Filed: Jun. 03, 2015
Latest Update: Mar. 02, 2020
Summary: 13-4846-cr United States v. Allen UNITED STATES COURT OF APPEALS FOR THE SECOND CIRCUIT August Term 2014 (Argued: November 4, 2014 Decided: June 3, 2015) Docket No. 13-4846-cr UNITED STATES OF AMERICA, Appellee, v. GEORGE ALLEN, Defendant-Appellant. ON APPEAL FROM THE UNITED STATES DISTRICT COURT FOR THE DISTRICT OF VERMONT Before: WALKER, LYNCH, and CHIN, Circuit Judges. Appeal from a judgment of the United States District Court for the District of Vermont (Reiss, C.J.), convicting defendant-
Summary: 13-4846-cr United States v. Allen UNITED STATES COURT OF APPEALS FOR THE SECOND CIRCUIT August Term 2014 (Argued: November 4, 2014 Decided: June 3, 2015) Docket No. 13-4846-cr UNITED STATES OF AMERICA, Appellee, v. GEORGE ALLEN, Defendant-Appellant. ON APPEAL FROM THE UNITED STATES DISTRICT COURT FOR THE DISTRICT OF VERMONT Before: WALKER, LYNCH, and CHIN, Circuit Judges. Appeal from a judgment of the United States District Court for the District of Vermont (Reiss, C.J.), convicting defendant-a..
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13‐4846‐cr
United States v. Allen
UNITED STATES COURT OF APPEALS
FOR THE SECOND CIRCUIT
August Term 2014
(Argued: November 4, 2014 Decided: June 3, 2015)
Docket No. 13‐4846‐cr
UNITED STATES OF AMERICA,
Appellee,
v.
GEORGE ALLEN,
Defendant‐Appellant.
ON APPEAL FROM THE UNITED STATES DISTRICT COURT
FOR THE DISTRICT OF VERMONT
Before:
WALKER, LYNCH, and CHIN, Circuit Judges.
Appeal from a judgment of the United States District Court for the
District of Vermont (Reiss, C.J.), convicting defendant‐appellant of conspiring to
set fires on public lands. Defendant‐appellant contends that (1) the evidence at
trial was insufficient to support his conviction because the government failed to
prove a specific intent to set fires on federal property, and (2) the district court
violated his rights by conducting a jury orientation outside his and his counselʹs
presence.
AFFIRMED.
____________________________
WILLIAM B. DARROW, Assistant United States
Attorney (Gregory L. Waples, Assistant
United States Attorney, on the brief), for
Eugenia Cowles, Acting United States
Attorney for the District of Vermont,
Burlington, VT, for Appellee.
MICHAEL K. BACHRACH, Law Office of Michael K.
Bachrach, New York, NY, for Defendant‐
Appellant.
____________________________
CHIN, Circuit Judge:
The town of Wallingford, Vermont lies in the Otter Creek Valley,
between the Taconic and Green Mountains, at the foot of the Green Mountain
‐ 2 ‐
National Forest (the ʺNational Forestʺ). The National Forest encompasses some
400,000 acres of park land offering scenic natural attractions, including access to
the Appalachian Trail and the Long Trail. Defendant‐appellant George Allen
(ʺAllenʺ), a volunteer firefighter and captain at the Wallingford Volunteer Fire
Department (the ʺWFDʺ), appeals from a judgment entered in the United States
District Court for the District of Vermont (Reiss, C.J.) on December 3, 2013,
following a jury trial, convicting him of conspiring to set fires on public lands.
As the evidence showed at trial, Allen and certain other members of the WFD
were ʺbored,ʺ and conspired to set fires because it gave them ʺsomething to doʺ ‐‐
they would respond to the calls to extinguish the fires.
On appeal, Allen contends that (1) the evidence at trial was
insufficient to convict him of conspiracy to set fires on public lands, in violation
of 18 U.S.C. §§ 371 and 1855, because the government failed to prove a specific
intent to set fires on federal property, and (2) the district court violated his right
to be present under Rule 43(a) of the Federal Rules of Criminal Procedure and
the Due Process Clause by conducting a jury orientation outside his and his
counselʹs presence.
We affirm.
‐ 3 ‐
STATEMENT OF THE CASE
A. The Facts
Because Allen challenges the sufficiency of the evidence to support
his conviction, ʺwe view the evidence in the light most favorable to the
government, drawing all inferences in the governmentʹs favor and deferring to
the juryʹs assessments of the witnessesʹ credibility.ʺ United States v. Hawkins, 547
F.3d 66, 70 (2d Cir. 2008) (internal quotation marks omitted).
In 2008, Allen was a volunteer captain in the WFD with a day job at
an automotive tire shop in Rutland, Vermont. His brother, Jeff Allen, was
Assistant Chief of the WFD, and their father, Warren Allen, was the Chief. A
clique within the ʺAllen Hose Company,ʺ as it was sometimes referred to at the
time, had been causing problems within the WFD, with Allen and some of the
younger line firefighters ʺfreelancingʺ at the scene of fires, deviating from
standard protocol, disrespecting officers, and throwing ʺtemper tantrums.ʺ S.
App. at 111‐12, 153.
Between January and May of 2008, a number of WFD firefighters
became suspicious of the frequency and pattern of calls. There were twenty‐four
brush grass fires during a period when there might ordinarily be just one or two.
‐ 4 ‐
Additionally, the fires occurred during damp weather that would not ordinarily
be conducive to wildland fires; they were not near roads, where a stray cigarette
or other human intervention might have been the cause; certain members of the
WFD clique, including Allen, were almost always on the team that responded to
the calls; and members of the clique began boasting that they had the fastest
response time in the county, and that they were beating everyone else to the
scene.
