Filed: Feb. 21, 2019
Latest Update: Mar. 03, 2020
Summary: PUBLISHED UNITED STATES COURT OF APPEALS FOR THE FOURTH CIRCUIT No. 18-4138 UNITED STATES OF AMERICA, Plaintiff - Appellee, v. NICHOLAS YOUNG, Defendant - Appellant. Appeal from the United States District Court for the Eastern District of Virginia, at Alexandria. Leonie M. Brinkema, District Judge. (1:16-cr-00265-LMB-1) Argued: November 1, 2018 Decided: February 21, 2019 Before AGEE, KEENAN, and RICHARDSON, Circuit Judges. Affirmed in part, vacated in part, and remanded by published opinion. Jud
Summary: PUBLISHED UNITED STATES COURT OF APPEALS FOR THE FOURTH CIRCUIT No. 18-4138 UNITED STATES OF AMERICA, Plaintiff - Appellee, v. NICHOLAS YOUNG, Defendant - Appellant. Appeal from the United States District Court for the Eastern District of Virginia, at Alexandria. Leonie M. Brinkema, District Judge. (1:16-cr-00265-LMB-1) Argued: November 1, 2018 Decided: February 21, 2019 Before AGEE, KEENAN, and RICHARDSON, Circuit Judges. Affirmed in part, vacated in part, and remanded by published opinion. Judg..
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PUBLISHED
UNITED STATES COURT OF APPEALS
FOR THE FOURTH CIRCUIT
No. 18-4138
UNITED STATES OF AMERICA,
Plaintiff - Appellee,
v.
NICHOLAS YOUNG,
Defendant - Appellant.
Appeal from the United States District Court for the Eastern District of Virginia, at
Alexandria. Leonie M. Brinkema, District Judge. (1:16-cr-00265-LMB-1)
Argued: November 1, 2018 Decided: February 21, 2019
Before AGEE, KEENAN, and RICHARDSON, Circuit Judges.
Affirmed in part, vacated in part, and remanded by published opinion. Judge Agee wrote
the opinion, in which Judge Keenan and Judge Richardson joined.
ARGUED: Nicholas David Smith, DAVID B. SMITH, PLLC, Alexandria, Virginia, for
Appellant. Gordon D. Kromberg, OFFICE OF THE UNITED STATES ATTORNEY,
Alexandria, Virginia, for Appellee. ON BRIEF: G. Zachary Terwilliger, United States
Attorney, John T. Gibbs, Assistant United States Attorney, OFFICE OF THE UNITED
STATES ATTORNEY, Alexandria, Virginia, for Appellee.
AGEE, Circuit Judge:
A jury in the United States District Court for the Eastern District of Virginia
convicted Nicholas Young of one count of attempting to provide material support to the
Islamic State of Iraq and the Levant (“ISIL”), a designated foreign terrorist organization
(“FTO”), in violation of 18 U.S.C. § 2339B, as well as two counts of attempting to
obstruct justice, in violation of 18 U.S.C. § 1512(c)(2). Asserting a host of district court
errors, Young challenges his convictions and sentence. For the following reasons, we
affirm the material support conviction, vacate the obstruction convictions, and remand for
resentencing.
I.
In 2010, the Federal Bureau of Investigation (“FBI”) opened a counterterrorism
investigation into Young, a police officer with the Washington Metropolitan Area Transit
Authority, prompted in part by his connections to an acquaintance who had been arrested
on 18 U.S.C. § 2339B charges. That December, “Khalil,” an undercover FBI agent,
began maintaining contact with Young, who would discuss with Khalil his wariness of
FBI surveillance, the measures he had taken to thwart such surveillance, and the skills
needed—which he purported to possess—to attack an FBI or a federal office. During this
period, law enforcement also observed Young traveling to and from Libya, though law
enforcement was unable to determine the purpose of his trips. Khalil’s contact with
Young eventually concluded in April 2012.
2
In May 2014, the FBI again began observing Young more actively after an FBI
informant, “Mo,” met Young through Young’s acquaintances, whom Mo was monitoring.
Over the next several months, Mo and Young met approximately 20 times. During their
meetings, Mo indicated that he was interested in traveling to Syria to join ISIL. Young in
turn offered advice on how to travel overseas without being flagged by government
authorities. Specifically, Young suggested that Mo devise a cover story for his trip, such
as pretending that he was taking a guided tour of Turkey (or that he actually take such a
tour). Young also advised Mo to book a roundtrip ticket and volunteered to send a text to
Mo a few days after Mo’s “return date” to assist Mo in evading law enforcement
suspicion, explaining that the text would make it look like Young was expecting Mo’s
return (rather than staying on in the region to travel to ISIL-controlled territory). Finally,
Young and Mo set up covert email accounts to communicate.
That October, Mo traveled to Turkey with his FBI handler, Special Agent John
Minichello. While there, Mo emailed Young that he was planning to travel to ISIL-
controlled territory in Syria. Mo then returned to the U.S. In November 2014, Young
sent Mo the pre-arranged text message: “Hope you had a good vacation. If you want to
grab lunch . . . hit me up.” J.A. 566:3–5. After forwarding that message to Agent
Minichello, Mo’s involvement in the investigation concluded; from that point on, Agent
Minichello and another agent impersonated Mo to Young through the email account.
In subsequent emails to Mo, Young made it clear that he believed Mo had joined
ISIL. In 2015, Young asked Mo to mention him to any Libyan ISIL members Mo might
encounter and to tell them that Young had been in Libya with the Abu Salem Martyrs’
3
Brigade, a militia group with connections to al Qaeda that had been fighting Muammar al
Qaddafi’s regime. Young also emailed his contacts in the Brigade on Mo’s behalf.
On December 3 and 5, 2015, two FBI agents interviewed Young. Although the
agents purported to be questioning Young about Mo’s whereabouts, they were attempting
to determine whether Young himself was in contact with any terrorists. During the
interviews, Young denied having current contact information for Mo. He informed the
agents that he believed Mo had gone on vacation but that he had not been in touch with
Mo since October 2014. He also denied knowing anyone who had given Mo travel
guidance. Young later emailed Mo to inform him about the FBI’s inquiry.
In April 2016, Mo suggested to Young that they should communicate through an
encrypted messaging app, Threema. In July, Young created a Threema account and
received a message from Mo noting that ISIL needed more fighters. Mo explained that
Google gift cards could be used to buy Threema accounts to help fighters communicate
with ISIL, thereby facilitating their travel to ISIL-controlled territory. At the end of the
month, Young used Threema to transmit $245 in Google gift cards to Mo. After
confirming that Mo had received the cards, Young responded that he was “glad” and
would be disposing of the device used to communicate with Mo. J.A. 868:13.
