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IN THE UNITED STATES COURT OF APPEALS
FOR THE FIFTH CIRCUIT
_______________
No. 91-3778
_______________
UNITED STATES OF AMERICA,
Plaintiff-Appellee,
VERSUS
ROBERT F. COLLINS
and
JOHN H. ROSS,
Defendants-Appellants.
_________________________
Appeal from the United States District Court
for the Eastern District of Louisiana
_________________________
(September 10, 1992)
Before KING, JOLLY, and SMITH, Circuit Judges.
JERRY E. SMITH, Circuit Judge:
Defendants Robert F. Collins, a United States District Judge
of the Eastern District of Louisiana, and John H. Ross, Collins's
longtime friend, challenge their convictions for bribery, con-
spiracy, and obstruction of justice. They also challenge the
district court's calculation of their sentences. Finding no er-
ror, we affirm.
I.
In the summer of 1989, Gary Young was about to be indicted
in the Eastern District of Louisiana for his role in a 1985 mari-
huana importation operation. Two of Young's coconspirators had

been indicted, and Young feared that they would implicate him in
the operation.
Young's attorney, Frank DeSalvo, informed him that his case
would probably be assigned to Collins, as Collins had handled the
cases of Young's coconspirators. At this time, Young asked
DeSalvo to initiate plea negotiations with the government. He
also considered using bribery as a means of solving his problems
with the law.
In late August or early September of 1989, a business
associate of Young's, John Yemelos, suggested that he contact
Ross. Yemelos told Young that Ross might be able to help him
bribe Collins. Young was already familiar with Ross, as he had
had corrupt dealings with him in the past. On Yemelos's
suggestion, Young called Ross in early September to arrange a
meeting.
That meeting took place on September 14. Ross told Young
that he was very close to Collins and could take care of the
matter. Ross was concerned, however, that he had not received
the money Young owed him from their last payoff deal )) a scheme
that involved Yemelos as well. In addition, Ross told Young that
he would have to go through Yemelos if he wanted his help.
Young called Yemelos the next day and told him of his
conversation with Ross. Young did not hear from Ross again for
about two weeks. During this time, Young made up his mind to
cooperate with the government and to sign a plea agreement.
DeSalvo already had met with federal authorities to discuss the
2

possibility.
Young signed a plea agreement on September 27. At this
point, the authorities expected Young to cooperate with regard to
drug traffickers.
On September 28, Yemelos contacted Young to set up a meeting
for later that day to discuss Ross. Young told DeSalvo that he
had been contacted, and DeSalvo contacted the federal
authorities. Special Agent Freddy Cleveland of the Federal
Bureau of Investigation ("FBI") then contacted Young.
Young told Cleveland that he had been contacted by Yemelos
about Ross. He also told him about his prior corrupt dealings
with Ross and about Ross's suggestion that he could help him with
Collins. Young offered to tape his upcoming meeting with
Yemelos, but Cleveland told him that he could not obtain
permission to do so on such short notice. Young taped the
meeting anyway, without Cleveland's knowledge.
At the meeting, Young asked Yemelos to arrange a meeting
with Ross; Yemelos set up a meeting for the next day,
September 29. For this meeting, the FBI fitted Young with a
hidden recording device.
Young, Yemelos, and Ross met on September 29 in Yemelos's
office. In a conversation out of the presence of Yemelos, Young
and Ross struck a deal to bribe Collins. Ross confirmed that he
could help Young if his case were assigned to Collins, stating
that "I want to make sure that he's gonna have the case." Ross
promised to "try not to get you any jail time." In exchange,
3

Young agreed to pay Ross $100,000. Ross asked for $5,000 right
away and stated that Young could pay in installments, saying "we
can start off with 2500." Young promised to get Ross $2,500 in
the next week or so. He then paid Ross the $1,400 he owed from
their last payoff deal and gave him $100 that was "extra."
Young paid Ross the initial $5,000 in three installments:
$2,500 on October 11, $1,500 on October 19, and $1,000 on
October 25.1 Young and Ross also met on October 12, at which time
Ross reminded Young that he could help him only if his case were
assigned to Collins. Ross stated that "our arrangement is based
upon getting it into his court" and that "I'm only committed to
Collins."
After the October 12 meeting, the FBI referred the
investigation to the Public Integrity Section of the Justice
Department, as it involved potential wrongdoing by a federal
judge. On November 30, the Public Integrity Section notified
Fifth Circuit Chief Judge Charles Clark of the allegations
against Collins. Chief Judge Clark then assigned Fifth Circuit
Judge John M. Duhé to oversee the investigation.
Ross and Young met on January 22, 1990, to discuss the
prospect of obtaining help from Collins. In a telephone
conversation of February 1, Ross told Young that he had met with
Collins on January 29 and that they had had "a nice chat." Ross
stated that "I didn't, didn't discuss anything by name or
anything like that, I just told him that, ah . . . you know,
1 The money was provided by the FBI.
4

there's a situation. And before it comes up we'll have lunch and
all that business."
On March 16, the government activated pen registers and
trap-and-trace devices on telephones located in Ross's office at
the Regional Planning Commission ("RPC"), his private real estate
office, and his home. These actions were authorized by Judge
Duhé. On April 5, Young was indicted on three drug-related
counts in the Eastern District of Louisiana pursuant to the
September 27 plea agreement. The case was randomly assigned to
Judge Patrick Carr. On April 25, Young met with Ross and showed
him the indictment. Young told Ross that DeSalvo was preparing a
motion to transfer the case to Collins. Ross again confirmed
that getting the case to Collins was the critical part of the
bargain, stating, "That's all I want to happen. That's all I
want to know. That's all I want."
Ross also confirmed that he had mentioned the "situation" to
Collins, who had told Ross to let him know when the matter would
come up. Ross stated that once the transfer motion was filed,
"I'm going to see Collins and tell him . . . to ask for the
case . . . well what I mean by ask was, not to refuse to accept
the case." Ross told Young that "as soon as you hear that
Collins got the case you get on your knees and thank God."

On May 16, Young met with Ross and told him that DeSalvo and
Assistant United States Attorney Albert Winters had scheduled a
telephone conference call with Collins for the next day, May 17,
to discuss whether Collins would accept Young's case. In Young's
5

presence, Ross placed a call to Collins's chambers in New Orleans
and talked with his secretary. He asked her to let "Bob" know
that he needed to see him the following day.
Later that day, Young again met with Ross and gave him
$2,500.2 Ross told Young, "I'm gonna take him to lunch, and I'm
gonna work out some arrangements." Young told Ross that he would
get Ross whatever he needed, and Ross responded that "you know
what you had agreed to, so I'm working out of that."
The next day, May 17, Ross had lunch with Collins at Pete's
Pub at the Hotel Intercontinental in New Orleans. After lunch,
Ross called Young and told him that he had had a two-hour lunch
with their "friend" who "gave me his direct number so I can call
him . . . later on this afternoon . . . after he's had a
discussion with a few people on the telephone."
At 5:36 p.m. later that same day, Collins, DeSalvo, and
Winters conducted the scheduled conference call, during which
Collins agreed to take Young's case. At 5:47 p.m., Ross placed a
call to Collins, using Collins's private chambers line for the
first time. Immediately thereafter, Ross called Young to tell
him that Collins had accepted his case.
On May 18, Ross told Young that he had made some commitments
based upon what Young had told him previously. Referring to
Collins, Ross said, "He wants at least 50 percent before . . .
you know, 50 now and 50 after he does what he's going to do."
Ross added, "Let me tell you what I'm doing with him. I'm
2 This money also was provided by the FBI.
6

working on a 50-50, see. So that every time you give me, if you
give me this, I'm giving him half." Young stated that he could
have $20,000 by the following Wednesday, May 23. Ross replied,
"Okay. Cause I'm gonna call him and tell him what he can
expect." Immediately thereafter, Ross placed a call to Collins's
chambers.
At this point, Judge Duhé granted the government's
application to place a wiretap on Ross's private office and home
telephone lines. The wiretaps became operational on those lines
on May 21 and May 22, respectively.
On May 23, Young met Ross in his RPC office and gave him
$20,000 in prerecorded bills; they agreed that Young would pay
another $30,000 the following Wednesday, May 30. Soon after
Young left Ross's office, Ross dialed Collins's private chambers
number six times in two hours. When he finally reached Collins,
he said he needed to see him to "talk about the property,"
adding, "I have an estimate for you." Collins replied, "Oh yeah.
Okay, when?" They agreed they would talk again later in order to
arrange a meeting.
A couple of hours later, Ross called Collins again. Collins
suggested that they meet at Pete's Pub to have a drink. Ross
replied, "Uh, I don't have no problem with that, uh, I need, I
uh, would I be able, to de-, deliver those estimates to you?"
Collins replied, "Yeah . . . Yeah, I'm sure."
About ten minutes later, the two met at Pete's Pub. Ross
was carrying a brown folder, which Ross placed between them on
7