One of the co‐conspirators, Matt Burnham, looked up to the Allen
brothers and joined the WFD as a junior firefighter at the age of fourteen. He
was eighteen or nineteen years old, and already a senior firefighter, when he
began setting the fires, admittedly because he was ʺboredʺ and looking for
ʺsomething to do,ʺ id. at 203, and because it was ʺan adrenaline rush,ʺ id. at 206.
ʺ[S]tanding around at the fire station it would get mentioned that it would be
nice to have a fire call. So we would go out and set a grass fire to get a fire call,ʺ
he testified. Id. at 203. On at least one occasion after setting a fire, Burnham
called 911 using a fake name. The emergency signal ‐‐ or ʺtoneʺ ‐‐ would then go
out, calling up the volunteer firefighters. Those who knew in advance where and
‐ 5 ‐
when there would be a fire prided themselves on their quick response time.
Afterwards, Allen would occasionally reward Burnham with cigarettes.
Another co‐conspirator, Charlie Woods, joined the WFD junior
firefighter program when he was fifteen years old, and was seventeen at the time
of the 2008 fires. Like Burnham, he looked up to Allen and loved being a
firefighter. Woods testified that in early 2008 ʺit seemed like forever that [they]
hadnʹt had a fire call or anything. And it was mainly like kind of getting boring.ʺ
Id. at 368. Woods, Burnham, Allen, and Allenʹs girlfriend decided to start a
couple fires, but ʺit got out of control.ʺ Id. According to Woods, during the
period in question he would occasionally get text messages from Allen, or Allenʹs
girlfriend, saying that they were bored at work and did not want to be there.
Burnham or Woods would start a fire and then go to Rutland or back to their
houses to wait. After the tone went out calling up volunteer firefighters, they
would occasionally wait another fifteen or twenty minutes before they went to
the firehouse so that the firefighters who were not involved would not become
suspicious.
Between Burnham and Woods, the firefighters set two fires in
January 2008 and one fire in March. Then, in April, they set sixteen fires,
‐ 6 ‐
including one on April 17 on federal land at the Long Trail and Appalachian
Trail parking lot and trail head. In May 2008 they set at least four more fires,
including one on federal land at the National Forest White Rocks picnic area near
Ice Bed Road. In April and May of 2008, the National Forest fires were
investigated by Kim Kinville, a law enforcement officer for the United States
Forest Service, who at the time had been stationed in the National Forest for
seventeen years.
1. First Federal Fire
On April 17, 2008, Burnham started a brush fire at the Long Trail
and Appalachian Trail parking area in the National Forest. At trial, Burnham
testified that Allen ʺnamed more than one good locationʺ for fires, including
specifically telling Burnham that the Long Trail parking lot would be a good
place to start a fire. Id. at 207. And so, on April 17, Burnham went up to the
Long Trail turnaround and set some leaves on fire. When Burnham was pulling
out of the parking lot, Allen was pulling in. They both then returned to their
respective homes. Burnham called 911 and reported the fire using a fake name,
‐ 7 ‐
and thereafter Burnham and Allen responded to the fire with other WFD
firefighters.1
2. Second Federal Fire
Woods testified that in early May 2008 there was discussion with
Allen and Burnham that the White Rocks parking area was one of the places
where a fire should be set. Woods and Burnhamʹs initial attempt at starting a fire
at White Rocks failed. The two fires they set simultaneously at the picnic area
petered out because the grass was too wet, and the fires were too small to
warrant a call. But a couple days later, on May 8, Allen texted Woods saying that
he did not want to be at work. Woods then went up alone into the woods near
the White Rocks parking lot.
After successfully setting fire to some leaves, Woods drove to the
tire shop in Rutland and told Allen that ʺweʹre going to get a fire call and itʹs
probably going to be at White Rocks.ʺ Id. at 376. Woods then went back to
White Rocks, saw how large and volatile the fire was, and called it in himself
using his real name because ʺI wanted to pretty much give myself up. . . . I didnʹt
A Vermont State Police Arson Unit officer testified at trial that ‐‐
1
based on the WFDʹs run sheets ‐‐ Allen and Burnham responded to all of the twenty‐
four suspicious fires.
‐ 8 ‐
want to do it anymore. I ‐‐ it wasnʹt me.ʺ Id. He then left the scene, went to the
firehouse, and responded to the tone with other firefighters, including Allen.
After the fire was extinguished, Burnham, Woods, and Allen rode
back to the firehouse together in Engine One. Allen told Burnham and Woods to
ʺshut our mouths and not talk about it,ʺ and to ʺjust act like we donʹt know what
happened.ʺ Id. at 377.
3. Allenʹs Confession
On May 20, 2008, in a recorded interview at the WFD with a
Vermont State Police detective, Allen stated that at times he was a reluctant
participant, telling Burnham by text that he ʺneed[ed] to stopʺ and that he was an
ʺidiotʺ for setting the fires. Id. at 293. But they continued to set fires, and as
Allen described it, Burnham and Woods were engaged in something of a ʺpissing
match.ʺ Id. at 298.
Allen did, however, admit his knowledge of or involvement in as
many as sixteen of the fires, though he did not concede that he lit any of them
himself. Like Burnham and Woods, he was ʺ[b]ored,ʺ and thought ʺthis place,
[this] town, is pretty boring around here.ʺ Id. at 282. With regards to the May 8
fire at White Rocks, Allen told Detective Williams that Woods ʺset the federal
‐ 9 ‐
fire,ʺ but said that he did not know why Woods did it. Id. at 298. And as for the
April 17 fire, Allen admitted to the detective that he told Burnham to set it near
the Long Trail parking area, but contended he picked it simply as a random
location where they likely would not be caught.