In August 2016, Young was arrested for attempted material support of ISIL, an
FTO. On the day of his arrest, agents executed a search warrant and seized militant
Islamist, Nazi, and white supremacist paraphernalia as well as weapons from his home.
An indictment subsequently charged Young with attempting to provide material
support—the gift cards—to a designated FTO, in violation of 18 U.S.C. § 2339B (Count
4
One), and attempting to obstruct—during the 2015 interviews (Count Two) and with the
November 2014 text (Count Four)—an official proceeding, in violation of 18 U.S.C.
§ 1512(c)(2). 1 Young proceeded to a trial on these counts. The jury convicted Young of
all three counts and the district court imposed a below-Guidelines sentence of 180
months as to each count, with the sentences to run concurrently.
Young timely appealed, asserting five sets of errors by the district court. The first
three concern Count One, to which Young had asserted an entrapment defense during
trial. To establish Young’s predisposition to commit the offense conduct, the
Government had introduced evidence of the seized items over Young’s objections. On
appeal, Young asserts in Ground One that the district court erred by admitting into
evidence the white supremacist and Nazi paraphernalia. Ground Two contends that the
district court erroneously certified an expert witness on militant Islamist and Nazi
“convergence.” Ground Three asserts that a number of the district court’s evidentiary
rulings deprived Young of his due process right to a fair trial. Ground Four posits that
the Government failed to offer sufficient evidence to prove the two attempted obstruction
of justice charges. Finally, Ground Five asserts that his sentence was both procedurally
erroneous and substantively unreasonable.
This Court has jurisdiction pursuant to 28 U.S.C. § 1291 and 18 U.S.C. § 3742.
II. Grounds One to Three: Entrapment-Centered Challenges
1
Count Three, charging a violation of 18 U.S.C. § 1512(b)(3), was dismissed as
duplicative.
5
At trial, Young presented an entrapment defense to Count One, which charged
Young with attempting to provide material support to a designated FTO. To establish
entrapment, a defendant must first demonstrate the government induced him to engage in
the criminal activity. United States v. McLaurin,
764 F.3d 372, 380 (4th Cir. 2014).
Once the defendant has shown government inducement, the burden shifts to the
government to prove beyond a reasonable doubt the defendant’s predisposition to have
engaged in the criminal conduct. United States v. Jones,
976 F.2d 176, 179 (4th Cir.
1992). Predisposition “focuses upon whether the defendant was an unwary innocent or,
instead, an unwary criminal who readily availed himself of the opportunity to perpetrate
the crime.” Mathews v. United States,
485 U.S. 58, 63 (1988). 2 To establish Young’s
predisposition to commit the offense conduct, the Government introduced evidence of
Young’s interest in radical, anti-Semitic terrorist causes both before and after his first
contact with Khalil in 2010. See Jacobson v. United States,
503 U.S. 540, 548–50 (1992)
(holding that predisposition must be established prior to the defendant’s first contact with
a government agent). This evidence included Nazi and white supremacist paraphernalia
seized from Young’s home, expert testimony regarding the “convergence” of Nazism and
militant Islamism, and testimony about Young’s prior support for such causes. Young
contests the admission of that evidence as well as the exclusion of other purportedly
exculpatory evidence.
2
We have omitted internal quotation marks, alterations, and citations here and
throughout this opinion, unless otherwise noted.
6
In reviewing evidentiary rulings, this Court reviews the district court’s legal
conclusions de novo and its factual findings for clear error. United States v. Kolsuz,
890
F.3d 133, 141–42 (4th Cir. 2018). Such rulings are reviewed for abuse of discretion and
overturned only if the error was not harmless. United States v. Cloud,
680 F.3d 396, 401
(4th Cir. 2012); United States v. Forrest,
429 F.3d 73, 81 (4th Cir. 2005) (concerning
expert testimony).
A. Ground One: Nazi and White Supremacist Paraphernalia
To prove Young’s predisposition to assist an FTO, the Government introduced
Nazi and white supremacist paraphernalia seized from Young’s home pursuant to a
search warrant. The warrant had authorized the seizure of “[a]ll records, documents, and
paraphernalia . . . relating to ISIL/ISIS,” as well as “other designated terrorist groups, or
any individual or group engaged in terrorism or terrorist activity, or communications with
or involving such groups and/or individuals.” J.A. 56; 66. After finding the items in
Young’s home and consulting with a Government attorney, law enforcement seized the
materials.
The Government then moved to admit this evidence (1) to corroborate testimony
from Young’s college friends and former housemates concerning his pre-2010 interest in
these causes 3 and (2) to further illustrate his interest in a historical and modern-day
3
Specifically, Young’s college friend testified that after they had attended a 2001
gathering of neo-Nazis for a school project, Young told him not to discount an alliance
between Nazis and Muslims to combat Jews. And Young’s former housemates testified
that Young had listened to racially inflammatory music and used an Israeli flag as a
doormat to make an anti-Semitic statement. To corroborate this testimony, the
(Continued)
7
connection between Nazis and militant Islamists. To this latter point, the Government
introduced, among other items, a poster Young had downloaded in 2007 depicting a Nazi
shaking hands with the Mufti of Jerusalem—who had allied himself with Adolf Hitler
and recruited Muslim troops to serve in the SS—titled “The Alliance: Worldwide
Association of Nazis and Islamists 1939–2004,” Response Br. 35; photos of the Mufti
and Hitler as well as the Mufti and Muslim SS troops; Young’s prayer list, which
included Hitler and the Mufti; a 2007 photo on his computer of Muslim women with a
sign saying, “God Bless Hitler,” J.A. 1636; a copy of Young’s Facebook page from 2011,
in which Young linked to a story about the arrest of neo-Nazi turned jihadist Emerson
Begolly; and a 2014 graphic on his phone with the words, “Together, we can finish what
Hitler started,” J.A. 1633.
Young moved prior to trial to suppress the admission of the Nazi and white
supremacist paraphernalia based on two asserted errors: first, the seizure of the items
exceeded the warrant’s scope and second, their admission violated Federal Rules of
Evidence 401 and 403. The district court denied the motion, and Young challenges the
district court’s holding based on these two alleged errors. We consider each in turn and
affirm the district court’s rulings.
