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United States v. Martin Johnson, 18-4459 (2019)

Court: Court of Appeals for the Fourth Circuit Number: 18-4459 Visitors: 4
Filed: Dec. 18, 2019
Latest Update: Mar. 03, 2020
Summary: PUBLISHED UNITED STATES COURT OF APPEALS FOR THE FOURTH CIRCUIT No. 18-4459 UNITED STATES OF AMERICA, Plaintiff - Appellant, v. MARTIN JOHNSON, Defendant - Appellee. No. 18-4457 UNITED STATES OF AMERICA, Plaintiff - Appellee, v. MARTIN JOHNSON, Defendant - Appellant. Appeals from the United States District Court for the District of Maryland, at Baltimore. George L. Russell, III, District Judge. (1:16-cr-00552-GLR-1) Argued: October 31, 2019 Decided: December 18, 2019 Before MOTZ, DIAZ, and THAC
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                                      PUBLISHED

                       UNITED STATES COURT OF APPEALS
                           FOR THE FOURTH CIRCUIT


                                      No. 18-4459


UNITED STATES OF AMERICA,

             Plaintiff - Appellant,

      v.

MARTIN JOHNSON,

             Defendant - Appellee.



                                      No. 18-4457


UNITED STATES OF AMERICA,

             Plaintiff - Appellee,

      v.

MARTIN JOHNSON,

             Defendant - Appellant.



Appeals from the United States District Court for the District of Maryland, at Baltimore.
George L. Russell, III, District Judge. (1:16-cr-00552-GLR-1)


Argued: October 31, 2019                                   Decided: December 18, 2019
Before MOTZ, DIAZ, and THACKER, Circuit Judges.


Affirmed in part, vacated in part, and remanded for resentencing by published opinion.
Judge Motz wrote the opinion, in which Judge Diaz and Judge Thacker joined.


ARGUED: Jason D. Medinger, OFFICE OF THE UNITED STATES ATTORNEY,
Baltimore, Maryland, for Appellant/Cross-Appellee. Joshua Morgan Wesneski, GIBSON,
DUNN & CRUTCHER LLP, Washington, D.C., for Appellee/Cross-Appellant. ON
BRIEF: Robert K. Hur, United States Attorney, Zachary B. Stendig, Assistant United
States Attorney, OFFICE OF THE UNITED STATES ATTORNEY, Baltimore, Maryland,
for Appellant/Cross-Appellee. Paresh S. Patel, OFFICE OF THE FEDERAL PUBLIC
DEFENDER, Greenbelt, Maryland; Matthew D. McGill, GIBSON, DUNN &
CRUTCHER LLP, Washington, D.C., for Appellee/Cross-Appellant.




                                          2
DIANA GRIBBON MOTZ, Circuit Judge:

       A jury found Martin Johnson, a convicted felon, guilty of unlawful possession of a

firearm. The district court, declining to apply two enhancements under the Armed Career

Criminal Act (ACCA) and United States Sentencing Guidelines, sentenced Johnson to 51

months’ imprisonment and three years’ supervised release. The Government appeals,

arguing that the district court erred in refusing to count Johnson’s prior Maryland

conviction for robbery as a “violent felony” under the ACCA and his prior Maryland

conviction for possession with intent to distribute as a “controlled substance offense” under

the Sentencing Guidelines. Johnson cross-appeals, raising two evidentiary challenges to

his conviction and contesting the district court’s two-level upward departure in calculating

his criminal history at sentencing. For the reasons that follow, we affirm the conviction

but vacate Johnson’s sentence and remand the case for resentencing.



                                             I.

       Around 5:40 AM on September 14, 2016, Baltimore police officers ran a

registration check on a car parked at a gas station. They learned that the car’s registration

was suspended. When the officers activated their lights and sirens and approached, the car

was driven away. The police pursued the vehicle and quickly stopped it.

       The officers asked the driver, Martin Johnson, to step out. When he refused, they

opened a car door and removed him from the vehicle. The officers placed Johnson under

arrest for fleeing and eluding police. The officers searched the car and found marijuana

and then searched Johnson and found more marijuana. During the latter search, a firearm

                                             3
fell out of the leg of Johnson’s pants. In total, the police recovered from Johnson’s vehicle

and person multiple bags of marijuana, the gun, five rounds of ammunition, and $1,363

cash.

