and Convictions
1. Motion for New Trial
The Defendants argue that the district court erred in denying their motion for a new
trial based on former Baltimore City Police Officer Ivo Louvado’s role in the MMP
investigation. We review the denial of a motion for a new trial for abuse of discretion.
United States v. Robinson, 627 F.3d 941, 948 (4th Cir. 2010).
a. Background Facts
The record shows that in 2009, while Louvado was a police officer, he and other
corrupt police officers “stole and resold three kilograms of cocaine,” splitting the proceeds
of the sales between them. United States v. Bailey, No. CCB-16-267, 2022 WL 1451653,
*1 (D. Md. May 9, 2022). Direct evidence of Louvado’s crime came to light in April 2019,
during the middle of the MMP trial and as a result of a separate investigation into corruption
within the Baltimore City Police Department. Following a confidential investigation,
Louvado was charged in March 2020 with one count of lying to investigators about the
drug theft. He pleaded guilty to that offense in November 2020. Id. at *4.
Louvado became involved in the MMP investigation while he was on a detail with
the federal Bureau of Alcohol, Tobacco, and Firearms (ATF). Before addressing his
specific role, we note its context within the broader investigation that led to this trial: State
and local authorities had been investigating MMP for a long time before the ATF joined
the investigation, and the ATF’s investigation predated Louvado’s own involvement. This
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extensive “pre-Louvado” investigation spanned numerous law enforcement entities and
involved traffic stops, searches, seizures, wiretaps, and intercepted jail calls that already
implicated numerous MMP members, including Bailey, Davis, and Lockley, in the charged
conduct. Id. at *2.
As for Louvado’s role in the investigation, the Government identified—and the
Defendants do not dispute—that after Louvado joined the MMP investigation, he acted
“outside the presence of other officers” on just two occasions. Id. On the first occasion, he
was the sole law enforcement officer to check a confidential informant before a controlled
buy that was itself recorded. But this particular controlled purchase was not introduced into
evidence at trial. Id. On the second occasion, “Louvado surveilled Lockley as Lockley
exited his home, got into a car, and drove away.” Id. But this entire surveillance was
captured on video recording, and it was not a material part of the evidence against Lockley.
In addition to those two occurrences, Louvado was the direct or cross-referenced
law-enforcement signatory for several search warrants and wiretap authorizations during
the MMP investigation. See id. at *2–3. For example, he applied for warrants to search
Frazier’s and Davis’ cell phones and Davis’ Instagram account. He applied for warrants to
search several MMP-associated locations, including Lockley’s home, Anderson’s home
and business, and Davis’ home. And he was the sole affiant to obtain authorization to
wiretap the phones of two other co-conspirators. On each of these occasions, however, the
probable cause underlying the applications and affidavits was based on information that
did not originate from or otherwise involve Louvado. Instead, the probable cause to obtain
the requested authorizations originated from independent evidence, including recorded
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controlled buys, publicly available social media posts, and arrests for other specific
offenses.
As the investigation into MMP continued, a separate federal investigation began
looking into corruption within the Baltimore Police Department’s Gun Trace Task Force.
Louvado had never been a member of that task force, but in July 2017, a witness in that
investigation admitted to stealing money during a 2009 drug search. He named two other
officers who had also participated in the theft. He did not name Louvado as a participant
in the theft, but he implied that Louvado may have participated by mentioning that Louvado
had purchased a boat shortly after the theft. Id. at *4.
The following month, the task force investigators met with the MMP trial team to
summarize what they knew at that point—that no one had identified Louvado as someone
who had stolen drug money, that Louvado had not yet been questioned, and that they had
no evidence of his participation in the theft (for example, his financial records did not point
to having received large cash deposits around that time). Id.
In March 2018, another witness in the task force investigation relayed his second-
hand impression that Louvado had been involved in the 2009 drug theft. But that witness
had not been present and could not otherwise corroborate his suspicion, so investigators
still had no direct evidence that Louvado had committed a crime. Id.
During May 2018 and February 2019 interviews with task force investigators,
Louvado denied knowing about any relevant criminal activity. Id.
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In April 2019, a witness for the task force investigation provided the first concrete
evidence of Louvado’s criminal involvement. Namely, he admitted seeing Louvado steal
drugs in February 2009. Id.
At that time, the MMP trial was in its third week. Investigators reported this
evidence to supervisors, but the U.S. Attorney’s office determined that the MMP trial
attorneys had no Giglio 2 obligation to disclose the witness’s statement about Louvado for
three reasons: “(1) Louvado was not a trial witness; (2) the information in [Louvado’s
affidavits and applications] was independently verifiable; and (3) the [task force]
investigation was still underway with potential covert steps to be taken.” Id.
The investigation into Louvado’s criminal conduct culminated in a March 2020
criminal information against him for lying to investigators about the drug theft, and he
pleaded guilty to that offense months later.
b. Governing Law
The Defendants argued in favor of a new trial because of Louvado’s separate
criminal acts under two separate theories. First, they alleged that they satisfied Federal Rule
of Criminal Procedure 33, which authorizes a district court to “vacate any judgment and
grant a new trial if the interest of justice so requires.” When considering whether to grant
relief under Rule 33, courts look to five factors to determine whether “justice” demands a
new trial: “(a) the evidence must be, in fact, newly discovered, i.e., discovered since the
trial; (b) facts must be alleged from which the court may infer diligence on the part of the
2
Giglio v. United States, 405 U.S. 150 (1972).
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movant; (c) the evidence relied on must not be merely cumulative or impeaching; (d) it
must be material to the issues involved; and (e) it must be such, and of such nature, as that,
on a new trial, the newly discovered evidence would probably produce an acquittal.”
Robinson, 627 F.3d at 948 (cleaned up).
Second, and independently, the Defendants asserted that a Brady and Giglio
violation warranted a new trial. Those cases state that a defendant’s due-process rights are
violated when the prosecution suppresses evidence “favorable to an accused” or for
impeachment purposes. Brady v. Maryland, 373 U.S. 83, 87 (1963); Giglio, 405 U.S. at
153–54. To secure a new trial under this theory, a defendant must show that (1) the
undisclosed evidence was favorable to him; (2) it was material, i.e., caused him prejudice;
and (3) the prosecution possessed the evidence, yet failed to disclose it. United States v.
Stokes, 261 F.3d 496, 502 (4th Cir. 2001). 3
c. Analysis
The Defendants cannot prevail under either theory to a new trial because they cannot
show at least one element common to both: that evidence relating to Louvado’s criminal
misconduct was material. Though the precise ambit of what materiality entails varies
3
We have never held that Brady and Giglio apply to evidence bearing on the
warrant-application stage as opposed to evidence admitted at trial. To the contrary, when
previously confronted with a similar argument, we observed that caution should be
exercised before “importing the panoply of Brady protections from trial practice into
warrant application proceedings.” United States v. Colkley, 899 F.2d 297, 302 (4th Cir.
1990). We need not elaborate on the different concerns at issue or definitively reject the
applicability of Brady/Giglio to the warrant-application stage to resolve this case. The lack
of materiality is so clearly shown, even in the unlikely event that Brady/Giglio would apply
in this context, that it is unnecessary to address this threshold point.