the table. They talked for about one-half hour; neither touched
the folder. When they got up to leave, Collins took the folder
with him.
Ross and Young met the next day, May 24, at which time Ross
described his meeting with Collins "over in Pete's Pub last
night." Ross said that Collins wanted Young to get letters from
people who would say favorable things about Young; these would
"justif[y] his action" in sentencing Young. Ross also told Young
that Collins wanted him to act "scared to death" at his plea
hearing. He added that Collins warned Young to "keep his mouth
closed," as a light sentence could look suspicious. He stated
that Collins "might even be scrutinized about it." Finally, Ross
added that Collins did not want anyone to know that "there was
any cash involved."
On that same day, Ross leased an anonymous safe deposit box
at the Security Center, a private commercial storage facility
that rents both anonymous and named boxes. On May 30, Young gave
Ross $30,000 in prerecorded bills; soon thereafter, Ross went to
the Security Center. That same day, Young appeared in court
before Collins and pleaded guilty to two counts of the
indictment. Collins set Young's sentencing for August 8.
That afternoon, Young told Ross that he had thought he was
to be sentenced before Collins went on vacation in July and asked
Ross to find out why that had not occurred. Later that day, Ross
called Collins on his private line and told him that he had
thought he was going "to try to dispose of that property before
8

going on [his] vacation." Collins stated, "No, I don't think I
could . . . work it out," adding that he needed to talk to Ross.
Ross told Collins, "I hope there's no problems with the
property." Collins responded, "No, I don't think so," but added,
"I don't know."
The next day, May 31, the New Orleans Times-Picayune ran an
article that described Young's plea. Also on that day, the
government received authorization to install a pen register and
trap-and-trace device on Collins's private chambers line; on
June 1, the government received permission to place a wiretap on
that line.
On May 31, Ross and Collins met in the lobby of the Hotel
Intercontinental, where they talked for about an hour. On
June 4, Ross told Young that Collins did not like the article
because it mentioned how much time Young had served for a
previous offense, and Collins thought this would make it more
difficult to be lenient. Ross assured Young that Collins was
"just expressing a few concerns." On June 8, Ross again brought
up Collins's reservations about the article. Ross stated that
the article meant that Collins "has to look at his tactics and,
and strategies a lot differently." In this context, Ross told
Young that Collins wanted to see a letter from the United States
Attorney's office recommending leniency for Young. There was no
known contact between Ross and Collins from May 31 to August 6.
The United States Probation Office prepared Young's
presentence
investigation
report
("PSI"),
a
confidential
9

document, the first week of August. The PSI recommended eight
years' imprisonment, noting Young's prior conviction and forty-
month sentence. This "recommendation" section is intended to be
seen only by the sentencing judge. The PSI also contained
details of Young's personal and financial affairs.
On August 6, Ross called Collins on the private line, saying
he had an "upper estimate on the balance" in connection with the
"act of sale" he had been "trying to get passed" for Collins.
Ross told Collins that "if my figures are right," the balance was
"around ten." Collins responded, "Yeah." The two agreed to meet
for lunch the next day to "go over the figures again." Ross told
Collins that he would bring "that information" with him so
Collins could look at it.
A few minutes later, Ross called Young and said he was going
to "meet my friend for lunch tomorrow . . . . So I need to see
you before then." Ross also stated that "I'm supposed to take
certain information to him tomorrow . . . . So he can review
it."
The next day, Young met Ross at about 11:30 a.m. Ross asked
whether he had brought the money; Young said that he had not.
Ross said, "I was trying to tell you yesterday evening that's
what to do. That's why I go a meeting with him today )) to take
him the money." Young told Ross that he had agreed to make the
final payment after sentencing and asked why the plan had
changed. Ross said, "I guess he wanted to make sure that he got
his money." Ross asked Young whether he could get "at least 10"
10

immediately; Young said he could, and left.
Young returned at about 12:30 p.m. with $11,000 in
prerecorded bills in a brown folder. After Young left, Ross
called Collins and told him, "I just had to wait to get
something." The two met shortly thereafter at the St. Charles
Restaurant. Ross arrived carrying the brown folder; Collins left
with it.
Ross and Young spoke on the phone later that evening and
discussed Ross's meeting with Collins. Ross revealed to Young
several details from Young's PSI that Collins had revealed to
Ross. Ross referred to "a certain part of the report that you
don't get . . . that's confidential" and told Young that the
report recommended an eight-year sentence. Ross told Young that
this recommendation was "cramping [Collins's] style" and that
"he's got to be able to do something to justify this." Ross
stated that Collins could not go below his forty-month previous
sentence without a letter from the United States Attorney's
office.
At around 5:00 p.m. that day, Collins called Winters, asking
where Young's "letter of cooperation" was; Winters told him there
would be no letter because Young had not cooperated.3 Collins
pressed Winters on the matter; Winters repeated that no letter
was forthcoming. Winters testified that it was highly unusual
3 Specifically, Winters told Collins that Young was not able to
"cooperate" with law enforcement officials because all of the "subjects" of
his cooperation had already been convicted; thus, any "cooperation" he could
offer would be of no value.
11

for the sentencing judge to contact him in this manner prior to
sentencing, stating that it had never happened to him during
eighteen years as a prosecutor.
On August 8, Collins sentenced Young to forty-two months'
imprisonment, less than half the PSI-recommended sentence. Ross
called Young later that day and told him that Collins had said,
"If I had done anything else . . . I would've been investigated
because I, I can't justify giving you less time than you had the
last, the first time . . . unless the U.S. Attorney's office
ask[s] for lenience." Ross then added that Collins had said that
without the letter of cooperation, "all I could do right then
was . . . add two months . . . to the first sentence, 'cause no
way in hell I could justify . . . giving you less time your
second time than the first time." Ross told Young that they had
"saved" him five years already and that he would "start tomorrow
trying to see what else we can do" to get the sentence reduced.
The following day, Young and Ross met and discussed the
contents of the PSI. Ross said, "He was supposed to give you
eight years man," and "he deviated from the recommendation
substantially." Ross then said, "The Judge then told me, John, I
did the very best I could without getting myself and you and
everybody else in trouble." According to Ross, Collins had
stated that he added two months to Young's previous sentence "to
make it seem like I'm doing a legitimate thing." Ross then
stated that Collins had "earned his money . . . . You got a good
deal."
12

Young told Ross that DeSalvo had mentioned filing a motion
to reduce his sentence. Ross said that he would check with
Collins about it and added, "I believe I can get him to say yeah,
I'll do a [Fed. R. Crim. P. 35], just give me the justification."4
Ross then stated, "I wanna keep this Judge happy" and reminded
Young that he still had to come up with the balance remaining on
their $100,000 agreement. He said, "if [Collins] can make it
easier for you there, he can also do something to probably make
it harder on you." Ross stated that "the money part is thirty-
one five" and told Young, "Try to have it tomorrow. Let's keep
him happy," so that "when I go talk to him, I can have it."
The following day, August 10, Young met with Ross briefly in
his RPC office and gave him $31,500 in prerecorded bills. Ross
then called Collins's private chambers line and asked whether he
could come over and "rap . . . a little bit." Collins agreed.
Ross met with Collins that day at about 11:00 a.m. After the
meeting, Ross gave Young specific instructions from Collins as to
how to proceed with regard to reducing his sentence.
That afternoon, the FBI executed search warrants of Ross's
person and his RPC office, real estate office, and box at the
Security Center and search warrants of Collins's person, his car,
and his private office in his chambers. These search warrants
had been issued by Judge Duhé and Chief Judge Clark.
4 For offenses committed prior to November 1, 1987, Fed. R. Crim.
P. 35(b) provided that "[a] motion to reduce a sentence may be made, or the
court may reduce a sentence without motion, within 120 days after the sentence
is imposed or probation is revoked . . . ."
13

The sequence of events was as follows:5 The FBI had hoped to
serve the warrants on Collins in his chambers. When he left
unexpectedly, the agents followed his car and stopped him at the
first red light about two blocks from the courthouse. One of the
agents approached the driver's side, identified himself as an FBI
agent, and instructed Collins to exit the vehicle. Another
agent told Collins that they had search warrants for his person
and his car. Collins asked the agents "[w]hat was this about,"
and they responded that he would find out in a few moments. The
agents then moved the car to the curb.
Cleveland arrived shortly thereafter and identified himself
as an FBI agent, telling Collins that he was not under arrest and
that the agents could execute the warrants on the street or could
move to a more private location. Collins said he would prefer to
return to his chambers for the search of his person.
Cleveland stated that the search of the car could be
conducted on the street or at the courthouse; Collins responded
that neither place would be appropriate. Cleveland then
suggested that the car could be taken to the FBI garage and
searched; Collins agreed to this arrangement. Cleveland told
Collins that the FBI agents would transport him back to the
courthouse. Collins collected his coat from his car and got into
5 Collins complains that the facts surrounding the execution of the
search warrants were "sanitized" in the FBI reports; he also complains that
the district court's hearing on the suppression motion somehow was inadequate.
Collins makes no legal arguments addressing these matters; thus, we find that
he does not raise them as issues on appeal.
14

the back seat of the FBI vehicle.
On the way to the courthouse, Cleveland identified himself
by name. Collins asked what the search was about. Cleveland
informed him that there were allegations that he had taken monies
in relation to Young's sentencing. When Cleveland mentioned
Ross, Collins said that Ross was an old friend who had called him
with regard to Young in order to let Collins know that Young was
a good person. Collins stated that this sort of a call to a
sentencing judge was not unusual. Collins also claimed he had
accepted no money from Ross with regard to Young or for any other
reason and that he had no business dealings with Ross.
When they arrived at the courthouse, Cleveland and Collins
went to his chambers. Collins asked Cleveland what the probable
cause was for the search. Cleveland stated that federal agents
had seen him meeting with Ross and that communications between
them had been intercepted. Collins then said he would like to
consult an attorney, and all questioning stopped; Cleveland told
him he was free to leave.
Before Collins left, Cleveland served him with a subpoena
directing him to produce documents concerning any financial
dealings with Ross. Collins read aloud the subpoena requests,
then stated that he had no records of financial dealings with
Ross because he had had no such dealings with Ross. Cleveland
also asked Collins to empty his pockets; in Collins's wallet, the
agents discovered $180 of the May 23 payment.
When the agents executed the search warrant of the chambers,
15