1. Scope of the Search Warrant
Government introduced, among other items, a copy of a neo-Nazi book that Young had
gifted to his college friend; a flyer for a “white power” music company; and an anti-
Semitic graphic that Young had downloaded to his computer in 2007.
8
Young contends the items should have been suppressed because they were outside
the scope of the warrant. He argues the warrant—which permitted the seizure of items
related to ISIL as well as “other designated terrorist groups,” J.A. 56; 66—did not
authorize the seizure of the Nazi and white supremacist items, both because they were not
included within the warrant’s language and because he was not being investigated for a
hate crime. The district court rejected Young’s arguments, concluding that the items fell
within the scope of the search warrant’s expansive language.
“When a search is conducted pursuant to a warrant, it is limited in scope by the
terms of the warrant’s authorization,” but these terms “are not to be interpreted in a
hypertechnical manner.” United States v. Williams,
592 F.3d 511, 519 (4th Cir. 2010).
Instead, a warrant should be read in a “commonsense and realistic” manner. United
States v. Phillips,
588 F.3d 218, 223 (4th Cir. 2009). Agents may seize an item pursuant
to a warrant even if it “does not expressly mention and painstakingly describe it,”
id. at
225, because the specificity required may “vary according to the circumstances and type
of items involved.” In re Grand Jury Subpoena,
920 F.2d 235, 239 (4th Cir. 1990).
We conclude the seizure of the items here did not exceed the scope of the warrant.
First, as the district court correctly recognized, even if Nazi organizations are not
designated FTOs, a reasonable officer would be able to draw on common knowledge to
conclude that the Nazis’ threats and use of violence as a means of achieving their
political ends meant that Nazis engaged in terroristic activity as defined by the U.S. Code
9
and Black’s Law Dictionary. 4 See also United States v. Young,
260 F. Supp. 3d 530,
554–55 (E.D. Va. 2017). Second, some of the items illustrated a historical and present-
day connection between Nazism and radical Islamism. Third, the Criminal Complaint
Affidavit provided examples of Young’s affiliation with both Nazism and radical
Islamism: the Affidavit described how Young had told law enforcement he had dressed
up both as a “Jihadi John” and a Nazi, had collected Nazi memorabilia, and had a tattoo
of a German eagle on his neck. J.A. 43. Given this information, agents reasonably
concluded both that Nazis qualified as a terrorist organization and that as to this particular
case, the Nazi paraphernalia was relevant to or probative of material support for a
terrorist organization. For these reasons, we conclude the district court did not err in
declining to suppress these items.
2. Federal Rules of Evidence 401 and 403
Even if the items were properly seized, Young argues that they nonetheless should
have been excluded under Federal Rules of Evidence 401 and 403. He contends that
under Rule 401, the materials were irrelevant because Nazism and militant Islamism are
mutually exclusive belief systems. And under Rule 403, he asserts that the items were
unfairly prejudicial because they did not tend to prove Young’s predisposition. But the
4
18 U.S.C. § 2331(1) and (5) define “terrorism” as activities that: (1) involve
violent acts violative of federal or state criminal laws; and (2) appear to be intended to
intimidate a civilian population, influence government policy by intimidation or coercion,
or affect government conduct through mass destruction, assassination, or kidnapping.
Similarly, Black’s Law Dictionary defines terrorism as “[t]he use or threat of violence to
intimidate or cause panic, esp. as a means of achieving a political end.” Terrorism,
BLACK’S LAW DICTIONARY (10th ed. 2014).
10
district court determined that the evidence was neither unfairly irrelevant nor prejudicial
because for this particular defendant, predisposition encompassed “the convergence
between Nazis and Islamist terrorists.” J.A. 136.
With respect to relevance, we conclude the district court did not abuse its
discretion in rejecting Young’s argument because Young’s advancement of the
entrapment defense increased the scope of the relevant evidence. Under Rule 401,
evidence is relevant if it has any tendency to make a fact more or less probable than it
would be without the evidence and the fact is of consequence in determining the action.
Specifically as to this case, “a broad swath of evidence, including aspects of the
defendant’s character and criminal past, [was] relevant to proving predisposition.”
McLaurin, 764 F.3d at 381. This is because predisposition “refers to the defendant’s
state of mind before government agents make any suggestion that he shall commit a
crime,” and so is a “broad concept” that requires distinguishing the “unwary innocent”
from the “unwary criminal.”
Id. (finding that certain bad act evidence may be admissible
under Rule 404(b) in entrapment cases). In this vein, “[p]redisposition is not limited only
to the crimes specifically contemplated by the defendant prior to government
suggestion[.]” United States v. Ramos,
462 F.3d 329, 334–35 (4th Cir. 2006); see also
United States v. Cromitie,
727 F.3d 194, 207 (2d Cir. 2013) (concluding in a terrorism
case that, to show predisposition, a defendant’s relevant prior design to commit the crime
could include a generalized intent to inflict harm on the U.S.).
Here, the district court correctly recognized that Nazism and militant Islamism
share common ground—specifically, radical, anti-Semitic viewpoints. Given that the
11
items seized were probative of (1) Young’s predisposition to support such viewpoints,
and (2) the length of such a predisposition, the items were relevant to meeting the
Government’s burden to prove Young’s predisposition to support terrorist activity. See,
e.g., United States v. Mostafa,
16 F. Supp. 3d 236, 266–67 (S.D.N.Y. 2014) (concluding a
defendant’s statement that “everybody wants to kill [Jews, including Hitler]” was
“relevant to the defendant’s motive and intent regarding violent jihad”).
Second, even if, as Young contends, Nazism and militant Islamism are mutually
exclusive belief systems, absolute consistency of belief is not a prerequisite to proving
predisposition. Other circuits have recognized that seemingly inconsistent belief in a
terrorist group’s ideology does not preclude a finding by a court that a defendant either
supported that group in a criminal fashion or was predisposed to do so. See United States
v. Van Haften,
881 F.3d 543, 544 (7th Cir. 2018) (affirming the application of a terrorism
enhancement at a sentencing for material support of ISIL despite defendant’s support for
a variety of ideologies and evidence suggesting he had at times disclaimed his support for
ISIL); see also
Cromitie, 727 F.3d at 215 (finding that moments of wavering did not
preclude a finding of predisposition in a terrorism case).