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according to the particular pathway to relief, the concept generally requires the Defendants
to demonstrate that not knowing about Louvado’s crime at the time of the trial somehow
prejudiced them. Compare Robinson, 627 F.3d at 950 (holding that evidence of police
misconduct is not material for purposes of a Rule 33 motion for a new trial when it “says
little about [a defendant’s] guilt or innocence on the[] [charged] counts”), with United
States v. Fulcher, 250 F.3d 244, 254–55 (4th Cir. 2001) (holding that newly discovered
evidence was material for purposes of a Rule 33 motion because it went to the heart of the
defendants’ defense); compare also Kyles v. Whitley, 514 U.S. 419, 433 (1995) (stating,
for purposes of Brady claims, that “evidence is material, and constitutional error results
from its suppression by the government, if there is a reasonable probability that, had the
evidence been disclosed to the defense, the result of the proceeding would have been
different”), with United States v. Bagley, 473 U.S. 667, 680 (1985) (holding that, for Giglio
purposes, impeachment evidence is immaterial if “failure to disclose it would be harmless
beyond a reasonable doubt”). 4 At bottom, the Defendants argue that Louvado tainted the
4
The Defendants’ Brady/Giglio-based argument isn’t a true Brady/Giglio claim
because the newly discovered evidence is not exculpatory and, while it may have been of
some theoretical impeachment value, Louvado did not testify at their trial. To argue around
this problem, they assert that had Louvado’s misconduct been disclosed earlier, they would
have sought a Franks hearing to challenge the admissibility of the evidence obtained as a
result of the search warrants and wiretap authorizations that he played a role in obtaining.
See Franks v. Delaware, 438 U.S. 154 (1978). Even accepting this look-through approach,
during a Franks hearing, the defendant carries the burden of showing materiality, which in
this context requires showing that the omitted information undermines the probable-cause
determination. See United States v. Moody, 931 F.3d 366, 371 (4th Cir. 2019) (“[T]he
defendant must show materiality—that is, that the false statements were necessary to the
finding of probable cause. A district court may not hold a Franks hearing where, after
stripping away the allegedly false statements, the truthful portions of the warrant
(Continued)
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trial evidence because had he disclosed his own criminal conduct from 2009 in the
affidavits and applications he signed, no judge would have approved those requests. That
may well be true, but it does not satisfy the Defendants’ burden of showing materiality.
To be clear, the Defendants do not identify any evidence that Louvado manufactured
nor do they claim that he was ever in a position to manufacture evidence against them such
that a fair inference of manufactured evidence could arise. Their briefing does not assert
that he had a history of that type of misconduct in other cases. Nor do they argue that the
affidavits or applications Louvado signed contained any false statements or omissions
bearing directly on the probable-cause determination needed to grant the requests. Their
argument thus does not align with the circumstances in which we and other courts have
held that an investigating officer’s own misconduct cast sufficient doubt on the case against
the defendant so as to warrant a new trial. See United States v. Fisher, 711 F.3d 460, 466
(4th Cir. 2013) (recounting the “highly uncommon circumstance[]” presented “in which
gross police misconduct goes to the heart of the prosecution’s case” because a law
enforcement officer described events in a search warrant affidavit that did not occur and
described statements by a confidential informant who “had no connection to the case”); see
also Milke v. Ryan, 711 F.3d 998, 1000–01, 1018 (9th Cir. 2013) (holding that evidence of
a police officer’s undisclosed “long history of lying under oath and other misconduct” was
application would still support probable cause.” (cleaned up)). Thus, the same materiality
problem thwarts the Defendants’ ability to show the likely success of a Franks motion. See
United States v. Lull, 824 F.3d 109, 118 (4th Cir. 2016) (concluding that an affiant’s
omission of a confidential informant’s past unreliability was material because the
informant’s statements were essential to establish probable cause and so the informant’s
reliability was important when assessing the existence of probable cause).
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material to the verdict because the evidence at “trial was, essentially, a swearing contest
between” the defendant and the police officer, making the officer’s “credibility . . . crucial
to the state’s case”).
Instead, the purported basis for a new trial is entirely unrelated to (1) the evidence
establishing probable cause for any evidence obtained as a result of the wiretaps or
searches, and (2) the evidence introduced to establish the Defendants’ guilt at trial. Their
sole point in raising Louvado’s criminal conduct is to argue that he was a corrupt officer
with suspect credibility. (And since he did not testify at trial, Louvado’s credibility only
comes into play in this case to the extent it swayed a judge to issue the requested warrants
and wiretap authorizations. Put differently, they assert that no judge who knew this
information about Louvado would have approved a request bearing his signature.) But we
have previously held that evidence which is “merely impeaching” “does not generally
warrant the granting of a new trial.” United States v. Custis, 988 F.2d 1355, 1359 (4th Cir.
1993). To the contrary, “motions for a new trial based on impeaching evidence discovered
after trial should be granted ‘only with great caution and in the most extraordinary
circumstances,” as “‘[t]here must be a real concern that an innocent person may have been
convicted.’” Id.at 1360 (quoting United States v. Sanchez,969 F.2d 1409, 1414
(2d. Cir.
1992)). That principle from the Rule 33 context is also consistent with the Supreme Court’s
recognition in the Giglio context that when the Government’s case does not depend on a
particular government witness, then undisclosed information that would impeach that
witness is immaterial as it does not create a reasonable probability of a different result at
trial. Strickler v. Greene, 527 U.S. 263, 292–96 (1999). And both this Court and our sister
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circuit courts have recognized under similar circumstances that the materiality requirement
is not satisfied when a law enforcement officer’s misconduct is tangential to the evidence
establishing a defendant’s own culpability. E.g., Robinson, 627 F.3d at 950, 952–53
(holding that a new trial was not warranted under either Rule 33 or Brady/Giglio because
the misconduct evidence “would do little to undermine the largely separate investigation’s
result” and did not “cut into a somewhat thin and entirely circumstantial government case,”
while also observing the strength and independence of the government’s evidence gleaned
“from other sources”); United States v. Jones, 399 F.3d 640, 647–48 (6th Cir. 2005)
(holding the same because evidence that members of the investigating law-enforcement
unit had “engaged in widespread misconduct” did not prejudice the defendant “[g]iven the
overwhelming evidence of guilt”); United States v. Williams, 985 F.2d 749, 757 (5th Cir.
1993) (holding the same because evidence that the crime lab chemist “pilfer[ed] drugs from
the lab” did not call into question evidence that the substance the defendants possessed was
“cocaine or crack” when the stolen drugs were of a different kind and were entirely
unrelated to the defendants’ case).
In this case, the district court reasonably concluded that Louvado played only a
minor role in the MMP investigation as a whole and that his unrelated prior criminal
conduct—while serious—did not call into question the evidence against the Defendants or
the validity of their convictions. Indeed, the bulk of the Government’s case at trial did not
involve Louvado at all. Of the small part of the Government’s case that Louvado had a
minor role in, he was either accompanied by other law enforcement officers or
documentary evidence corroborated events. And the one controlled buy during which
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Louvado was unaccompanied for a time with the confidential informant was not introduced
at trial. Moreover, each time Louvado played a role in obtaining a search warrant or wiretap
authorization, the probable cause establishing the basis for those requests was based on
third-hand evidence unrelated to Louvado personally. He may have signed the requests,
but that personal attestation mattered little to the underlying support for obtaining
authorization to proceed. As the district court aptly observed in describing the limited
impeachment value Louvado’s misconduct had, “there is a wide gap between deliberate
but tangential omissions about an affiant’s general credibility and deliberate falsehoods
with real factual nexus to the case itself.” Bailey, 2022 WL 1451653, at *7. Further,
“[e]xcluding any declarations from Louvado as to his personal honesty or including the
omitted information about the 2009 theft still leaves sufficient confidential informant and
other information to justify probable cause for the wiretaps and searches.” Id. at *9.
Because Louvado’s criminal misconduct was immaterial to the evidence
establishing the Defendants’ criminal culpability, the district court did not err in denying
their motion for a new trial.
