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United States v. Danielle Lenise Brown, 13-10023 (2014)

Court: Court of Appeals for the Eleventh Circuit Number: 13-10023 Visitors: 14
Filed: May 28, 2014
Latest Update: Mar. 02, 2020
Summary: Case: 13-10023 Date Filed: 05/28/2014 Page: 1 of 22 [PUBLISH] IN THE UNITED STATES COURT OF APPEALS FOR THE ELEVENTH CIRCUIT _ No. 13-10023 _ D.C. Docket No. 4:12-cr-00083-BAE-GRS-1 UNITED STATES OF AMERICA, Plaintiff-Appellee, versus DANIELLE LENISE BROWN, Defendant-Appellant. _ Appeal from the United States District Court for the Southern District of Georgia _ (May 28, 2014) Before CARNES, Chief Judge, HULL and GARZA, * Circuit Judges. HULL, Circuit Judge: * Honorable Emilio M. Garza, United S
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               Case: 13-10023        Date Filed: 05/28/2014      Page: 1 of 22


                                                                                  [PUBLISH]



                  IN THE UNITED STATES COURT OF APPEALS

                            FOR THE ELEVENTH CIRCUIT
                              ________________________

                                     No. 13-10023
                               ________________________

                      D.C. Docket No. 4:12-cr-00083-BAE-GRS-1



UNITED STATES OF AMERICA,

                                                                   Plaintiff-Appellee,

                                            versus

DANIELLE LENISE BROWN,

                                                                   Defendant-Appellant.

                               ________________________

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

                                       (May 28, 2014)

Before CARNES, Chief Judge, HULL and GARZA, * Circuit Judges.

HULL, Circuit Judge:


       *
        Honorable Emilio M. Garza, United States Circuit Judge for the Fifth Circuit, sitting by
designation.
              Case: 13-10023    Date Filed: 05/28/2014    Page: 2 of 22


      Defendant-Appellant Danielle Brown pled guilty to knowingly receiving

481 counterfeit United States Postal Money Orders from a foreign country with the

intent to pass and publish these same counterfeit money orders as true, in violation

of 18 U.S.C. § 473. As part of her plea deal, Brown expressly agreed to waive any

appeal to her conviction or sentence. Nonetheless, Brown now appeals her

conviction and sentence, contending—for the first time—that her indictment was

defective because it did not expressly allege the mens rea element of the § 473

offense. Brown argues that this omission from the indictment deprived the district

court of jurisdiction to accept her guilty plea, thus rendering her conviction and

sentence null and void. After careful review of the briefs and the record, and with

the benefit of oral argument, we affirm Brown’s conviction and sentence.

                                I. BACKGROUND

A.    Offense Conduct

      In June 2011, federal agents intercepted a package mailed from Nigeria to

Brown containing 361 counterfeit money orders totaling $351,975. When agents

questioned her, Brown admitted that she received another such package earlier and

was expecting to receive the package that was intercepted. She was not prosecuted

for that conduct. Instead, she signed a “Voluntary Discontinuance Agreement” in

which she (1) admitted receiving notice that the money orders were counterfeit, (2)

acknowledged that similar conduct in the future could result in criminal


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prosecution, and (3) agreed not to engage in such conduct. However, on March 16,

2012, federal agents intercepted another package destined for Brown, this one sent

from Ghana and containing 481 counterfeit money orders totaling $471,380. An

undercover agent delivered the package to Brown, and she accepted it, stating that

she was waiting on its delivery. A search of her apartment later turned up an

additional $217,696 in counterfeit money orders and cashier’s checks. That search

also revealed two U.S. Customs and Border Protection “notice of seizure letters”

informing Brown that federal agents had seized two additional packages containing

counterfeit money orders that amounted to a total of $688,035. Brown admitted

that she read both of the letters.

      Brown’s role in the illegal counterfeiting scheme was to act as a

“dispatcher.” She would receive counterfeit money orders and send them to other

people in the United States, either through the United States Postal Service (using

counterfeit postage) or through Western Union, under a false name. For her

efforts, Brown received $400 a month. Brown does not dispute that she knew her

actions were illegal by at least July 2011, but she nevertheless continued to

participate. In April 2012, she was indicted for these crimes.