        The Government charged and a jury convicted Johnson of possession of a firearm

by a convicted felon, in violation of 18 U.S.C. § 922(g). The presentence report (PSR)

asserted that Johnson qualified for a fifteen-year mandatory minimum sentence under the

ACCA based on three prior convictions, including a 1995 Maryland robbery conviction.

In calculating Johnson’s base offense level, the PSR concluded that his prior Maryland

conviction for possession with intent to distribute constituted a “controlled substance

offense” under the Sentencing Guidelines, which would enhance Johnson’s base offense

level from 14 to 20.

        At Johnson’s sentencing hearing, the district court rejected both recommendations.

The court held that Maryland robbery did not qualify as an ACCA predicate violent felony

because it requires no or de minimis force, and consequently that Johnson was not subject

to the ACCA’s fifteen-year mandatory minimum. The court determined that Maryland

possession with intent to distribute did not constitute a controlled substance offense under

the Guidelines because its distribution element may be satisfied with a mere “offer of

distribution.” The district court thus set Johnson’s base offense level at 14. After

enhancing Johnson’s offense level for his obstructing or impeding the administration of

justice and the gun at issue being stolen, the court reached a final offense level of 18. In

determining Johnson’s criminal history category, the court departed upward by two levels,

from category III to V, based on an underrepresentation of Johnson’s criminal history. The

                                             4
offense level of 18 and criminal history category of V resulted in an advisory Guidelines

range of 51–63 months. The district court sentenced Johnson to 51 months’ incarceration

and three years’ supervised release.

       The Government timely appealed and Johnson timely cross-appealed. We first

address the trial challenges and then consider the sentencing challenges.



                                             II.

       Johnson contends that the district court made two evidentiary errors that, taken

together, require vacatur. Because Johnson did not object to these evidentiary rulings at

trial, we review for plain error. See United States v. Olano, 
507 U.S. 725
, 731 (1993). To

prevail under this standard, a defendant must show that (1) there was “error” (2) that was

“plain” and (3) “affect[ed] substantial rights,” and that (4) “the error seriously affect[ed]

the fairness, integrity or public reputation of judicial proceedings.” 
Id. at 732
(internal

quotation marks omitted).

                                             A.

       Johnson first argues that the many references made by the prosecutor and

prosecution witnesses to the marijuana found in his car and on his person could have been

understood by the jury to be prejudicial character evidence. Federal Rule of Evidence

404(b) provides that “[e]vidence of a crime, wrong, or other act is not admissible to prove

a person’s character in order to show that on a particular occasion the person acted in

accordance with the character.” Fed. R. Evid. 404(b)(1). Although Johnson does not allege



                                             5
that the marijuana evidence was improperly admitted, he contends that the district court

plainly erred in failing to issue, sua sponte, a limiting instruction to the jury.

       Johnson argues that because the marijuana evidence constituted 404(b) evidence,

the district court was required to issue a limiting instruction, even though none was

requested. He notes that in United States v. Echeverri-Jaramillo, 
777 F.2d 933
, 937 (4th

Cir. 1985), we recognized that “[i]n the normal instance, a limiting instruction for other

acts or crimes evidence must be given to help guard against undue prejudice in admitting

evidence under Rule 404(b).” Johnson, however, ignores the next sentence in that case,

which explains that a defendant’s failure to request a limiting instruction is relevant in

determining whether the lack of an instruction renders a conviction infirm. See 
id. (stating that
“given the lack of such a request by [the defendant], the district court’s failure to give

such an instruction [did] not amount to reversible error”).

       The district court here, as in Echeverri-Jaramillo, “clearly charged the jury that

evidence concerning the defendant’s guilt or innocence was to be considered only in

relation to crimes outlined in the indictment,” mitigating the risk that the jury would

consider the evidence improperly. 
Id. Moreover, Johnson
, unlike the defendant in

Echeverri-Jaramillo, did not and does not challenge the admissibility of the evidence under

Rule 404(b), and so gave the district court no notice at all of the potential need for a limiting

instruction.