B. The Proceedings Below
In an indictment filed on September 19, 2012, Allen was charged
with knowingly and willfully conspiring with other members of the WFD,
including Burnham and Woods, to willfully set on fire underbrush and grass on
the public domain, in violation of 18 U.S.C. § 1855.
At a pre‐trial conference on June 24, 2013, with Allen in attendance,
Chief Judge Reiss reviewed with the parties her trial practices, including jury
orientation and selection. ʺYou are welcome to attend jury orientation,ʺ she told
the parties. ʺIt will be the morning of the jury draw. You do not have to, but I
donʹt see any reasons why you shouldnʹt be present if you want to.ʺ Id. at 8. On
July 22, 2013, on the morning of the jury draw, Chief Judge Reiss conducted the
jury orientation, without Allen or either counsel present. Trial commenced that
afternoon.
‐ 10 ‐
The governmentʹs case‐in‐chief involved nine witnesses, including
two WFD officers; a United States Forest Service law enforcement officer; Allenʹs
co‐conspirators at the WFD, Burnham and Woods, who testified that Allen
encouraged and directed them to set the fires and suggested locations; a Vermont
State Police detective, who introduced Allenʹs recorded admission that he
directed Burnham to set the first National Forest fire; the Wallingford fire
warden, who testified that the WFD failed to report any of the twenty‐four fires
in question, despite a legal requirement to do so; and two witnesses who
introduced cell phone evidence showing a heavy volume of communications
between Allen and Burnham during the first National Forest fire.
After the government rested, the defense moved for a judgment of
acquittal on the grounds that there was insufficient evidence of Allenʹs
intentional involvement in the federal fires. The district court denied the motion.
Allen did not call any witnesses. The jury delivered a guilty verdict on July 24,
2013, just two days after the trial commenced. On December 2, 2013, the district
court sentenced Allen principally to a term of thirteen monthsʹ incarceration.
This appeal followed.
‐ 11 ‐
DISCUSSION
Two issues are presented: (a) the sufficiency of the evidence of a
conspiracy to set fire to public lands, and (b) the propriety of the jury orientation
conducted by the district court outside the presence of Allen and his counsel.
A. Sufficiency of the Evidence
We review claims of insufficient evidence de novo, United States v.
Geibel, 369 F.3d 682, 689 (2d Cir. 2004), and will affirm if ʺany rational trier of fact
could have found the essential elements of the crime beyond a reasonable
doubt,ʺ United States v. Jones, 393 F.3d 107, 111 (2d Cir. 2004) (internal quotation
marks omitted). ʺA defendant bears a heavy burden in seeking to overturn a
conviction on grounds that the evidence was insufficient.ʺ United States v.
Aleskerova, 300 F.3d 286, 292 (2d Cir. 2002) (internal quotation marks omitted).
Here, Allenʹs sufficiency argument turns primarily on a question of
law. He argues that there was insufficient evidence to support his conviction for
conspiracy to set fire to public lands because of the absence of evidence of
specific intent to set fire to federal lands. Allen contends that 18 U.S.C. § 1855
requires knowledge that the lands to be set ablaze are federal, and that
conspiracy to violate § 1855 requires the same. We hold, to the contrary, that
‐ 12 ‐
specific knowledge of federal ownership is not required, either for the
substantive statute or for conspiracy to violate the substantive statute.
The principal question presented is whether a violation of § 1855
requires that the defendant know that the land is federal land. The statute
provides in pertinent part:
Whoever, willfully and without authority, sets on fire
any timber, underbrush, or grass or other inflammable
material upon the public domain or upon any lands
owned or leased by or under the partial, concurrent, or
exclusive jurisdiction of the United States . . . shall be
fined under this title or imprisoned not more than five
years, or both.
18 U.S.C. § 1855. We must decide whether the element of intent embodied in the
word ʺwillfullyʺ includes not only the defendantʹs setting on fire of timber,
underbrush, or grass, but also the defendantʹs knowledge that the lands are
federal. In deciding this question of first impression we look to the language of
the statute, see Lamie v. U.S. Trustee, 540 U.S. 526, 534 (2004), the intent of
Congress as expressed in the legislative history, see United States v. Dauray, 215
F.3d 257, 264 (2d Cir. 2000), and cases involving the interpretation of this and
similar statutes.
‐ 13 ‐
The issue is whether the phrase ʺwillfully and without authorityʺ
modifies just the act of setting a fire, or whether it reaches more broadly to
require that the defendant ʺwillfully and without authorityʺ set the fire knowing
it to be ʺupon the public domain or upon any lands owned or leased by or under
the partial, concurrent, or exclusive jurisdiction of the United States.ʺ 18 U.S.C. §
1855. While it is clear that the fire must be set on federal lands to invoke federal
jurisdiction, we must decide whether the defendant must know or intend that
the fire be set on federal lands.
Though the statute has been amended several times since it was
enacted in 1897,2 the record is silent as to Congressʹs precise intent in creating a
federal crime corresponding to a pre‐existing common‐law prohibition. See, e.g.,
Phillips v. State, 19 Tex. 158 (1857); Jay P. Kinney, The Essentials of American Timber
Law § 101 at 127‐28 (1917). It is clear enough, though, that Congress generally
intended ʺto prevent forest fires which have been one of the great economic
See Act of February 24, 1897, ch. 313, 29 Stat. 594 (crime to ʺwillfully
2
and maliciouslyʺ set a fire or ʺcarelessly or negligentlyʺ leave one to burn unattended);
Act of May 5, 1900, 31 Stat. 169 (amended, omitting words ʺcarelessly or negligentlyʺ);
Act of March 4, 1909, 35 Stat. 1088, 1098 (amended, omitting word ʺmaliciouslyʺ); see
also Act of June 25, 1910, 36 Stat. 855, 857 (amended, applying also to Indian tribal lands
or Indian allotments while held under restricted or trust patents); Act of November 5,
1941, 55 Stat. 763 (amended, adding ʺand without authorityʺ); Act of June 25, 1948, ch.
