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United States v. Marie Jean Baptiste, 14-12238 (2015)

Court: Court of Appeals for the Eleventh Circuit Number: 14-12238 Visitors: 76
Filed: Jul. 16, 2015
Latest Update: Apr. 11, 2017
Summary: Case: 14-12238 Date Filed: 07/16/2015 Page: 1 of 17 [DO NOT PUBLISH] IN THE UNITED STATES COURT OF APPEALS FOR THE ELEVENTH CIRCUIT _ No. 14-12238 Non-Argument Calendar _ D.C. Docket No. 1:13-cr-20707-RSR-1 UNITED STATES OF AMERICA, Plaintiff-Appellee, versus MARIE JEAN BAPTISTE, Defendant-Appellant. _ Appeal from the United States District Court for the Southern District of Florida _ (July 16, 2015) Before MARTIN, JULIE CARNES, and ANDERSON, Circuit Judges. PER CURIAM: Case: 14-12238 Date Fil
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           Case: 14-12238   Date Filed: 07/16/2015   Page: 1 of 17


                                                         [DO NOT PUBLISH]



            IN THE UNITED STATES COURT OF APPEALS

                     FOR THE ELEVENTH CIRCUIT
                       ________________________

                             No. 14-12238
                         Non-Argument Calendar
                       ________________________

                  D.C. Docket No. 1:13-cr-20707-RSR-1



UNITED STATES OF AMERICA,

                                                               Plaintiff-Appellee,

                                 versus

MARIE JEAN BAPTISTE,

                                                          Defendant-Appellant.

                       ________________________

                Appeal from the United States District Court
                    for the Southern District of Florida
                      ________________________

                              (July 16, 2015)

Before MARTIN, JULIE CARNES, and ANDERSON, Circuit Judges.

PER CURIAM:
              Case: 14-12238     Date Filed: 07/16/2015   Page: 2 of 17


      Defendant Marie Jean Baptiste appeals her conviction for three counts of

theft of United States property, in violation of 18 U.S.C. § 641. On appeal,

Defendant raises three arguments. First, she contends that the district court erred

by admitting evidence of her prior act of credit card fraud. Second, she argues that

the district court erred in denying her motion for a mistrial, based on the

prosecutor’s improper statement during his rebuttal closing argument. She further

argues that the cumulative effect of these errors warrants a new trial. After careful

review, we affirm.

                                   I. Background

      In September 2012, refunds from three fraudulently-filed federal income tax

returns (totaling $3,280) were deposited into Defendant’s Higher One student bank

account. That same day, Defendant walked into a Chase Bank branch and used her

Higher One debit card and driver’s license to withdraw $2,400 from that account.

Through subsequent ATM withdrawals and debit card purchases, all of the

fraudulent tax proceeds were withdrawn from Defendant’s Higher One account.

Defendant was indicted for three counts of theft of money or property of the

United States. She pled not guilty, was tried by a jury trial, and found guilty.

      Prior to trial, the Government filed a notice pursuant to Federal Rule of

Evidence 404(b), indicating that it intended to introduce evidence at trial of

Defendant’s prior act of credit card fraud arising from her possession and use of


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another individual’s credit card without authority or permission. The Government

argued that this evidence was relevant in establishing Defendant’s knowledge,

intent, and her lack of mistake or accident in committing the charged crime.

Defendant moved in limine to exclude the admission of this evidence, arguing that

such evidence was inadmissible pursuant to Rule 404(b) because it was not

“sufficiently similar” to the charged conduct and, therefore, it improperly

impugned her character. Defendant also argued that the probative value of the

evidence was substantially outweighed by its unfair prejudice.

      After a pretrial evidentiary hearing, the district court overruled Defendant’s

motion in limine, concluding that the evidence of Defendant’s prior credit card

fraud was relevant to demonstrating intent, knowledge, absence of mistake, and

lack of accident, and that the probative value was not substantially outweighed by

the danger of unfair prejudice.

      At trial, the Government presented numerous witnesses, including

Defendant’s ex-boyfriend Hans Velo Germain, who testified that his friend, John

Wilson, had been involved in the filing of fraudulent tax returns during the time

period set out in the indictment. Germain provided Wilson with his Higher One

bank account information, and Wilson had tax refunds deposited in Germain’s

account. Once the refunds were deposited, Wilson used Germain’s debit card to




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withdraw the majority of the funds, but left the remainder in the account for

Germain.