       We recognize that “[w]hile our cases suggest that a limited purpose instruction need

be given only upon request, they leave open the possibility that the district court must

provide one sua sponte in some circumstances.” United States v. Brewer, 
1 F.3d 1430
,

                                               6
1435 (4th Cir. 1993) (citations omitted). We do not foreclose that possibility today, but we

cannot say, given the record in this case, that the district court’s failure to give a limiting

instruction sua sponte constituted plain error. See 
id. B. Johnson
next contends that the district court erred in permitting the Government to

cross-examine him about certain prior convictions. On direct examination, defense counsel

asked Johnson about his criminal history, and Johnson recounted several prior convictions:

a 1995 conviction for an unspecified offense, a 1998 conviction for drug possession, an

unspecified assault conviction, a 2000 conviction for marijuana possession, and an

unspecified conviction for possession with intent to distribute.

       Before cross-examination, Government counsel argued that defense counsel’s

questioning opened the door to all of Johnson’s prior convictions. Defense counsel

responded, “I don’t disagree,” and the district court permitted the questioning. After

prompting Johnson to clarify that his 1995 conviction was for robbery, the Government

then cross-examined him about several other convictions, including a 1996 conviction for

battery, a 1999 conviction for unlawful manufacturing of controlled substances, a 2011

conviction for possession with intent to distribute, and a 2007 conviction for driving on a

suspended license.

       Johnson contends that in permitting the Government to elicit information about his

prior convictions, the district court erred. He points out that the Government can cite no

authority holding “that a criminal defendant’s testimony about some prior convictions

entitles the prosecution to cross-examine the defendant about all prior convictions.”

                                              7
Johnson Reply Br. at 14. The problem for Johnson is that the Government does not bear

the burden of showing that the district court ruled correctly. Rather, Johnson bears the

burden of showing that the court plainly erred. See United States v. Rodriguez, 
433 F.3d 411
, 415 (4th Cir. 2006).

          An error is plain if it is “clear or obvious, rather than subject to reasonable dispute.”

Puckett v. United States, 
556 U.S. 129
, 135 (2009). In an attempt to meet this standard,

Johnson relies on a handful of out-of-circuit cases. These cases speak to the limits of

“opening the door” in evidentiary matters. See, e.g., United States v. Schmitt, 
770 F.3d 524
, 537–38 (7th Cir. 2014); United States v. Osazuwa, 
564 F.3d 1169
, 1175–76 (9th Cir.

2009).      None holds that when a defendant freely testifies about an array of prior

convictions, the prosecution, with defense counsel’s concurrence, may not ask him about

others.     We cannot conclude that the district court plainly erred in permitting this

questioning.



                                                 III.

          Having rejected Johnson’s evidentiary challenges, we turn to the sentencing issues.

                                                 A.

          First, the Government argues that the district court erred in concluding that

Johnson’s prior conviction for robbery under Maryland law does not constitute an ACCA

“violent felony.” The ACCA imposes a fifteen-year mandatory minimum sentence on a

defendant, like Johnson, convicted of violating 18 U.S.C. § 922(g) who also has “three

previous convictions . . . for a violent felony or a serious drug offense.” 18 U.S.C.

                                                  8
§ 924(e)(1). Johnson concededly has two qualifying ACCA predicate convictions for drug

offenses. If Johnson’s 1995 Maryland conviction for robbery qualifies as a predicate

violent felony, the ACCA’s mandatory minimum applies; if the conviction does not

qualify, the mandatory minimum does not apply. Our review is de novo. United States v.

Winston, 
850 F.3d 677
, 683 (4th Cir. 2017).

       As relevant here, an offense qualifies as a violent felony under the ACCA if it is

“punishable by imprisonment for a term exceeding one year,” 18 U.S.C. § 924(e)(2)(B),

and “has as an element the use, attempted use, or threatened use of physical force against

the person of another,” 
id. § 924(e)(2)(B)(i)
(the “force clause”). In deciding whether an

offense satisfies the force clause, we employ the categorical approach. 
Winston, 850 F.3d at 683
. We look to the elements of the offense to resolve “whether the conduct criminalized

by the statute, including the most innocent conduct, qualifies” as a predicate. United States

v. Diaz-Ibarra, 
522 F.3d 343
, 348 (4th Cir. 2008).

