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United States v. Donald Blankenship, 16-4193 (2017)

Court: Court of Appeals for the Fourth Circuit Number: 16-4193 Visitors: 17
Filed: Jan. 19, 2017
Latest Update: Mar. 03, 2020
Summary: PUBLISHED UNITED STATES COURT OF APPEALS FOR THE FOURTH CIRCUIT No. 16-4193 UNITED STATES OF AMERICA, Plaintiff - Appellee, v. DONALD L. BLANKENSHIP, Defendant - Appellant. - ILLINOIS COAL ASSOCIATION; OHIO COAL ASSOCIATION; WEST VIRGINIA COAL ASSOCIATION, Amici Curiae. Appeal from the United States District Court for the Southern District of West Virginia, at Beckley. Irene C. Berger, District Judge. (5:14-cr-00244-1) Argued: October 26, 2016 Decided: January 19, 2017 Before GREGORY, Chief Judg
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                                         PUBLISHED

                        UNITED STATES COURT OF APPEALS
                            FOR THE FOURTH CIRCUIT


                                          No. 16-4193


UNITED STATES OF AMERICA,

                       Plaintiff - Appellee,

               v.

DONALD L. BLANKENSHIP,

                       Defendant - Appellant.

---------------------------------------------------

ILLINOIS COAL ASSOCIATION; OHIO COAL ASSOCIATION; WEST
VIRGINIA COAL ASSOCIATION,

                       Amici Curiae.



Appeal from the United States District Court for the Southern District of West
Virginia, at Beckley. Irene C. Berger, District Judge. (5:14-cr-00244-1)


Argued: October 26, 2016                                Decided: January 19, 2017


Before GREGORY, Chief Judge, WYNN, Circuit Judge, and DAVIS, Senior Circuit
Judge.
Affirmed by published opinion. Judge Wynn wrote the opinion, in which Chief
Judge Gregory and Senior Judge Davis joined.


ARGUED: William Woodruff Taylor, III, ZUCKERMAN SPAEDER LLP,
Washington, D.C., for Appellant. Steven Robert Ruby, OFFICE OF THE UNITED
STATES ATTORNEY, Charleston, West Virginia, for Appellee. ON BRIEF:
Michael R. Smith, Eric R. Delinsky, ZUCKERMAN SPAEDER LLP, Washington,
D.C., for Appellant. Carol A. Casto, United States Attorney, R. Gregory McVey,
Gabriele Wohl, Assistant United States Attorneys, OFFICE OF THE UNITED
STATES ATTORNEY, Charleston, West Virginia, for Appellee. Christopher A.
Brumley, Jeffrey M. Wakefield, Nathaniel K. Tawney, Wesley P. Page, Bradley J.
Schmalzer, FLAHERTY SENSABAUGH BONASSO PLLC, Charleston, West
Virginia, for Amici Curiae.




                                      2
WYNN, Circuit Judge:

      Defendant Donald Blankenship (“Defendant”), former chairman and chief

executive officer of Massey Energy Company (“Massey”), makes four arguments

related to his conviction for conspiring to violate federal mine safety laws and

regulations. After careful review, we conclude the district court committed no

reversible error. Accordingly, we affirm.

                                         I.

      This case arises from a tragic accident on April 5, 2010 at the Upper Big

Branch coal mine in Montcoal, West Virginia, which caused the death of 29 miners.

Massey owned and operated the Upper Big Branch mine.

      In the years leading up to the accident, the federal Mine Safety & Health

Administration (the “Mine Safety Administration”) repeatedly cited Massey for

violations at the Upper Big Branch mine of the Mine Safety & Health Act of 1977,

30 U.S.C. § 801 et seq. (the “Mine Safety Act”), and its implementing regulations.1

In 2009 alone, the Mine Safety Administration identified 549 violations at the Upper

Big Branch mine. Indeed, in the 15 months preceding the April 2010 accident, the

Upper Big Branch mine received the third-most serious safety citations of any mine

in the United States. Many of these violations related to improper ventilation and


      1
        Because the jury convicted Defendant, we recite the evidence in the light
most favorable to the government.

                                         3
accumulation of combustible materials—problems that were key contributing

factors to the accident. Defendant was aware of the violations at the Upper Big

Branch mine in the years leading up to the accident, receiving daily reports showing

the numerous citations for safety violations at the mine.

      Not only did Defendant receive daily reports of the safety violations,

beginning in mid-2009, but Defendant also received warnings from a senior Massey

safety official about the serious risks posed by the violations at Upper Big Branch.

And the safety official informed Defendant that “[t]he attitude at many Massey

operations is ‘if you can get the footage, we can pay the fines.’” J.A. 1907. Evidence

suggested that Defendant had fostered this attitude by directing mine supervisors to

focus on “run[ning] coal” rather than safety compliance and to forego construction

of safety systems. J.A. 1902, 1924. Defendant also told the Massey employee in

charge of the Upper Big Branch mine that “safety violations were the cost of doing

business” and that it was “cheaper to break the safety laws and pay the fines than to

spend what would be necessary to follow the safety laws.” J.A. 790-91.

      Notwithstanding the numerous citations and warnings, Defendant had a

“policy to invariably press for more production even at mines that he knew were

struggling to keep up with the safety laws.” J.A. 793. For example, Defendant

directed the supervisor of Upper Big Branch to reopen a mine section to production

even though it lacked a legal return airway. Additionally, Massey employees

                                          4
advised Defendant that the lack of adequate staff was a key factor in the high number

of safety violations at Upper Big Branch. Contrary to this advice, Massey reduced

staff at the Upper Big Branch mine less than two months before the accident, a

decision that Defendant would have had to approve given his close supervision of

mine operations and staffing.