2. Motion to Enforce Plea Agreement (Bailey)
Just days before the trial began, Bailey moved for enforcement of a plea agreement
that would have avoided exposing him to a mandatory sentence of life imprisonment. The
district court denied the motion after finding that there had been no meeting of the minds
between Bailey and the Government and thus no plea agreement. At the broadest level, the
court looked to the communications as a whole and concluded that none set out essential
terms of an enforceable plea agreement. For further support, the court observed that the
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Government’s emails had repeatedly indicated that certain of its offers “were contingent
on [four other] defendants pleading guilty, which did not happen.” J.A. 7688. In addition,
the court pointed out that the Government’s emails showed that the Government framed its
discussions in contingent language that had to be submitted to supervisors for approval,
which was never given.
On appeal, Bailey reiterates his belief that the Government failed to honor either of
two offers that he contends he accepted. In view of that perceived breach, he argues that
the district court committed reversible error in proceeding to trial rather than holding the
Government to its word. 5 First, Bailey asserts that the Government offered a plea deal for
27-40 months’ imprisonment in August and October 2018, which he supposedly accepted
in October 2018. Second, he claims that the Government offered him another plea deal for
a “straight” term of 37 months’ imprisonment in January 2019, which he contends he
accepted the following month. 6
5
Alternatively, Bailey argues that the circumstances presented show that trial
counsel was ineffective in failing to procure a signed plea agreement and that this error is
“conclusively establishe[d]” on the record such that it is cognizable on direct appeal. See
United States v. Baptiste, 596 F.3d 214, 216 n.1 (4th Cir. 2010). We disagree that he has
met this high standard and so reject this argument.
6
On appeal, Bailey relies on two affidavits from trial counsel that were submitted
after the district court denied his motion and which were not part of any motion to
reconsider the court’s decision. At oral argument, we explored with counsel the unusual
posture in which those affidavits were made part of the district court record and questioned
the propriety of considering them on appeal. Ultimately, we need not resolve this question.
The bulk of their contents was already provided to the district court as part of the motion
and hearing process. And even if we considered their additional contents, the district court
still did not err in determining that a plea agreement did not exist.
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We disagree. The district court did not err in concluding that the parties never
entered into an enforceable plea agreement. “[J]udicial interpretation of plea agreements is
largely governed by the law of contracts.” United States v. Martin, 25 F.3d 211, 216–17
(4th Cir. 1994). While oral agreements can be made, we have strongly “suggest[ed] that
lower courts require all . . . plea agreements be reduced to writing.” United States v.
McQueen, 108 F.3d 64, 66 (4th Cir. 1997). Before a plea agreement can be enforced, then,
the party seeking enforcement must show that a binding contract has been formed. And
“[t]he essence of contract formation is . . . a meeting of the minds of the contracting
parties.” Charbonnages de France v. Smith, 597 F.2d 406, 414 (4th Cir. 1979) (cleaned
up).
Turning to the first alleged “agreement,” emails exchanged between the relevant
parties throughout August and October 2018 show initial negotiations and Bailey’s attempt
to “accept” an offer on terms that did not reflect the Government’s most recent offer. Rather
than recite all the permutations of the partially documented discussions, we focus on the
evidence of where everyone stood just before Bailey allegedly accepted a plea deal “on or
around October 9, 2018.” Opening Br. 42. In an October 5 email from the AUSA, the
Government rejected Bailey’s “counter proposal,” stating that it “would accept a plea to a
range of 27-40, or a straight 37, if [four co-defendants] plead guilty. Unfortunately, they
are all still at the table at this point.” J.A. 6580. The AUSA then acknowledged that this
position was “not what you want to hear” and expressed her willingness to talk further.
J.A. 6580. Later that evening, in response to Bailey’s counsel asking if the AUSA could
“write up the 27 to 40 [agreement] for [Bailey’s counsel] to take to [Bailey]” on Monday,
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October 8, when she planned to visit him, the AUSA apologized and said that she “can’t
get approval for a plea by Monday.” J.A. 6581. Bailey’s counsel continued to push for a
written plea agreement to take to Bailey on Wednesday, October 10, but the AUSA again
indicated that she was “sorry to say I’m not going to be able to get you a plea offer in time
for tomorrow’s visit.” J.A. 6582. On October 10, Bailey’s counsel apparently discussed the
terms of a potential plea deal with Bailey, communicating later that day to the AUSA that
“we cleared 27 to 40 with our client who asked us to request a specific number – 35 or 37.
He knows you will be asking for 40. Our understanding was that 35 was ‘No’ and 37 was
only if we could get the others to take the offer made to them. . . . We believe there is a
much better chance . . . if . . . the plea is done. We could have had a signed deal . . . last
week and still can get one if we could get something to sign!!” J.A. 6583. Bailey’s counsel
closed the email by saying, “We feel like we have a sure thing that keeps slipping away as
the time passes.” J.A. 6583.
All this to say, before Bailey is even alleged to have accepted any offer, his counsel
had heard multiple times from the AUSA that there was no firm offer to present to Bailey.
Bailey’s counsel’s own statements to the AUSA at the time reflect her recognition of that
basic fact: the parties were still discussing the terms and no final agreement had been
reached. In fact, Bailey’s counsel was continuing to tweak terms on October 10 when she
sought the Government’s approval of a different term of imprisonment than the range
Bailey had purportedly “cleared” earlier that day. On this record, the district court did not
err in determining the parties never reached a meeting of the minds such that there was any
plea deal for Bailey to accept “on or around October 9.”
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We reach the same conclusion as to the negotiations that took place in January 2019,
which culminated with Bailey’s purported “acceptance” on February 18, 2019. The record
shows that after the Government communicated to Bailey’s counsel that it would not offer
a plea to thirty-seven years’ imprisonment unless four other co-defendants pleaded guilty,
Bailey’s counsel unilaterally drafted a document incorporating standard language of a plea
agreement in that district. The document stated that the parties agreed to a thirty-seven year
term of imprisonment without mentioning anything about the deal being contingent on
other co-defendants pleading guilty. On February 18, 2019, Bailey and his counsel signed
this document. Counsel then sent the document, along with a letter recounting the plea
negotiations, to the Government. Particularly instructive here, the letter acknowledges that
the Government’s most recent communication had said “that although we had reached
agreement on the terms of a plea agreement for Mr. Bailey, you would not extend a formal
written offer unless and until [four co-defendants] pled.” J.A. 6589. The letter asked the
Government to “agree that permitting Mr. Bailey to plead guilty to the terms on which we
have agreed is the appropriate resolution of the charges against him, whether or not his co-
defendants plead, and that you will execute the agreement we are providing.” J.A. 6589.
The record could not be clearer—Bailey sought to unilaterally change the conditions under
which the Government had indicated it would be willing to accept a plea deal. Plainly there
was no meeting of the minds. Bailey could not “accept” a plea based on terms the
Government never offered to him. And the Government never accepted the terms Bailey
presented to it.
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Because a plea agreement was never formed, the district court properly denied
Bailey’s motion to enforce a (non-existent) plea agreement.
3. Rehaif Error (Davis)
This trial took place before the Supreme Court issued its decision in Rehaif, so
neither the district court nor the parties had the benefit of that ruling, which “brought a sea
change to [§ 922(g)(1)] cases.” United States v. Gallman, 57 F.4th 122, 130 (3d Cir. 2023).
In Rehaif, the Supreme Court held that the statutory term “knowingly” applied to the
defendant’s conduct and status. 588 U.S. at 229. And as had been the situation in so many
cases brought before Rehaif was decided, the jury here was not specifically instructed that
the Government had to come forward with proof that those defendants charged with a
§ 922(g)(1) offense knew that they fell within a class prohibited from possessing firearms.