       The Supreme Court has held that “physical force,” as used in the ACCA, “means

violent force — that is, force capable of causing physical pain or injury to another person.”

Johnson v. United States, 
559 U.S. 133
, 140 (2010). The Johnson Court considered

whether battery under Florida law satisfied the force clause. Florida’s highest court had

held that “any intentional physical contact, ‘no matter how slight,’” satisfied the element

of “touching.” 
Id. at 138
(quoting State v. Hearns, 
961 So. 2d 211
, 218 (Fla. 2007)).

Concluding that de minimis force did not amount to violent force, the Supreme Court held

that Florida battery did not constitute an ACCA predicate violent felony. See 
id. at 138,
140, 145.

                                              9
       Here, we ask what force Maryland robbery requires. We look to the elements of the

offense and their interpretation by Maryland courts. See 
id. at 138.
Maryland’s robbery

statute simply provides that “[a] person may not commit or attempt to commit robbery.”

Md. Code, Crim. Law § 3-402. Case law reveals two ways to commit Maryland robbery:

(1) taking by threat of force and (2) taking by force. See Coles v. State, 
821 A.2d 389
, 395

(Md. 2003).

                                              1.

       An analysis of the former is straightforward. Johnson teaches that “physical force”

as used in the ACCA means “force capable of causing physical pain or injury to another

person.” 599 U.S. at 140
. The ACCA’s force clause provides that an offense that “has as

an element . . . the threatened use of physical force against the person of another” qualifies

as a violent felony. 18 U.S.C. § 924(e)(2)(B)(i). Accordingly, an offense involving a threat

to use force capable of causing physical pain or injury amounts to a violent felony.

       To determine whether a defendant may be convicted of robbery based on a threat of

force, Maryland courts ask “whether an ordinary, reasonable person under the

circumstances would have been in fear of bodily harm.” Spencer v. State, 
30 A.3d 891
,

898 (Md. 2011). In other words, a Maryland conviction for robbery based on a threat of

force requires that the defendant spoke and acted in a way that a reasonable person would

have understood “as a threat of harm.” 
Id. at 899.
A Maryland conviction for robbery

based on a threat of force thus satisfies the ACCA’s force clause.




                                             10
                                               2.

          Due to the Johnson Court’s focus on the quantum of force necessary to satisfy the

ACCA, whether Maryland robbery committed by force constitutes a proper predicate

involves a more complicated analysis. A conviction for robbery by force in Maryland

requires proof that the defendant used either force that overcame the victim’s resistance or

force capable of causing personal injury. See West v. State, 
539 A.2d 231
, 234 (Md. 1988)

(“[I]f there is any injury to the person of the owner in the taking of the property, or if he

resists the attempt to rob him, and his resistance is overcome, there is sufficient violence

to make the taking robbery, however slight the resistance.” (quoting Cooper v. State, 
265 A.2d 569
, 571 (Md. Ct. Spec. App. 1970))). Both kinds of force satisfy the ACCA’s force

clause.

          Force that overcomes a victim’s resistance unambiguously satisfies the force clause.

Stokeling v. United States, 
139 S. Ct. 544
(2019), reaffirmed Johnson’s premise that

nominal contact cannot satisfy the ACCA’s force clause. See 
id. at 552–53.
Stokeling

held, however, that “the force necessary to overcome a victim’s physical resistance is

inherently ‘violent’ in the sense contemplated by Johnson” and so satisfies the force clause.

Id. at 553.
Consequently, after Stokeling, Maryland robbery committed by force that

overcomes a victim’s resistance constitutes a violent felony.

          “[W]hen there is no resistance” by the victim, “the mere force that is required to

take possession . . . is not enough” to prove robbery under Maryland law. 
West, 539 A.2d at 234
(quoting 
Cooper, 265 A.2d at 571
). The offense requires more than nominal contact.