      On November 13, 2014, a federal grand jury indicted Defendant for: (1)

conspiring to willfully violate federal mine safety laws and regulations; (2)

conspiring to defraud federal mine safety regulators; (3) making false statements to

the Securities & Exchange Commission regarding Massey’s safety compliance; and

(4) engaging in securities fraud. The grand jury issued a superseding three-count

indictment (the “Superseding Indictment”) on March 10, 2015, which combined the

conspiracy counts into a single, multi-object conspiracy charge and included

additional factual allegations.    Following a six-week trial, a jury convicted

Defendant of conspiring to violate federal mine safety laws and acquitted him of the

remaining indicted offenses. The district court sentenced Defendant to one year

imprisonment and assessed a $250,000 fine, both of which were the maximum

permitted by law. Defendant timely appealed.

      On appeal, Defendant argues that the district court: (1) erroneously concluded

that the Superseding Indictment sufficiently alleged a violation of Section 820(d);

(2) improperly denied Defendant the opportunity to engage in re-cross examination

                                         5
of an alleged co-conspirator; (3) incorrectly instructed the jury regarding the

meaning of “willfully” in 30 U.S.C. § 820(d), which makes it a misdemeanor for a

mine “operator” to “willfully” violate federal mine safety laws and regulations; and

(4) incorrectly instructed the jury as to the government’s burden of proof. We

address each argument in turn.

                                          II.

      First, Defendant argues that the district court erred in refusing to dismiss his

indictment. When, as here, a defendant challenges the sufficiency of an indictment

prior to verdict, we review the sufficiency of the indictment de novo, “‘apply[ing] a

heightened scrutiny’ to ensure that every essential element of an offense has been

charged.” United States v. Perry, 
757 F.3d 166
, 171 (4th Cir. 2014) (quoting United

States v. Kingrea, 
573 F.3d 186
, 191 (4th Cir. 2009)).

      To satisfy the Fifth and Sixth Amendments, “[a]n indictment must contain the

elements of the offense charged, fairly inform a defendant of the charge, and enable

the defendant to plead double jeopardy as a defense in a future prosecution for the

same offense.” 
Id. Under this
standard, “[i]t is generally sufficient that an indictment

set forth the offense in the words of the statute itself, as long as those words of

themselves fully, directly, and expressly, without any uncertainty or ambiguity, set

forth all the elements necessary to constitute the [offense] intended to be punished.”

Id. (quoting Hamling
v. United States, 
418 U.S. 87
, 117 (1974)). To the extent an

                                           6
indictment relies on a “general description based on the statutory language,” the

indictment also should include “a statement of the facts and circumstances as will

inform the accused of the specific [offense], coming under the general description.”

Id. (quoting Hamling
, 418 U.S. at 117-18).

      The jury convicted Defendant of conspiring to violate 30 U.S.C. § 820(d),

which, in pertinent part, makes it unlawful for “[a]ny operator [to] willfully violate[]

a mandatory [mine] health or safety standard.” The Superseding Indictment alleged

that Defendant was “an operator[] of [Upper Big Branch],” and in that capacity,

conspired to “routinely violate federal mandatory mine safety and health standards.”

J.A. 138. Accordingly, the indictment “set forth the offense in the words of the

statute itself,” which is generally sufficient. 
Perry, 757 F.3d at 171
.

      Notwithstanding that the Superseding Indictment tracked the language of the

statute, Defendant asserts the Superseding Indictment was insufficient because it did

not cite the specific mine safety regulations that he allegedly conspired to violate.

We disagree.

      As detailed above, when an indictment uses a “general description based on

the statutory language,” the indictment satisfies the Constitution if it includes an

accompanying statement of facts that apprises a defendant of the specific offense the

government alleges the defendant committed. 
Id. at 171.
Here, as the district court

correctly noted, although the Superseding Indictment did not include citations to

                                           7
specific regulations, it included a thirty-page factual background that identified

numerous mine safety regulations that Defendant allegedly conspired to violate,

including: (1) mine ventilation regulations, (2) mine-safety examination

requirements, (3) regulations regarding support of roof and walls, and (4) regulations

governing accumulation of explosive coal dust. The Superseding indictment also

detailed how Defendant conspired to violate these and other regulations.

      Defendant cites no authority holding that an indictment is insufficient for

failing to include specific regulatory citations when the indictment describes at

length which regulations the defendant violated and how he violated those

regulations. And the two cases upon which Defendant principally relies—United

States v. Hooker and United States v. Kingrea—are readily distinguishable.

      In Hooker, this Court found an indictment insufficient when it failed to

include an essential statutory element of the offense—that the conduct at issue

affected interstate commerce. 
841 F.2d 1225
, 1227-28 (4th Cir. 1988). By contrast,

the Superseding Indictment tracked the statutory language verbatim. In Kingrea, the

indictment again omitted an essential statutory element of the crime, and this

omission “broaden[ed] the character of the crime beyond the scope of the crime as

Congress has defined it in the applicable 
statute.” 573 F.3d at 192
. Here, not only

did the Superseding Indictment track the statutory language, it also did not broaden




                                          8
the scope of the offense. Accordingly, the district court did not err in refusing to

dismiss the Superseding Indictment.

                                         III.

      Second, Defendant argues that the district court violated his rights under the

Sixth Amendment Confrontation Clause by denying him the opportunity to engage

in recross-examination of Chris Blanchard, the Massey employee in charge of the

Upper Big Branch mine. The governing rule is that “[w]here new evidence is opened

up on redirect examination, the opposing party must be given the right of cross-

examination on the new matter, but the privilege of recross-examination as to

matters not covered on redirect examination lies within the trial court’s discretion.”

United States v. Riggi, 
951 F.2d 1368
, 1375 (3d Cir. 1991) (quotation omitted); see

also United States v. Fleschner, 
98 F.3d 155
, 158 (4th Cir. 1996) (“[I]f a new subject

is raised in redirect examination, the district court must allow the new matter to be

subject to recross-examination.”).