Although the Government moved to dismiss Anderson’s § 922(g)(1) conviction
after Rehaif, it did not do the same with respect to Davis’ two § 922(g)(1) convictions
(Counts 16 and 30). Nonetheless, at sentencing, the Government noted the possibility that
Davis’ § 922(g)(1) convictions may be reversed on appeal in light of Rehaif and it asked
the district court to specify whether it would have imposed the same sentence for Davis’
convictions on the other counts regardless of whether his § 922(g)(1) convictions were later
reversed on appeal. The district court readily agreed to do so, stating that it would impose
the same sentence, irrespective of any Rehaif error as to Davis’ § 922(g)(1) convictions.
On appeal, the parties agree that Rehaif error occurred. Their dispute is limited to
whether Davis can establish relief on plain-error review, specifically whether the error
affected his substantial rights. United States v. Barronette, 46 F.4th 177, 198 (4th Cir.
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2022) (reiterating that this requires a defendant to show “a reasonable probability that, but
for the error, the outcome of the proceeding would have been different”). On this point,
since Rehaif, the Supreme Court has recognized that the mere fact that a defendant has a
prior felony conviction is not dispositive to proving whether he knew of his status, though
“common sense” suggests that an individual who is a convicted felon “ordinarily knows
he is a felon.” Greer v. United States, 593 U.S. 503, 506, 508 (2021) (emphasis added).
That typical scenario gives way, however, when the defendant “can make an adequate
showing on appeal that he would have presented evidence in the district court that he did
not in fact know he was a felon when he possessed firearms.” Id. at 509.
In assessing whether a defendant satisfies plain-error review in a Rehaif context, our
decision in United States v. Barronette is instructive. There, we held that a § 922(g)(1)
defendant had satisfied his burden on plain-error review of a Rehaif error. The defendant
had prior state-law convictions for offenses classified as misdemeanors under state law but
which met the technical requirements to be classified as felonies for purposes of
§ 922(g)(1). 46 F.4th at 198–99. Although the defendant had been sentenced to more than
one term of imprisonment over one year long, most of the sentences had been suspended
such that he served only one stint in prison that lasted slightly more than one year. Id. at
199. In those circumstances, we concluded that “there [was] a lack of record evidence that
[the defendant] knew that he was convicted of a state crime [that met the federal definition
of a felony for § 922(g)(1) purposes], especially when his crimes were labeled as
misdemeanors,” leading us to hold that “the Rehaif error affected his substantial rights”
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and satisfied plain-error review. Id.; see also id. at 200–01 (distinguishing Greer and
explaining this conclusion further).
Barronette counsels the same result here. While that defendant had multiple prior
convictions that met the federal definition of a “felony,” Davis had a single prior state
conviction that did so. In both Barronette and here, the state conviction was labeled under
state law as a “misdemeanor.” And while the defendant in Barronette had actually served
time in prison for more than one year, Davis’ entire sentence had been suspended. Given
Barronette’s conclusion, Davis has shown even more clearly “that, but for the Rehaif error
in the jury instructions, there is a reasonable probability that a jury would have acquitted
him” of the § 922(g)(1) counts. Greer, 593 U.S. at 510; see also Barronette, 46 F.4th at
198–201. 7
Despite Davis satisfying the other elements of plain-error review, we only afford
relief “if the error had a serious effect on the fairness, integrity or public reputation of
judicial proceedings.” Barronette, 46 F.4th at 201 (cleaned up). As we did in Barronette,
we hold the Rehaif error had a serious effect on Davis’ § 922(g)(1) conviction. Specifically,
Davis has shown “why a jury in an error-free trial might have reasonable doubts as to the
knowledge-of-felon-status element, thus calling into question whether a jury would have
convicted [him] had they been required to find beyond a reasonable doubt that he knew at
7
Arguing against this result, the Government points to a single jailhouse phone call
in which Davis stated that he had stashed firearms in the woods but was not going to
retrieve them because of a police presence. The Government asks too much of that evidence
to cast it as proving that Davis knew of his felon status at the time this statement was
uttered.
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the time of his” possession offense that he also knew of his felon status. Id. (cleaned up).
These circumstances combine to effect “a miscarriage of justice” should we affirm his
§ 922(g)(1) convictions. Id. (citation omitted). We therefore reverse Davis’ § 922(g)(1)
convictions (Counts 16 and 30).
The question then becomes the scope of our remand instruction. Given the
sentencing transcript, we believe justice is best served by remanding for entry of an
amended judgment without the need for a plenary resentencing. During sentencing, the
district court specifically engaged the question of whether it would impose the same
sentence if the § 922(g)(1) convictions were reversed. It unequivocally responded that it
would impose the identical sentence regardless of this outcome, stating:
[A]bsolutely, Counts 16 and 30, if for some reason those 10-year sentences
had to be vacated, I would still believe that the 25 years on the other counts,
followed by the five years on Count 32, would be reasonable and sufficient
without being greater than necessary.
J.A. 6527. Reviewing the nature of Davis’ remaining convictions and the district court’s
explanation at sentencing for the sentence it imposed, we conclude that this statement
adequately addresses the basis for Davis’ sentence and eliminates the need for
resentencing.
4. Admissibility of Evidence
The Defendants raise various objections to the district court’s rulings authorizing
the admission of certain evidence at trial. First, all of the Defendants challenge on plain-
error review the district court’s decision to allow the Government to admit certain music
videos, music lyrics, and social media posts created by the Defendants, which they claim
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did not prove any element of any offense and were unfairly prejudicial under Federal Rule
of Evidence 403. Next, Bailey argues that the district court abused its discretion in allowing
the introduction of expert testimony concerning a “match” in firearms evidence because
that testimony conflicted with the district court’s pre-trial ruling limiting the scope of the
expert testimony. Lastly, Davis and Anderson argue that because their felon-in-possession
convictions cannot stand under Rehaif, evidence that was admissible only in support of that
offense—namely, evidence of their felon status—was otherwise unfairly prejudicial and
requires vacatur of their remaining convictions.
a. Music Videos, Lyrics, & Social Media Evidence
The Government introduced into evidence music videos, lyrics, and social media
posts generated by and depicting the Defendants and others, which the Defendants contend
on appeal were irrelevant and unduly prejudicial because they did not prove any element
of any offense and were inherently inflammatory. They argue that this evidence should not
have been admitted under a proper assessment of Rules 401, 402, and 403. And they argue
that the error prejudiced them such that their convictions should be vacated and the case
remanded. We disagree.
As an initial matter, we note two procedural concerns before turning to the merits.
First, the parties disagree on whether this issue was preserved in the district court and how
that affects our standard of review. We need not resolve that question, however, because
even assuming that the Defendants adequately preserved the issue when Davis (acting
alone) raised it in a motion in limine, they have not demonstrated the district court abused
its discretion in allowing the admission of this evidence.
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Second, we note that by attacking distinct categories of evidence in cursory fashion
on appeal, the Defendants have painted their challenge with such a broad brush that they
arguably fell short of the requirements of Federal Rule of Appellate Procedure 28(a), which
requires meaningful engagement with the record and applicable case law. See Fed. R. App.
P. 28(a)(8); see Grayson O Co. v. Agadir Int’l LLC, 856 F.3d 307, 316 (4th Cir. 2017)
(noting that to adequately raise an issue on appeal, parties are required to take more than
“a passing shot at [an] issue”). Instead, the Defendants challenge the admissibility of
everything from social media posts and images to music videos and lyrics collectively,
using only a few examples to support their sweeping argument that the admission of this
evidence wholistically impacted the entire trial. We need not rely on this procedural
deficiency, however, and instead employ a similarly broad-brush approach rather than a
piece-by-piece review. Undertaking this review, we discern no error in the district court’s
decision to admit these categories of evidence.