      Germain further testified, over Defendant’s objection, that he recruited

Defendant to join the scheme because he knew that she was not working and had

bills to pay, including $50 per month in restitution because she was on probation

for a prior credit card fraud offense. In recruiting Defendant, Germain told her that

Wilson was “doing tax fraud,” and Germain introduced Defendant to Wilson, who

also told her that the money was coming from tax fraud. Defendant then gave her

Higher One account information and debit card to Germain, who in turn provided

it to Wilson. Two or three weeks later, the three tax refunds identified in the

indictment were deposited into Defendant’s account, and Defendant and Germain

went to the bank and withdrew $2,400. Defendant kept $1,500 and gave the rest to

Wilson.

      As to the Rule 404(b) evidence at issue on appeal, the Government presented

evidence of Defendant’s prior act of credit card fraud through the testimony of the

victim of that incident, Gloria Peterson, and Detective Robert Young, who had

investigated it. Their testimony revealed that, in 2010, Defendant had pled no

contest in a Florida state court to credit card fraud stemming from her repeated,

unauthorized use of Peterson’s credit card, which Defendant had found on the floor

of the Macy’s store where she worked. When interviewed by Detective Young,


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Defendant told him that her boyfriend had insisted that she use the card and that

she had also given the card to other people to use. During this interview, Detective

Young also explained the concepts of theft and fraud to Defendant.

      In the present case, Defendant testified in her own defense. She denied that

she knew that the money deposited into her bank account had come from

fraudulently-filed tax returns. She asserted that she provided Germain with her

bank account information because he had asked to use her account to deposit

money that he earned from his job at Macy’s. She denied that Germain had a

conversation with her about fraudulent tax returns or that she had met Wilson.

After she and Germain had a fight, she withdrew the money because Germain told

her that he wanted all of the money back from her account. She did not keep any

of the money, but gave it all to Germain.

      During the Government’s rebuttal closing argument, Defendant moved for a

mistrial after the Government referred to taxpayers’ money as “your money.” The

district court denied the motion, but did provide a curative instruction. The jury

found Defendant guilty on all three counts.

                                   II. Discussion

      A.     Rule 404(b) Evidence

      Defendant argues on appeal that the district court erroneously admitted

evidence concerning her prior act of credit card fraud. This evidence included the


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testimony of the victim and the investigating detective, as well as Germain’s

testimony that he had asked Defendant to help him in the tax refund fraud at issue

here because he knew that Defendant was unemployed, that she was required to

pay $50-per-month in restitution for the use of Peterson’s credit card, and that she

therefore needed money. Defendant challenges the admission of the above

evidence, arguing that the credit card fraud was not sufficiently similar to the

instant offense to be probative. Defendant further complains that, by portraying

Defendant as a liar and a thief, the evidence constituted an improper attack on her

character.

       We review the district court’s admission of evidence under Rule 404(b) for a

clear abuse of discretion.1 United States v. Sterling, 
738 F.3d 228
, 234 (11th Cir.

2013), cert. denied, 
134 S. Ct. 2682
 (2014). Under this standard, we affirm so long

as the district court’s decision was not based on a clear error of judgment or an

application of the wrong legal standard. See United States v. Matthews, 
431 F.3d 1296
, 1312 (11th Cir. 2005).

       Rule 404(b) of the Federal Rules of Evidence provides that evidence of a

crime, wrong, or other act is not admissible to prove a person’s character in order

       1
           We disagree with the Government’s assertion that this issue should be reviewed for
plain error because Defendant did not renew her objection to the evidence at the time it was
admitted. Pursuant to Federal Rule of Evidence 103(b), a “definitive” pre-trial evidentiary ruling
need not be renewed at trial to preserve the issue for appeal. The record in this case reflects that
the district court made a definitive pre-trial ruling on the admissibility of the testimonial
evidence about Defendant’s prior act of credit card fraud. Accordingly, this issue is preserved,
and we review using an abuse of discretion standard.
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to show that, on a particular occasion, the person acted in accordance with her

character. Fed.R.Evid. 404(b)(1). Such evidence, however, may be admissible to

prove motive, opportunity, intent, preparation, plan, knowledge, identity, absence

of mistake, or lack of accident. Fed.R.Evid. 404(b)(2). We have held that

evidence of a defendant’s other crimes or acts is admissible under Rule 404(b)

when: (1) it is relevant to an issue other than the defendant’s character;

(2) sufficient proof exists for a jury to find by a preponderance of the evidence that

the defendant committed the acts in question; and (3) the probative value of the

evidence is not substantially outweighed by undue prejudice under Federal Rule of

Evidence 403. United States v. Edouard, 
485 F.3d 1324
, 1344 (11th Cir. 2007).