      Although there is no bright line rule delineating what constitutes “new

matter,” testimony elicited on redirect does not amount to “new matter” if the

testimony only “expand[s] or elaborate[s] on the witness’ previous testimony.”

United States v. Baker¸ 
10 F.3d 1374
, 1404-05 (9th Cir. 1993) (noting that “the

authorities are devoid of any analysis of what constitutes ‘new matter.’”), overruled

in part on other grounds by United States v. Nordby, 
225 F.3d 1053
(9th Cir. 2000).

                                          9
By contrast, redirect testimony raises “new matter” when it encompasses a subject

outside of the scope of direct examination or when a witness offers materially

different testimony regarding a subject first introduced on direct. See, e.g., 
id. at 1405
(concluding redirect raised new matter when witness testified on redirect that

flask could produce significantly more methamphetamine than the amount he had

testified it could produce on direct); United States v. Jones, 
982 F.2d 380
, 384 (9th

Cir. 1992) (holding redirect testimony that, for the first time, placed defendant at

crime scene constituted new matter); United States v. Caudle, 
606 F.2d 451
, 457-59

(4th Cir. 1979) (concluding redirect raised new matter when witness first testified to

substance of report on redirect, even though witness had testified as to preparation

and dissemination of report on direct).

      Here, in reviewing whether the redirect examination raised new matter, the

district court commendably received oral argument and, in concluding that redirect

did not raise new matter, thoroughly reviewed the transcript of direct, cross, and

redirect and explained how each issue raised on redirect did not constitute new

matter. Defendant principally argues that the district court improperly denied him

the opportunity to recross-examine Blanchard regarding (1) his testimony on redirect

that he testified before the grand jury that Defendant told Blanchard that it was

“cheaper to break the safety laws and pay the fines” than comply, J.A. 790, and (2)




                                          10
a number of safety citations first introduced on redirect to rebut Blanchard’s

testimony on cross-examination that many citations did not reflect serious violations.

      Assuming arguendo that the district court erred, after completing its thorough

review, in denying recross-examination on those subjects, we conclude any such

error was harmless beyond a reasonable doubt. See 
Baker, 10 F.3d at 1405
(“Reversal is not required if, assuming the damaging potential of recross-

examination were fully realized, we can say that the error was harmless beyond a

reasonable doubt.”). “Factors to consider in determining harmlessness include the

importance of the witness’ testimony in the prosecution’s case, whether the

testimony was cumulative, the presence or absence of evidence corroborating or

contradicting the testimony of the witness on material points, the extent of cross-

examination otherwise permitted, and . . . the overall strength of the prosecution’s

case.” 
Id. at 1405-06
(internal quotation marks omitted).

      Here, although Blanchard was an important witness, all of the subjects on

which Defendant requested recross-examination were either effectively dealt with

on cross-examination or cumulative of other evidence introduced at trial. For

instance, on cross-examination, Blanchard testified unambiguously that he did not

conspire with Defendant to violate mine safety laws, and Blanchard testified that the

government threatened to prosecute him if he did not testify before the grand jury,

during which he inculpated Defendant. J.A. 519-20. Likewise, both Defendant and

                                         11
the government introduced numerous safety citations at Upper Big Branch, through

Blanchard and other witnesses.

      Furthermore, Defendant’s cross-examination of Blanchard lasted nearly five

days—more time than direct and redirect examination combined—and therefore

Defendant had an extensive opportunity to examine Blanchard. The government

also presented other evidence and testimony that would allow the jury to determine

Defendant prioritized coal production at the expense of safety compliance, including

memoranda from Defendant to Massey employees and statements from Defendant

to Blanchard. See, e.g., J.A. 1157-58 (Defendant telling Blanchard to reopen mine

section even though it lacked legal return airway); J.A. 1902 (Defendant telling

supervisors to “run coal” and not “build overcasts,” which are ventilation systems);

J.A. 1924 (“You need to . . . run some coal. We’ll worry about ventilation or other

issues at an appropriate time.”). And the government presented other evidence

establishing that the citations reflected serious safety violations.

      Most significantly, Defendant could have recalled Blanchard as a witness later

in the trial. United States v. Gibson, 
187 F.3d 631
, 
1999 WL 543220
, at *5-6 (4th

Cir. July 27, 1999) (table) (holding denial of recross harmless because defendant

could recall witness); United States v. Ross, 
33 F.3d 1507
, 1518 (11th Cir. 1994)

(same); Hale v. United States, 
435 F.2d 737
, 752 n.22 (5th Cir. 1970) (holding denial

of recross did not violate Confrontation Clause when defendant had opportunity to

                                           12
recall witness). Accordingly, the district court did not reversibly err in denying

Defendant an opportunity to engage in recross-examination of Blanchard.

                                          IV.

      Next, Defendant argues that the district court errantly instructed the jury

regarding the meaning of “willfully” violating federal mine safety and health

standards for purposes of 30 U.S.C. § 820(d). This Court reviews de novo “whether

the district court’s instructions to the jury were correct statements of law.” Gentry v.

E. W. Ptrs. Club Mgmt. Co. Inc., 
816 F.3d 228
, 233 (4th Cir. 2016) (quotation

omitted). “In conducting such a review, we do not view a single instruction in

isolation; rather we consider whether taken as a whole and in the context of the entire

charge, the instructions accurately and fairly state the controlling law.” United States

v. Jefferson, 
674 F.3d 332
, 351 (4th Cir. 2012) (internal quotation omitted).

      Defendant takes issue with the following instructions regarding the meaning

of “willfully” in Section 820(d):

      1.     A person with supervisory authority at or over a mine willfully
             fails to perform an act required by a mandatory safety or health
             standard if he knows that the act is not being performed and
             knowingly, purposefully, and voluntarily allows that omission to
             continue.
      2.     A person with supervisory authority at or over a mine also
             willfully violates a mandatory mine safety or health standard if
             he knowingly, purposefully, and voluntarily takes actions that he
             knows will cause a standard to be violated[;]



                                          13
      3.     [O]r knowingly, purposefully, and voluntarily fails to take
             actions that are necessary to comply with the mandatory mine
             safety or health standard[;]

      4.     [O]r if he knowingly, purposefully, and voluntarily takes action
             or fails to do so with reckless disregard for whether that action
             or failure to act will cause a mandatory safety or health standard
             to be violated.