B.    Brown’s Indictment




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      Brown’s indictment at issue here alleged two counts. Both were based on

Brown’s receipt of the March 2012 package from the undercover agent. Count

One charged Brown with receiving the counterfeit money orders:

      That on or about March 21, 2012 . . . Brown, with the intent that the
      same be passed, published and used as true and genuine, did receive
      counterfeited obligations of the United States, that being
      approximately 481 counterfeit United States Postal Money Orders
      with a face value of $471,380, in violation of title 18, United States
      Code, Section 473.

      Although the statute itself, 18 U.S.C. § 473, contains no mens rea

requirement, it is well established that the required mental state for this crime is

knowledge––a defendant must know that the instrument at issue was counterfeit.

See United States v. Carll, 
105 U.S. 611
, 613 (1881). However, the indictment did

not explicitly allege in Count One that Brown knew the postal money orders were

counterfeit at the time she received them.

      Count Two of the indictment charged Brown with knowingly importing

these counterfeit money orders:

      That on or about and between March 10, 2012 and March 21,
      2012 . . . Brown, aided and abetted by others unknown to the grand
      jury, did fraudulently and knowingly, clandestinely import into the
      United States merchandise contrary to law, that being approximately
      481 counterfeit United States Postal Money Orders with a face value
      of $471,380, in violation of Title 18, United States Code, Section 545.

(emphasis added)




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      The government contends that Counts One and Two should be read together;

in other words, because Count Two uses the word “knowingly” to allege a

different crime based on the same conduct that is described in Count One, the

indictment as a whole charged Brown with knowing the counterfeit nature of the

money orders.

      In any event, Brown entered into a written plea agreement with the

government in which she agreed to plead guilty to Count One in exchange for the

dismissal of Count Two. Brown also agreed to waive, “[t]o the maximum extent

permitted by federal law, . . . the right to appeal the conviction and sentence and

the right to collaterally attack the sentence in any post-conviction proceeding,

including a § 2255 proceeding, on any ground.” The agreement recited the

elements of the § 473 offense to which she would plead guilty, including the

element that “the defendant then knew that the Postal Money Orders were

counterfeit.” (emphasis added). She also gave up “any defenses to the charges.”

However, the factual basis for the plea tracked the language of the indictment

exactly––that is, it did not say that she knowingly received the counterfeit

instruments.

      At the plea hearing, the district court read the allegations contained in the

indictment to Brown. The court explained that by pleading guilty to Count One,

Brown was admitting that she “received counterfeit obligation[s] of the United


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States postal money orders” and that she “knew the postal money orders were not

true; that in fact they were counterfeit” (emphasis added). Brown agreed with

these statements.

      The district court then heard testimony from the federal agent involved in

the investigation, Tyrone Tawil. Agent Tawil testified that, when he interviewed

Brown, she “admitted to me that she knew [the money orders] w[ere] counterfeit

and she knew that it was wrong, but she continued to do it for the money.” Brown

then confirmed that everything Agent Tawil said was true. The court indicated its

satisfaction with the factual basis for the plea and accepted it.

      In preparation for sentencing, the probation office compiled a presentence

investigation report (PSR) which calculated Brown’s offense level to be 24 and her

criminal history category to be I. That combination yielded a guidelines sentence

range of 51 to 63 months’ imprisonment. Brown did not object to the sentence or

raise the indictment’s alleged deficiency before the district court. She did file

several objections to the PSR related to enhancements or adjustments in her

offense level, but the district court overruled them and adopted the PSR. The court

accordingly sentenced her to 63 months’ imprisonment.

                                  II. DISCUSSION

      Brown appeals her conviction and sentence. For the first time in her case,

Brown alleges that the indictment was defective on its face because Count One did


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not include the required mens rea, an essential element of the § 473 crime. As a

result of this omission, Brown contends that the indictment does not state a federal

crime and that the district court never had jurisdiction to sentence her.

      In response, the government argues that Brown’s indictment has no defect

because the mens rea element can be inferred from other language in Count One.