they discovered $16,000 in cash in a credenza: $6,000 from the
May 23 payment and $10,000 from the August 7 payment. After
giving Collins a receipt for the monies they seized, the agents
left.
On the same day, two FBI agents went to Ross's RPC office to
interview him and to execute the search warrants of his office.
When they arrived, they identified themselves as FBI agents to
the receptionist and asked to see Ross. The receptionist went to
the back of the office. When she returned, she told the agents
that Ross was on the telephone and would be with them shortly.
The agents waited for about five minutes, then asked to see Ross
immediately. The receptionist guided the agents down the
hallway, where they met Ross.
Once in Ross's office, the agents informed Ross that they
needed to speak with him about allegations of attempted bribery
of Collins. The agents told Ross he was not under arrest. The
agents asked whether he had any recent financial dealings with
Collins; he said he had none. The agents then informed Ross that
they had evidence, including tape recordings, that Young had
worked through him to obtain a low sentence from Collins and that
Young had given him large sums of cash.
Ross stated that he had contacted Collins with regard to
Young but denied ever having received large sums of cash from
Young or having given large sums of cash to Collins. The agents
also advised Ross that he could be charged with a number of
felonies based upon the evidence. They then showed Ross a number
16

of photographs of his meetings with Collins.
When Ross stated that he wanted to see an attorney, the
agents stopped questioning him6 and produced, for his inspection,
the search warrant for his office. Ross then stated, without
being asked a question, that he did not understand what was going
on and said that Young must have set him up. The agents again
stated that they had tape recordings of incriminating
conversations. They then reminded him that he had asked for an
attorney and that therefore he should refrain from making any
more statements.
One of the agents asked Ross to remain in the office while
they executed the search warrant; Ross stated that he would
rather leave. The agents again stated that he was not under
arrest and told him he was free to go. Before he left, he was
served with a subpoena requesting certain documents; Ross told
the agents that he had no such documents. Ross then was served
with a search warrant for his person; when the agents conducted
the search, they found $940 of the August 7 payment in his
pocket.
When the agents told Ross that they needed someone to remain
with them in the office while they conducted the search, Ross
called in the receptionist and left soon thereafter. During the
search, the agents discovered the full $31,500 payment from
6 Ross argues that the agents continued to question him for another 15
minutes. This dispute is not relevant to our decision, as Ross does not seek,
on appeal, the suppression of statements he made after invoking his right to
counsel; instead, he argues he was in "custody" during the entire encounter
with the agents. See infra part VII.
17

earlier that day. The FBI also searched Ross's Security Center
box, in which they found $9,380 from the May 23 payment and the
full $30,000 of the May 30 payment.7
II.
Collins and Ross were indicted for bribery in violation of
18 U.S.C. §§ 2 and 201(b)(2), obstruction of justice in violation
of id. §§ 2 and 1503, and conspiracy to defraud the United States
in violation of id. § 371. At trial, Ross testified that he had
received money from Young and had given money to Collins. He
claimed that Yemelos had instructed him to accept $100,000 from
Young in order to start a legitimate minority business enterprise
called "Mahogany, Inc." Ross also testified that he had given
Collins the $16,000 found in Collins's chambers as a downpayment
on a piece of property that was to be used by Mahogany, Inc.
Collins did not testify.
The jury found both defendants guilty. Ross was sentenced
to eighty-eight months' imprisonment and Collins to eighty-two
months' imprisonment.
III.
Prior to trial, Collins and Ross filed a motion to dismiss
their indictment based upon alleged prosecutorial misconduct.
After a hearing, the district court denied the motion.
7 In sum, the agents recovered the following: $15,560 of the $20,000
May 23 payment; the full $30,000 of the May 30 payment; $10,940 of the $11,000
August 7 payment; and the full $31,500 of the August 10 payment.
18

The defendants' prosecutorial misconduct argument breaks
down into three separate issues. First, Collins focuses on the
initiation of the investigation, arguing that federal law
enforcement officials must have reasoned suspicion that criminal
activity is occurring before they can target a federal judge for
investigation. Second, both Ross and Collins contend that, taken
as a whole, the investigation was so outrageous as to constitute
a due process violation. Finally, Ross and Collins argue that
they were singled out for prosecution because they are black.
A.
Collins asserts that, because of separation-of-powers
considerations, federal judges have "a right to be left alone
absent some reasonable suspicion on the part of the Executive
Branch of government to believe that some offense has been
committed." We recently rejected the proposition that the
government "should have reasonable suspicion that an individual
is involved in some illegality before targeting him in a sting
operation." United States v. Allibhai, 939 F.2d 244, 249 (5th
Cir. 1991), cert. denied, 112 S. Ct. 967 (1992).
Collins provides no authority for carving out a "federal
judge exception" to Allibhai's general rule,8 and we decline to
8 At least two circuits have held, however, that separation-of-powers
concerns do not justify immunizing federal judges from criminal prosecution as
a general matter. See United States v. Hastings, 681 F.2d 706, 710-11 (11th
Cir. 1982), cert. denied, 459 U.S. 1203 (1983) (rejecting defendant's argument
that separation-of-powers concerns should prevent executive officers from
prosecuting federal judges for acts involving exercise of their judicial
(continued...)
19

create one. As we noted in Allibhai,
as a practical matter, investigative agencies rarely
expend their limited manpower and resources on a mere
whim or in fabricating criminal activity. In
circumstances in which an investigation unfortunately
ensnares a nonpredisposed individual, the defense of
entrapment serves as an effective bar to conviction.
Id. This reasoning would apply to federal judges and ordinary
persons alike. In addition, judges, like other citizens, are
protected against vindictive prosecution. See Hastings, 681 F.2d
at 711.
Moreover, and perhaps most importantly, a "federal judge
exception" would go against the fundamental principle that "[a]
judge no less than any other man is subject to the processes of
the criminal law." Id. In sum, we reject Collins's suggestion
that we adopt a federal judge exception to the Allibhai rule.9
B.
Both defendants argue that the investigative activity of
federal law enforcement officials was so extreme as to constitute
a due process violation. They point to the Supreme Court's
dictum that it might "some day be presented with a situation in
which the conduct of law enforcement agents is so outrageous that
due process principles would absolutely bar the government from
8 (...continued)
power); United States v. Claiborne, 727 F.2d 842, 847-48 (9th Cir.) (same),
cert. denied, 469 U.S. 829 (1984).
9 Because we do not adopt such an exception, we need not consider the
government's argument that, assuming arguendo that "reasoned suspicion" is
required, such suspicion existed in this case.
20

invoking judicial processes to obtain a conviction." United
States v. Russell, 411 U.S. 423, 431-32 (1973) (citation
omitted). See also Hampton v. United States, 425 U.S. 484, 489
(1976) (restating Russell dictum).
We have acknowledged the Russell-Hampton-type theory of a
due process violation but apparently have never invalidated a
conviction on this ground.10 As we repeatedly have held, "a due
process violation will be found only in the rarest and most
outrageous [of] circumstances." United States v. Nissen, 928
F.2d 690, 693 (5th Cir. 1991).
The
defendants
contend
that
the
government
acted
outrageously because it "align[ed]" itself with Young, "an
individual who is obviously and purposefully intent on seeking
out members of the black race so he could benefit himself by
creating federal prosecutions against them." The defendants
point to the taped conversations between Young and Yemelos in
which Young repeatedly used a racial slur in reference to Ross
and Collins. Young also suggested to Yemelos that given that
Ross and Collins were black, "they" could talk to each other.
10 In fact, there appears to be only one circuit court case, United
States v. Twigg, 588 F.2d 373 (3d Cir. 1978), in which a conviction was
invalidated on Russell-Hampton-type grounds. We have distinguished Twigg on
the ground that in that case, the government devised and ran the criminal
enterprise with only meager assistance from the defendants. See e.g., United
States v. Tobias, 662 F.2d 381, 386 (5th Cir. Unit B Nov. 1981), cert. denied,
457 U.S. 1108 (1982); United States v. Gray, 626 F.2d 494, 498-99 (5th Cir.),
cert. denied, 449 U.S. 1038 (1980). We also have stated that "[a]llegations
of outrageous government conduct are . . . unavailing where the defendant . .
. actively and willingly participat[ed] in the criminal conduct leading to his
arrest." United States v. Nissen, 928 F.2d 690, 693 (5th Cir. 1991). Because
Collins's and Ross's participation in the criminal activity was "active" and
"willing," we find Twigg inapposite.
21