J.A. 1555-57.

                                          A.

      Defendant first argues that the fourth instruction improperly allowed the jury

to convict Defendant for “reckless” conduct, rather than requiring the government

to prove Defendant “knew his conduct would cause a violation of safety regulations

. . . and was unlawful.” Appellant’s Br. at 44. In particular, Defendant contends that

the Supreme Court’s decisions in Bryan v. United States, 
524 U.S. 184
(1998), and

Safeco Insurance Co. of America v. Burr, 
551 U.S. 47
(2007), bar courts from

defining “willfully” in criminal statutes in terms of “reckless disregard.”

                                          1.

      In Bryan, the Supreme Court reviewed whether the government introduced

sufficient evidence to convict the defendant of “willfully” violating the federal Gun

Control Act, which, among other things, prohibits dealing in firearms without a

license. 524 U.S. at 189
; see also 18 U.S.C. § 924(a)(1)(D). The defendant argued

that in order to prove that he “willfully” violated federal gun laws, the government

had to introduce evidence that “he was aware of the federal law that prohibits dealing
                                         14
in firearms without a federal 
license.” 524 U.S. at 189
. The Supreme Court rejected

the defendant’s argument, holding that, as a result of the long-standing principle that

ignorance of the law is no excuse, the government need not prove that the defendant

knew of the statutory provision at issue to violate it. 
Id. at 196.
      In reaching this conclusion, the Court noted that “willfully” is “a word of

many meanings whose construction is often dependent on the context in which it

appears.” 
Id. at 191
(internal quotation omitted). The Court said that, “[a]s a general

matter,” in the criminal context, “willful” means an act “undertaken with a ‘bad

purpose,’” and a “‘willful’ violation of a statute” occurs when “‘the defendant acted

with knowledge that his conduct was unlawful.’” 
Id. at 191
-92 (quoting Ratzlaf v.

United States, 
510 U.S. 135
, 137 (1994)). The Court provided several additional

examples of criminally “willful” conduct, including: (1) acting “without justifiable

excuse”; (2) acting “stubbornly, obstinately, perversely”; (3) acting “without ground

for believing it is lawful”; and (4) acting with “careless disregard [as to] whether or

not one has the right so to act.” 
Id. at 191
n.12.

      Safeco involved a civil action under Section 1681n of the Fair Credit

Reporting Act, which establishes a cause of action against entities that “willfully”

fail to comply with the 
statute. 551 U.S. at 56-57
. The Supreme Court rejected the

defendant’s argument that willfully limited liability to “acts known to violate the

Act, not to reckless disregard of statutory duty.” 
Id. at 57.
        In reaching this

                                           15
conclusion, the Court said that “where willfulness is a statutory condition of civil

liability, we have generally taken it to cover not only knowing violations of a

standard, but reckless ones as well.” 
Id. The Court
further noted that, as explained

in Bryan, in the criminal context “willfully” often requires the government to prove

a defendant to have a “‘bad purpose’” or to have “‘acted with knowledge that his

conduct was unlawful.’” 
Id. at 57
n.9 (quoting 
Bryan, 524 U.S. at 191-93
).

      Neither Bryan nor Safeco supports Defendant’s position that reckless

disregard cannot amount to criminal willfulness. In particular, Bryan and Safeco

emphasized that “willful” has multiple meanings and that the “bad purpose”

language upon which Defendant relies defines willful only as a “general matter”—

i.e. not in all circumstances. Additionally, even if Bryan and Safeco had required a

showing that a Defendant acted with a “bad purpose”—which they did not—the

Supreme Court long ago recognized—in a decision relied on in Bryan—that

“reckless disregard” can amount to acting with a “bad purpose” for purposes of

criminal “willfulness.” Screws v. United States, 
325 U.S. 91
, 101-04 (1945)

(plurality op.).2   And Bryan—upon which Safeco entirely relied—expressly


      2
        Although the Supreme Court did not issue a majority opinion in Screws, this
Court and other Circuits have treated the definition of “willfulness” in Justice
Douglas’ plurality opinion—which encompasses “reckless disregard”—as
controlling. See, e.g., United States v. Mohr, 
318 F.3d 613
, 619 (4th Cir. 2003);
United States v. Bradley, 
196 F.3d 762
, 769 (7th Cir. 1999); United States v.
Johnstone, 
107 F.3d 200
, 207-08 (3d Cir. 1997).

                                        16
recognized that “conduct marked by careless disregard” constitutes 
“willfulness.” 524 U.S. at 191
n.12. Accordingly, Bryan and Safeco did not overturn longstanding

Supreme Court precedent holding that reckless disregard can amount to criminal

willfulness.

      We further point out that this Court repeatedly has held, post-Bryan and

Safeco, that “reckless disregard” and “plain indifference” can constitute criminal

“willfulness.” For example, in a decision addressing the meaning of “willfully” in

the civil and criminal penalty provisions in federal gun control laws, 3 we concluded

that “[a]t its core [willful] describes conduct that results from an exercise of the will,

distinguishing ‘intentional, knowing, or voluntary’ action from that which is

‘accidental’ or inadvertent.” RSM, Inc. v. Herbert, 
466 F.3d 316
, 320 (4th Cir. 2006).