This does not end the analysis, however, because under Rule 403 a court “may
exclude relevant evidence if its probative value is substantially outweighed by danger of
one or more of the following: unfair prejudice, confusing the issues, misleading the jury,
undue delay, wasting time, or needlessly presenting cumulative evidence.” Here, as
discussed, the district court properly concluded the evidence was highly probative of
Young’s particular predisposition to support ISIL. See United States v. Siraj, No. 07-
12
0224-cr,
2008 WL 2675826, at *2 (2d Cir. July 9, 2008) (affirming the admission of
allegedly prejudicial radical Islamist books from the bookstore at which the defendant
had worked because to the extent the defendant recommended the books, “they were
relevant to show predisposition,” and to the extent that they were for sale, they “tended to
rebut [the defendant’s] assertion that the cooperating witness first exposed him to radical
Islam and violent jihad”). This highly probative value meant that any prejudicial effect
was not unfair. Sorrells v. United States,
287 U.S. 435, 452 (1932) (noting that if a
defendant presents an entrapment defense and suffers a disadvantage, “he has brought it
upon himself by reason of the nature of the defense”).
Furthermore, any prejudicial effect was blunted by the district court’s limiting
instructions to the jury, which specifically cautioned:
So I want you to understand that he is not being charged and you cannot
find him guilty for possessing Nazi or anti-Semitic literature. He’s not
being charged with that, he cannot be convicted for that, but the evidence is
being allowed in [to consider] . . . whether or not it helps or doesn’t help to
establish the predisposition issue, all right?
J.A. 980. See also United States v. Crowden,
882 F.3d 464, 473 (4th Cir. 2018) (“[A]ny
prejudicial effect was reduced by the district court’s issuance of two sets of limiting
instructions[.]”). For these reasons, we conclude the district court’s admission of the
Nazi and white supremacist paraphernalia did not constitute an abuse of discretion and
therefore affirm the district court’s denial of the motion to suppress.
B. Ground Two: Expert Certification
At trial, the Government called Dr. Daveed Gartenstein-Ross as an expert witness
regarding (1) violent extremist movements claiming inspiration from Islam; (2) white
13
separatists and the neo-Nazi movement; (3) the radicalization processes for such groups;
and (4) the Libyan Civil War. Dr. Gartenstein-Ross also explained points of overlap
between Nazism and radical Islamism with examples of individuals who had subscribed
to both philosophies. Expert testimony is admissible under Federal Rule of Evidence 702
if it involves specialized knowledge that will assist the trier of fact in understanding the
evidence or determining a fact in issue, and is both reliable and relevant. Daubert v.
Merrell Dow Pharms., Inc.,
509 U.S. 579, 589–92 (1993). In admitting Dr. Gartenstein-
Ross’ testimony, the district court found that “his background,” “his extensive academic
credentials,” “the fact that the United States government uses him for training in these
areas,” and his prior work as an expert in other contexts sufficiently qualified him as an
expert witness. J.A. 212–13. The district court also concluded his testimony was
relevant. Although Young contends that the testimony of Dr. Gartenstein-Ross was
neither reliable nor relevant, we agree with the district court’s conclusions.
With respect to reliability, Young contends that Dr. Gartenstein-Ross had never
testified in a civil or criminal proceeding on these issues; had not published his thesis on
the “convergence” of white supremacism and militant Islamism in peer-reviewed
journals; had not authored any studies on far-right radicalization; and had yet to perform
any empirical analysis on this matter in the field. See United States v. Hassan,
742 F.3d
104, 131 (4th Cir. 2014) (affirming the admission of expert testimony on homegrown
terrorism in a material support case where the court had “previously approved of [the
expert’s] expertise in terrorism matters” and the expert’s methods had been subjected to
peer review). But under the highly deferential standard afforded to the district court in
14
determining an expert witness’s reliability, the district court did not abuse its discretion in
determining that Dr. Gartenstein-Ross was reliable. 5 Even when an expert has never
previously been qualified, “it is the quality” of the expert’s qualifications that a district
court must focus on. United States v. Garcia,
752 F.3d 382, 391 (4th Cir. 2014). Here,
the district court considered Young’s concerns yet reached a reasonable decision in
qualifying Dr. Gartenstein-Ross based on his extensive credentials and areas of
expertise. 6 And although publishing in a peer-reviewed publication is often a hallmark of
expert witness reliability, that hallmark is a guidepost, not a mandatory prerequisite to
qualification as an expert. See Nease v. Ford Motor Co.,
848 F.3d 219, 229 (4th Cir.
2017) (noting Daubert’s “list of specific factors neither necessarily nor exclusively
applies to all experts”).
In turn, the district court did not abuse its discretion in accepting Dr. Gartenstein-
Ross’ social sciences-based methodology. At trial, Dr. Gartenstein-Ross explained that
he conducted his research “through a comparative method,” focusing on primary sources,
then comparing his conclusions against secondary sources and “events on the ground.”
5
Furthermore, contrary to Young’s assertion, a Daubert hearing was not required.
A district court need not hold a hearing if, after being presented with a proposed expert’s
“substantial” credentials and training, it concludes “[t]his training and experience amply
[qualifies the expert] to give testimony [on the topic for which he or she is being
qualified].” United States v. Beasley,
495 F.3d 142, 150 (4th Cir. 2007). Here, as
discussed below, the district court reviewed Dr. Gartenstein-Ross’ credentials and
concluded he was qualified to give expert testimony.
6
These credentials included: training on radical groups for federal agencies;
teaching university courses on violent non-state actors; consultation on the Libyan Civil
War for the U.S. government; field research on jihadist recruiting in the Middle East; and
testimony in immigration cases on the Taliban and al Qaeda.
15
J.A. 1124–25. This methodology appears to be indistinguishable from that which we
approved in United States v. Hammoud,
381 F.3d 316 (4th Cir. 2004), rev’d on other
grounds,
543 U.S. 1097 (2005). There, we affirmed the admission of expert testimony on
the structure of terrorist groups after “[the expert] identified his methodology as one
generally employed in the social sciences”—that is, “collect[ing] as much information as
possible,” then balancing “each new incoming piece of information against the body of
information you’ve built to that point.”
Id. at 337. Accordingly, the district court did not
abuse its discretion when it deemed Dr. Gartenstein-Ross’ explanation of his
methodology, when combined with his credentials, “sufficient.” J.A. 1126.