Although we certainly do not condone Young's language, we
can find no due process violation here. The defendants cite no
authority for the proposition that the due process clause forbids
the government from using individuals of questionable character
as informants. To the contrary, it is a common practice accepted
by courts.11
Moreover, as the government argues convincingly, individuals
of questionable character oftentimes make the best informants, as
their willingness to engage in criminal activities must be
convincing to the other participants. Taken in this context, the
defendants' due process rights were not violated by the
government's association with Young.
C.
Finally, the defendants contend that the government singled
them out for investigation because they are black. The burden on
a defendant to show selective prosecution is a heavy one, see
United States v. Ramirez, 765 F.2d 438, 439 (5th Cir. 1985),
cert. denied, 474 U.S. 1063 (1986), as he must meet two
requirements. First, he must make a prima facie showing that he
has been singled out for prosecution although others "similarly
situated who have committed the same acts have not been
11 See United States v. Reynoso-Ulloa, 548 F.2d 1329, 1338-39 (9th Cir.
1977) (not outrageous for government to employ informant who uses vulgar and
threatening language while making drug deals), cert. denied, 436 U.S. 926
(1978); United States v. Myers, 692 F.2d 823, 846 (2d Cir. 1982) (no due
process violation where government used "dishonest and deceitful" informant),
cert. denied, 461 U.S. 961 (1983).
22

prosecuted." Id. at 440 (citations omitted). He then must
demonstrate that the government's selective prosecution of him
was "actuated by constitutionally impermissible motives . . .
such as racial . . . discrimination." Id. (citations omitted).
A showing of discriminatory purpose requires the defendant to
demonstrate that the government selected or reaffirmed a
particular course of action at least in part "because of" )) not
merely "in spite of" )) its adverse effects on an identifiable
group. Id.
At a pretrial hearing, the defendants called Joseph Mohwish
to testify. Young's attorney, Frank DeSalvo, had represented
Mohwish in a criminal proceeding in Kentucky in April 1990.12
Mohwish testified that DeSalvo had told him at that time that
Young was involved in "set[ting] up" a black politician and that
he would receive a sentence of eighteen to twenty-four months
because of his cooperation. Mohwish also testified that DeSalvo
told him he could get a better "deal" if he could "set up a drug
dealer or a black politician." Then, according to Mohwish,
DeSalvo asked him whether he knew any black official. He
responded that he did not; at that point, according to Mohwish,
DeSalvo laughed and said, "Yeah, the government has got them on
an endangered species list."13
The district court found that Mohwish was not a credible
12 Mohwish was convicted and is now serving a lengthy prison term in
Atlanta for participating in a continuing criminal enterprise. He also has a
previous conviction for mail fraud.
13 Mohwish gave substantially similar testimony at trial.
23

witness.14 The defendants contend that we should find Mohwish
credible because he "had nothing to gain from his testimony."
This is not sufficient to overcome the strong deference we give
to the credibility decisions of a district court. See, e.g.,
United States v. Caldwell, 820 F.2d 1395, 1401 n.5 (5th Cir.
1987); United States v. Pologruto, 914 F.2d 67, 70 (5th Cir.
1990). We therefore do not disturb the district court's
determination.
Moreover, the defendants would fall short of meeting their
burden even if Mohwish's testimony were to be believed. His
testimony traces nothing specific in nature back to the
prosecution, as distinguished from DeSalvo. DeSalvo might have
thought that Young was "setting up" Collins by "cooperating" with
the authorities, but this is not evidence of the intent of the
federal authorities (the second Ramirez prong).15 Similarly,
nothing in Mohwish's testimony goes toward establishing that the
United States Attorney's office was failing to prosecute
individuals who had committed acts similar to those committed by
Ross and Collins (the first Ramirez prong).16 In sum, the
14 Mohwish's testimony was contradicted by that of the federal agents,
who testified in detail as to how the investigation had proceeded. DeSalvo
denied ever having discussed Young's case with Mohwish, although the court
found that his testimony "also raise[d] credibility issues," as he "exhibited
uncertainty in some answers and appeared to be eluding others."
15 Besides Mohwish's testimony, the defendants return to Young's use of
racial slurs. It is simply too far a stretch to argue that because Young made
such slurs, the government's decision to investigate and prosecute Collins and
Ross was racially motivated. Thus, this evidence, like the Mohwish testimony,
does not fulfill the second Ramirez prong.
16 The defendants cite a statistic that 14% of the public corruption
(continued...)
24

defendants fail to meet their heavy burden of making out a prima
facie case of selective prosecution.17
IV.
Prior to trial, the prosecution commissioned a telephone
survey of 457 persons in the Eastern District of Louisiana,
asking them various questions relating to the upcoming trial.
Among other things, the survey asked those polled whether they
agreed with the general proposition that "[p]eople accused of a
crime ought to have to prove they are innocent." Almost two-
thirds of those who responded "somewhat" or "strongly" agreed.
Then, after hearing a recitation of the prosecution's version of
the evidence against the instant defendants,18 those polled were
asked whether they thought the defendants were "definitely
16 (...continued)
cases in the last five years have been against black officials, who comprise
only two percent of elected officials nationwide. Again, this evidence does
not demonstrate that the government failed to prosecute similarly-situated
individuals, and thus it does not satisfy the first Ramirez prong.
17 The defendants also charge that the government's allegedly outrageous
conduct continued throughout the trial; they essentially summarize their
arguments pertaining to errors committed during trial and sentencing that are
discussed infra. Because we find that none of those grounds for error is
meritorious, we do not find an "outrageous" pattern of conduct.
18 The recitation was as follows:
Judge Collins and John Ross are charged as part of an FBI sting
operation in which a man charged with drug trafficking, Gary
Young, gave $100,000 to Ross to get his friend Judge Collins to go
easy in sentencing Young. The judge and Ross did not know that
Young was working for the government. It is alleged that some of
the money was used to bribe the judge and that both Judge Collins
and Ross had money from Young in their possession when their
offices were searched. Based upon what I have just told you or
anything else you may have heard, seen or read about this case, do
you think that Judge Robert Collins [and John Ross are] definitely
guilty, probably guilty, probably not guilty, definitely not
guilty or do you have no opinion in this case.
25

guilty, probably guilty, probably not guilty, definitely not
guilty or do you have no opinion in this case." A large majority
of those who responded thought they were definitely or probably
guilty.19
The defendants found out about the survey and reported it to
the district court, which in turn ordered the government to
terminate all polling and turn over the poll and the results to
the court.
After reviewing the polling material, the court
concluded that the poll was a "red herring" and that nothing had
been done to compromise the integrity of jury selection. The
court also ordered the defendants to refrain from taking a poll
of their own.
In addition, the court refused to turn over the material to
the defendants, noting that doing so "would raise issues that
would unnecessarily complicate the proceedings." The court
stated that it would not release the survey, as it was "concerned
that if any details of the survey were publicized at that time,
jury selection would be difficult because misunderstandings based
upon the results of the poll could taint the entire panel." The
court turned the polling materials over to the defendants after
19 The district court described the results of this question as follows:
Fifty-seven percent of those answering the survey knew of the
Collins case. Of that 57%, ninety percent (50.8% of the total
number surveyed) felt that Collins was probably or definitely
guilty, with the vast majority in the "probably guilty" category.
Ninety-five percent of those answering (55.6% of the total
surveyed) believed that Ross was probably or definitely guilty,
again with the vast majority of those in the "probably guilty"
category.
26

trial.
In denying the defendants' motion for new trial, the
district court held that the poll had not undermined the
integrity of the jury. None of the jurors who served on the jury
was contacted, and the court specifically inquired as to this
matter in voir dire.20
The court also found that the poll results did not give the
prosecution an unfair advantage in selecting a jury or preparing
for trial and did not significantly prejudice the defendants. On
appeal, the defendants focus exclusively on this aspect of the
issue, arguing that the district court "missed the point in
concentrating solely on the `integrity of the jury.'"
We agree that the poll was a red herring and that the
defendants' due process rights were not violated. In order to
show a violation of due process, a defendant must show that the
prosecution's conduct rendered his trial fundamentally unfair.
United States v. Nissen, 928 F.2d 690, 692 (5th Cir. 1991).
There was no such fundamental unfairness here.21
20 During voir dire, the court asked the venire the following question:
"Has anyone talked to you about this case? In other words, has anybody called
you on the telephone, anybody trying to poll any of you, make a telephone call
to you, talk to you about the case, discuss the case with you in any way?" No
one had been contacted by the polltakers.
21 The questions and responses were not particularly useful to either
side. The question regarding "proof of innocence" was a "trick" question, as
it did not ask those surveyed whether the accused are entitled to a
presumption of innocence, but rather whether the accused must prove their
innocence.
In another question, when those surveyed were asked whether they agreed
with the statement that "[w]hen the government brings a person to trial, he or
she is probably guilty of the crime charged," almost 70% "disagreed somewhat"
or "disagreed strongly" )) precisely the reverse of the response to the "proof
(continued...)
27