645, 62 Stat. 788 (current version at 18 U.S.C. § 1855).
‐ 14 ‐
misfortunes of the country.ʺ United States v. Alford, 274 U.S. 264, 267 (1927)
(interpreting a related statute, Act of June 25, 1910, ch. 431, 36 Stat. 855, that
prohibited building a fire in or near any forest and failing to totally extinguish it);
see also United States v. Hacker, 73 F. 292, 295 (S.D. Cal. 1896) (ʺThe policy of the
government in [making it a misdemeanor to cut timber on public lands] and
kindred legislation was to protect the timber on the public domain, except as
against certain necessary and specified uses in tillage and mining.ʺ).
The case law pertaining to the elements of timber crimes is similarly
thin. Very few cases have dealt with sufficiency of the evidence for a § 1855
conviction, see, e.g., United States v. Velte, 331 F.3d 673 (9th Cir. 2003); United States
v. Abner, 35 F.3d 251 (6th Cir. 1994); United States v. Newman, 6 F.3d 623 (9th Cir.
1993), and none has clearly addressed the scope of the willfulness requirement.
Allen relies on the Sixth Circuit case, Abner, to support his assertion that the
ʺwillfulnessʺ element of § 1855 applies not only to setting the fire, but to doing so
knowing the lands were federal.
In Abner, the defendant set fire to private land, and the fire spread to
federal land ‐‐ the boundary of which was located anywhere from 300 to 1000
feet from the fireʹs origin ‐‐ due to the wind and dry conditions. The government
‐ 15 ‐
asked the jury to infer that Abner ʺknew that the fires which were started on
private property would spread to public property, that Abner and his cohorts
willfully started the fires on private property, and that they started the fires on
private property with the specific intent that they spread onto federal property.ʺ
Abner, 35 F.3d at 255. Abner was convicted of a substantive § 1855 offense, and
the Sixth Circuit reversed on the grounds that no ʺrational jury could convict
Abner for willfully setting on fire lands owned by the federal government.ʺ Id.
Allenʹs reliance on Abner is misplaced. The Sixth Circuitʹs analysis
focused on whether the defendant knew that the fire would likely spread to
federal land, and the government argued that Abnerʹs willful burning of private
lands could be used to show an intent to burn federal land. But in the end, Abner
is equivocal as to the precise nature of the specific intent that Abner lacked.
Although the Sixth Circuit emphasized that there was ʺno evidence that Abner
knew that the area contained government land,ʺ id. at 256, the court adopted the
enumeration of elements for a § 1855 violation set forth in its unpublished (and
incongruously‐named) decision in United States v. Rainwater, where it held that
the government had only to prove ʺ1) that Rainwater burned land owned by the
United States, 2) that Rainwater did not have authority to set the fire, and 3) that
‐ 16 ‐
Rainwater set the fire willfully.ʺ No. 92‐5504, 1993 WL 47198, at *2 (6th Cir. Feb.
23, 1993) (per curiam).3 The elements as stated in Rainwater accord with our
ultimate holding, that § 1855 requires only ʺthat [the defendant] set the fire
willfully,ʺ and not that he set fire to land knowing it was federal land. Id.
We need not decide the exact nature of the intention that Abner
required, or how we would decide a case like it, because the case is
distinguishable from ours, and presents a different defense. Allen argues that he
intentionally set a fire on land that he did not know was federal land; Abner, in
contrast, argued that he intentionally set a fire on land that was not federal, and
had no intent that the fire spread to the land that was part of the federal domain.
To the extent that the Sixth Circuit held that the government needed to prove an
intention that the fire spread to land protected by § 1855, that holding provides
no defense for Allen.
In light of the lack of direct judicial authority on willfulness in
3In one instance, Abner states the third element differently from
Rainwater, despite citing to Rainwater for the proposition. Compare Abner, 35 F.3d at 254
(the government had to prove that ʺAbner set this land on fire willfullyʺ), with
Rainwater, 1993 WL 47198, at *2 (the government had to prove that ʺRainwater set the
fire willfullyʺ). Because the Abner articulation refers to this ‐‐ the federal ‐‐ land, it is
more ambiguous than Rainwater on the scope of willfulness.
‐ 17 ‐
§ 1855 and the paucity of legislative history, we turn for guidance to cases that
have discussed the federal knowledge requirement with respect to similar
statutes.
A line of cases starting with the Supreme Courtʹs decision in United
States v. Feola provides strong support for the conclusion that for purposes of
§ 1855 federal title to the land is merely a jurisdictional prerequisite and that
knowledge thereof is not an element of the substantive offense. 420 U.S. 671
(1975). In Feola, the Supreme Court considered a conviction for conspiracy to
violate 18 U.S.C. § 111, which prohibits assault on a federal officer. The Feola
Court explored whether anti‐federal scienter ‐‐ the Courtʹs term for specific
knowledge that the victim is a federal officer ‐‐ is required for the substantive
statute as well as for conspiracy to violate the substantive statute. The Court
held that § 111 does not require awareness on the part of the assailant that her
victim is a federal officer. The statute exists, the Court concluded, ʺto accord[]
maximum protection to federal officers . . . . All the statute requires is an intent to
assault, not an intent to assault a federal officer.ʺ Feola, 420 U.S. at 684. The
Court continued:
The situation is not one where legitimate conduct
becomes unlawful solely because of the identity of the
‐ 18 ‐
individual or agency affected. In a case of this kind the
offender takes his victim as he finds him. The concept
of criminal intent does not extend so far as to require
that the actor understand not only the nature of his act
but also its consequence for the choice of a judicial
forum.