      Further, evidence of criminal activity other than the charged offense is not

extrinsic under Rule 404(b) if it is necessary to complete the story of the crime or

is inextricably intertwined with the evidence regarding the charged offense.

United States v. McLean, 
138 F.3d 1398
, 1403 (11th Cir. 1998). “Evidence, not

part of the crime charged but pertaining to the chain of events explaining the

context, motive and set-up of the crime, is properly admitted if linked in time and

circumstances with the charged crime, or forms an integral and natural part of an

account of the crime, or is necessary to complete the story of the crime for the

jury.” United States v. Williford, 
764 F.2d 1493
, 1499 (11th Cir. 1985).




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      Whether offered under Rule 404(b) or as intrinsic evidence, the district court

must find that the probative value of the proffered evidence is not substantially

outweighed by unfair prejudice and that it meets the other requirements of Rule

403. See United States v. Baker, 
432 F.3d 1189
, 1205 & n.9 (11th Cir. 2005),

abrogated on other grounds by Davis v. Washington, 
547 U.S. 813
, 821 (2006).

      When determining the probative value of extrinsic act evidence, we

consider: (1) the Government’s incremental need for the evidence to prove guilt

beyond a reasonable doubt; (2) the similarity of the extrinsic act and the charged

offense; and (3) the closeness or remoteness in time between the extrinsic act and

the charged offense. United States v. Ellisor, 
522 F.3d 1255
, 1268 (11th Cir.

2008). If extrinsic act evidence is essential to obtaining a conviction, it is more

probative, and thus, more likely to be admissible. Sterling, 738 F.3d at 238.

      Rule 403 permits the district court to exclude relevant evidence when its

probative value is substantially outweighed by the danger of “unfair prejudice,

confusing the issues, misleading the jury, undue delay, wasting time, or needlessly

presenting cumulative evidence.” Fed.R.Evid. 403. The risk of prejudice from

extrinsic act evidence may be reduced by an appropriate limiting instruction.

Ellisor, 522 F.3d at 1268. Exclusion of relevant evidence is an extraordinary

remedy, though, and it should be used sparingly. United States v. Smith, 
459 F.3d 1276
, 1295 (11th Cir. 2006). In conducting the Rule 403 analysis, we view any


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relevant evidence in the light most favorable to its admission, maximizing its

probative value and minimizing any undue prejudicial impact. Id.

       Applying the above standards, we find no abuse of discretion by the district

court in admitting the above evidence. Focusing first on the testimony concerning

Defendant’s prior credit card fraud, this testimony established 2 that Defendant had

repeatedly, and without authorization, used the credit card of victim Peterson, after

having found that card on the floor of the Macy’s store in which she worked.

Contrary to Defendant’s argument, this evidence was highly relevant for purposes

expressly authorized by Rule 404(b): that is, to show intent, knowledge, absence

of mistake, and lack of accident as to the charged offense.

       To prove Defendant’s guilt, it was not enough for the Government to prove

merely that the tax refund checks, fraudulently obtained and made payable to other

individuals, had been deposited to Defendant’s account. The Government also had

to prove that Defendant had knowledge that these refund checks had been stolen or

fraudulently obtained and that she intended to convert these funds to her own use.

See 18 U.S.C. § 641; United States v. McRee, 
7 F.3d 976
, 980 (11th Cir. 1993) (en

banc) (stating that to support a § 641 conviction, the Government must establish

that the defendant fraudulently appropriated or converted government money or
       2
         The second prong of the Rule 404(b) admissibility test requires proof, by a
preponderance of the evidence, that the defendant actually committed the prior act in question.
Defendant makes no argument on appeal that the Government did not sufficiently prove that she
had previously engaged in credit card fraud.


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property for her own use or use of others, “and that the defendant did so knowingly

and willfully with the intent to either temporarily or permanently to deprive the

owner of the use of the money or property.”).

      By pleading not guilty, Defendant put the Government to its burden on all

elements. See Edouard, 485 F.3d at 1345 (a defendant who pleads not guilty

makes intent a material issue). More than that, she had specifically denied in her

interview with investigators, as well as in her testimony at trial, that she knew the

true source of these checks. Instead, it was her position that she had allowed her

boyfriend, Hans Germain, to deposit these checks into her account, believing that

these checks represented legitimate checks possessed by Germain, not tax refund

checks issued to other people. Similarly, Defendant denied ever receiving any part

of the proceeds of these checks. Defendant’s denial that she knew the nature of

these deposited checks or that she pocketed any part of the proceeds—both

assertions that were in direct contradiction of Germain’s testimony—directly put at

issue the question of her intent and her knowledge, as well as the question whether

the ultimate cashing of these checks that did not belong to her was the result of an

accident or mistake on her part.