As to relevance, we conclude the testimony was relevant and met Rule 702’s
requirement that the expert’s specialized knowledge “help the trier of fact . . . understand
the evidence or to determine a fact in issue.” Dr. Gartenstein-Ross’ testimony assisted
the jury by providing context for the historical backgrounds of and connection between
Nazism and militant Islamism. As the “evidence in this case was complicated, touching
by necessity on a wide variety of ideas, terms, people, and organizations connected to
radical Islam,” as well as white supremacism, the district court fairly concluded that the
testimony would assist the jury in understanding evidence regarding predisposition.
United States v. Benkahla,
530 F.3d 300, 309 (4th Cir. 2008). For these reasons, we
conclude the district court did not abuse its discretion in admitting Dr. Gartenstein-Ross’
testimony.
C. Ground Three: Evidentiary Rulings
16
Young argues that three of the district court’s evidentiary rulings, considered
individually or cumulatively, violated his due process right to a fair trial.
1. Admission of Weapons and Young’s Comments
Young argues that the district court denied Young a fair trial when it reversed
pretrial rulings excluding evidence of (1) Young’s lawfully-owned weapons and (2)
remarks Young had made to Khalil about attacking federal buildings. The contention by
Young is that the district court violated his claimed entitlement to rely on several pretrial
rulings as the settled law of the case. But “the district judge is free, in the exercise of
sound judicial discretion, to alter a previous in limine ruling,” especially in light of issues
that arise during a trial. Luce v. United States,
469 U.S. 38, 41–42 (1984). In particular,
it is well within the district court’s discretion to deem previously-excluded evidence
admissible after the party seeking exclusion “open[s] the door.” United States v. Blake,
571 F.3d 331, 348 (4th Cir. 2009).
Here, the district court did not abuse its discretion in later deeming certain
evidence admissible. First, the district court provided notice to Young multiple times that
it could change its in limine rulings depending on what occurred during trial. For
example, the district court warned, “[N]ormally my rulings on a motion in limine are
always with a caveat that if something changes during the course of the trial, the decision
may be reversed[.]” J.A. 127–28. Second, with respect to Khalil’s testimony, the district
court properly admitted this evidence after Young decided to focus his entrapment
defense on whether there was predisposition prior to his first contact with Khalil. At a
pretrial hearing, the district court warned Young that by framing his entrapment defense
17
in this manner, some of Khalil’s testimony about Young’s statements might be admitted
because such testimony would be probative of whether Young was already predisposed to
support militant, radical ideas or whether Khalil implanted such ideas. (Specifically, the
district court advised, “[I]f you start the predisposition at a later date, then some of that
Khalil business might not come in.” J.A. 261.) Nonetheless, Young continued to pursue
this line of argument utilizing an earlier chronological starting point. As a result, the
district court allowed Khalil to describe his relationship with Young, including
recounting Young’s statements about attacking the FBI, his ability to smuggle guns into a
federal building, and the usefulness of ballistic vests if the FBI were to come to his home.
Third, at that point, the district court did not abuse its discretion in deeming Young’s
possession of firearms and weapons admissible. Such possession was corroborative of
Khalil’s testimony, and therefore properly admissible because Khalil’s credibility was
fundamental in establishing Young’s predisposition before 2010. For these reasons, we
affirm the district court’s admission of this evidence.
2. Exclusion of Young’s and Agents’ Comments
Young argues the district court erred by excluding purportedly exculpatory
evidence demonstrating that he lacked the predisposition to support ISIL. First, the
district court excluded, among other claimed exculpatory remarks, online comments
Young had made from his LiveLeak 7 account denouncing ISIL because the Government
had previously been barred from introducing other comments from this same account,
7
LiveLeak is a video-sharing website.
18
which the district court had deemed unfairly prejudicial and cumulative. We discern no
reversible error because in excluding these and similar comments, the district court acted
within its discretion to determine whether introducing such comments would permit the
admission of other previously-excluded evidence. See
McLaurin, 764 F.3d at 384.
Second, the district court barred the introduction of June 2016 messages between
FBI agents reflecting their frustration with the slow pace of the investigation, which
Young argued went to their motives and consequently the issue of entrapment. The
district court properly concluded that the agents’ motives were “irrelevant” to entrapment
because whether or not Young was induced had to be assessed by “what specifically was
presented to [Young]” by the agents rather than what the agents discussed amongst
themselves. J.A. 443. See also United States v. Daniel,
3 F.3d 775, 778 (4th Cir. 1993)
(“Inducement . . . involves elements of governmental . . . conduct sufficiently excessive
to implant a criminal design in the mind of an otherwise innocent third party.”). We thus
conclude the district court did not abuse its discretion in excluding these materials.
3. Jencks Act and Brady Materials
Finally, Young asserts Jencks 8 and Brady 9 errors. In the week prior to trial, the
Government made two last-minute classified Jencks productions of communications
8
“Under the Jencks Act, 18 U.S.C. § 3500(b), on a motion by the defendant, the
government is required to produce any ‘statement’ of the witness related to the witness’[]
testimony that is in the government’s possession.” United States v. Savage,
885 F.3d
212, 220 (4th Cir. 2018).
9
Brady v. Maryland held that “suppression by the prosecution of evidence
favorable to an accused upon request violates due process where the evidence is material
either to guilt or to punishment[.]”
373 U.S. 83, 87 (1963).
19
amongst FBI agents about (1) the number of audio recordings made of Mo’s meetings
with Young and (2) their frustration with the pace of their investigation of Young.
Young moved to strike the witnesses as to whom the Jencks material applied or to
continue trial. Rather than striking the witnesses, the district court permitted defense
counsel a five-day continuance to which Young did not object. Young now argues that
the district court erred in doing so, contending these materials suggested spoliation of
exculpatory evidence and therefore a Brady violation.
We discern no reversible error by the district court. First, when the government
fails to timely provide discovery materials that are not exculpatory, such as Jencks
materials, the district court’s determination of whether to impose a sanction, and what
sanction to impose, is reviewed for abuse of discretion. See United States v. Sterling,
724
F.3d 482, 512 (4th Cir. 2013). “A continuance is the preferred sanction.”
Id. In
fashioning a remedy, the district court must consider the reason for the government’s
delay, whether the government acted intentionally or in bad faith, the degree of prejudice
(if any) suffered by the defendant, and whether any less severe sanction will remedy the
prejudice.
Id. We have recognized that it is the rare case that would, absent bad faith,
result in an exclusion of evidence (such as striking witnesses).
Id. Here, the district court
correctly recognized that the government did not act in bad faith, given that the vast
majority of discovery was produced well in advance of trial, and that Young was not
prejudiced because the materials at issue were not “relevant, let alone exculpatory.” J.A.