The challenged evidence was not clearly irrelevant nor was it unfairly prejudicial.
First, it met the “relatively low” threshold for establishing relevancy in that it had “‘any
tendency to make the existence of any fact that is of consequence to the determination of
the action more probable or less probable than it would be without the evidence.’” United
States v. Powers, 59 F.3d 1460, 1465 (4th Cir. 1995) (quoting Fed. R. Evid. 401 (emphasis
added)). In the specific context of social media posts and music lyrics, we have previously
recognized that such evidence “can be relevant if [it] match[es] details of the alleged crime”
or “show[s] a defendant’s knowledge or motive.” United States v. Recio, 884 F.3d 230,
235 (4th Cir. 2018). Some of the evidence was relevant to the charged conspiracies because
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it helped the Government to establish identity and relationships given that the Defendants
and co-conspirators are depicted together. Still more of this evidence lent additional
support for components of the charged conspiracies. For example, they feature the
Defendants surrounded by firearms or cash; making MMP hand signals or wearing MMP
clothing; and flaunting a violent, drug-fueled lifestyle with specific lyrics and images
connecting these acts specifically to MMP’s turf. In short, we find no reversible error
occurred under Rule 401’s standards.
Nor have the Defendants shown plain error under Rule 403’s grounds for
admissibility. Under this rule, district courts have broad discretion to “exclude relevant
evidence if its probative value is substantially outweighed by a danger of,” inter alia,
“unfair prejudice.” Fed. R. Evid. 403. But this rule “generally favor[s] admissibility.”
United States v. Wells, 163 F.3d 889, 896 (4th Cir. 1998). Yet again, we are guided by our
prior recognition that while there are times that “in some cases courts have excluded lyrics,
finding they primarily served to paint the defendant in an unflattering light,” “[t]his is not
such a case.” Recio, 884 F.3d at 236. The Defendants were charged for their conduct arising
from a multi-year RICO and drug conspiracy involving the MMP, and evidence of the
music videos, lyrics, and social media posts went to that point without being unfairly
prejudicial as to matters beyond making that connection. Further, given the extensive
evidence demonstrating each of the Defendants’ own connection to specific acts within the
conspiracies and other offenses, the admission of the challenged evidence—which went
more broadly to big-picture matters in the case—was harmless. See Fed. R. Crim. P. 52(a)
(“Any error, defect, irregularity, or variance that does not affect substantial rights must be
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disregarded.”); Fed. R. Evid. 103(a) (stating that evidentiary errors require reversal only if
they “affect[] a substantial right”).
In short, the admission of this evidence does not constitute reversible error.
b. Firearms-Match Evidence (Bailey)
Before James Wagster, an expert in firearms identification, testified on behalf of the
Government, Bailey moved to exclude or limit his testimony on the ground that it was
impossible to say with one-hundred-percent certainty that firearms and ballistics evidence
“matched” each other. The district court ruled that Wagster could offer his opinion that
something was a match, stating: “I’m not going to prevent him from saying that, in his
opinion, it came from the same gun or that it is a match within a reasonable degree of
certainty in the field of ballistics.” J.A. 3858. The court also indicated that it would give a
limiting instruction that “the fact that someone is allowed to testify as an expert does not
mean that the jury has to accept that opinion.” J.A. 3863.
At the outset of Wagster’s testimony, the district court gave that limiting instruction.
Wagster then testified about how he conducted comparisons of firearms and ammunitions
components, the industry standards he uses in conducting his comparisons, and how his
office runs cross-checks on their conclusions. Wagster then testified about ballistics
evidence recovered from the scenes of two crimes allegedly involving Bailey: (1) a
shooting on February 8, 2015, at a BP gas station, and (2) the murder of James Edwards
on February 12, 2015. Wagster described the six casings and one live round recovered from
the BP gas station shooting as all having been fired from “the same unknown firearm,” a
.40 caliber Smith & Wesson. J.A. 3883–88. He described casings and live rounds recovered
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from the scene of Edwards’ murder, stating that they too were fired from a .40 caliber
Smith & Wesson and had all come from “the same firearm, same unknown firearm.” J.A.
3888–90. Lastly, he testified that the casings and live rounds recovered at the BP gas station
and the scene of Edwards’ murder were all fired from “the same unknown firearm.” J.A.
3890–92. On direct and cross-examination, Wagster reiterated the bases for making his
comparisons and his conclusion about them. J.A. 3892–900. Bailey did not object to
Wagster’s testimony about his comparison conclusion at the time it was given.
On appeal, Bailey argues that the district court committed reversible error by
allowing Wagster to testify in contradiction to the pre-trial ruling limiting the degree of
certainty to which he could opine that the ballistics evidence matched. Bailey asserts that
Wagster’s testimony that the evidence was the “same” or a “match” expressed an
impermissible level of certainty and was prejudicial because it served as the linchpin of the
Government’s case connecting Bailey to Edwards’ murder. As such, he requests that this
Court reverse his conviction for murder in aid of racketeering.
We discern no plain error in the admission of this evidence. At the outset, on appeal,
Bailey does not challenge the district court’s initial ruling on his motion in limine but
instead argues that the court erred in allowing Wagster to testify outside the scope of that
ruling at trial. It was Bailey’s responsibility to object if he believed that this had occurred,
yet he did not do so. Accordingly, we review his objection for plain error. See United States
v. Williams, 81 F.3d 1321, 1325 (4th Cir. 1996) (stating that the Court reviews for plain
error when the “motion in limine was not based upon [and did not seek] a ruling on the
precise issue [the defendant] now seeks to raise” (emphasis added) (cleaned up)).
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Bailey’s argument is predicated on a misapprehension of the district court’s initial
ruling and Wagster’s actual testimony. The district court ruled that Wagster could testify
that, in his opinion, the firearms evidence recovered from the scene of the BP gas station
and Edwards’ murder “matched.” It could not have been clearer in rejecting Bailey’s
contention that such testimony veered into presenting opinion testimony as certitude,
stating: “I think that saying that something is the same or a match, in his opinion, is not the
same as saying, ‘And I’m a hundred precent convinced that my opinion is correct.’” J.A.
3858. The Court then elaborated that it was “not going to prevent [Wagster] from saying
that, in his opinion, it came from the same gun or that it is a match within a reasonable
degree of certainty in the field of ballistics.” J.A. 3858. Wagster’s testimony fell within
those parameters, providing his opinion that the crime-scene firearms/ballistic evidence
from the BP gas station and Edwards’ murder stemmed from the same firearm. The
Government’s questions on this point were framed in a broad manner so as to solicit
Wagster’s opinion without seeking the degree of certainty he had that his opinion was
correct—e.g., “what conclusions were you able to draw . . . ?,” J.A. 3891, and “does that
mean that you concluded . . . ?,” J.A. 3893.
Not only did Wagster’s testimony not express a degree of certitude in his opinion,
but the district court’s limiting instruction reinforced that point to the jurors, reminding
them that although Wagster was permitted to offer opinion testimony on the firearms
evidence, they were still charged with the duty to determine what weight to give it:
I will remind the jury, as I think I said at the very outset of the case, the fact
that a witness is found qualified to give you opinion testimony, it’s still up to
you whether to accept that testimony. It’s up to you to listen; to consider the
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reasons, the training and experience; and then you give an expert’s opinion
the weight, if any, that you believe it should have, just as you do with any
other witness.
J.A. 3877. We generally presume the jurors follow such limiting instructions. Samia v.