      For this reason, evidence of prior acts in which the Defendant had also,

without permission, used a credit card that was not hers, for the purpose of her own

financial gain, revealed an intent and knowledge similar to those same mental


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states at issue in the present case.3 That the prior offense and present offense may

not have contained precisely the same elements does not defeat the probative value

of the evidence. See United States v. Dothard, 
666 F.2d 498
, 502 (11th Cir. 1982)

(holding that the relevancy of other act evidence derives from the defendant having

possessed the same state of mind in the commission of both the extrinsic act and

the charged offense). Both the prior and present offense involve the intent to steal

for personal gain. We therefore conclude that the evidence concerning

Defendant’s credit card fraud was quite probative.

       Defendant has also not shown that the probative value of the evidence

concerning her prior act of credit card fraud was substantially outweighed by the

danger of unfair prejudice. Given the diametrically-opposed testimony of Germain

and Defendant concerning her knowledge and intent, the prior offense provided a

valuable insight into Defendant’s likely mental state and made less believable her

protestation that she had no inkling that these checks were not Germain’s. This

evidence was therefore important to the Government’s case. See Sterling, 738 F.3d

at 238.

       Defendant also objected to admission of Germain’s testimony that he

approached Defendant to help him convert these tax refund checks because he


       3
         Likewise, as to both the prior fraud and the present charge, Defendant blamed a
boyfriend for the wrongdoing.

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knew that she was required to pay $50 per month restitution arising out of the

earlier credit card theft, that she was unemployed, and that she therefore could use

the money. The district court admitted this evidence as being inextricably

intertwined with the charged offense.

      The evidence was intertwined. See Williford, 764 F.2d at 1499. It also

tended to prove motive by the Defendant, which is a permissible object of proof

under Rule 404(b). Yet, had the underlying prior conviction giving rise to the

obligation to pay restitution not been based on a mental state that was similar to the

mental state required for the charged offense, it would be a closer call whether the

probative value of this “motive” evidence outweighed its undue prejudice. If, for

example, a defendant were paying monthly restitution based on a conviction for

assault, the fact of this prior assault would not typically provide any relevant

information about the defendant’s knowledge or intent to convert stolen property

or engage in fraudulent activity. In that case, while evidence showing the need to

engage in remunerative activities in order to provide money for restitution

obligations arising from the assault conviction might be probative evidence on the

question of motive, the balancing of prejudice against probative value would be a

closer question. Here, however, Defendant’s restitution obligations arose from the

same offense that the district court and we have determined to be appropriate Rule

404(b) evidence. Accordingly, allowing Germain to reference the need to pay


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restitution as a motive for Defendant’s participation in the present offense provided

no additional information to the jury of prior wrongdoing of the Defendant. Thus,

its probative value was clearly not outweighed by any undue prejudicial effect.

        Additionally, when the district court admitted Germain’s testimony about

Defendant’s restitution obligation stemming from her prior incident involving

credit card fraud, the court gave an appropriate limiting instruction. Specifically,

the court instructed the jury that it was not to consider Defendant’s prior act as

evidence for the instant charges, but it could consider the prior act only as evidence

of her state of mind, intent, planning, or lack of accident or mistake. The court

gave this instruction to the jury a second time prior to the testimony of the victim

of the credit card fraud and the detective who investigated that offense. This

instruction was given a third time at the close of the case. This instruction

minimized any unfair prejudice that might have resulted from the admission of the

evidence regarding Defendant’s prior credit card fraud. See Ellisor, 522 F.3d at

1268.

        In summary, we conclude that the district court did not clearly err, or err at

all, in admitting Germain’s testimony concerning motive, as well as the other-

referenced testimony establishing Defendant’s earlier wrongful use of another’s

credit card.




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      B.     Motion for Mistrial

      At trial, Defendant moved for a mistrial after the Government stated, in its

rebuttal argument, that:

      In opening, I stated that this is not the largest case, but you did learn
      during the course of this trial that . . . the defendant’s conduct . . . is
      part of a larger scheme . . . . And you also learned how serious this
      case is, how it is a serious federal offense to steal government money.
      And the government, this is your money, the taxpayers.

The district court sustained Defendant’s objection to this statement, but denied

Defendant’s mistrial motion and instead gave a curative instruction.

      On appeal, Defendant argues that the Government’s “your money” comment

was improper, the district court’s curative instruction did not undo the harm, and

the court erred in denying Defendant’s motion for a mistrial. We review the denial

of a motion for a mistrial for an abuse of discretion. United States v. Ettinger, 
344 F.3d 1149
, 1161 (11th Cir. 2003). A defendant is entitled to a grant of a mistrial

only upon a showing of substantial prejudice. Id. If the district court gives a

curative instruction, reversal is appropriate only if the evidence “is so highly

prejudicial as to be incurable” by the district court’s instruction. United States v.