Id. at 685.
In United States v. Yermian, the Supreme Court extended the Feola
principle to 18 U.S.C. § 1001, which prohibits willfully making false statements to
federal agents. 468 U.S. 63, 68 (1984) (ʺJurisdictional language need not contain
the same culpability requirement as other elements of the offense.ʺ). And in
United States v. LaPorta, we applied Feola to 18 U.S.C. § 1361, which prohibits
willful injury or depredation against federal property. 46 F.3d 152, 158 (2d Cir.
1994) (ʺThe defendants argue that to be convicted of destruction of government
property . . . the government must show that they knew the government owned
the property in question. We find no such scienter requirement under § 1361.ʺ).
The ʺwillfulnessʺ language in § 1855 fits squarely with our interpretation in
LaPorta of the ʺwillfulnessʺ language in § 1361.
While the Supreme Court has read ʺsome criminal statutes to
include broadly applicable scienter requirements, even where the statute by its
terms does not contain them,ʺ those cases involved statutes that criminalized
‐ 19 ‐
ʺotherwise innocent conduct.ʺ LaPorta, 46 F.3d at 158 (quoting United States v. X‐
Citement Video, Inc., 513 U.S. 64, 70 (1994) (internal quotation marks omitted)); see
also Staples v. United States, 511 U.S. 600, 619 (1994); Liparota v. United States, 471
U.S. 419, 426 (1985); Morissette v. United States, 342 U.S. 246, 271 (1952). ʺArson is
hardly ʹotherwise innocent conduct.ʹʺ LaPorta, 46 F.3d at 158.4 In each of the
cases cited in LaPorta, the element as to which the Supreme Court implied a
scienter requirement was not a mere jurisdictional element, but was the very
element that made the conduct dangerous or criminal.
We conclude that § 1855 is more in line with the statutes at issue in
Feola and its progeny than with the statutes at issue in Morissette and similar
cases. Just as the ʺwillfulnessʺ language in § 1361 at issue in LaPorta refers to the
4 Allen points to § 1855ʹs sister statutes, arguing that because they
require federal scienter, so too does § 1855. See, e.g., 18 U.S.C. § 1851 (Coal
Depredations); id. § 1852 (Timber Removed or Transported); id. § 1853 (Trees Cut or
Injured); id. § 1854 (Trees Boxed for Pitch or Turpentine); id. § 1856 (Fires Left
Unattended and Unextinguished); id. § 1857 (Fences Destroyed; Livestock Entering); id.
§ 1858 (Survey Marks Destroyed or Removed); id. § 1859 (Surveys Interrupted); id.
§ 1860 (Bids at Land Sales); id. § 1861 (Deception of Prospective Purchasers); id. § 1863
(Trespass on National Forest Lands); id. § 1864 (Hazardous or Injurious Devices on
Federal Lands). But Allen cites no authority for the proposition that these Chapter 91
statutes require knowledge that the timber, land, or resources are federal. Furthermore,
several of these statutes criminalize ʺotherwise innocent conduct,ʺ and none requires
ʺwillfulnessʺ except for § 1858, which provides that whoever ʺwillfullyʺ destroys or
defaces survey marks ʺon any Government line of surveyʺ commits a crime. No case
has addressed the federal knowledge requirement for this section, and in any event the
language in § 1855 accords more squarely with the statute in LaPorta than with § 1858.
‐ 20 ‐
depredation of property (not to the federal ownership of the property), the
ʺwillfulnessʺ language in § 1855 refers to the setting of fires (not to the federal
ownership of the lands on which they are set). Hence, we hold that § 1855 does
not require knowledge that the lands are federal.
Allen contends that even if he could have been found guilty of a
substantive § 1855 offense, there was insufficient evidence to establish a § 371
conspiracy conviction because he did not willfully enter into an agreement to
burn federal lands, and, moreover, the object of any conspiracy was not
specifically to burn federal lands. This argument fails. We conclude that
conspiracy to violate § 1855 requires no greater scienter than the substantive
crime requires.
The general federal conspiracy statute, 18 U.S.C. § 371, prohibits
ʺtwo or more persons [from] conspir[ing] . . . to commit any offense against the
United States.ʺ The elements of a conspiracy under § 371 are: ʺ(1) an agreement
between two or more persons to commit an unlawful act; (2) knowingly
engaging in the conspiracy intending to commit those offenses that were the
objects of the conspiracy; and (3) commission of an ʹovert actʹ by one or more
‐ 21 ‐
members of the conspiracy in furtherance of the conspiracy.ʺ United States v.
Reyes, 302 F.3d 48, 53 (2d Cir. 2002).