See 
id. at 235
(overturning robbery conviction where the “only force applied was that

                                               11
necessary to take the pocketbook from [the victim’s] hand”); 
Cooper, 265 A.2d at 572
(overturning robbery conviction where the “force used was that, and only that, necessary

to remove the money from the victim’s pocket”). Rather, under Maryland law, the force

necessary to prove robbery must be sufficient not only to take the property but also to cause

“injury to the person of the owner.” 
West, 539 A.2d at 234
(quoting 
Cooper, 265 A.2d at 571
). Such force is “capable of causing physical pain or injury” and so satisfies the

ACCA’s force clause. 
Johnson, 559 U.S. at 140
. 1

       Unsatisfied, Johnson makes one last attempt to persuade us that Maryland robbery

does not require violent force. He hangs his hat on a snippet from Snowden v. State, 
583 A.2d 1056
(Md. 1991). He directs us to the following: “Robbery is a compound larceny.

It is a larceny from the person accomplished by either an assault (putting in fear) or a

battery (violence).” 
Id. at 1059.
Johnson argues that because battery requires only an

offensive touching, so too does Maryland robbery. But that argument overlooks the

parenthetical “(violence)” in Snowden, which confirms that Maryland would punish

larceny accomplished by violent physical contact as robbery, but not necessarily larceny


       1
         Johnson unpersuasively argues that when the victim does not resist, Maryland
robbery requires only an offensive touching. He maintains that West and Cooper both
reversed robbery convictions because of a lack of an offensive touching. But in fact both
cases reversed because the defendant neither overcame the victim’s resistance nor used
force capable of causing her injury, not because any touching was inoffensive. See 
West, 539 A.2d at 235
(holding that where the victim “was never placed in fear; she did not resist;
she was not injured,” “the evidence was not sufficient to establish all elements of the crime
of robbery”); 
Cooper, 265 A.2d at 573
(holding that where “the money was suddenly
snatched from the victim’s pocket — no more force being used than that merely necessary
to take possession, and there was no actual resistance to the taking,” the record “show[ed]
a case of larceny, but not robbery”).

                                             12
accomplished by offensive, less than violent, physical contact. 2 Moreover, the immediately

preceding sentence in Snowden fatally undermines Johnson’s argument, for there the

Snowden court explained: “‘Robbery’ is also a common law crime and refers to the

felonious taking and carrying away of the personal property of another, from his person or

in his presence, by violence or putting in fear.” 
Id. (emphasis added).
       In sum, Maryland robbery may be committed by force or threat of force, and each

way satisfies the ACCA’s force clause. Thus, Maryland robbery constitutes a violent

felony under the ACCA.

                                            B.

       The Government next contends that the district court erred in holding that Johnson’s

prior Maryland conviction for possession of a controlled substance with intent to distribute

is not a “controlled substance offense” under the Sentencing Guidelines.

       The Sentencing Guidelines set a base offense level of 20 for possession of a firearm

by a felon if the defendant has a prior felony conviction for a “controlled substance

offense.” U.S.S.G. § 2K2.1(a)(4). The Guidelines define a “controlled substance offense”

in pertinent part as “an offense under federal or state law . . . that prohibits . . . the

possession of a controlled substance . . . with intent to manufacture, import, export,

distribute, or dispense.” 
Id. § 4B1.2(b).
Johnson has a 2012 Maryland conviction for

possession (of marijuana) with intent to distribute.     The district court held that the


       2
          For that matter, none of the Maryland robbery cases the parties have cited even
hint at the possibility of a robbery conviction based on a taking accompanied only by an
offensive touching. See, e.g., Spencer, 
30 A.3d 891
(no mention of “offensive”); Coles,
821 A.2d 389
(same); West, 
539 A.2d 231
(same); Cooper, 
265 A.2d 569
(same).
                                            13
conviction did not qualify as a controlled substance offense because it requires only an

“offer of distribution” and so set Johnson’s base offense level at 14. As with the ACCA,

we review de novo and apply the categorical approach. United States v. Dozier, 
848 F.3d 180
, 182–83 (4th Cir. 2017).

       Johnson claims that under Maryland law, a defendant may be convicted of

possession with intent to distribute merely for offering drugs, even if he does not actually

intend to complete the sale. He argues that such a bare “offer” to sell drugs does not

constitute a controlled substance offense without proof of intent to distribute. The three

federal courts of appeals to confront this question have agreed. See United States v.