See United States v. Gray, 
260 F.3d 1267
, 1283 (11th Cir. 2001) (holding that a

mens rea element “may be inferred from other allegations in the indictment”).

Second, the government argues that the allegations in Count Two provide the mens

rea element because Count Two charges Brown with “knowingly” importing the

counterfeit money orders into the United States. See United States v. Lang, 
732 F.3d 1246
, 1249 (11th Cir. 2013) (holding that the lenient standard applicable to

indictments challenged for the first time on appeal allows a court to “consider the

content of other counts of the indictment in order to give context to the challenged

count so long as the defendant fails to show actual prejudice”).

      We need not reach these two arguments because even assuming Brown’s

indictment omits a required element of the offense and is defective, we agree with

the government that this type of indictment defect is not jurisdictional and was

waived by Brown’s guilty plea.

      “A guilty plea, since it admits all the elements of a formal criminal charge,

waives all nonjurisdictional defects in the proceedings against a defendant.”


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United States v. Fairchild, 
803 F.2d 1121
, 1124 (11th Cir. 1986) (quoting United

States v. Jackson, 
659 F.2d 73
, 74 (11th Cir. 1981)); see also United States v. Patti,

337 F.3d 1317
, 1320 (11th Cir. 2003) (“Generally, a voluntary, unconditional

guilty plea waives all nonjurisdictional defects in the proceedings.”). On the other

hand, jurisdictional error “can never be waived by parties to litigation” because it

“implicates a court’s power to adjudicate the matter before it.” United States v.

Peter, 
310 F.3d 709
, 712 (11th Cir. 2002). Therefore, the pivotal question here is

whether Brown’s claim that her indictment was defective for omitting the mens rea

element is jurisdictional in nature.

       Although this Court has not faced the precise indictment question presented

in this case, we have addressed omissions in indictments before, including where

an indictment omits an element of the charged crime. And, in each case, we have

found this type of indictment defect to be non-jurisdictional. We review these

cases first.

A.     Non-jurisdictional Indictment Defects

       In Alikhani v. United States, 
200 F.3d 732
(11th Cir. 2000), the defendant

pled guilty to an indictment charging him with violating executive orders and

regulations forbidding all exports to and certain transactions with Libya. 
Id. at 733.
Much later, Alikhani, a Cypriot, filed a coram nobis petition arguing that (1)

the regulations and executive orders could apply only to U.S. persons, and (2) the


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indictment’s failure to allege that he was a U.S. person rendered the indictment

defective. 
Id. at 734.
He further contended that this indictment defect stripped the

district court of jurisdiction. 
Id. This Court
acknowledged that a “genuine claim that the district court lacked

jurisdiction to adjudicate the petitioner guilty may well be a proper ground for

coram nobis relief as a matter of law.” 
Id. But this
Court said that Alikhani’s

“statutory arguments, even if meritorious, would not implicate the district court’s

subject-matter jurisdiction.” 
Id. Even if
the government had to prove that

Alikhani was a U.S. person, and even if the indictment failed to allege that

Alikhani was a U.S. person, “the district court would still have had subject-matter

jurisdiction over the case.” 
Id. at 735.
       The Court explained that “[s]ubject-matter jurisdiction defines the court’s

authority to hear a given type of case,” and that “Congress bestows that authority

on lower courts by statute.” 
Id. at 734.
For federal crimes, Congress did so in 18

U.S.C. § 3231, providing district courts with “original jurisdiction, exclusive of the

courts of the States, of all offenses against the laws of the United States.” 18

U.S.C. § 3231. As such, all that mattered for purposes of the district court’s

subject-matter jurisdiction was that “[t]he United States filed an indictment

charging Alikhani with violating ‘laws of the United States.’” 
Alikhani, 200 F.3d at 734
. This empowered the district court under § 3231 “to enter judgment upon


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the merits of the indictment, such as dismissing the indictment on the ground that it

does not allege facts showing that the defendant committed the charged offense.”

Id. at 734-35.
This Court noted that Alikhani “has cited no case . . . holding that

the failure of an indictment to state an offense—as Alikhani at bottom contends

here—divests the district court of the power even to enter a judgment of acquittal.”