While conspiracy to commit a substantive offense ʺcannot exist
without at least the degree of criminal intent necessary for the substantive
offense itself,ʺ Ingram v. United States, 360 U.S. 672, 678 (1959) (internal quotation
marks omitted), neither does it require a greater degree of criminal intent than
the substantive statute, Feola, 420 U.S. at 692 (ʺ[W]here a substantive offense
embodies only a requirement of mens rea as to each of its elements, the general
federal conspiracy statute requires no more.ʺ). On this question, the Feola Court
held that, ʺ[g]iven the level of intent needed to carry out the substantive offense,
we fail to see how the agreement is any less blameworthy or constitutes less of a
danger to society solely because the participants are unaware which body of law
they intend to violate.ʺ 420 U.S. at 694. Here, the co‐conspirators knew they
were agreeing to engage intentionally in unlawful conduct. Whether they
thought they were agreeing to burn federal lands or non‐federal lands, the law
does not require that they were aware precisely ʺwhich body of law they
intend[ed] to violate.ʺ Id. Because § 1855 does not require that the defendant
‐ 22 ‐
harbor specific intent to burn federal lands, the § 371 conspiracy offense requires
no greater mens rea.5
B. Right to be Present
Allen contends that the district courtʹs preliminary orientation with
the jury panel outside his and his counselʹs presence deprived him of his right to
be present under Rule 43(a) of the Federal Rules of Criminal Procedure and the
Due Process Clause of the Fifth Amendment.
As noted above, in a pre‐trial conference, the district court informed
the parties that it would be conducting a ʺjury orientation,ʺ and advised them
that they were not required to attend, but were welcome to do so. The district
court proceeded to describe what it anticipated would take place at the
orientation:
I think in a criminal case itʹs interesting because in jury
orientation I tell them the defendant is presumed
innocent, he doesn’t have to prove anything, he doesnʹt
have to call any witnesses, he doesnʹt have to testify, he
5 In their briefs on appeal, the parties focus on the legal issue of the
degree of scienter required for a § 1855 violation. The government does suggest as a
factual matter that Allen intended for the fires to be set on lands he knew to be federal.
The government notes that Allen admitted that he directed Burnham to set the fire near
the Long Trail and Appalachian Trail parking area on April 17, 2008, and Woods
testified that Allen instructed him to set the fire near the White Rocks parking area on
May 8, 2008. In light of our resolution of the legal issue, we need not decide the factual
question.
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doesnʹt have to cross‐examine witnesses, the burden of
proof is on the government, it has to prove guilt beyond
a reasonable doubt.
I tell them that law enforcement officers are not entitled
to any greater or lesser credibility because of their status
as law enforcement officers.
And then when we get to jury draw people are saying,
well, I donʹt think heʹd be here if he wasnʹt guilty so I
know the government would not waste our tax payers[ʹ]
[money] if he wasnʹt there, and I certainly would get up
and testify and I just canʹt imagine why anybody
wouldnʹt testify.
So you [know that] Iʹve already told them all this and
they are already ignoring me. So itʹs sometimes helpful
to see that.
Also just stressing how important this is and that they
are upholding the [C]onstitution and this is what weʹre
requiring [of] them. I go through a long discussion of
juror misconduct all the times itʹs happened in my cases
and colleaguesʹ cases and what happens when it
happens so that they are highly alerted to that issue.
S. App. at 8‐9. Later in the conference, defense counsel asked for clarification:
Mr. Furlan: . . . As I understand it Your Honor will do
general questions about their, the jurorsʹ qualifications?
The Court: I wonʹt do, I wonʹt do any questions. What I
will say is to sit on this jury you must do the following:
You must reside in the district for at least a year, you
must be able to read, fully participate in the trial with or
without reasonable accommodation, you must not have
‐ 24 ‐
a felony, whatever the term is about the felony. And I
read it right from the qualifications. Anybody whose
got a problem with these please raise your hand weʹll
give you a piece of paper. So thatʹs all I do.
Mr. Furlan: But no one will be removed at that point?
The Court: Right.
Mr. Furlan: And then we begin the voir dire and then
we do everything after that?
The Court: Right.
Id. at 18.
The jury orientation took place the morning of the first day of
trial, and the district court spent over an hour speaking with the potential
jurors. Neither the government nor defense counsel attended, nor was
Allen present. Although the district court had previously told counsel that
ʺI wonʹt do any questions,ʺ id., in fact it asked questions of potential jurors
and answered questions they posed on topics that would have been of
interest to defense counsel.
The district court asked two sets of questions during the
course of the orientation. First, the court asked: ʺDo we have anybody
here who sat on a jury before? If you would raise your hand? And how
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was your experience, maʹam?ʺ App. at 26. The juror responded that it was
ʺ[i]nteresting . . . . [I]t was a sense of youʹre the decider of what the
findings would be.ʺ Id. The district court then called on someone else, and
a second juror responded that ʺ[i]t was very interesting. I didnʹt expect it
to end the way it did.ʺ Id. Later in the orientation, the district court asked
a second set of questions:
What the attorneys tell you and their statements and
their questions are not evidence. And why do you
think that is? So the attorneys are making opening
statements, they are making closing arguments, they are
asking questions, why would that not be evidence in the
case? No takers?
Id. at 40. The district court then answered its own question without
hearing from jurors.
The district court also answered four questions from
prospective jurors: (1) what happens if the juror knows one of the
attorneys in the case, (2) what if the juror dislikes how the federal
government works, (3) whether the jury decides guilt and the sentence or
just guilt, and (4) how the court addresses situations where ʺstrong
feelingsʺ arise during deliberations, id. at 67.
‐ 26 ‐
The district court also discussed a number of issues, including:
the ʺjigsaw puzzleʺ nature of evidence, id. at 33, evidentiary objections and
the difference between direct and circumstantial evidence, judging
credibility, following laws they disagree with, putting aside specialized
knowledge, the importance of keeping an open mind and problems with
juror bias, the duty of jurors to deliberate (and not to refuse to deliberate),
the presumption of innocence, the mechanics of closing arguments, jury
instructions and deliberation, and juror misconduct. It also provided a
preview of issues that would be addressed during the preliminary charge
to be given to the jury once it was impaneled. At one point, the district
court referred to the OJ Simpson case, telling the potential jurors that some
of them might be thinking, ʺI understand whatever happened in the OJ
Simpson case is not what weʹre doing here and I can set that aside.ʺ Id. at
49. Later that afternoon, the parties conducted the voir dire as planned,
the jury was selected, and the government gave its opening statement.