278. Nonetheless, given the last-minute production, the district court permitted defense
20
counsel an ample continuance to review the material. Under these circumstances, the
district court did not abuse its discretion.
Second, to establish a Brady violation, the evidence at issue must have been (1)
favorable to the defendant (either because it was exculpatory or impeaching), (2) material
to the defense (that is, prejudice must have ensued), and (3) suppressed (that is, within the
prosecution’s possession but not disclosed to defendant). United States v. Sarihifard,
155
F.3d 301, 309 (4th Cir. 1998). But here, no issue implicating Brady arose. Young
contends that some of the Jencks material suggested Government spoliation of some
audio recordings of Mo’s meetings with Young. Specifically, he notes that FBI records
indicate that Young and Mo discussed ISIL for the first time during a June 29, 2014
meeting, but that no recording of this meeting was produced to him. Young argues that
because (1) most of Mo’s other meetings with Young were recorded and (2) such an early
conversation regarding ISIL may have been probative of Young’s predisposition, the
Government withheld potentially exculpatory evidence and thereby committed a Brady
violation. But a review of the record—particularly the very FBI communications at
issue—indicates that a recording of the meeting, unlike recordings of most of Mo’s other
meetings with Young, was never made and that any information purportedly within the
recordings was not material. 10 There is no record evidence to the contrary. Given this,
10
Evidence is material if there is a reasonable probability that it would have
produced a different outcome. United States v. Kelly,
35 F.3d 929, 936 (4th Cir. 1994).
Young suggests the purported missing conversation would have gone to Young’s lack of
predisposition because it could have included statements by Young criticizing ISIL or
supporters of ISIL. However, by Young’s own count, at least thirteen similar comments
(Continued)
21
Young has offered nothing but rank speculation as to the nature of the allegedly
suppressed materials, which cannot establish a Brady violation. See United States v.
Stokes,
261 F.3d 496, 502 (4th Cir. 2001) (noting that to prove a Brady violation, the
defendant must show that “the prosecution had the [purportedly withheld materials] and
failed to disclose them”); see also United States v. Caro,
597 F.3d 608, 619 (4th Cir.
2010) (“Because [the defendant] can only speculate as to what the requested information
might reveal, he cannot satisfy Brady’s requirement of showing that the requested
evidence would be favorable to the accused.”). We therefore affirm the district court’s
ruling on this issue.
III. Ground Four: Obstruction Convictions
Young argues that the Government failed to provide sufficient evidence to prove
the attempted obstruction of justice counts and that the district court erroneously denied
his motion for judgment of acquittal after a guilty verdict. Fed. R. Crim. P. 29(c). We
review the denial of such a Rule 29 motion de novo. United States v. Howard,
773 F.3d
519, 525 (4th Cir. 2014). “In its assessment of a challenge to the sufficiency of evidence,
a reviewing court views the evidence in the light most favorable to the prosecution and
decides whether ‘substantial evidence’”—that is, “evidence that a reasonable finder of
were admitted during Mo’s testimony. Therefore, the recordings would not have been
material because the jury nonetheless found—despite the admission of similar
comments—that Young was predisposed to support terrorism. These reasons also
support the holding that the district court did not err in declining to find a Brady
violation.
22
fact could accept as adequate and sufficient to support a conclusion of a defendant’s guilt
beyond a reasonable doubt”—supports the verdict.
Id. Under that standard, we
conclude that the evidence was insufficient to prove the nexus and foreseeability
requirements of the obstruction statute and consequently vacate the convictions under
Counts Two and Four.
A. Elements of the Offense
To convict Young of attempted obstruction, the Government was required to prove
he (1) “corruptly” attempted to (2) “obstruct[], influence[], or impede[]” (3) “an official
proceeding” during the December 3 and 5, 2015 interviews with FBI agents (Count Two)
and when he sent the November 2014 text message (Count Four). 18 U.S.C.
§ 1512(c)(2).
An “official proceeding” includes a grand jury investigation, but not an FBI
investigation. 18 U.S.C. § 1515(a)(1) provides that “official proceeding” encompasses:
“(A) a proceeding before a judge or court of the United States . . . or a Federal grand
jury” or “(C) a proceeding before a Federal Government agency which is authorized by
law[.]” Here, only a proceeding before a “Federal grand jury,” as found at
§ 1515(a)(1)(A), could apply to Young. Other circuits considering whether an FBI
investigation would fall under § 1515(a)(1)(C) have concluded that it does not because
the use of the preposition “before” in conjunction with “Federal Government agency”
implies “some formal convocation of the agency in which parties are directed to appear,
instead of any informal investigation conducted by any member of the agency.” United
23
States v. Ermoian,
752 F.3d 1165, 1171 (9th Cir. 2013) (citing United States v. Ramos,
537 F.3d 439, 462–63 (5th Cir. 2008)). We agree with our sister circuits.
Young argues that the evidence was insufficient to prove the existence of an
“official proceeding” that he could have obstructed. First, Young asserts there was no
“official proceeding” concerning Mo for Young to obstruct: Mo was the FBI’s own
informant and therefore the FBI never investigated Mo. Second, Young contends there
was no evidence that Young attempted to obstruct a proceeding concerning himself: the
agents never informed Young that he was under investigation; the gift card crime was
committed after the allegedly obstructive conduct, so there was no crime whose
investigation Young could knowingly have attempted to obstruct; and an agent testified
that Young was not aware of any investigation until his arrest in August 2016. And even
if he had been aware of an FBI investigation of himself, Young asserts, such an
investigation would not have constituted an “official proceeding” under § 1515(a)(1).
Young’s view misses the mark but points to a much more fundamental flaw in the
Government’s evidence. As 18 U.S.C. § 1512(f)(1) provides, “an official proceeding
need not be pending or about to be instituted at the time of the offense.” Therefore, it
was immaterial whether an official proceeding actually existed at the time of the
obstructive conduct. 11 Nonetheless, § 1512(c) does require that (1) the obstructive
conduct be connected to a specific official proceeding (the “nexus” requirement) that was
11
Although the FBI began “request[ing] federal grand jury subpoenas related to
[Young]” as early as 2011, the existence of such a grand jury investigation is irrelevant to
our determination of this matter for the reasons we describe. J.A. 1376.
24
(2) either pending or was reasonably foreseeable to Young when he engaged in the
conduct (the “reasonable foreseeability” requirement). These requirements, while not
explicitly laid out in § 1512(c), arise from two Supreme Court cases—United States v.