United States, 599 U.S. 635, 646 (2023) (“[O]ur legal system presumes that jurors will
attend closely the particular language of such instructions in a criminal case and strive to
understand, make sense of, and follow them.” (cleaned up)); United States v. Johnson, 54
F.3d 1150, 1160–61 (4th Cir. 1995). No juror following this instruction would mistake
Wagster’s opinion testimony for certitude. Thus, considering both the substance and
context of Wagster’s testimony against the district court’s pre-trial ruling, we reject
Bailey’s argument that reversible error occurred.
c. Felon-Status Evidence (Anderson and Davis)
The final issue arising from the admission of evidence stems from the reversals of
Anderson’s and Davis’ felon-in-possession convictions. As noted, after the trial and in light
of Rehaif, the Government moved to dismiss Anderson’s § 922(g) conviction. And, we
have now held that Davis’ § 922(g) convictions must also be reversed in light of Rehaif.
Because the § 922(g) charges were at issue during the trial, the Government was permitted
to introduce evidence of Anderson’s and Davis’ prior felony convictions. That evidence
likely would not have been admissible without the § 922(g) charges. Anderson and Davis
contend that the admission of that evidence had a prejudicial spillover effect that requires
reversal of their remaining convictions.
To prevail on an assertion of prejudicial spillover effect, defendants must show two
things: (1) “that the challenged evidence would have been inadmissible at trial without the
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vacated count,” and (2) that the challenged evidence “prejudiced his convictions on the
remaining counts.” United States v. Hart, 91 F.4th 732, 741 (4th Cir. 2024).
Anderson and Davis cannot show prejudice for at least three reasons. First, the
evidence of a prior, non-violent felony conviction was introduced in a Sergeant Joe Friday
“just the facts” manner—briefly and without any description of the underlying offense
conduct. So, the jury could glean very little from the evidence before it that might tempt
them to infer culpability for the charged offenses just as a consequence of any prior
convictions. Second, the evidence showing Anderson’s and Davis’ culpability for the
remaining convictions was extensive, amply supporting the jury’s guilty verdicts beyond a
reasonable doubt. Third, a jury instruction mitigated the risk of prejudicial spillover.
Specifically, this Court has previously recognized that “concerns of prejudicial spillover
[can be] mitigated by the district court’s explicit instruction that the jury must consider
each count separately.” United States v. Barringer, 25 F.4th 239, 249 (4th Cir. 2022)
(cleaned up). The district court gave that instruction here, and, absent evidence to the
contrary, we can presume that the jury followed it. For these reasons, we conclude that
Anderson and Davis have not shown any prejudicial spillover arising from the admission
of their prior convictions.
5. Banks’ Verdict Form
Banks raises two arguments in support of his contention that his drug conspiracy
conviction should be reversed because of a perceived flaw in the verdict form.
The charged conspiracy under 21 U.S.C. § 846 was an agreement to violate the
terms of 21 U.S.C. § 841(b)(1)(C), which prohibits the distribution of certain controlled
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substances, subject to a “term of imprisonment of not more than 20 years.” That baseline
offense is subject to two aggravated variations of the offense, which trigger different
statutory punishments. Offenses involving “28 grams or more” of cocaine base are subject
to a term of five years to forty years’ imprisonment. § 841(b)(1)(B)(iii). And offenses
involving “280 grams or more” of the same are subject to a term of imprisonment of ten
years to life. § 841(b)(1)(A)(iii).
If the jury found Banks guilty of the drug conspiracy offense (as it did), then the
jury was asked to “determine unanimously the quantity of cocaine base (‘crack’)
reasonably foreseeable to him.” J.A. 6356. The verdict form provided two options with a
line for the jury to place a “check” next to its finding. One option was for an amount of
“280 grams or more” and the other was for “[l]ess than 280 grams.” J.A. 6356. The jury
checked “[l]ess than 280 grams.” J.A. 6356. Consistent with that verdict, the district court
sentenced Banks to less than twenty years’ imprisonment.
Banks first contends that the verdict form is erroneous, requiring reversal of his drug
conspiracy conviction. As support, he argues that the statute divides the offense based on
three drug weights—“less than 28 grams,” “28 grams or more,” and “280 grams or more”
of cocaine base—and the verdict form impermissibly diverges from this language to create
a new offense based on the drug weight of “[l]ess than 280 grams.” Banks asserts that the
verdict form’s departure led to a conviction for a “judicially created, and, thus,
constitutionally invalid offense,” which must be vacated. Opening Br. 79.
Contrary to Banks’ argument, this is not a case where the verdict form permitted the
jury to convict a defendant of an offense that does not exist. To the contrary, §§ 841 and
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846 permit a conviction based on evidence that the defendant entered into the charged
conspiracy to distribute a controlled substance regardless of the specific type of narcotic or
drug weight attributable to Banks personally. See United States v. Collins, 415 F.3d 304,
314 (4th Cir. 2005) (“Guilt of the substantive offense defined in § 841(a) is not dependent
upon a determination of the amount or type of narcotics distributed.”). Here, the operative
indictment alleged a drug conspiracy to distribute, inter alia, 280 grams or more of cocaine
base. The jury found Banks guilty of participating in that conspiracy. That’s sufficient to
sustain his conviction.
The verdict form’s two choices for the jury’s finding as to how much cocaine base
to attribute to Banks was relevant solely for purposes of establishing what statutory
penalties would apply to him as a result of that conviction. The baseline § 841 offense for
distributing any amount of cocaine base—including amounts less than 28 grams—carries
a penalty of zero to twenty years’ imprisonment, and that’s the range within which Banks
was sentenced. Certainly, there are also two aggravated forms of the offense that subject a
defendant to a higher statutory range based upon a jury’s finding that the offense involved
28 grams or more or 280 grams or more. And under Supreme Court case law, findings that
increase the statutory penalty to which a defendant is exposed must be submitted to the
trier of fact and found beyond a reasonable doubt. See United States v. Promise, 255 F.3d
150, 154–57 (4th Cir. 2001) (en banc). But neither of those findings are required for the
jury to find a violation of §§ 841 and 846 in the first instance. Rather, those findings as to
drug weight were required strictly to determine whether the statutory penalty would be
adjusted beyond the baseline statutory penalty. See Collins, 415 F.3d at 314–15; see also
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United States v. Brooks, 524 F.3d 549, 558 (4th Cir. 2008) (“[A] jury . . . must determine
the threshold drug quantity used to establish a defendant’s statutory sentencing range under
§ 841(b).”).
Here, the verdict form limited the statutory penalty to two options, one consistent
with sentencing under the baseline penalty (“less than 280 grams,” which would subject
Banks to zero to twenty years’ imprisonment) and one consistent with one of the enhanced
penalty ranges (“280 grams or more,” which would subject him to punishment between ten
years’ and life imprisonment). Far from a judicially crafted offense, this reflects a valid
way to articulate the § 841 offense and a potentially applicable punishment variation had
the jury made the requisite finding to support it. The jury did not find an amount of 280
grams or more attributable to Banks, so the district court’s sentence needed to be—and
was—within § 841’s baseline statutory penalty for possession of any amount of cocaine
base: zero to twenty years’ imprisonment.
Next, Banks contends that the verdict form was flawed because the jury should have
been permitted to hold him responsible for the lesser-included offense of participating in a
conspiracy involving less than 28 grams of cocaine base. He contends that had the jury
been instructed properly, it is likely that it would have found him responsible for that lesser
quantity because the record evidence did not support a finding of 28 grams or more, just as
it did not support a finding of 280 grams or more. This omission matters, he asserts, because
the district court would have had to attribute less than 28 grams of cocaine to him for
purposes of calculating his Guidelines offense level, which in turn may have resulted in a
lower sentence.