Id. 1 Accordingly,
Alikhani’s arguments were not jurisdictional and could not be

raised for the first time in a coram nobis petition. 
Id. For purposes
of this case, it

is important to note that Alikhani essentially argued that (1) U.S.-person status was

an element of the offense and (2) the indictment’s failure to allege this element

deprived the district court of jurisdiction. But this Court held that even if the

indictment had to allege that Alikhani was a U.S. person, the district court still had

jurisdiction. In other words, the indictment’s failure to allege U.S.-person status

was not a jurisdictional defect—even if U.S.-person status were an element of the

charged offense.

        Additionally, in a trilogy of cases decided in the fall of 2001, this Court held

that an indictment’s omission of an element of the crime does not create a

        1
          The Alikhani Court used two analogies to support its conclusion that the alleged
indictment omission did not deprive the district court of jurisdiction over Alikhani’s case. First,
in the civil law context, “the absence of a valid (as opposed to arguable) cause of action does not
implicate subject-matter jurisdiction, i.e., the courts’ statutory or constitutional power to
adjudicate the case.” 
Alikhani, 200 F.3d at 735
. Second, courts have rejected similar assertions,
for example “that a failure of allegation or proof on an interstate-commerce element deprives the
district court of jurisdiction.” 
Id. 10 Case:
13-10023     Date Filed: 05/28/2014    Page: 11 of 22


jurisdictional defect. United States v. Sanchez, 
269 F.3d 1250
, 1273-75 (11th Cir.

2001) (en banc); United States v. Cromartie, 
267 F.3d 1293
, 1295-97 (11th Cir.

2001); McCoy v. United States, 
266 F.3d 1245
, 1248-49 (11th Cir. 2001). In all

three cases, the defendants challenged the jurisdiction of the district court on the

basis that their indictments were defective under Apprendi v. New Jersey, 
530 U.S. 466
, 
120 S. Ct. 2348
(2000). The Supreme Court held in Apprendi that, except for

a prior conviction, any fact that increases the statutory-maximum penalty for a

crime is an element of the charged offense and must be charged in the indictment,

submitted to a jury, and proved beyond a reasonable doubt. See 
id. at 476,
490,

120 S. Ct. at 2355
, 2362-63. The Apprendi Court reached this conclusion because

this type of sentencing fact is the “functional equivalent of an element of a greater

offense than the one covered by the jury’s guilty verdict.” 
Id. at 494
n.19, 120 S.

Ct. at 2365 n.19.

      The defendants in McCoy, Cromartie, and Sanchez all received enhanced

sentences applicable to drug offenses involving certain drug types and drug

quantities. 
McCoy, 266 F.3d at 1247
; 
Cromartie, 267 F.3d at 1295
; 
Sanchez, 269 F.3d at 1256-57
. But their respective indictments did not allege the threshold

levels of drug quantity required to trigger these enhanced penalties. 
McCoy, 266 F.3d at 1247
; 
Cromartie, 267 F.3d at 1295
; 
Sanchez, 269 F.3d at 1253
. The three

defendants argued that the district court lacked jurisdiction “because the grand jury


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failed to set forth the critical element[] of . . . drug quantity in the indictment.”

Cromartie, 267 F.3d at 1295
; see also 
McCoy, 266 F.3d at 1247
-48; 
Sanchez, 269 F.3d at 1270
.

      This Court squarely rejected the jurisdictional argument in all three cases.

In McCoy, the Court explained that “[a] jurisdictional defect is one that strips the

court of its power to act and makes its judgment 
void.” 266 F.3d at 1249
(quotation marks and alterations omitted). But “[t]he constitutional right to be

charged by a grand jury is a personal right of the defendant and does not go to the

district court’s subject matter jurisdiction because it may be waived.” 
Id. (citing to
Rule 7(b) of the Federal Rules of Criminal Procedure, which allows a defendant to

waive in open court prosecution by indictment). In other words, “the constitutional

right to be charged by grand jury indictment simply does not fit the mold of a

jurisdictional defect, because it is a right that plainly may be waived.” 
Id. The McCoy
Court’s conclusion was buttressed by many prior cases in which

this Court employed a plain or harmless error analysis to Apprendi and analogous

indictment errors. 
Id. at 1249
& n.4 (collecting cases). If such indictment defects

were jurisdictional, this Court could not have used plain or harmless error to affirm

the sentences in those cases. 
Id. at 1249
. Even further, other circuits explicitly

held that “‘the failure of an indictment to allege an essential element of a crime

does not deprive a district court of subject matter jurisdiction; rather, such a failure


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is subject to harmless error review.’” 
Id. (quoting United
States v. Prentiss, 
256 F.3d 971
, 981 (10th Cir. 2001) (en banc)).