Aguilar,
515 U.S. 593 (1995), and Arthur Anderson, LLP v. United States,
544 U.S. 696
(2005)—in which the Supreme Court identified these elements from related obstruction
statutes. 12 See also Marinello v. United States,
138 S. Ct. 1101, 1110 (2018).
Aguilar considered the catchall provision of a statute criminalizing attempted
grand jury
tampering. 515 U.S. at 599. The defendant had lied to the FBI during the
course of an investigation and was convicted of “corruptly endeavoring to influence,
obstruct, and impede [a] grand jury investigation” in violation of 18 U.S.C. § 1503.
Id.
All the government had shown in support of the conviction was that the defendant had
uttered false statements to an investigating agent “who might or might not testify before a
grand jury.”
Id. at 600. The Supreme Court held that § 1503 required a greater
connection between the obstructive act and an official proceeding than what the
government had shown—specifically, a “nexus” showing “that the act [had] a
relationship in time, causation, or logic with the judicial proceeding.”
Id. at 599. In
considering the evidence, the Court in Aguilar concluded: “We do not believe that
uttering false statements to an investigating agent—and that seems to be all that was
12
Our sister circuits have noted that “[t]he nexus limitation is best understood as
an articulation of the proof of wrongful intent that will satisfy the mens rea requirement
of ‘corruptly’ obstructing or endeavoring to obstruct”—that is, the first element of
proving a § 1512(c)(2) charge. United States v. Erickson,
561 F.3d 1150, 1159 (10th Cir.
2009) (quoting United States v. Quattrone,
441 F.3d 153, 170 (2d Cir. 2006)).
25
proved here—who might or might not testify before a grand jury is sufficient to” satisfy
the nexus requirement.
Id. at 600.
Arthur Andersen applied the nexus requirement to § 1512(b)(2)(A) offenses,
which criminalize “knowingly” and “corruptly persuad[ing]” another person “with intent
to cause” that person to tamper with documents that would be used in an official
proceeding. 544 U.S. at 703. There, the Supreme Court considered whether the
government was required to prove a nexus between the tampering and a particular (rather
than abstract) proceeding.
Id. at 707–08. Although the government pointed to § 1512(f)
to argue that the statute did not require contemplation of a particular proceeding, the
Supreme Court concluded that an official proceeding must, at a minimum, be reasonably
foreseeable to the defendant who commits the obstructive act: “It is . . . one thing to say
that a proceeding need not be pending or instituted at the time of the offense, and quite
another to say a proceeding need not even be foreseen.”
Id. A knowingly corrupt
persuader cannot be convicted “when he does not have in contemplation any particular
official proceeding in which those documents might be material.”
Id. at 708.
Though we have not specifically done so, 13 other circuits have applied Aguilar and
Arthur Andersen to the similarly-structured statute, § 1512(c), to conclude that, in
13
We have previously considered in an unpublished per curiam opinion a
defendant’s nexus argument. In affirming his § 1512(c)(2) conviction, we concluded the
evidence was sufficient to uphold his conviction because “there [was] a clear, logical
relationship between his [obstructive] conduct and the judicial proceeding.” United
States v. Wein, 521 F. App’x 138 (4th Cir. 2013) (per curiam). But we have not further
addressed the nexus or reasonable foreseeability requirements to prove such a charge.
See
id.
26
demonstrating a § 1512(c)(2) offense, “the government must prove that such a
proceeding was reasonably foreseeable to the defendant” and “that there was a ‘nexus’
between the defendant’s conduct and the pending, or foreseeable, official proceeding.”
United States v. Martinez,
862 F.3d 223, 237 (2d Cir. 2017); see, e.g., United States v.
Petruk,
781 F.3d 438, 445 (8th Cir. 2015); United States v. Tyler,
732 F.3d 241, 249–50
(3d Cir. 2013) (applying the nexus and foreseeability requirements to “any prosecution
brought under a § 1512 provision charging obstruction of justice involving an ‘official
proceeding’”); United States v. Bennett,
664 F.3d 997, 1013 (5th Cir. 2011) (applying the
nexus requirement to § 1512(c)(2)), vacated on other grounds by
567 U.S. 950 (2012);
United States v. Friske,
640 F.3d 1288, 1292 (11th Cir. 2011) (same); United States v.
Phillips,
583 F.3d 1261, 1263–64 (10th Cir. 2009) (same); United States v. Carson,
560
F.3d 566, 584 (6th Cir. 2009) (assuming arguendo that the nexus requirement applies to
§ 1512(c)(2)). And as the Eighth Circuit noted in Petruk, “[W]e are aware of no circuit
that has considered and rejected application of the nexus requirement to § 1512(c)(2),”
given the “similarity of statutory language between § 1512(c)(2) and the catchall
provision at issue in Aguilar, the application of the nexus requirement in Arthur Andersen
to another provision of § 1512, and other circuits’ application of the nexus requirement to
§
1512(c)(2).” 781 F.3d at 445. We agree and hold that § 1512(c)(2) incorporates the
nexus and reasonable foreseeability requirements set forth in Aguilar and Arthur
Andersen. That is, it is a requirement “that a successful prosecution under § 1512(c)(2)
[provide] proof beyond a reasonable doubt that the defendant contemplated a particular,
foreseeable proceeding, and that the contemplated proceeding constituted an ‘official
27
proceeding,’ which is defined under § 1515(a)(1)(A) to include a proceeding before a
federal judge, court, or grand jury[.]”
Id. at 445. Young’s convictions do not meet this
requirement.
B. Young’s Obstruction Convictions
Upon considering the evidence presented at trial, we conclude that the evidence
was insufficient to convict Young of Counts Two and Four for attempting to obstruct
justice under 18 U.S.C. § 1512(c)(2). In November 2014 and December 2015, Young did
design his conduct to mislead FBI agents, including those he believed were investigating
his relationship with Mo. With respect to Count Four, prior to Mo’s “trip,” Young told
Mo the FBI would investigate Young after becoming aware Mo had joined ISIL and that
they knew one another. Young said he would send the text because the text would be
“good for [Young],” helping Young avoid suspicion from law enforcement that he knew
of Mo’s plans to join ISIL. J.A. 656. And with respect to Count Two, when Young
thought in December 2015 that the FBI had learned that Mo had joined ISIL, Young
attempted to deceive the FBI by providing statements consistent with the cover story,
disclaiming any knowledge of Mo’s whereabouts or plans. Young would only have
undertaken these actions had an FBI investigation—whether in November 2014 or
December 2015—been at least foreseeable to him.