Madkins, 
866 F.3d 1136
, 1145 (10th Cir. 2017); United States v. Hinkle, 
832 F.3d 569
, 572

(5th Cir. 2016); United States v. Savage, 
542 F.3d 959
, 965 (2d Cir. 2008).

       These cases, in which our sister circuits found that state offenses did not amount to

controlled substance offenses under the Guidelines, are instructive. In each, the state

statute at issue expressly criminalized an offer to sell drugs. See 
Madkins, 866 F.3d at 1145
(Kansas statute criminalizing “offer for sale”); 
Hinkle, 832 F.3d at 572
(Texas statute

defining “deliver” to include “offering to sell”); 
Savage, 542 F.3d at 961
(Connecticut

statute defining “[s]ale” as “any form of delivery,” including an “offer”).

       By contrast, such “offer to sell” language is nowhere to be found in Maryland law.

The “offer to sell” language is also absent from the criminal code’s definitional section.

Md. Code, Crim. Law § 5-101. The statute at issue here not only makes no mention of an

“offer”; it requires proof that a person “possess[ed] a controlled dangerous substance in



                                             14
sufficient quantity reasonably to indicate under all circumstances an intent to distribute or

dispense a controlled dangerous substance.” 
Id. § 5-602(2).
       Moreover, Maryland cases interpreting current law never discuss an “offer.”

Rather, they unambiguously demand proof of intent to distribute. See, e.g., Holloway v.

State, 
157 A.3d 356
, 359 (Md. Ct. Spec. App. 2017) (identifying “intent to distribute” as

element of the offense); Rich v. State, 
44 A.3d 1063
, 1069 (Md. Ct. Spec. App. 2012)

(requiring proof that “the defendant intended to distribute some or all of the cocaine”);

Johnson v. State, 
788 A.2d 678
, 696 (Md. Ct. Spec. App. 2002) (explaining that “the

element of intent is generally proved by circumstantial evidence”).

       Johnson asks us to ignore the language of the Maryland statute and its construction

by Maryland courts and instead rely on the following Maryland jury instruction: “The

defendant distributed a controlled dangerous substance if [he] sold the substance, which

includes exchanging, bartering, or offering it for money.” 2 David E. Aaronson, Maryland

Criminal Jury Instructions and Commentary § 7.46 (3d ed. 2011). We are not persuaded

that this instruction demonstrates that a defendant may be convicted solely for offering

drugs for money, absent intent to complete the sale. The instruction expressly states that

it is derived from Rosenberg v. State, 
276 A.2d 708
(Md. Ct. Spec. App. 1971). The

instruction notes that Rosenberg rested on “the language of a previous statute,” and “since

then, many of the definitions have been rewritten and supplemented.” 2 Aaronson § 7.46




                                             15
cmt. B.    Johnson himself concedes that Rosenberg, decided nearly fifty years ago,

interpreted “a now-superseded statute.” Johnson Principal & Response Br. at 45. 3

       Johnson’s myopic focus on the word “offer” misses the point of the inquiry:

whether Maryland possession with intent to distribute requires the intent necessary to

qualify as a controlled substance offense. Because the state offense unmistakably “requires

proof of actual or constructive possession of a controlled substance and the intent to sell”

or distribute it, Johnson’s “offer to sell” theory comes up short. United States v. Olson,

849 F.3d 230
, 232 (5th Cir. 2017). Accordingly, Maryland possession with intent to

distribute constitutes a controlled substance offense under the Guidelines.



                                             IV.

       For the foregoing reasons, we affirm Johnson’s conviction but vacate his sentence

and remand for resentencing consistent with this opinion. Because Johnson will be

resentenced on remand, we need not and do not decide whether the district court erred in

departing upward by two levels in assigning his criminal history category.

                                              AFFIRMED IN PART, VACATED IN PART,
                                               AND REMANDED FOR RESENTENCING




       3
         Johnson also relies on Maryland’s drug forfeiture statute, which provides for the
seizure of a controlled substance that is unlawfully “possessed, transferred, sold, or offered
for sale.” Md. Code, Crim. Proc. § 12-201(a)(1). Although that statute uses the word
“offered,” it does not purport to define “distribute” and does not reference the statutory
offense at issue here. See 
id. 16

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