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We reject this argument based on the principles already discussed. Had the verdict
form provided the jury with the option of finding “less than 28 grams” attributable to him,
that would not have altered in any way the statutory penalty to which he was subject. And
Banks’ argument that this lesser option might have affected the Guidelines calculation is
irrelevant. As we have repeatedly recognized, “[o]nce this maximum [statutory] penalty is
established, a fact (sentencing factor) that may increase the actual sentence imposed within
that maximum is not subject to” being found beyond a reasonable doubt by a jury. Promise,
255 F.3d at 156 n.5. Instead, at sentencing, the district “court is entitled to find
individualized drug quantities by a preponderance of the evidence, as part of its calculation
of an advisory Guidelines range, so long as its resulting sentence is within the relevant
statutory range.” Brooks, 524 F.3d at 562. That’s exactly what the district court did here—
it sentenced Banks consistent with the statutory penalty that would apply for a violation of
§ 841 involving any amount of cocaine base, and then, when calculating the advisory
Guidelines range, it made findings about an individualized drug quantity to attribute to
Banks using a preponderance-of-the-evidence standard. At bottom, the district court was
not required to submit permutations involving the Sentencing Guidelines’ assessment of
drug weight to the jury because that is a separate function that occurs after the trier of fact
establishes the defendant’s statutory sentencing exposure.
Because the purported error Banks complains of would not alter the validity of his
conviction, he has not shown error requiring reversal of his drug conspiracy conviction.
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****
To recap the issues related to the Defendants’ convictions, we hold that Davis has
shown reversible Rehaif error as to his § 922(g)(1) convictions but that the Defendants’
remaining arguments challenging their convictions lack merit. 8 Next, we turn to the
Defendants’ challenges to their sentences.
8
We have also considered the Defendants’ other trial-oriented objections and
conclude that they can each be rejected without lengthy discourse.
First, Davis and Anderson both challenge the sufficiency of the evidence to prove
their participation in the two charged conspiracies. Our review of the record confirms
ample evidence for the jury to find each element of the charged conspiracy was satisfied.
Critically, the Government was not required to show that either defendant “knew the
particulars of the conspirac[ies]” so long as the record shows that each defendant “joined
with an understanding of the unlawful nature thereof and willfully joined in the plan on
one occasion even if he played only a minor part” or was involved in only one aspect of it.
United States v. Tillmon, 954 F.3d 628, 640 (4th Cir. 2019). Nor must the record “exclude
every reasonable hypothesis of innocence” to provide sufficient evidence of guilt,
“provided the summation of the evidence permits a conclusion of guilt beyond a reasonable
doubt.” Id. (cleaned up). On this standard, in light of the extensive evidence put forward at
trial, we hold that the evidence was sufficient to support the jury’s verdicts.
Next, Banks, Anderson, and Davis assert that the district court abused its discretion
in refusing to give a multiple conspiracies instruction. But that instruction “is not required
unless the proof at trial demonstrates that [they] were involved only in separate conspiracies
unrelated to the overall conspiracy charged in the indictment.” United States v. Squillacote,
221 F.3d 542, 574 (4th Cir. 2000) (cleaned up). And the failure to give a multiple
conspiracies instruction constitutes reversible error only upon showing that “the evidence
of multiple conspiracies [was] so strong in relation to that of a single conspiracy that the
jury probably would have acquitted on the conspiracy count[s] had it been given a
cautionary multiple-conspiracy instruction.” United States v. Bartko, 728 F.3d 327, 344
(4th Cir. 2013) (cleaned up). On this high standard and the evidence put forward at trial,
we find no reversible error as to this issue.
Lastly, Anderson claims that his convictions should be reversed because the
Government’s arguments at closing contradicted the terms of a pre-trial stipulation. We
have considered the underlying facts, including the terms of the stipulation and the
Government’s argument at closing, and conclude that Anderson’s argument is predicated
on an interpretation of the stipulation that goes beyond its actual language. Moreover, once
Anderson objected at trial, he agreed to resolving his concern through clarifying statements
(Continued)
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B. Sentencing Challenges
The Defendants raise several issues challenging the procedural or substantive
reasonableness of their sentences, which we review under a highly deferential standard of
review. United States v. Provance, 944 F.3d 213, 217 (4th Cir. 2019); see Gall v. United
States, 552 U.S. 38, 46 (2007) (instructing that appellate review of a sentence “is limited
to determining whether they are ‘reasonable’”). The Court’s first duty is to “ensure that the
district court committed no significant procedural error,” Gall, 552 U.S. at 51, such as by
“failing to properly calculate the applicable Sentencing Guidelines range, failing to
consider the 18 U.S.C. § 3553(a) factors, and failing to adequately explain the sentence—
‘including an explanation for any deviation from the Guidelines range,’” Provance, 944
F.3d at 218(quoting Gall,552 U.S. at 51
). Only upon assuring ourselves that the sentence
is procedurally reasonable do we turn to the question of substantive reasonableness, which
requires “taking into account the totality of the circumstances, including the extent of any
variance from the Guidelines range.” Id. at 219 (cleaned up).
1. Davis
Davis challenges the substantive reasonableness of his sentence, arguing that it was
predicated on a criminal history assessment that was too high. He notes that his three past
offenses consisted of “a juvenile adjudication and two minor convictions, none of which
resulted in a sentence of imprisonment,” making a criminal history category of III
unreasonable. Opening Br. 91. He asserts the district court should have recognized that
to the jury, which were given. We therefore find no basis for reversing his convictions as
a result of these circumstances.
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the resulting Guidelines range over-represented his criminal history, making a sentence
within that range substantively unreasonable.
We have reviewed the record and disagree with Davis. On appeal, we afford Davis’
within-Guidelines sentence a presumption of substantive reasonableness. See United
States v. Yooho Weon, 722 F.3d 583, 590 (4th Cir. 2013). Davis has not come forward
with anything that rebuts that presumption. To the contrary, our review of the record and
sentencing transcript confirms that the district court’s chosen sentence was reasonable and
adequately explained. 9
2. Anderson
Anderson challenges the procedural and substantive reasonableness of his sentence,
arguing (1) the district court clearly erred in imposing U.S.S.G. § 2D1.1(b)(1)’s firearm
offense-level enhancement because no evidence connected Anderson’s possession of a
firearm to his role in the drug conspiracy, and (2) the district court did not adequately
9
In his reply brief, Davis adds a second argument to support his contention that his
sentence is substantively unreasonable based on over-representation of his criminal history.
Citing newly enacted and retroactively applicable amendments to the Guidelines
(Amendment 821), he observes that the version of § 4A1.1(d) (2018) that had been used to
assess one criminal history point apiece for two of his prior state convictions was repealed.
Davis contends that the replacement language, which is retroactively applicable and found
in § 4A1.1(e) (2024), is narrower and would not apply to him, resulting in two fewer
criminal history points and a lower criminal history category. This change, he contends,
further supports his position that his sentence should be vacated and remanded for
resentencing based on his Guidelines range’s over-representing his criminal history.
We decline Davis’ invitation to address this Guidelines change now, but note that
nothing prohibits him from arguing for relief based on Amendment 821 in a motion for a
sentence reduction under 18 U.S.C. § 3582(c)(2).
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explain the basis for imposing an upward variant sentence. Neither of these arguments has
merit.
The court did not clearly err in calculating Anderson’s offense level to include
§ 2D1.1(b)(1)’s firearm enhancement. That enhancement applies when a defendant
possesses a “dangerous weapon (including a firearm)” during the course of the drug
trafficking offense, “unless it is clearly improbable that the weapon was connected with
the offense.” § 2D1.1(b)(1) & cmt. n.11(A). The district court reasonably held that the
enhancement applied here given the extensive trial evidence that Anderson “suppl[ied]
large quantities of heroin in other areas, traveling around, perhaps, to do that. . . . [And it]
makes a great deal of sense that [the loaded, stolen handgun found in his possession] was
for the purpose of . . . protecting himself and drugs in the course of the conspiracy.” J.A.