      This Court applied McCoy’s holding and rationale in Cromartie, again

rejecting the argument that the omission of the drug-type and-quantity elements in

the defendant’s indictment deprived the district court of jurisdiction. 
Cromartie, 267 F.3d at 1297
. The Court noted that this type of indictment defect “was

analogous to the omission of an element in a jury instruction,” an error that is

subject to harmless error analysis. 
Id. Subsequently, the
Sanchez en banc Court held that the alleged omission of

an element from the indictment was not 
jurisdictional. 269 F.3d at 1273-75
. The

en banc Court explained that “[a] jurisdictional defect occurs only where a federal

court lacks power to adjudicate at all. The constitutional rights to be charged by a

grand jury, be informed of an accusation, and to have a jury trial are the personal

rights of the defendant and do not go to the district court’s subject matter

jurisdiction.” 
Id. at 1273-74.
The Sanchez en banc Court therefore found no

jurisdictional defect, even though the “indictment failed to allege an element of the

charged offense.” 
Id. at 1275
n.48.

      The following spring, the Supreme Court decided the very question

presented in Sanchez, Cromartie, and McCoy. In United States v. Cotton, the

defendants argued that the district court lacked jurisdiction to impose an enhanced


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sentence because their indictment failed to allege the drug-quantity element. See

Cotton, 535 U.S. at 627-28
, 122 S. Ct. at 1783. The Cotton defendants raised this

alleged indictment defect for the first time on appeal. 
Id. at 628-29,
122 S. Ct. at

1784. The Fourth Circuit vacated the sentences, reasoning that “because an

indictment setting forth all the essential elements of an offense is both mandatory

and jurisdictional, a [district] court is without jurisdiction to impose a sentence for

an offense not charged in the indictment.” 
Id. at 629,
122 S. Ct. at 1784 (quotation

marks omitted and alterations adopted).

      A unanimous Supreme Court reversed the Fourth Circuit’s holding that the

omission of an element from the indictment deprived the district court of

jurisdiction. Noting that the Fourth Circuit’s view stemmed from Ex parte Bain,

121 U.S. 1
, 
7 S. Ct. 781
(1887), the Cotton Court explained that “Bain’s elastic

concept of jurisdiction is not what the term ‘jurisdiction’ means today, i.e., the

courts’ statutory or constitutional power to adjudicate the case.” 
Cotton, 535 U.S. at 630
, 122 S. Ct. at 1785 (quotation marks omitted). “This latter concept of

subject-matter jurisdiction, because it involves a court’s power to hear a case, can

never be forfeited or waived. Consequently, defects in subject-matter jurisdiction

require correction regardless of whether the error was raised in district court. In

contrast, the grand jury right can be waived.” 
Id. (citations omitted).



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       The Cotton Court explained that “[p]ost-Bain cases confirm that defects in

an indictment do not deprive a court of its power to adjudicate a case.” 
Id. at 630-
31, 122 S. Ct at 1785. “Thus, this Court some time ago departed from Bain’s view

that indictment defects are ‘jurisdictional.’” 
Id. at 631,
122 S. Ct. at 1785. Insofar

as [Bain] held that a defective indictment deprives a court of jurisdiction, Bain is

overruled.” 
Id. The Supreme
Court declared itself “[f]reed from the view that

indictment omissions deprive a court of jurisdiction.” 
Id. This review
of the relevant precedent shows that an omission of an element

from an indictment does not deprive the district court of jurisdiction, contrary to

Brown’s contention in this case.2 Cotton, Sanchez, Cromartie, McCoy, and

Alikhani all indicate that the omission of an element from the indictment is non-

jurisdictional.