Accordingly, “when determining the willfulness of conduct, we must determine

whether the acts were committed in deliberate disregard of, or with plain

indifference toward, either known legal obligations or the general unlawfulness of

the actions.” 
Id. at 321-22
(emphasis added). We further held that this construction




      3
         RSM was a civil action under the Gun Control Act contesting the revocation
of a firearms license under 18 U.S.C. § 
923(e). 466 F.3d at 321
n.1. Although RSM
interpreted Congress’ use of willfully in a civil provision, we held its interpretation
of “willful” also applied to Section 924(a)(1)(D), the provision interpreted by the
Supreme Court in Bryan. 
Id. 17 of
“willfully” was “in accordance with Bryan’s construction of the term in the

criminal context of § 924(a)(1)(D).” 
Id. at 321
n.1 (emphasis added).

      Applying this standard to the conduct at issue, we held that the defendant’s

repeated failure to comply with federal gun laws in the face of warnings by federal

officials amounted to “willfulness”:

      To be sure, a single, or even a few, inadvertent errors in failing to
      complete forms may not amount to “willful” failures, even when the
      legal requirement to complete the form was known. Yet at some point,
      when such errors continue or even increase in the face of repeated
      warnings given by enforcement officials, accompanied by explanations
      of the severity of the failures, one may infer as a matter of law that the
      licensee simply does not care about the legal requirements. At that
      point, the failures show the licensee’s plain indifference and therefore
      become willful.

RSM, 466 F.3d at 322
(emphasis retained). Thus, we have held that “not car[ing]”

about adherence to legal requirements amounts to criminal “willfulness,” which is

what the fourth instruction stated here.       Notably, RSM’s description of the

defendant’s willful conduct tracks the government’s theory of the case here:

Defendant was repeatedly informed of safety violations at Upper Big Branch, and

notwithstanding that knowledge, Defendant chose to prioritize production and pay

fines rather than to take steps necessary to prevent the safety violations from

continuing.

      Following RSM, which post-dated Bryan but pre-dated Safeco, we held that

Safeco did not call into question RSM’s analysis of the meaning of “willfully.” Am.

                                         18
Arms Int’l v. Herbert, 
563 F.3d 78
, 85-86 (4th Cir. 2009). Additionally, in American

Arms, we expressly equated “plain indifference” with “reckless disregard” for

purposes of finding willfulness. 
Id. at 87.
      In interpreting a variety of criminal statutes, other Circuits have reached the

same conclusion: post-Bryan and Safeco, “reckless disregard” still can—and does—

constitute criminal willfulness. See, e.g., United States v. Trudeau, 
812 F.3d 578
,

588-89 (7th Cir. 2016) (concluding that because meaning of “willful” is “influenced

by its context,” Safeco did not bar defining willful in terms of reckless disregard);

United States v. Anderson, 
741 F.3d 938
, 948 (9th Cir. 2013) (stating that

“recklessness” is a “valid theor[y]” for establishing defendant “willfully” engaged

in criminal copyright infringement); United States v. George, 
386 F.3d 383
, 392-96

(2d Cir. 2004) (Sotomayor, J.) (concluding, after lengthy survey of case law, that

Bryan did not displace earlier Supreme Court case law holding criminal

“willfullness” requires “only the minimum mens rea necessary to separate innocent

from wrongful conduct” and therefore interpreting “willfully” requirement in

criminal passport fraud statute as proscribing “false statements that are knowingly

included in the passport application”); United States v. Johnstone, 
107 F.3d 200
,

208-09 (3d Cir. 1997) (“‘[W]illful[ly]’ in [federal criminal civil rights statute, 18

U.S.C. § 242,] means either particular purpose or reckless disregard.”); United States

v. Rapone, 
131 F.3d 188
, 195 (D.C. Cir. 1997) (defining “willful” for purposes of

                                          19
criminal contempt as “deliberate or reckless disregard of the obligations created by

a court order”); cf. United States v. Kay, 
513 F.3d 432
, 447-48 (5th Cir. 2007)

(concluding, post-Bryan, that a “defendant’s knowledge that he committed the act is

sufficient” to constitute criminal willfulness (emphasis added)).

       In sum, contrary to Defendant’s position, Bryan and Safeco did not prohibit

the use of “reckless disregard” in defining “willfully” for purposes of criminal

statutes.

                                         2.

       Having determined that “reckless disregard” can constitute criminal

“willfulness,” we now must determine whether the district court properly concluded

that “reckless disregard” amounts to willfulness for purposes of Section 820(d). In

deciding this question, we do not write on a clean slate. In United States v. Jones,

735 F.2d 785
(4th Cir. 1984), we affirmed a trial court’s instruction that a criminal

defendant “willfully” violated a federal mine safety standard if he acted “either in

intentional disobedience of the [safety] standard or in reckless disregard of its

requirements.” 
Id. at 789.
   “This language conforms to the interpretations of

willfulness provided by several of the circuits,” we held. 
Id. In reaching
this

conclusion, we relied on the Sixth Circuit’s decision in United States v.

Consolidation Coal Co., 
504 F.2d 1330
(6th Cir. 1974)—the only appellate decision

interpreting the meaning of “willfully” in a criminal provision of a federal mine

                                         20
safety statute—which held that an act or omission is “willful if done knowingly and

purposefully by a coal mine operator who, having a free will or choice, either

intentionally disobeys the standard or recklessly disregards its requirements.” 
Id. at 1335
(emphasis added); 
Jones, 735 F.2d at 789
.

       Defendant contends that we should disregard Jones because, notwithstanding

that the district court instructed the jury on the meaning of “willfully,” Jones

involved a prosecution under a provision in the Mine Safety Act with a “knowing,”

as opposed to “willful,” mens rea requirement. But we see no reason to depart from

Jones’ statement that, for purposes of the Mine Safety Act’s criminal provision,

willfulness encompasses reckless disregard—nor does Defendant provide us with

any.

       Section 820(d) derives from a substantively identical provision in the federal

Coal Mine Health and Safety Act of 1969 (the “Coal Act”), which the Mine Safety

Act replaced. At the time Congress enacted the Mine Safety Act, the Sixth Circuit

had already interpreted “willfully” in the Coal Act in terms of “reckless disregard.”