As for jury selection, the district court found that the
prosecution was not able to take advantage of the survey to the
detriment of the defendants. We agree. The court ordered the
government not to compile or analyze the data. Thus, the
government was prevented from compiling a "juror profile."
Because the raw responses were worthless without the underlying
demographic and background information, the government could not
pick and choose among jurors based upon the survey information.
The defendants respond that had they known about the
results, they would have "pushed harder" for individual voir dire
of prospective jurors. They also argue that the district court
should have conducted individual voir dire on its own accord. We
reject these arguments.
The defendants have made no showing that voir dire was
inadequate. The district court asked the veniremembers, as a
panel, whether they would be able to render a verdict solely on
the evidence presented at trial and the law as described by the
court.22 It also instructed the panel that the government had the
21 (...continued)
of innocence" question.
With regard to the second question, it is important to note that those
surveyed were asked to gauge the defendants' guilt or innocence after hearing
the prosecution's theory of the case. It is not surprising that respondents
would agree that the defendants were guilty, based only upon the prosecution's
recitation of the evidence.
22 The district court asked the following:
If you are selected to sit on this case, will you be unable or
unwilling to render a verdict solely on the evidence admitted in
the trial and the law as I give it to you in the course of my
instructions disregarding any other ideas, notions or beliefs
about the law that you may have encountered in reaching your
(continued...)
28

burden of proof to establish guilt beyond a reasonable doubt.
Finally, the court asked several questions designed to discover
whether any veniremembers had been influenced by the media or
already had formed an opinion on the case.23 The court found, and
we agree, that the defendants had failed to make a showing that
additional voir dire was needed.
The defendants seem to be contending that had they only
known that the community from which the jury panel was drawn
might have been biased against them, they would have been more
22 (...continued)
verdict?
23 The court posed the following questions:
[D]o any of you recall having read anything about this case,
the nature of the charges, any information about the case, read it
in the newspapers, heard anything about it on television, anything
that you recall having read or heard about the case? . . .
[Several prospective jurors responded.]
Those of you who have read something about the case, heard
something about it on radio, on television, has anything occurred
as a result of that that would prevent you from returning a
verdict in this case based solely upon the evidence you hear in
Court and the instructions I give to you?
In other words, have you made up your mind about it one way
or another? Have you resolved any of the issues? Is there
anything that would prevent you from deciding this case based
solely upon the evidence you hear in court and the instructions I
give you? . . .
[Several prospective jurors responded.]
Other than those who have just responded to the last
question, do any of the members of the panel have an opinion as to
the guilt or the innocence of any of the Defendants or the charges
contained in the Indictment at this time or have you ever
expressed an opinion as to the guilt or the innocence of any of
the Defendants?
[There was no response from the panel.]
29

aggressive in voir dire.24 We can suppose, however, that a
defense team usually enters the voir dire process with the
assumption that some members of the venire are biased against the
defendant and that the aim is to ferret out that bias. Access
to the poll results merely would have reinforced this general
assumption. We therefore find that being deprived of the poll
results did not deprive the defendants of their due process
rights in the voir dire process.25
The defendants also argue that the government had an unfair
advantage at trial. Again, we disagree. As the district court
noted,
[A]lthough a survey of community attitudes may aid a
party in deciding what to emphasize at trial, our
adversarial
system
with
its
liberal
discovery
mechanisms[] does not permit a party to "contrive" a
conviction that is not based on the evidence. There is
no evidence that the Government manufactured or
"tailored" evidence based on the survey.
The defendants respond that had they known about the poll
results, they would have altered their trial strategy.26
24 The defendants also argue that they would have requested a change of
venue had they known of the poll results. As we have noted in the past,
"[c]ourts have generally felt that voir dire examination is the appropriate
mechanism for screening jurors to avoid bias," not change of venue. United
States v. Malmay, 671 F.2d 869, 876 (5th Cir. 1982). Here, as we have noted,
voir dire was adequate to ferret out any bias.
25 From this it follows that the defendants were not deprived of due
process by being unable to consult with an expert as to how to counteract the
poll results during voir dire.
26 The only specific decision the defendants identify is Collins's
election not to testify. They argue that that decision was premised on the
presumption that Collins's "right not to testify was intact." We fail to see
how the survey, which did not contain questions relating to the privilege
against self-incrimination, would have had any bearing on Collins's strategy
in this regard.
30

Although the defendants might have found the results
beneficial in trial preparation, the question is whether being
deprived of the results deprived them of due process. They fail
to point out how being deprived of the results significantly
handicapped them in preparing for trial or conducting their
defense. We therefore find no due process violation.27
V.
The defendants also raise a claim under Batson v. Kentucky,
476 U.S. 79 (1986), which prohibits the prosecution from using
its peremptory challenges in a racially discriminatory manner.
First, they challenge the procedure by which the parties were
allowed to exercise their peremptories. Second, they argue that,
contrary to the district court's finding, they met their burden
of showing discrimination on the part of the prosecution.
A.
The defendants contend that the district court erred in
dismissing the venire before they had an opportunity to create a
27 The defendants make two additional arguments that we find are without
merit. First, they argue that the mere taking of the poll violated their due
process rights. We decline to hold that all government-sponsored polls are
per se unconstitutional; rather, we find that in this particular case, there
was no constitutional violation.
They also argue that we should apply the "analogous" Brady doctrine to
hold that the court should have ordered the government to give them access to
the poll results. Brady v. Maryland, 373 U.S. 83 (1963), holds that
suppression by the government of material exculpatory evidence is a violation
of due process. But the poll results were not "evidence," see Jones v.
Butler, 864 F.2d 348, 355 (5th Cir. 1988), cert. denied, 490 U.S. 1075 (1989),
and thus the government was not under an obligation to disclose them.
31

Batson record and in allowing the prosecution to put its
justifications for its strikes on the record two days after the
jury was impaneled.
1.
Following voir dire, the court informed the parties that
each side was to exercise its peremptories all at once and not in
view of the other side. The defendants lodged the following
objection:
We want to note an objection to the Court's method of
allowing each side to strike the jurors and the reason
we do that is it relates to the Batson decision, Judge.
We feel that when each side is required to exercise
their challenges altogether without the other side
seeing them and without the challenges being able to be
evaluated vis-a-vis what the other ones are doing, we
think [it] destroys part of our ability to make any
meaningful Batson challenges.

The court stated that it saw "no need to challenge the method of
selection." The court then called for a brief recess, and the
two sides exercised their peremptories.
When court resumed, the jury was selected and seated in the
jury box. The court asked each side whether the jury was
acceptable. Collins's counsel stated that it was, "[s]ubject to
the matters we discussed with the Court that we can put in the
record later." Ross's counsel adopted Collins's counsel's
statement. Thus, the defendants did not seek to create any
further record, the jury was sworn in, and the venire was
32

dismissed.28
The defendants now contend that they were not given an
adequate opportunity to create a Batson record prior to the
dismissal of the venire, citing United States v. Dawn, 897 F.2d
1444, 1448-49 (8th Cir.) ("the district court, before the venire
is dismissed and the jury is sworn, must give the defendant a
reasonable opportunity" to create a Batson record), cert. denied,
111 S. Ct. 389 (1990).29 They argue that additional voir dire
would have enabled them to make out a prima facie case of
discrimination and to carry their ultimate burden of showing
discrimination. They explain that they failed to object because,
"[f]aced with the prospect of addressing the specific issue in
front of the jury or doing so out of the presence of the jury,"
the latter option was more appealing. According to the
defendants, their choice "certainly was not an invitation to the
28 We note in passing that the jury that was finally chosen
was approximately 25% black, representing roughly the percentage
of blacks in the district.
29 Although the defendants complain that they were "hamstrung by the
trial court in objecting to the prosecutor's use of peremptory challenges
because [they] did not know who was being stricken," they do not argue that
the process in and of itself violated their Batson rights. Even if we were to
consider this issue as properly preserved, however, it is without merit.
The defendants seem to suggest that the court, by requiring each side to
exercise its peremptories all at once, prevented them from showing a "pattern"
of discrimination. See Batson, 476 U.S. at 97 ("For example, a 'pattern' of
strikes against black jurors included in the particular venire might give rise
to an inference of discrimination."). We disagree. As discussed infra, the
government provided justifications for its peremptories. It is these
justifications that form the basis of a Batson challenge. That the government
exercised its peremptories all at once would have no effect upon the
defendants' ability to cast doubt on these explanations. We also note that
the fact that the district court may not have followed the Batson procedure as
established by certain practice manuals has no bearing on whether defendants'
constitutional rights were violated.
33

trial court to dismiss the venire a few moments later," and they
argue that the court should not have dismissed the jury "knowing
that the defendants were going to raise a Batson objection."
We reject these arguments. The district court asked whether
there were any further objections; there were none, and it
dismissed the venire. A district court need not retain the
venire when it has not been requested to do so. If the
defendants did not wish to raise their Batson objections in front
of the jury, they could have requested a bench conference or a
brief recess. Moreover, the defendants failed to ask the court
to recall the venire, even after they made their full Batson
objection once the jury and venire had been dismissed. Thus,
they waived their right to create a record while the venire was
present.30
2.
After the jury was seated and the venire had been dismissed,
the defendants entered their Batson objection and moved for a
30 The defendants also argue that their objection to the "blind"
exercise of peremptories should be sufficient to constitute an objection to
the dismissal of the venire. Although the "purpose" behind the first
objection might have been to provide a Batson record, as would have been the
purpose behind an objection to the dismissal of the venire, the fact remains
that the second objection simply was not made.
In addition, as the government correctly suggests, it is difficult to
see how additional questioning would have aided the defendants in making their
case of discrimination. In determining whether the government discriminated
against black potential jurors, the focus is on the responses the stricken
jurors actually gave during voir dire, not on responses they might have given
had they been asked additional questions.
34

mistrial.31 At that point, the prosecution asked for leave of
court to place its justifications for its peremptories in the
record, presumably at some future date. The court agreed, and
the defendants did not object. When the prosecution renewed its
offer to place its justifications into the record two days later,
Collins's attorney suggested that "[m]aybe we ought to do it at a
different time." The matter eventually was taken care of later
that day. The defendants now suggest that the two-day delay
allowed the government to devise pretextual justifications for
its peremptory strikes. But again, the defendants cannot now
complain when they failed to object contemporaneously.