       Brown attempts to distinguish these cases on the ground that most of them

dealt with the omission of an Apprendi element—as opposed to the omission of a

mens rea element. But this argument overlooks Apprendi’s central lesson: that

sentencing factors –– “any fact[s] that increase[] the penalty for a crime beyond the

prescribed statutory maximum,” –– are essential elements of the offense that must

be included in the indictment and “proved beyond a reasonable doubt.” 
530 U.S. 2
          To the extent Brown suggests that United States v. Carll, 
105 U.S. 611
(1881) supports
her argument, we note that the Supreme Court in Carll addressed only the sufficiency of an
indictment—not the district court’s jurisdiction. See 
id. at 613.
Instead, the Supreme Court’s
decision in Cotton and the cases cited therein discuss the impact of indictment defects on the
district court’s subject-matter jurisdiction.
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at 
490, 120 S. Ct. at 2362
–63. Therefore, the omitted elements in Cotton, Sanchez,

Cromartie, and McCoy were just as essential as the omitted mens rea element in

Brown’s case. And, the indictment omission in Brown’s case is just as non-

jurisdictional as it was in Cotton, Sanchez, Cromartie, and McCoy. 3

       This conclusion is also supported by a comparison with the few cases where

this Court has found a jurisdictional defect in an indictment. In those cases, the

indictments failed to invoke the district court’s subject-matter jurisdiction over all

offenses against the laws of the United States. We closely examine those cases too

because doing so helps demonstrate both what makes an indictment defect

jurisdictional and why Brown’s indictment defect is not jurisdictional.

B.     Jurisdictional Indictment Defects

       Perhaps the best place to start is United States v. Peter, 
310 F.3d 709
(11th

Cir. 2002). There, Peter pled guilty to specific conduct that the Supreme Court

ultimately determined did not constitute a crime. 
Id. at 710–11.
Peter’s conviction


       3
         Our sister circuits have reached the same conclusion, applying Cotton and its non-
jurisdictional rule not only to drug cases with enhanced penalties but also to other federal crimes
where an indictment omitted an essential element of the charged offense. See, e.g., United States
v. Scruggs, 
714 F.3d 258
, 262-64 (5th Cir.), cert. denied, 
134 S. Ct. 336
(2013) (citing Cotton
and rejecting the defendant’s argument that the district court lacked jurisdiction because the
information for “honest-services fraud” failed to allege the judicially-created element of a
“bribe,” and thus stated a non-offense); United States v. George, 
676 F.3d 249
, 259-60 (1st Cir.
2012) (same); see also United States v. Rayborn, 
312 F.3d 229
, 231 (6th Cir. 2002) (holding,
without citing Cotton, that while the interstate-commerce requirement is an “essential element”
of the federal-arson statute, it “is not jurisdictional in the sense that it affects a court’s subject
matter jurisdiction, i.e., a court’s constitutional or statutory power to adjudicate a case,” and that
the district court therefore erred when it dismissed the indictment for lack of subject-matter
jurisdiction because the interstate-commerce element was missing in the indictment).
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was predicated on mail fraud; he admitted to making misrepresentations on

applications for alcohol licenses which he mailed to state authorities. 
Id. at 711.
But after Peter pled guilty and served his sentence, the Supreme Court held in

Cleveland v. United States that the offense of mail fraud requires the object of the

fraud to be property in the hands of the victim. 
531 U.S. 12
, 15, 
121 S. Ct. 365
,

368 (2000). The Supreme Court also concluded that state and municipal licenses

do not rank as “property” in the hands of the official licensor for purposes of the

mail fraud statute. 
Id. Given that
Peter’s indictment alleged that the property in the victim’s hands

was a state license, those very allegations in the indictment affirmatively negated

that Peter committed the offense of mail fraud. For that reason, the Peter Court

granted coram nobis relief, rejecting the government’s contention that the

indictment defect was non jurisdictional and therefore 
waived. 310 F.3d at 714-16
.