Consol. Coal 
Co., 504 F.2d at 1335
. Because “[w]e assume that Congress is aware

of existing law when it passes legislation,” Miles v. Apex Marine Corp., 
498 U.S. 19
, 32 (1990), we must presume that Congress intended “willfully” in Section 820(d)

to have the same meaning as the judicial construction of the term in the Coal Act,

see United States v. Georgopoulous, 
149 F.3d 169
, 172 (2d Cir. 1998) (construing,

                                         21
post-Bryan, “willfulness” element in labor union bribery statute as requiring only

general intent because such a construction accorded with the judicial construction of

willfulness in the statute from which the bribery provision derived). That Congress

enacted the Mine Safety Act because it believed the penalties available under the

Coal Act had proven insufficient to deter safety violations further evidences that

Congress did not intend for courts to construe “willfully” in the Mine Safety Act

more strictly than they had interpreted the term in the parallel provision in the Coal

Act, as Defendant invites us to do here. See S. Rep. 95-181, at 4, 9 (1977)

(“[E]nforcement sanctions under the [Coal Act] are insufficient to deal with chronic

violators.”).

      Other Congressional statements in the legislative history of the Mine Safety

Act further indicate that Congress intended to bring conduct evidencing reckless

disregard within the meaning of “willfully.”         In particular, Congress imposed

enhanced penalties in the Mine Safety Act because it found “[m]ine operators still

find it cheaper to pay minimal civil penalties than to make the capital investments

necessary to adequately abate unsafe or unhealthy conditions, and there is still no

means by which the government can bring habitual and chronic violators of the law

into compliance.” S. Rep. 95-181, at 4. Accordingly, Congress saw criminal

penalties as a mechanism to punish “habitual” and “chronic” violators that choose

to pay fines rather than remedy safety violations.

                                         22
      As noted previously, we explained in RSM that an inference of plain

indifference—and therefore willfulness—arises from evidence of “continu[ing]” or

“increas[ing]” violations “in the face of repeated warnings given by enforcement

officials.” 466 F.3d at 322
. Put differently, a “long history of repeated failures,

warnings, and explanations of the significance of the failures, combined with

knowledge of the legal obligations, readily amounts to willfulness.” 
Id. Other courts
have reached the same conclusion. See, e.g., 
Screws, 325 U.S. at 104-05
(plurality op.) (holding that reckless disregard amounted to criminal

willfulness and stating that “contin[uing]” or “persist[ing]” in action that violates

established law constituted willfulness under that definition); United States v.

Jeremiah, 
493 F.3d 1042
, 1045-46 (9th Cir. 2007) (“[A] finding of willfulness was

supported by [defendant’s] repeated failure to make restitution payments on time.”);

Rapone, 131 F.3d at 195
(holding defendant’s failure to heed “repeated warnings”

of noncompliance provided basis for factfinder to conclude defendant acted

“willfully”); United States v. Garcia, 
762 F.2d 1222
, 1225-26 (5th Cir. 1985)

(finding that defendant’s continued violation of particular provision in tax code in

the face of “repeated” warnings from government officials constituted willfulness);

cf. Willingham Sports, Inc. v. Bureau of Alcohol, Tobacco, Firearms & Explosives,

415 F.3d 1274
, 1277 (11th Cir. 2005) (“[A defendant’s] repeated violations after it




                                         23
has been informed of the regulations and warned of violations does show purposeful

disregard or plain indifference.”).

      That (1) Congress imposed enhanced penalties on mine operators in order to

punish operators who “chronic[ally]” and “habitual[ly]” violate mine safety laws,

rather than to devote resources to safety compliance, and that (2) courts construe

willfulness in terms of reckless disregard when a statute is intended to levy criminal

penalties on defendants who persist in violating a federal law notwithstanding

repeated warnings of the violations, further indicates Congress intended to define

“willfully” in Section 820(d) in terms of reckless disregard.

      Finally, 30 U.S.C. § 820(d) parallels the criminal liability provision in the Gun

Control Act at issue in Bryan and RSM, 18 U.S.C. § 924(d)(1). In particular, both

Section 820(d) and Section 924(d)(1) prohibit the “willful violation” of the

substantive provisions of their respective statutes and the regulations promulgated

thereunder. Indeed, Defendant acknowledges that “[t]here is no textual basis for

distinguishing the Mine Act’s identically constructed liability provision from the

statutory liability provision in Bryan.” Appellant’s Br. at 48. Additionally, the Mine

Safety Act and Gun Control Act serve similar purposes by establishing complex

federal regulatory regimes designed to protect public safety. In RSM, we held that

plain indifference or reckless disregard amounts to criminal willfulness for purposes

of Section 
924(d)(1). 46 F.3d at 321-22
& n.1. Given the textual and functional

                                         24
similarity between Section 924(d)(1) and Section 820(d), we likewise interpret

“willfully” in Section 820(d) in terms of reckless disregard.

                                           3.

      Defendant and amici coal industry trade associations nonetheless maintain

that, as a matter of policy, Congress did not intend for reckless disregard to amount

to willfulness, as that term is used in Section 820(d), for four reasons: (1) Congress

could not have intended to hold mine operators criminally liable for making

“budgeting” and “business” decisions about how to allocate resources between

production and safety compliance; (2) “violations inexorably result from coal

production” and therefore violations should not give rise to criminal liability absent

evidence a defendant committed such violations with specific intent to violate a

particular mine safety statute or regulation; (3) defining willfully in terms of reckless

disregard would allow juries to find mine operators criminally liable even when the

operators did not want safety violations to occur; and (4) if “reckless disregard”

amounts to willfulness, then operators will be deterred from engaging “in detailed

oversight over important aspects of safety and regulatory compliance.” See

Appellant’s Br. at 53-54; Amicus Brief of Illinois Coal Ass’n, Ohio Coal Ass’n and

West Virginia Coal Ass’n (“Amicus Br.”) at 24, 26. We disagree.