B.
Once a defendant makes out a prima facie case of
discrimination, the burden shifts to the government to come
forward with a race-neutral explanation for its challenges.
United States v. Hinojosa, 958 F.2d 624, 632 (5th Cir. 1992).
31 Collins's attorney stated the following:
We note and the Court can, I believe, take judicial notice that
the makeup of black to white jurors in the district is
approximately 26 percent. It turned out that the makeup of the
jury panel this morning was approximately 26 percent, and
interestingly enough, when various challenges for cause were
granted by the Court, the remaining ratio of jurors black to white
was approximately 26 percent, but yet out of the eight challenges
which the Government was given, six of those challenges were for
blacks, so three-quarters of the Government's challenges were
devoted to black citizens and one-quarter of the citizens of the
District and one-quarter of the jury venire in round figures were
made up of blacks and we think that is a prima facie challenge
under Batson, that the Government's selection of the Jury was in
violation of the United States Constitution, and for that reason
the Defense, on behalf of Robert Collins, moves for a mistrial.
Ross's attorney adopted the objection and motion, which the district court
denied.
35

Although the district court found that the defendants had not
established a prima facie case, it held a hearing at which the
government set forth its reasons and at which the defendants were
permitted to respond. After the hearing, the court held that the
prosecution's
justifications
were
race-neutral
and
not
pretextual. In this situation, where "the prosecution's
explanation is of record," we do not examine whether the
defendants established a prima facie case; instead, we "review
only the district court's finding of discrimination vel non."
United States v. Forbes, 816 F.2d 1006, 1010 (5th Cir. 1987).
The defendants focus on the prosecution's striking of
potential juror nos. 9, 48, and 56. The government's stated
reason for striking no. 9 was that he was employed by a company
that was being investigated by federal authorities; because of
this, the government felt his objectivity might be compromised.
The prosecution struck no. 48 because she was a teacher's aide
who helped teach speech therapy; the government suggested that
she would be overly sympathetic to the defendants.32 Finally, the
government stated that it struck no. 56 because he was sleeping.
The district court's finding that the prosecution's
justifications were not pretextual is entitled to "great
deference." Hinojosa, 958 F.2d at 632. The court's decision
"rests upon a credibility determination, and, thus, we interfere
32 The defendants contend that this was pretextual, as the government
did not strike no. 23, a white teacher at the Southern Louisiana Technical
Institute. The government responds that it is reasonable to assume that
someone who helped disabled children would be more sympathetic than someone
who taught at a technical school. The explanation is reasonable.
36

with that decision only if it is clearly erroneous or an abuse of
discretion." Id.
The reasons given by the government were race-neutral on
their face, and the district court found that they were not a
pretext for discrimination. We find no error in that
conclusion.33

VI.
Henry Lee Smith and Donna Turner were veniremembers and sat
next to each other during voir dire. Turner eventually became
jury foreman; Smith was not chosen to serve on the jury.
According to Smith, during the afternoon break in voir dire,
Turner stated that the defendants "need[ed] to go ahead and plead
guilty and we can all go home because they look guilty anyway."
Smith did not report Turner's alleged statements to the court at
that time but apparently contacted defendants' counsel after
trial.
At a hearing on the motion for new trial, Smith testified
that Turner made the above-described statement and that he
believed she was serious. Turner did not testify at the hearing
33 See, e.g., United States v. De la Rosa, 911 F.2d 985, 991 (5th Cir.
1990) (potential juror employed by church-affiliated agency might be more
inclined to forgive defendant), cert. denied, 111 S. Ct. 2275 (1991); United
States v. Melton, 883 F.2d 336, 338 (5th Cir. 1989) (juror chewed gum and
appeared generally inattentive); United States v. Moreno, 878 F.2d 817, 820-21
(5th Cir.) (prosecutor's "gut reaction" that a commercial artist would have
sympathy for persons involved with drugs), cert. denied, 493 U.S. 979 (1989);
United States v. Lance, 853 F.2d 1177, 1180-81 (5th Cir. 1988) (appearance of
inattentiveness); United States v. Forbes, 816 F.2d 1006, 1010-11 (5th Cir.
1987) (juror had arms crossed and appeared to be hostile to serving on jury);
United States v. Ratcliff, 806 F.2d 1253, 1256 (5th Cir. 1986) (juror fell
asleep during jury selection), cert. denied, 481 U.S. 1004 (1987).
37

but submitted a handwritten statement denying that she ever had
commented on the guilt or innocence of the defendants during voir
dire. She also stated that she answered truthfully when asked by
the court during voir dire whether she had formed an opinion
about the case. The court denied the motion for new trial.
The defendants argue that Turner's failure to disclose her
biases against them deprived them of an impartial jury. Both
parties suggest that the analysis as set forth in McDonough Power
Equip. v. Greenwood, 464 U.S. 548 (1984), is appropriate in this
case. Under McDonough, in order to succeed in a motion for a new
trial based upon jury misconduct, a party must show (1) that the
juror failed to answer a material question honestly on voir dire
and (2) that a correct response would have provided a valid basis
for challenge for cause. Id. at 556; United States v. Scott, 854
F.2d 697, 698 (5th Cir. 1988) (applying McDonough to criminal
context). In evaluating a claim of juror misconduct, we begin
with the presumption that the juror is impartial, and "it is
incumbent upon the defendant to prove otherwise." United States
v. Wayman, 510 F.2d 1020, 1024 (5th Cir.), cert. denied, 423 U.S.
846 (1975).
The defendants contend that they have met their burden.
First, they argue that they have shown dishonesty by the fact
that Turner failed to respond when the district court asked
whether any prospective juror had formed any opinion about the
case. Second, they argue that had Turner responded, she would
have been struck for cause.
38

We do not believe the McDonough framework is applicable
here, as it implicitly presumes a case in which a juror concealed
an objective material fact. See Scott, 854 F.2d at 699 (juror
"conceal[ed]" the "material fact[]" that his brother was a deputy
sheriff).34 In cases like this one, where jurors may have made
premature expressions as to guilt, we generally defer to the
district court's decision as to whether the defendant received a
fair trial by an impartial jury, as the court is in "a far better
position to judge the mood at trial and the predilections of the
jury" than is an appellate court that "ha[s] only an insentient
record before [it]." United States v. Chiantese, 582 F.2d 974,
980 (5th Cir. 1978), cert. denied, 441 U.S. 922 (1979).35
First, the district court must determine whether the juror
actually made the statements in question.36 This determination
necessarily requires the court to judge the credibility of the
34 See also United States v. Ortiz, 942 F.2d 903, 909 (5th Cir. 1991)
(juror's cousin and sister were employees of the United States Attorney's
office), cert. denied, 112 S. Ct. 2966 (1992). McDonough was a personal
injury case in which a juror failed to disclose that a close relative recently
had been injured. 464 U.S. at 550.
35 The situation presented in this case is somewhat atypical, however,
as Smith waited until long after the alleged statement was made, and after
trial, before contacting defense counsel. In the usual case, the "overhearer"
reports the alleged statement to the court immediately. At that point, the
court must decide whether and to what extent it should investigate. Our usual
task, then, is to review the adequacy of the court's investigation and its
ultimate determination that the defendant received a fair trial by an
impartial jury. See e.g., United States v. Webster, 750 F.2d 307, 336-39 (5th
Cir. 1984), cert. denied, 471 U.S. 1106 (1985); Chiantese, 582 F.2d at 978-80.
36 See Chiantese, 582 F.2d at 980; see also United States v. Hendrix,
549 F.2d 1225, 1229 (9th Cir.) (in considering the effect of a juror's
statements as to defendant's guilt, trial court must determine whether
allegations against juror are true; if it finds allegations true, it must
determine whether new trial is required), cert. denied, 434 U.S. 818 (1977).
39

person who allegedly overheard the statement (in this case,
Smith). In Grooms v. Wainwright, 610 F.2d 344, 347 (5th Cir.),
cert. denied, 445 U.S. 953 (1980), the mother of the defendant
stated that she had heard a juror remark at the close of the
prosecution's case that "[a]s far as I'm concerned, [from] what I
heard already he's guilty." We held that the district court "was
in a good position to evaluate" the mother's credibility and to
"observe her demeanor." Id.37
In this case, the defendants' argument rests on the
presumption that Turner in fact did make the statement. The
court, however, credited Turner's denial, and we defer to its
judgment. Moreover, it credited Turner's statement that she was
unbiased and found that the defendants received a fair trial by
an impartial jury. We find no reason to disturb that
conclusion.38
VII.
The defendants aver that the district court erred in not
suppressing certain statements they made while being questioned
by the FBI on August 10. Miranda warnings39 are required only
37 In Grooms, we also noted that the statement, if made, was not
reflective of serious prejudice. 610 F.2d at 348. The first aspect of the
Grooms inquiry )) the credibility of the "overhearer" )) was an important part
of the analysis, however. See Webster, 750 F.2d at 338 n.15 (in Grooms, "it
was not clear that the juror had in fact made the offending statement").
38 See United States v. Robbins, 500 F.2d 650, 653 (5th Cir. 1974)
(trial court entitled to credit juror's denial of bias).
39 Miranda v. Arizona, 384 U.S. 436 (1966).
40