Garcia, 
405 F.3d 1260
, 1272 (11th Cir. 2005).

      During closing arguments, a prosecutor is “forbidden to make improper

suggestions, insinuations and assertions calculated to mislead the jury and may not

appeal to the jury’s passion or prejudice.” United States v. Rodriguez, 
765 F.2d 14
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1546, 1560 (11th Cir. 1985) (quotation marks omitted). Specifically, the

prosecutor may not invoke the individual pecuniary interests of the jury as

taxpayers. United States v. Smyth, 
556 F.2d 1179
, 1185 (5th Cir. 1977).

      Given the above case authority, the prosecutor should not have made a

comment that appealed to the jurors’ pecuniary interests as taxpayers. See id.

Nevertheless, Defendant has not shown that the result of her trial would have been

different, had the comment not been made. The district court promptly sustained

Defendant’s objection and instructed the jury to disregard the Government’s

comment. After denying Defendant’s motion for a mistrial, the court subsequently

gave a curative instruction 4 modeled on the instruction given by the district court

in Smyth,5 and it then confirmed with the jurors that they understood and would be


      4
          The curative instruction in this case instructed the jury as followed:

               You are not to consider the statement that was made immediately before
               the objection that happened right before our break for the reason that that
               was a personal appeal to you. And while it is all right for the government
               to argue that tax money is involved here, it is not all right for the
               Government to argue that this directly hurts you. It must not be
               considered by any member of the jury because you are not permitted to—
               let me put it this way, because you must view the matter impartially
               without any personal interest in the case.
      5
          The district court in Smyth provided the following curative instruction:

               Members of the jury, you are not to consider that statement for the reason
               that it’s a personal appeal to you. It’s alright for him to argue that tax
               money is paying for it but (not) the portion about your tax money hurting
               you. It will not be considered by you because . . . you’re supposed to view
               the matter impartially.

      Smyth, 556 F.2d at 1185 n.13.
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able to follow the instruction. 6 After the jury returned its verdict (and Defendant

renewed her motion for a mistrial), the court found, based in part on its

observations of the jurors’ reactions to the curative instruction, that a reasonable

probability did not exist that the Government’s improper comment affected the

outcome of the trial.

      Moreover, the Government introduced significant evidence of Defendant’s

guilt, including Germain’s testimony regarding her willing participation in the tax

fraud; evidence showing that Defendant checked her bank account around the time

the fraudulent deposits were made; and Defendant’s testimony explaining how the

checks came to be deposited in her account, which explanation the jury obviously

did not believe. See United States v. Brown, 
53 F.3d 312
, 314 (11th Cir. 1995)

(holding that “a statement by a defendant, if disbelieved by the jury, may be

considered as substantive evidence of the defendant’s guilt”) (emphasis in

original).



      6
          Specifically, the district court engaged in the following exchange with the jury:

               Let me ask, does everybody understand the instruction that I have given?
               And I don’t want you to be shy about this. If you don’t understand or you
               have a question, these things are kind of tricky sometimes. Don’t be shy,
               raise your hand, let me know, it’s no problem. This is one of those times
               when we are happy if you raise your hand if you need instruction.

               Okay. I see no hands. Is there anybody here who cannot follow that
               instruction? If so, again, don’t be shy, we need to [know] this. Raise your
               hand for me now, please. Again, I see no hands. I thank you all for that.

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      Additionally, contrary to Defendant’s argument, the improper comment was

an isolated part of the prosecutor’s closing argument, having been made only once

by him. Thus, in light of the curative instruction and substantial evidence of

Defendant’s guilt, we conclude that the improper comment was harmless and that

the district court did not abuse its discretion in denying Defendant’s motion for a

mistrial.

      C.     Cumulative Error

      Defendant’s final argument is that the cumulative effect of the above errors

warrants a new trial. However, as discussed above, we have found only one

misstep in this case—an isolated comment by the prosecutor—which inappropriate

statement was cured by the Court’s instruction and was, itself, harmless.

Accordingly, there was no cumulative error in this case. See United States v.

Waldon, 
363 F.3d 1103
, 1110 (11th Cir. 2004) (holding that “[i]f there are no

errors or a single error, there can be no cumulative error.”).

                                  III. Conclusion

      For all of the above reasons, we affirm Defendant’s conviction.

      AFFIRMED.




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