      First, the legislative history of the Mine Safety Act contradicts Defendant’s

and amici’s argument that Congress did not intend to punish mine operators for the

                                           25
type of budgeting and business decisions the government challenged here. In

particular, Congress repeatedly stated that the Mine Safety Act’s enforcement

provisions were designed to deter mine operators from choosing to prioritize

production over safety compliance on grounds that it was “cheaper to pay the

penalties than to strive for a violation-free mine.” S. Rep. No. 95-181, at 9; see also

id. at 4
(expressing concern that “[m]ine operators still find it cheaper to pay minimal

civil penalties than to make the capital investments necessary to adequately abate

unsafe or unhealthy conditions”). To that end, Congress said that operators should

not balance the financial returns to increasing output against the costs of safety

compliance. See 
id. at 9
(“The Committee strongly believes that industry-wide

compliance with strong health and safety standards must be a basic ground rule for

increased production.” (emphasis added)).

      Congress imposes penalties on corporate officers—like Defendant—

alongside enterprise penalties because it is often impossible to impose monetary

penalties on corporations large enough to deter corporate misconduct. John C.

Coffee, “No Soul to Damn: No Body to Kick”: An Unscandalized Inquiry into the

Problem of Corporate Punishment, 
79 Mich. L
. Rev. 386, 390-91 (1980) (“[O]ur

ability to deter the corporation may be confounded by our inability to set an adequate

punishment cost which does not exceed the corporation’s resources.”). And when

the returns to violating a law exceed a potential corporate fine, discounted by the

                                          26
likelihood of the government imposing the fine, corporate officers who do not face

personal liability will treat “criminal penalties as a ‘license fee for the conduct of an

illegitimate business’”—as the government’s evidence showed Defendant did here.

See United States v. Park, 
421 U.S. 658
, 669 (1975) (quoting United States v.

Dotterweich, 
320 U.S. 277
, 282-83 (1943)).

      By subjecting mine operators to personal liability, including incarceration,

Congress forced mine operators to internalize the costs associated with

noncompliance with mine safety laws, even when such noncompliance would be

profit-maximizing from a business perspective. See Timothy P. Glynn, Beyond

“Unlimiting” Shareholder Liability: Vicarious Tort Liability for Corporate Officers,

57 Vand. L. Rev. 329, 430-31 (2004) (explaining that subjecting corporate officers

to personal liability forces such officers to internalize risk associated with

corporation’s non-compliance with laws).         Put differently, in subjecting mine

operators—who have “primary responsibility for providing a safe and healthful

working environment,” S. Rep. No. 95-181, at 18—to personal liability, Congress

wanted to deter operators from choosing to treat penalties for violating safety

provisions as a “license fee” to be factored into profit-maximization analyses, 
Park, 421 U.S. at 669
. Accordingly, contrary to Defendant’s and amici’s position, a mine

operator cannot immunize himself from criminal liability under Section 820(d) by

characterizing his mine’s repeated failure to comply with safety laws as a

                                           27
consequence of “tough decisions” he had to make weighing “production, safety, and

regulatory compliance.” Amicus Br. at 26.

       Second, regarding amici’s contention that the “unavoidability” and

“inexorability” of mine safety violations precludes use of such violations to establish

criminal intent, we rejected an identical argument in RSM. There, the defendant—a

firearms dealer—argued that its repeated failure to correctly fill out forms

establishing that a customer was qualified to purchase a firearm did not amount to

willfulness because, given the complexity of the regulatory regime and the number

firearms the defendant sold, “human errors were virtually 
inevitable.” 466 F.3d at 322
.    In rejecting defendant’s argument, we explained that even though

“inadvertent” violations may not amount to willfulness, continuing violations in “the

face of repeated warnings” allows a jury to infer criminal intent. 
Id. We see
no

reason to diverge from that principle here, particularly in light of the parallels

between Section 820(d) and Section 924(d)(1). 
See supra
Part IV.A.2.

       Next, Defendant argues that defining willfully in terms of reckless disregard

impermissibly allowed the jury to convict him even if it concluded that Defendant

desired “to eliminate and reduce the [safety] hazards and violations” at the Upper

Big Branch mine. Appellant’s Br. at 54. But just as the law holds criminally liable

an individual who drives a car with brakes he knows are inoperable, even if he does

not intend to harm anyone, e.g., State v. Conyers, 
506 N.W.2d 442
, 443-44 (Iowa

                                          28
1993), so too Section 820(d) holds criminally liable a mine operator who fails to take

actions necessary to remedy safety violations in the face of repeated warnings of

such violations, regardless of whether the operator subjectively wanted the

violations to continue.

      Finally, contrary to amici’s assertion, defining willfully in terms of reckless

disregard should not deter mine operators from engaging in detailed safety oversight.

The Mine Safety Act declares that “operators”—like Defendant—“have the primary

responsibility to prevent . . . unsafe and unhealthful conditions and practices” at

mines. 30 U.S.C. § 801 (emphasis added). And in Jones, we affirmed the trial court’s

instruction that “[r]eckless disregard means the closing of the eyes to or deliberate

indifference toward the requirements of a mandatory safety standard, which standard

the defendant should have known and had reason to know at the time of the

violation.” 735 F.2d at 790
. Here, the district court correctly defined “reckless

disregard” using the language we endorsed in Jones. J.A. 1556. Because mine

operators have “primary” responsibility for safety and regulatory compliance and

because an operator acts with reckless disregard if he “clos[es] [his] eyes” to safety

compliance or “should have known” that an action or omission would lead to a safety

violation, a mine operator cannot avoid liability under Section 820(d) by failing to

engage in close oversight over safety and regulatory compliance.