when the defendant is in "custody." Berkemer v. McCarty, 468
U.S. 420, 441 (1984). We have defined "custody" as follows:
A suspect is . . . "in custody" for Miranda purposes
when placed under formal arrest or when a reasonable
person in the suspect's position would have understood
the situation to constitute a restraint on freedom of
movement of the degree which the law associates with
formal arrest.
United States v. Bengivenga, 845 F.2d 593, 596 (5th Cir.) (en
banc), cert. denied, 488 U.S. 924 (1988) (citation omitted).
It is undisputed that neither Ross nor Collins was under
formal arrest at the time; the only question, then, is whether
their freedom was restrained to such a degree as to constitute a
de facto arrest. We agree with the district court that neither
defendant reasonably could have understood that his situation was
equivalent to that of an arrest.
Both men were told explicitly and repeatedly that they were
not under arrest and were free to leave. Neither was arrested at
the termination of the interview. As the Eighth Circuit has
noted, "[t]he most obvious and effective means" of demonstrating
that a suspect has not been taken into custody "is for the police
to inform the suspect that an arrest is not being made and that
the suspect may terminate the interview at will." United States
v. Griffin, 922 F.2d 1343, 1349 (8th Cir. 1990) (citing cases).40
The defendants respond that even though they were told they
40 See also Oregon v. Mathiason, 429 U.S. 492, 495 (1977) (per curiam)
(no "custody" where defendant was asked to come down to the police station,
was told that he was not under arrest, and was allowed to leave after the
police interview ended); California v. Beheler, 463 U.S. 1121, 1122 (1983)
(same).
41

were not under arrest, their freedom of movement was restrained
during the encounter with the agents. Neither defendant
experienced a restraint equivalent to that associated with
custody, however.
The only restraint Ross experienced was when the agents
searched his person. He was not physically inhibited while the
agents were questioning him. In addition, he was told that he
was free to leave and indeed did leave while the agents searched
his office. This did not rise to the level of a custodial
situation.
Collins's movement was restrained more significantly.
Collins's car was stopped on the street, and he was escorted to
his chambers. But although a temporary Fourth Amendment seizure
may have occurred incident to the execution of the search
warrants, a Fifth Amendment custodial situation did not. As we
noted in Bengivenga, although both "seizure" and "custody" speak
to restraints of freedom, "[t]he critical difference between the
two . . . is that custody arises only if the restraint on freedom
is a certain degree )) the degree associated with formal arrest."
845 F.2d at 598.
The stopping of the car did not rise to the level of
custody, as subsequent events immediately dispelled any
possibility that a custodial situation would develop. As the
district court found,
Collins
was
offered
several
options
to
avoid
embarrassment on the street by the searches and he
voluntarily decided that he would rather have the
matter taken care of privately. He voluntarily chose
42

to go to his chambers with the agents. He was not
commanded to.41
Thus, after the car was stopped, the restraint Collins
experienced was no greater than that encountered by the
defendants in Mathiason and Beheler, who were asked to come to
the police station for an interview.42

The defendants also argue that the fact that they were told
they were not under arrest and were free to leave was
"meaningless" because the agents informed them that the agents
possessed incriminating evidence. We disagree.
In
Mathiason,
the
police
interviewer
informed
the
interviewee-suspect that the police had evidence of his
involvement in a crime. 429 U.S. at 493.43 The Court found that
"a noncustodial situation is not converted to one in which
Miranda applies" simply because "the questioning took place in a
'coercive environment.'" As the Court continued,
Any interview of one suspected of a crime by a police
officer will have coercive aspects to it, simply by
virtue of the fact that the police officer is part of a
law enforcement system which may ultimately cause the
suspect to be charged with a crime. But police
officers are not required to administer Miranda
warnings to everyone whom they question. Nor is the
requirement of warnings to be imposed simply because
41 Collins gives us no reason to question these factual findings; thus
we accept them as not clearly erroneous. United States v. Harrell, 894 F.2d
120, 122-23 (5th Cir.), cert. denied, 111 S. Ct. 101 (1990).
42 See also United States v. Jimenez, 602 F.2d 139, 144 (7th Cir. 1979)
(no "custody" where officers curbed suspect's car but did not display a weapon
or threaten her physically or verbally).
43 The police told the interviewee that they had found his fingerprints
at the scene of the crime; in fact this was not true. The Court found that
the fact that the police lied to the interviewee had no impact on the Miranda
custody analysis. 429 U.S. at 495-96.
43

the questioning takes place in the station house, or
because the questioned person is one whom the police
suspect. Miranda warnings are required only where
there has been such a restriction on a person's freedom
as to render him "in custody." It was that sort of
coercive environment to which Miranda by its terms was
made applicable, and to which it is limited.
Id. at 495. Thus, while it may be true, as Ross argues, that
being confronted with adverse evidence or being told that one
could be charged with a crime is "designed to p[sy]c[h]ologically
overcome [the interviewee's] ability to gather his thoughts and
intelligently determine his circumstances," it does not transform
the interview into a custodial situation.
We acknowledge that there may be situations in which the
defendant is informed that he is not under arrest but where the
circumstances suggest otherwise. That did not happen here. We
therefore
conclude
that,
based
upon
the
totality
of
circumstances, the defendants were not in custody.
VIII.
In his closing argument, the prosecuting attorney stated the
following: "There was already $16,000.00 in [Collins's]
chambers. He had already started spending it. And he won't tell
anybody what it's for. If it's a real estate deal, tell us."
Collins argues that this constituted an improper comment on his
failure to take the stand.44 Additionally, he emphasizes the fact
that the prosecutor (1) pointed to him when making the statement;
44 Ross adopts Collins's arguments as to this ground. It is difficult
to see, however, how the alleged comment could have prejudiced Ross's rights,
given that he testified.
44

(2) raised his voice when stating his name; and (3) used the
present tense.
The test for determining whether a prosecutor's remarks
constitute a comment on a defendant's silence is a twofold
alternative one: "(1) whether the prosecutor's manifest intent
was to comment on the defendant's silence or (2) whether the
character of the remark was such that the jury would naturally
and necessarily construe it as a comment on the defendant's
silence." United States v. Jones, 648 F.2d 215, 218 (5th Cir.
Unit B June 1981) (per curiam).
As to the first possibility, the prosecutor's intent must be
"manifest"; in other words, the test is not met "if some other
explanation for his remark is equally plausible." United States
v. Rochan, 563 F.2d 1246, 1249 (5th Cir. 1977). As to the
second, "the question is not whether the jury possibly or even
probably would view the challenged remark in this manner, but
whether the jury necessarily would have done so." United States
v. Carrodeguas, 747 F.2d 1390, 1395 (11th Cir. 1984), cert.
denied, 474 U.S. 816 (1985) (citation omitted).
The district court found that, taken in context, the remark
referred not to Collins's failure to testify but to the
implausibility of his trial defense, which was that the money was
for a real estate transaction involving Mahogany, Inc. Indeed, a
key aspect of the government's case was that when interviewed by
the FBI on August 10, Collins and Ross denied having any current
business dealings with each other. As the district court put it,
45

the government's argument on this point was that "if the cash was
from a legitimate real estate deal (as counsel for both
defendants told the jury in opening statements), then why didn't
the defendant just say so on August 10?"

We agree that the prosecutor's comment was not improper when
taken in context. Prior to making the allegedly inappropriate
statement, the prosecutor repeatedly had referred to the August
10 interviews and to the inconsistency between the defendants'
statements at that time and their defense at trial.
The prosecutor started out by giving an overview of the
evidence, directing the jury's attention to the testimony of the
FBI agents,
who have told you in no uncertain terms what the
defendant said to them on the 10th of August, 1990,
when all this cash was found, and they said, ["]I never
gave any cash to Judge Collins.["] Judge Collins
said[,] ["]I never got any cash from John Ross.["]
John Ross said[,] ["]I never got any cash from Gary
Young.["] . . . Those were lies. About the only
truthful thing they said that day was that there were
no real estate transactions between the two of them.
Moments later, the prosecutor again directed the jury's attention
to August 10, stating,
Most importantly, let's look at their own word[s].
Both of them were interviewed by the FBI on August
10th, both of them said ["]no real estate deals, none.
I don't have one. Haven't had one in three years.
Nothing recent.["]
The prosecutor then directed the jury to the testimony of
Agent Cleveland, stating,
When [he] interviewed Judge Collins on August 10th,
twice, not once, but twice, Judge Collins told him,
46

["]I have no real estate deals with John Ross . . . .
["] [H]e said: ["]I don't have any records of real
estate deals to give you because I haven't had any real
estate deals with him. Not records, real estate
deals.["]
Soon thereafter, the prosecutor directed the jury's attention to
the way in which Collins and Ross discussed the so-called real
estate deal:
Listen to what [the tapes] say about this real estate
deal. Listen to the tone . . . . Judge Collins barely
speaks in any of those conversations, "Uh-huh, yeah.
Okay." If it's a real estate deal, why can't he talk?
They don't mention any specifics. Everything is vague.
They always have to meet to discuss it. They can't
ever talk about it on the phone. You hear them talking
about estimates to deliver. ["]I have some information
to show you.["] Well, ladies and gentlemen, if it[']s
going to be cash and money that they are going to give
each other, and it's legitimate, and it really is for a
real estate deal, why don't they say so?
With the assistance of charts, the prosecutor then took the
jury through a timeline of events from September 1989 through
August 1990. Once again, he ended up with the events of August
10, stating,
Finally, the statements to the FBI, ["]no cash . . . .
[N]o real estate transactions.["] That is the true
statement they had. If there had really been an
innocent real estate transaction going on, why wouldn't
either of them have said, ["]Look, yes, I have a real
estate transaction. I got some cash from them. We
don't have a contract.["] Why wouldn't they say that?
Because they hadn't thought of it yet.
At this point, the defendants' attorneys gave their closing
arguments, during which they examined the government's case and
attempted to draw out any inconsistencies. Collins's attorney
explained Collins's statements of August 10 as follows:
I'm not going to sit here, ladies and gentlemen, to
tell you that at some point in that conversation Agent
47