      As the Peter Court explained, the government’s “proof of the alleged

conduct, no matter how overwhelming, would [bring] it no closer to showing the

crime charged than would . . . no proof at all.” 
Id. at 715.
The problem is not that

the government failed to allege a fact or an element that would have made the

indictment’s criminal charge complete. Instead, “it is that the Government

affirmatively alleged a specific course of conduct that is outside the reach of the

mail fraud statute.” 
Id. Importantly, “Peter’s
innocence of the charged offense


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appears from the very allegations made in the superseding information, not from

the omission of an allegation requisite to liability.” 
Id. The Peter
Court noted the critical distinction between mere “indictment

omissions,” which are non-jurisdictional defects, and “the affirmative allegation of

specific conduct that is not proscribed by the charging statute,” which is a

jurisdictional defect. 
Id. at 714.
Put differently, there is no jurisdictional defect

when the “indictment fail[s] to allege an element of the charged offense,” but there

is one when the indictment affirmatively alleges conduct that does not constitute a

crime at all because that conduct falls outside the sweep of the charging statute. 
Id. Brown’s indictment
omitted the mens rea element, but that is merely “an allegation

requisite to liability,” which Peter teaches does not implicate a court’s jurisdiction.

Id. at 715.
       The other cases in which this Court has found a jurisdictional indictment

defect further demonstrate this point. In United States v. Meacham, 
626 F.2d 503
(5th Cir. 1980),4 the indictment charged a conspiracy to attempt to import

marijuana, but there was no such “conspiracy to attempt” offense enacted in the

United States Code. 
Id. at 509-10.
Because the Meacham indictment contained

affirmative allegations of conduct that was not a crime against the laws of the


       4
        In Bonner v. City of Prichard, 
661 F.2d 1206
(11th Cir. 1981) (en banc), we adopted as
binding precedent all decisions of the former Fifth Circuit handed down before October 1, 1981.


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United States, the indictment did not invoke the district court’s jurisdiction to enter

judgment or accept a guilty plea.5 
Id. Similarly, in
United States v. Izurieta, 
710 F.3d 1176
(11th Cir. 2013), the

indictment contained an affirmative allegation that the defendant violated a

regulation that carried only civil penalties and was not intended to impose criminal

liability. 
Id. at 1179.
Thus, the indictment affirmatively alleged facts that

negated a crime against the laws of the United States, leaving the district court

without jurisdiction. See 
id. In other
words, Meacham, Peter, and Izurieta are examples of indictments

that affirmatively allege facts that conclusively negated the existence of any

offense against the laws of the United States. These cases involve indictments

charging (1) a crime that simply did not exist in the United States Code, 
Meacham, 626 F.2d at 505
, 509-10; (2) conduct that undoubtedly fell outside the sweep of the

mail fraud statute, 
Peter, 310 F.3d at 710
–11; and (3) a violation of a regulation

that was not intended to be a “law” for purposes of criminal liability, 
Izurieta, 710 F.3d at 1179
, 1184. In those specific and narrow circumstances, a district court

       5
         Meacham, a pre-1981 decision from the Fifth Circuit, remains good law in our Circuit.
It is worth noting that, in light of Cotton, the Fifth Circuit has “disavowed Meacham’s
classif[ication] as jurisdictional the requirement that the indictment state an offense.” 
Scruggs, 714 F.3d at 263
(quoting United States v. Cochran, 
302 F.3d 279
, 283 (5th Cir. 2002)). But,
consistent with our decision today, the Fifth Circuit explained that “the statutory offense alleged
in the [Meacham] indictment did not exist,” and that Meacham “may remain good law in that
very narrow circumstance because an indictment that charges a violation of a non-statute does
not give rise to subject matter jurisdiction under [18 U.S.C.] § 3231.” 
Scruggs, 714 F.3d at 263
n.22.
                                                19
             Case: 13-10023     Date Filed: 05/28/2014    Page: 20 of 22


indeed lacks subject-matter jurisdiction because the indictment fails to invoke the

district court’s statutory authority under 18 U.S.C. § 3231 over “offenses against

the laws of the United States.” See 
Alikhani, 200 F.3d at 734
-35 (holding that the

district court’s subject matter jurisdiction depends on whether the indictment

charged the defendant with violating “laws of the United States”).