Allen contends that the morning orientation crossed the line into
judge‐conducted voir dire, and that he had a right to be present under Rule 43(a)
and the Due Process Clause. Rule 43(a) provides that a defendant in a criminal
‐ 27 ‐
case ʺmust be present at . . . every trial stage, including jury impanelment.ʺ Fed.
R. Crim. P. 43(a). In addition to Rule 43(a), the Due Process Clause ʺrequires a
criminal defendantʹs presence ʹto the extent that a fair and just hearing would be
thwarted by his absence, and to that extent only.ʹʺ United States v. Jones, 381 F.3d
114, 121 (2d Cir. 2004) (quoting Snyder v. Massachusetts, 291 U.S. 97, 108 (1934)).
Allen argues that automatic reversal of the conviction is required
because his absence from the orientation was a ʺstructural defect.ʺ Appellantʹs
Br. 58‐59. The argument fails. The Supreme Court has distinguished ʺtrial
errors,ʺ which are relatively limited in scope and are subject to harmless error
review, from ʺstructural defects,ʺ which require automatic reversal because they
ʺaffect [] the framework within which the trial proceeds.ʺ United States v.
Feliciano, 223 F.3d 102, 111 (2d Cir. 2000) (alteration in original) (internal
quotation marks omitted). We have held that ʺ[e]rrors are properly categorized
as structural only if they so fundamentally undermine the fairness or the validity
of the trial that they require voiding its result regardless of identifiable
prejudice.ʺ Yarborough v. Keane, 101 F.3d 894, 897 (2d Cir. 1996). To differentiate
trial errors from structural defects we look not only at the right violated, but also
at the context of the violation. Id. at 898 (ʺ[A] defendantʹs absence from certain
‐ 28 ‐
stages of a criminal proceeding may so undermine the integrity of the trial
process that the error will necessarily fall within that category of cases requiring
automatic reversal.ʺ (quoting Hegler v. Borg, 50 F.3d 1472, 1476 (9th Cir. 1995))).
Any error here, assuming there was error, did not ʺso fundamentally
undermine the fairness or the validity of the trialʺ as to require voiding its result.
Id. at 897. No prospective jurors were excused in the morning session, and a full
voir dire was conducted in the afternoon. Even assuming a violation of the right
to be present can be structural error in certain circumstances, we cannot conclude
that the fairness of the trial was fundamentally undermined here. See Johnson v.
United States, 520 U.S. 461, 468‐69 (1997) (ʺWe have found structural errors only
in a very limited class of cases.ʺ).
Even absent a finding of structural defect, Allen argues that he had a
right to be present under Rule 43, that this right was not and could not have been
knowingly waived, and that this was not harmless error. This Court addressed a
pre‐trial ex parte communication between judge and jury in Cohen v. Senkowski,
290 F.3d 485 (2d Cir. 2002). There, the trial judge conducted a ʺpre‐screeningʺ of
prospective jurors, questioning them individually in his chambers on, among
other things, their prior knowledge of the case from pre‐trial publicity. Cohenʹs
‐ 29 ‐
counsel was present for the pre‐screening, though Cohen himself was not. Two
jurors who indicated during the pre‐screening that they had knowledge of the
case from media reports were eventually seated on the jury. Id. at 487.
On review of the district courtʹs denial of federal habeas, we held
that ʺpre‐screening of prospective jurors is a material stage of trial at which the
defendant has a constitutional right to be present. Pre‐screening of a jury venire
is not comparable to [a] brief conference between judge and juror . . . nor a
procedure at which a defendantʹs presence would be ʹuseless.ʹʺ Id. at 489. We
distinguished the ʺpre‐screeningʺ of jurors, which involved a substantive inquiry
into the jurorsʹ qualifications, from the purely ʺadministrative impanelment
processʺ in cases like United States v. Greer, where prospective jurors were
questioned, outside the presence of the defendant, on logistical matters such as
personal hardship in serving. Id. at 490 (citing Greer, 285 F.3d 158, 167‐68 (2d Cir.
2002)). In Greer, we noted that we had recently ʺreaffirmed that hardship
questioning is not a part of voir dire ‐‐ and thus not a critical stage of the trial
during which the parties and counsel must be present.ʺ 285 F.3d at 168; see also
Gomez v. United States, 490 U.S. 858, 874 (1989) (distinguishing an ʺadministrative
‐ 30 ‐
[i]mpanelment processʺ from the jurorsʹ ʺfirst introduction to the substantive
factual and legal issues in a caseʺ during voir dire).