                                         29
      In sum, the district court properly instructed the jury that it could conclude

that Defendant “willfully” violated federal mine safety laws if it found that

Defendant acted or failed to act with reckless disregard as to whether the action or

omission would lead to a violation of mine safety laws.

                                           B.

      In addition to taking issue with the “reckless disregard” language in the fourth

instruction, Defendant also suggests that the first, second, and third instructions

improperly permitted the jury to convict Defendant even if he did not know that a

particular act or omission would lead to a violation of mine safety laws and

regulations. Again, we disagree.

      The first instruction stated that a defendant willfully “fails to perform an act

required by a mandatory safety or health standard if he knows that the act is not

being performed and knowingly, purposefully, and voluntarily allows that omission

to continue.” J.A. 1556. Defendant maintains that this instruction “permits a finding

of willfulness . . . even if a person does not know that ‘the act’ in question is required

by safety regulations.” Appellant’s Br. at 46. But by using the definite article “the”

to modify “act,” the instruction required that the jury find that Defendant knew the

act was “required by a mandatory safety or health standard.” Cf. Gale v. First

Franklin Loan Svcs., 
701 F.3d 1240
, 1246 (9th Cir. 2012) (“In construing a statute,




                                           30
the definite article ‘the’ particularizes the subject which it precedes and is a word of

limitation.” (alterations and quotations omitted)).

      The second instruction described willfully as “knowingly, purposefully, and

voluntarily tak[ing] actions that he knows will cause a standard to be violated.” J.A.

1556. The third instruction stated that an operator acts willfully if he “knowingly,

purposefully, and voluntarily fails to take actions that are necessary to comply with

the mandatory mine safety or health standard.” 
Id. Contrary to
Defendant’s

argument, the use of “that” in each of these instructions required the jury to conclude

that Defendant knew the action or omission would “cause a standard to be violated”

or was “necessary to comply with the mine safety or health standard.” See The

Chicago Manual of Style § 5.220 (16th ed. 2010) (explaining that “that” is a “relative

pronoun . . . used restrictively to narrow a category or identify a particular item being

talked about”).

      Accordingly, all three instructions reflect the “bad purpose” mens rea

discussed in Bryan because they required that the jury conclude that Defendant took

actions that he knew would lead to violations of safety laws or failed to take actions

that he knew were necessary to comply with federal mine safety laws—i.e.,

Defendant knew that his actions and omissions would lead to violations of mine

safety laws and regulations.




                                           31
                                          V.

      Finally, Defendant asserts that the district court reversibly erred in providing

the so-called “two-inference” instruction, pursuant to which it instructed the jury that

if it “view[ed] the evidence in the case as reasonably permitting either of two

conclusions—one of innocence, the other of guilt—the jury should, of course, adopt

the conclusion of innocence.” J.A. 1552. Defendant asserts that the two-inference

instruction impermissibly reduced the government’s burden of proof.

      As explained previously, we review de novo whether a jury instruction

correctly stated applicable law, assessing “whether taken as a whole and in the

context of the entire charge, the instructions accurately and fairly state the

controlling law.” 
Jefferson, 674 F.3d at 351
(quotation omitted); see also United

States v. Khan, 
821 F.2d 90
, 92 (2d Cir. 1987) (determining whether use of “two-

inference” instruction constituted reversible error by assessing whether “the court’s

charge, taken as a whole, properly instructed the jury on reasonable doubt”).

      Although this Court has not had an opportunity to pass judgment on the two-

inference instruction, our Sister Circuits disfavor it. See, e.g., United States v.

Dowlin, 
408 F.3d 647
, 666 (10th Cir. 2005); United States v. Jacobs, 
44 F.3d 1219
,

1226 (3d Cir. 1995); 
Khan, 821 F.2d at 93
. In Khan, the Second Circuit explained

that, although correct as a matter of law, the two-inference instruction “by

implication suggests that a preponderance of the evidence standard is relevant, when

                                          32
it is not. . . . It instructs the jury on how to decide when the evidence of guilt or

innocence is evenly balanced, but says nothing on how to decide when the inference

of guilt is stronger than the inference of innocence but no[t] strong enough to be

beyond a reasonable 
doubt.” 821 F.2d at 93
. We agree and therefore direct our

district courts not to use the two-inference instruction going forward.

      Although we disapprove of the two-inference instruction, the district court’s

use of that instruction here does not amount to reversible error because, when viewed

as a whole, the court’s instructions correctly stated the government’s burden. In

particular, the court instructed the jury several dozen times that it needed to find

Defendant guilty beyond a reasonable doubt, including immediately before and after

it used the two-inference instruction. Likewise, the court correctly instructed the

jury regarding the presumption of innocence and the government’s burden.

Accordingly, the district court did not reversibly err in providing the two-inference

instruction. See, e.g., United States v. Soto, 
799 F.3d 68
, 96-97 (1st Cir. 2015)

(rejecting challenge to “two-inference” instruction under “any standard of review”

because “there was no ‘reasonable likelihood’ that the jury misunderstood the

government’s burden”); 
Dowlin, 408 F.3d at 666-67
(“The instructions as a whole

told the jury not to convict [the defendant] unless the government proved his guilt

beyond a reasonable doubt.”); United States v. Creech, 
408 F.3d 264
, 268 (5th Cir.

2005) (finding no reversible error in use of two-inference instruction when district

                                         33
court repeatedly informed the jury of the presumption of innocence, the “heavy

burden borne by the government,” and that the law does not require the defendant to

prove his innocence); 
Khan, 821 F.2d at 92
(finding use of two-inference instruction

not reversible error because “[t]he judge instructed the jury several times on the

meaning of reasonable doubt and specifically told the jury to acquit unless it was

‘satisfied beyond a reasonable doubt of the defendant’s guilt’”).

                                        VI.

      For the foregoing reasons, we affirm the District Court’s judgment.

                                                                       AFFIRMED




                                         34

Source:  CourtListener

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