But this is not enough for purposes of § 1512(c)(2). In neither situation
(November 2014 or December 2015) was this conduct connected to a specific official
proceeding, nor was such a specific official proceeding reasonably foreseeable to Young.
Simply because an FBI investigation was reasonably foreseeable to Young does not mean
28
that a grand jury investigation was reasonably foreseeable to him or that his conduct was
designed to obstruct a grand jury’s proceedings. Specifically as to Count Two, the
evidence is insufficient largely for the same reason that it was insufficient in Aguilar:
“All the Government ha[s] shown was that [the defendant] had uttered false statements to
an investigating agent who might or might not testify before a grand jury.” Arthur
Andersen, 544 U.S. at 708. Even if there is sufficient evidence to demonstrate that
Young obstructed an FBI investigation, there is simply no evidence to demonstrate he
was aware either that his conduct would affect a grand jury proceeding or that a grand
jury or similar proceeding was impending. And with respect to Count Four, the
Government has similarly failed to provide evidence demonstrating that Young foresaw a
specific grand jury investigation or that he designed his conduct to thwart such an
investigation, rather than designing his conduct to obstruct an FBI inquiry—which he did
foresee.
Rather, Young’s case is more analogous to that of Friske, in which the Eleventh
Circuit reversed a defendant’s § 1512(c)(2) conviction for attempting to obstruct a
forfeiture proceeding. There, the defendant had, at the behest of an incarcerated friend,
gone to the latter’s home to retrieve certain unspecified items which turned out to be
subject to
forfeiture. 640 F.3d at 1289–90. In overturning the defendant’s conviction, the
Eleventh Circuit concluded that the government had failed to prove that the defendant
“knew that the natural and probable result of his actions would be the obstruction of [the
friend’s] forfeiture proceeding.”
Id. at 1292–93. Even though the defendant “was
certainly acting suspiciously,” “more is required to prove a violation of § 1512(c)(2).”
29
Id. at 1292. But because the only way for the jury to conclude that the defendant “knew
of or foresaw the forfeiture proceeding” “would be through speculation,” the evidence
was insufficient to convict him.
Id. at 1293. Similarly, although Young’s actions were
certainly designed to thwart an FBI inquiry, the only way the jury could have concluded
he foresaw a particular grand jury investigation would be through speculation.
The insufficiency of the evidence here is highlighted by cases in which courts
have found that a grand jury proceeding into criminal activity was reasonably foreseeable
because of a defendant’s actual awareness of an ongoing or impending investigation into
closely related activity and specific criminal actions in relation to such awareness. See
United States v. Binday,
804 F.3d 558, 590 (2d Cir. 2015) (finding a grand jury
proceeding was foreseeable because the defendant was aware that he was the target of a
separate regulatory investigation into an insurance fraud scheme and had destroyed
incriminating documents related to the scheme); United States v. Simpson,
741 F.3d 539,
552 (5th Cir. 2014) (finding a grand jury proceeding was reasonably foreseeable to a
business owner who had learned about the execution of search warrants for his company
and had ordered the deletion of emails after learning of the warrants). By contrast, based
on the record before us in this case, we would be stretching the foreseeability requirement
beyond its limits in concluding that Young’s anticipation of an FBI investigation into an
acquaintance’s future trip would also reasonably herald a grand jury proceeding. To do
so would be pure speculation.
Nonetheless, in an effort to bolster the evidence presented, the Government points
to Young’s (1) awareness of his acquaintances’ arrests; (2) status as a law enforcement
30
officer; and (3) heightened suspicion of FBI surveillance of him, contending that these
three factors should support the inference that a grand jury investigation was reasonably
foreseeable to him and that he designed his conduct to obstruct such an investigation.
But this case is entirely distinguishable from those in which a court has inferred the nexus
and foreseeability requirements from similar factors. For example, in Martinez, the
Second Circuit affirmed a § 1512(c)(2) conviction of a defendant police officer who was
part of a conspiracy in which at least two dozen co-conspirators committed more than
200 robberies of drug traffickers. In upholding the sufficiency of the evidence, the
Second Circuit concluded that “it was easily inferable that the 2008 arrests of many of his
coconspirators made it foreseeable to [the defendant]—who estimated that as an NYPD
officer, he had testified 15-20 times in grand jury proceedings . . . —that there would be a
grand jury proceeding leading to numerous
indictments.” 862 F.3d at 238. Furthermore,
“it could easily be inferred that [the defendant’s] persistent searches of NYPD databases,
and his reports back to coconspirators who had not been arrested, were intended to make
it possible for them to avoid arrest by absconding before any outstanding warrants could
be executed, thereby potentially interfering with an ongoing grand jury proceeding.”
Id.
By contrast, the indictment of Young’s acquaintances was too attenuated from
Young’s relationship with Mo to have made a grand jury investigation of Young, Mo, or
their relationship foreseeable to Young. And neither Young nor Mo was involved in an
ongoing criminal conspiracy with those acquaintances. Furthermore, although Young
worked in law enforcement, the Government’s evidence failed to establish that he was
routinely involved in grand jury proceedings—or, for that matter, had ever testified in
31
such a proceeding. And finally, Young’s awareness about FBI surveillance was also
inadequate to create a sufficient nexus. Although the Government established at trial that
Young was constantly aware of the fact that the FBI could be investigating him, the
Government failed to connect this general awareness—whether in combination with any
of the issues discussed above or individually—with a specific and reasonably foreseeable
official proceeding.
Thus, “based on our review of the record, we have uncovered no evidence to
satisfy Arthur Andersen’s requirement that the Government prove a nexus between [the
obstructive] conduct and a foreseeable particular federal proceeding to establish a
conviction under” § 1512(c).
Tyler, 732 F.3d at 250–51. Because the evidence was
insufficient to meet this essential requirement, we vacate Young’s convictions as to
Counts Two and Four.
IV.
For the foregoing reasons, we affirm Young’s conviction as to Count One, vacate
Young’s convictions as to Counts Two and Four, and remand for resentencing. 14
AFFIRMED IN PART, VACATED IN PART,
AND REMANDED
14
Because Counts One, Two, and Four were grouped under United States
Sentencing Guidelines § 3D1.2(c) for sentencing purposes, we do not address Young’s
challenges to his sentence which, if relevant, can be addressed by the district court in the
first instance upon remand.
32