6774–75.
We also reject Anderson’s contention that the district court failed to adequately
explain the basis for an upward-variant sentence. In imposing Anderson’s sentence, the
district court recapped his offense conduct, highlighting particular § 3553(a) factors and
individual characteristics that drove its sentencing decision. It was not required to do more.
The court’s explanation for the sentence it selected shows “a rationale tailored to the
particular case at hand and adequate to permit meaningful appellate review,” “lea[ving] no
doubt regarding the court’s reasons for selecting the particular sentence.” United States v.
Allmendinger, 706 F.3d 330, 343(4th Cir. 2013); United States v. King,673 F.3d 274, 283
(4th Cir. 2012) (tethering the adequacy of the district court’s sentencing explanation,
including any deviation from the Guidelines range, to providing an “individualized
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assessment” that “need not be elaborate or lengthy” so long as the court gives “serious
consideration” to its decision (citations omitted)).
3. Lockley
Lockley argues that his sentence is procedurally and substantively unreasonable
because (1) it relied in part on his participation in a murder that the jury had specifically
rejected finding him responsible for, and (2) it selected a sentence unreasonably aimed to
avoid a sentencing disparity between co-defendants when they were far more culpable
than he was. Having reviewed the record, we discern no error.
Under the preponderance-of-the-evidence standard applicable at sentencing, the
district court found that Lockley was aware of other conspirators’ violent acts, including
having witnessed a murder, even though the jury determined that the evidence did not
show beyond a reasonable doubt that murder was reasonably foreseeable to him in
furtherance of the racketeering conspiracy. As we have previously recognized in a
different, but comparable, context, “an acquittal does not necessarily establish the criminal
defendant’s lack of criminal culpability, and a jury cannot be said to have necessarily
rejected any facts when it returns a general verdict of not guilty. Instead, the different
standards of proof that govern at trial and sentencing enable the sentencing court to find a
fact by a preponderance of the evidence that the jury may not have found beyond a
reasonable doubt.” United States v. Jinwright, 683 F.3d 471, 484 (4th Cir. 2012) (cleaned
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up). 10 The district court thus did not err in considering Lockley’s role in the murder despite
the jury’s finding.
We also reject Lockley’s argument that his sentence is substantively unreasonable.
In so arguing, he seriously understates the record evidence as to his role in the offense
conduct. The district court ably supported the basis for the sentence it imposed, setting out
in detail the offense conduct and other § 3353(a) factors that led to its decision. Moreover,
the district court—which was intimately familiar with the specific nuances in each of the
co-defendants’ conduct—acted within its “sizeable discretion” to assess the Defendants’
relative culpability in considering the statutory instruction to impose sentences that avoid
unwarranted sentencing disparities. United States v. Abu Ali, 528 F.3d 210, 266 (4th Cir.
2008); see 18 U.S.C. § 3553(a)(6) (stating that one of the factors to consider in sentencing
is “the need to avoid unwarranted sentence disparities among defendants with similar
records who have been found guilty of similar conduct”); United States v. Engle, 592 F.3d
495, 500 (4th Cir. 2010) (“Given the institutional advantages of district courts with regard
to sentencing matters, all sentences, including sentences significantly outside the
10
We note that on April 17, 2024, the United States Sentencing Commission
announced amendments to the Guidelines that will “prohibit” acquitted conduct from being
used in calculating the Guidelines range. U.S. Sentencing Comm’n News Release,
Commission Votes Unanimously to Pass Package of Reforms Including Limit on Use of
Acquitted Conduct in Sentencing Guidelines (April 17, 2024),
https://www.ussc.gov/about/news/press-releases/april-17-2024 (last visited June 5, 2024)
[https://perma.cc/3MTH-XRGC]. Assuming Congress does not alter them, those
amendments do not go into effect until November 1, 2024. Id. For that reason, those
amendments have no bearing on our review.
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Guidelines range, must be reviewed under a deferential abuse-of-discretion standard.”
(cleaned up)).
4. Banks
Banks contends that his sentence is procedurally unreasonable because the district
court held him responsible for at least 196 grams of cocaine base, which he contends was
too much and thus made his offense level too high. He argues that the district court’s drug-
weight calculation was inconsistent with the jury’s verdict because the jury’s rejection of
a drug weight of “280 grams or more” necessarily means that it did not believe him to be
responsible for some of the drug quantity that the district court later relied on at
sentencing. He also contends that the district court improperly speculated about the drug
weight for which to hold him responsible by engaging in random extrapolations rather
than focusing on precise testimony to support the amounts.
We review for clear error the district court’s calculation of drug weight for purposes
of establishing a defendant’s Sentencing Guidelines offense level. United States v.
Randall, 171 F.3d 195, 210 (4th Cir. 1999). The Guidelines notes instruct that when no
known amount of drugs can be relied on to establish a defendant’s attributable drug
weight, the district court must “approximate the quantity of the controlled substance” at
issue. U.S.S.G. § 2D1.1 cmt. n.5. In undertaking that task, district courts “enjoy
considerable leeway” and “may give weight to any relevant information before it,
including uncorroborated hearsay, provided that the information has sufficient indicia of
reliability to support its accuracy.” United States v. Williamson, 953 F.3d 264, 273 (4th
Cir. 2020) (cleaned up); see also United States v. Kiulin, 360 F.3d 456, 461 (4th Cir. 2004)
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(observing that “a district court need not ‘err[]’ on the side of caution or otherwise; it must
only determine that it was more likely than not that the defendant was responsible for at
least the drug quantity attributed to him”). Further, “sentencing courts may consider
acquitted conduct in establishing drug amounts for the purpose of sentencing, so long as
the amounts are established by a preponderance of the evidence.” Perry, 560 F.3d at 258.
That said, courts must “exercise caution in estimating drug quantity at sentencing, and
[must] not attribute speculative or scantily supported amounts to defendants.” Williamson,
953 F.3d at 273.
Wherever the line between a proper estimate and speculation lies, it is far removed
from what the district court did here. As the district court recounted, holding Banks
responsible for 196 grams was a conservative estimate based on the evidence before it.
Banks had participated in a multi-year conspiracy where he supervised others also
engaged in the distribution of cocaine base. The district court reasonably extrapolated an
approximate amount of cocaine base attributable to Banks based on his role in the
narcotics conspiracy. It did not clearly err in that calculation, nor is any plain error
otherwise evident from the record. 11
11
This argument fails for another reason too. Even if Banks were correct that the
district court miscalculated the drug weight, any error at sentencing would have been
harmless. At sentencing, the district court repeatedly stated that the Guidelines were just
one factor in determining Banks’ sentence, and it also expressly stated that “regardless of
any error that I may have made in calculating the guidelines,” “[t]he sentence that I have
announced is the sentence that I believe is reasonable” based on the totality of the § 3553(a)
analysis. J.A. 6438. So even assuming error occurred, we can be confident that the sentence
would not have changed as a result of the drug-weight calculation and his sentence is
otherwise reasonable.
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III.
For the reasons set out above, we reverse Davis’ § 922(g) convictions (Counts 16
and 30) for Rehaif error that is cognizable on plain-error review. We vacate and remand
his criminal judgment solely for the district court to enter an amended judgment and
sentence consistent with this decision without the need for plenary resentencing. As to the
Defendants’ other arguments, we reject them and thus affirm their convictions and
sentences.
AFFIRMED IN PART, REVERSED
IN PART, AND REMANDED
WITH INSTRUCTIONS
46
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