In our view, the orientation procedure utilized in the instant case
was fraught with risk and the potential for problems. Outside the presence of
Allen and counsel, the district court engaged in a discussion with prospective
jurors about substantive legal issues, including the nature of evidence, the
presumption of innocence, and the duty to deliberate. The court asked
prospective jurors about prior jury experience, and prospective jurors asked the
court about anti‐federal government bias, whether the jury had a role in deciding
the sentence, and how to deal with ʺstrong feelingsʺ in deliberations. Allen and
his counsel surely would have wanted to be present for these exchanges: They
might have objected to certain questions or comments (e.g., the comment about
the OJ Simpson case), they could have asked for limiting or curative instructions
or follow‐up questioning (e.g., with respect to the question about anti‐federal
government sentiment), and they would have been able to observe the demeanor
of those prospective jurors who spoke. All of these matters could have had an
impact on their exercise of peremptory challenges or provided a basis for a
‐ 31 ‐
challenge for cause.6 Clearly, it would have been preferable for the district court
to have had the parties present for the orientation or, in the absence of the
parties, for the district court to have limited itself to plainly logistical and
administrative issues, leaving substantive discussion for voir dire and the
preliminary charge after impanelment of the jury.7
Whether this orientation constituted a ʺmaterial stageʺ of the trial at
which Allen had a constitutional right to be present is a close question. The
orientation was somewhere in between the ʺadministrative impanelment
processʺ at issue in Greer, where prospective jurors were asked only about
logistical matters such as personal hardship, 285 F.3d at 168, and the ʺpre‐
screeningʺ of prospective jurors in Cohen, which involved a substantive inquiry
into the jurorsʹ qualifications, 290 F.3d at 489‐90. Here, the district court did
more than merely inquire about logistical matters, and yet its conversation with
6 See Lewis v. United States, 146 U.S. 370, 373 (1892) (The defendantʹs
ʺlife or liberty may depend upon the aid which, by his personal presence, he may give
to counsel and to the court and triers in the selection of jurors.ʺ).
7 Many of the instructions given by the district court in the
orientation are more appropriately given as part of the preliminary instructions at the
beginning of trial after the jury has been impaneled. See 1 Leonard B. Sand, et al.,
Modern Federal Jury Instructions, ¶¶ 1.02 (Instructions at Beginning of Trial), 2.01
(Function of the Court, the Jury, and Counsel) (rev. 2011). In fact, as Allen notes, the
transcript of the ʺorientationʺ is actually entitled ʺPreliminary Charge to the Jury Pool.ʺ
App. at 22.
‐ 32 ‐
the prospective jurors was less fulsome than the inquiry in Cohen. We need not
decide on these facts, however, whether Allen had a right to be present at the
orientation. Even assuming he had such a right, we find that he waived it.
A defendantʹs right to be present at trial proceedings is subject to
waiver. United States v. Gagnon, 470 U.S. 522, 528‐29 (1985) (per curiam) (finding
waiver where defendant failed to invoke Rule 43 right to be present at an in
camera conference which he knew was taking place between the judge and a
juror). In Gagnon, the Supreme Court held a defendant could waive his right to
be present at trial by failing to assert that right:
If a defendant is entitled under Rule 43 to attend certain
ʺstages of the trialʺ which do not take place in open
court, the defendant or his counsel must assert that
right at the time; they may not claim it for the first time
on appeal from a sentence entered on a juryʹs verdict of
ʺguilty.ʺ . . . Respondents knew the District Judge was
holding a conference with the juror and with Gagnonʹs
attorney, yet neither they nor their attorney made any
effort to attend. Timely invocation of a Rule 43 right
could at least have apprised the District Court of the
claim, and very likely enabled it to accommodate a
meritorious claim in whole or in part. . . . We hold that
failure by a criminal defendant to invoke his right to be
present under Federal Rule of Criminal Procedure 43 at
a conference which he knows is taking place between
the judge and a juror in chambers constitutes a valid
waiver of that right.
‐ 33 ‐
Id. at 529.
Waiver must be ʺ[k]nowing and [v]oluntary,ʺ but it can be ʺimplied
from the defendantʹs conduct.ʺ United States v. Nichols, 56 F.3d 403, 416 (2d Cir.
1995). In Cohen, though we held that there was a constitutional right to be
present during the jury pre‐screening, we ultimately found that because Cohen
knew of the pre‐screening proceedings ‐‐ despite his claim that he did not know
he had a right to attend ‐‐ he had impliedly waived his right by virtue of his
voluntary absence. 290 F.3d at 490‐93.
In this case, the argument for waiver is even more compelling: The
district court explicitly invited Allen and his counsel to be present for the
orientation. ʺYou are welcome to attend jury orientation,ʺ the court told the
parties. ʺIt will be the morning of the jury draw. You do not have to, but I donʹt
see any reasons why you shouldnʹt be present if you want to.ʺ S. App. at 8. The
district court provided a general description of the session, and Allen was on
notice that there would be some discussion of the law during the orientation. In
fact, after mentioning some of the substantive legal principles that it would be
discussing during orientation, the district court added that during voir dire,
‐ 34 ‐
jurors often ignore what it has already told them during orientation, ʺ[s]o itʹs
sometimes helpful to see that.ʺ Id.
Allen contends that he could not have waived his right to be present
at the orientation because he was not fully informed of the nature of the
orientation, going so far as to say the district court ʺmischaracterizedʺ the
session. Reply Br. 9‐10. We are not persuaded. Our cases hold that ʺonly
minimal knowledge on the part of the accused is required when waiver is
implied from conduct.ʺ Nichols, 56 F.3d at 416; accord Cohen, 290 F.3d at 491
(holding that ʺthe trial courtʹs actions in open court gave Cohen sufficient
ʹminimalʹ knowledge of the nature and purpose of the pre‐screening procedure
to conclude that he waived his right to be presentʺ). The district courtʹs
description here was sufficient to give Allen ʺminimal knowledgeʺ of the nature
and purpose of the orientation.
Allen and his counsel were apprised of the nature and purpose of
the orientation, but declined the district courtʹs invitation to attend. Thus, we
‐ 35 ‐
hold that, even assuming Allen had a right to be present at the orientation, he
knowingly and voluntarily waived it.
CONCLUSION
For the foregoing reasons, the judgment of the district court is
AFFIRMED.
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