      Both Peter and Izurieta acknowledged Cotton, where the Supreme Court

stated that “defects in an indictment do not deprive a court of its power to

adjudicate a 
case.” 535 U.S. at 631
, 122 S. Ct at 1785. Notably, this Court

concluded in Izurieta that Cotton did not alter “our established precedent

recognizing that the failure to allege a crime in violation of the laws of the United

States is a jurisdictional defect.” 
Izurieta, 710 F.3d at 1179
; see also 
Peter, 310 F.3d at 714
(“[T]he Supreme Court [in Cotton] did not address whether the

insufficiency of an indictment assumes a jurisdictional dimension when the only

facts it alleges, and on which a subsequent guilty plea is based, describe conduct

that is not proscribed by the charging statute.”).

      Thus, we learn from our case law that in examining whether an indictment

defect is jurisdictional, we must ask the question whether the indictment charged

the defendant with a criminal “offense[] against the laws of the United States.” In

Brown’s case, the answer is yes. The indictment charged Brown with violating 18

U.S.C. § 473, a valid federal statute in the United States Code. Brown’s


                                          20
             Case: 13-10023      Date Filed: 05/28/2014    Page: 21 of 22


indictment not only cites the statute, it also tracks the statutory language of § 473

in its entirety. As such, § 3231 empowered the district court with jurisdiction to

act over Brown’s indictment. See 
Alikhani, 200 F.3d at 734
-35.

      The district court’s power over Brown’s case did not vanish simply because

the indictment omitted one element of the charged offense. The omission of an

element may render the indictment insufficient, see, e.g., 
Lang, 732 F.3d at 1247
(holding that an indictment must set forth all essential elements of the offense),

but it does not strip the district court of jurisdiction over the case, see 
Cotton, 535 U.S. at 630
-31, 122 S. Ct. at 1785; 
Sanchez, 269 F.3d at 1273-75
; 
Cromartie, 267 F.3d at 1295
-97; 
McCoy, 266 F.3d at 1249
; 
Alikhani, 200 F.3d at 734
-35 (all

holding that the omission of an essential element of the offense does not deprive

the district court of jurisdiction over the case); see also 
Peter, 310 F.3d at 714
-15.

      So long as the indictment charges the defendant with violating a valid

federal statute as enacted in the United States Code, it alleges an “offense against

the laws of the United States” and, thereby, invokes the district court’s subject-

matter jurisdiction. 
Alikhani, 200 F.3d at 734
-35. The omission of an element of

that offense does not mean that the indictment fails to do so, see id.; it means only

that the indictment is missing “an allegation requisite to liability,” 
Peter, 310 F.3d at 715
. This may allow the defendant to argue before a guilty plea that the




                                           21
              Case: 13-10023       Date Filed: 05/28/2014      Page: 22 of 22


indictment is insufficient and should be dismissed—but it does not deprive the

district court of jurisdiction to act over the indictment or to accept a guilty plea. 6

       In sum, we hold that the omission from indictment of an element of the

charged offense is a non-jurisdictional defect. Given that the omission in Brown’s

indictment is not jurisdictional, Brown waived any challenge to her indictment in

two different ways: First, she entered into an unconditional guilty plea; second, she

signed an appeal waiver. Either one of these actions alone waived Brown’s belated

challenge to the indictment. See 
Fairchild, 803 F.2d at 1124
; 
Jackson, 659 F.2d at 74
; 
Patti, 337 F.3d at 1320
.

                                   III. CONCLUSION

       For the foregoing reasons, we affirm Brown’s conviction and sentence.




       6
         We note that Brown makes no argument that the statute charged in her indictment is
preempted or unconstitutional. See United States v. Tomeny, 
144 F.3d 749
, 751 (11th Cir. 1998)
(stating that a defendant’s argument that the charged statute was preempted is a jurisdictional
claim); United States v. Saac, 
632 F.3d 1203
, 1208 (11th Cir. 2011) (stating that a defendant’s
argument that the charged statute was unconstitutional is a jurisdictional claim).



                                              22

Source:  CourtListener

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