Cleveland didn't say [to Collins], ["]Have you gotten
any cash money from John Ross at any time?["] I don't
know. My guess is [is that] he probably did get that
question in along with all of the questions about the
records and the transactions and [the] bribe, and what
you end up doing is you say ["]no, no, no, no, I didn't
do anything. Why are you doing this to me?["] . . .
He then reiterated the explanation:
And the government wants to tell you, ["W]ell, if he
had done nothing wrong I would have expected he would
have just given an explanation for everything that had
happened.["] They weren't there for an explanation,
ladies and gentlemen. As they said, Judge Collins has
been on the bench for 13 years. He has seen these
cases. He knows what happens when federal agents come
in and they have a search warrant and an instanter
subpoena on a federal judge . . . . They are not there
for explanation. They are there to solidify the case.
And your reaction is to say ["]I don't know, or no, no,
no.["]45
Thus, Collins's attorney stressed that because of his
experience on the bench, Collins knew what was going on that day
)) the agents were attempting to "solidify [their] case" against
him. According to Collins's attorney, Collins's natural response
therefore was to deny everything.
On rebuttal, the prosecutor turned this reasoning around.
As noted above, he stated that "[t]here was already $16,000 in
his chambers. He had already started spending it. And he won't
tell anybody what it's for. If it's a real estate deal, tell
us." Then, referring to Collins, he stated,
He is a federal judge for 13 years. He signed search
warrants himself for years. He's presided over these
trials for years. Are you going to tell me that he
isn't capable at that moment, if there is a reasonable,
45 Although Collins faults the prosecutor for using the present tense,
his attorney did so as well. As is shown by the passages excerpted supra, the
prosecutor used the present tense throughout his closing argument.
48

innocent, legitimate explanation, from saying ["]Let me
tell you what it's all about?["] He knows how the
system works. He knows that you can explain. But, no,
[Collins's attorney] wants to create out of whole cloth
in his own mind what happened. [Emphasis added.]
The prosecutor therefore was referring to Collins's denial
"at that moment" (August 10) that he had had any business
dealings with Ross. The prosecutor's argument was that, contrary
to Collins's attorney's contention, a judge in Collins's position
would not reflexively deny his business dealings with Ross;
instead, given his intimate familiarity with the judicial
process, he would be eager to provide the authorities with a
legitimate explanation for the presence of the money in his
chambers.
In sum, the remark was not objectionable, as there was an
"equally plausible" explanation other than that it was a comment
on Collins's failure to testify. Rochan, 563 F.2d at 1249.
Moreover, because of this explanation, the jury would not
"necessarily" have understood the remark as such a comment. See
Carrodeguas, 747 F.2d at 1395.46 We therefore find that the
prosecutor did not impermissibly comment on Collins's failure to
take the stand.47
46 This is true even though the prosecutor may have pointed at Collins
while he was speaking and raised his voice while stating Collins's name.
These actions reasonably would have been viewed by the jury as the
prosecutor's attempt to add emphasis to his argument relating to Collins's
August 10 denials.
47 Even if the prosecutor did comment on Collins's failure to testify,
it is plain beyond a reasonable doubt that, given the weight of the evidence,
the jury would have returned a guilty verdict absent the remark. See United
States v. Kane, 887 F.2d 568, 576 (5th Cir. 1989), cert. denied, 493 U.S. 1090
(continued...)
49

IX.
Collins argues, in the alternative, that even if the
prosecutor was referring to the events of August 10, his remark
constituted an impermissible comment on Collins's pre-arrest
silence.48 The circuits appear to be divided on the issue of
whether the prosecution may comment on a non-testifying
defendant's pre-arrest silence.49 We have noted in passing that
such comment might be proper, although we have not addressed the
question squarely.50
We need not reach this question, however, as the
prosecutor's comments were directed primarily toward Collins's
affirmative statements )) his denial of any business dealings with
Ross )) as distinguished from his silence. Although the
47 (...continued)
(1990).
48 Again, we fail to see how Ross could have been prejudiced by the
prosecutor's comment. Moreover, it is well established that a prosecutor may
comment on a testifying defendant's pre-arrest silence in order to impeach
him. See Jenkins v. Anderson, 447 U.S. 231, 235-40 (1980); see also United
States v. Cardenas Alvarado, 806 F.2d 566, 572 (5th Cir. 1986). Thus, because
Ross testified, he could be impeached by his own pre-arrest silence.
49See United States v. York, 830 F.2d 885, 895-96 (8th Cir. 1987)
(prosecutor may comment on the inconsistency between non-testifying
defendant's pre-arrest silence and his trial defense), cert. denied, 484 U.S.
1074 (1988); but see United States ex rel. Savory v. Lane, 832 F.2d 1011,
1017-19 (7th Cir. 1987) (admission of evidence of non-testifying defendant's
pre-arrest silence was error, but harmless); United States v. Davenport, 929
F.2d 1169, 1174 (7th Cir. 1991) ("it violates the self-incrimination clause to
allow into evidence testimony that the defendant refused to give a statement
to the police when first approached by them," citing Lane), cert. denied, 112
S. Ct. 871 (1992). The Seventh Circuit recently limited Lane's scope to those
situations in which the defendant is completely silent, as opposed to
situations in which the defendant answers some questions and then refuses to
answer others. Davenport, 929 F.2d at 1174-75. The court also found that if
there was error, it was harmless. Id. at 1175.
50See United States v. Cardenas Alvarado, 806 F.2d 566, 572 (5th Cir.
1986) ("if testimony relates to pre-arrest silence, the Constitutional claim
has no merit").
50

prosecution did point out Collins's failure to provide a
legitimate explanation for the presence of the money in his
chambers, this was merely an inference drawn from the fact that
Collins affirmatively had denied having any business deals with
Ross.51 We therefore find that the prosecutor commented on
Collins's pre-arrest statements, not his silence, and that it was
proper for the prosecutor to point out the inconsistency between
51Specifically, on two separate occasions Collins affirmatively denied
having any business dealings with Ross. The first was during the ride to the
courthouse. The testimony of Agent Cleveland was as follows:
Q: Did [Collins] say anything about whether he had accepted
money from John Ross for Gary Young's sentencing?
A: He said he accepted no money at all from John Ross
concerning sentencing or any other reason.
Q: Did he say anything about whether he had any business or
financial dealings with John Ross?
A: Yes, sir. He said he had none.
The second denial occurred in Collins's chambers. The testimony of
Agent Cleveland was as follows:
Q: Did you serve [the] subpoena on him?
A: Yes.
. . .
Q: When you gave Judge Collins this subpoena where was he?
A: He was in his chambers.
. . .
Q: When you gave Judge Collins the grand jury subpoena what
did he do?
A: He read the attachment [that listed the documents
requested].
. . .
Q: Did he make any response to it?
A: Yes, sir.
Q: What did he say?
A: In reference to the . . . second paragraph requesting
any and all documents . . . concerning the real estate or personal
financial transaction [between him and Ross], he said he had no
records because none existed as he had none of these.
Q: Had none of these transactions with whom?
A: John Ross.
Collins argues that by referring to the $16,000 and then asking, "Are
you going to tell me that he isn't capable at that moment . . . from saying
[']Let me tell you what it's all about[']?" (emphasis added), the prosecutor
was "specifically confin[ing]" his commentary "to the scene in chambers" when
the money was discovered, as opposed to the ride to the courthouse. From
this, Collins argues that "it necessarily follows that the jury would . . .
assume that [the prosecutor] was referring to the Judge's silence . . . in
chambers." But, as the above testimony indicates, Collins did make
affirmative denials in chambers.
51

the statements and Collins's trial defense.52
X.
An order authorizing a wiretap, like an ordinary search
warrant, must be supported by a finding of probable cause.
United States v. Gonzales, 866 F.2d 781, 786 (5th Cir.), cert.
denied, 490 U.S. 1093 (1989). The defendants argue that the
application for the first wiretap "completely lacked probable
cause" and that therefore all information obtained thereby and by
subsequent wiretaps should have been suppressed.53
The defendants argue that the application for the wiretap
was flawed because it (1) lacked "any indicia of reliability" for
Young; (2) contained "an abundance of stale information"; and
(3) contained "[a]t least one if not more deliberate falsehoods
or misstatements." The district court denied the motion to
suppress.
A.
The defendants essentially argue that the FBI failed to
inform Judge Duhé of material facts regarding Young's
reliability. They further argue that had Judge Duhé had access
to those facts, he would have discounted the information
contained in the application that was provided by Young, leaving
52Again, even if the prosecutor's comments were improper, any error
would be harmless. See supra n.47.
53 Presumably, the defendants are challenging Agent Cleveland's
application of May 18.
52

insufficient information upon which to base a finding of probable
cause.
The application stated that Young previously had served a
federal prison term for illegal drug offenses and now was
cooperating with federal authorities as part of a plea agreement
involving "various illegal drug offenses." The defendants argue
that the FBI should have included both a more detailed
description of Young's prior conviction and the fact that after
being sentenced, Young was brought before a federal grand jury to
testify under a grant of immunity but refused to testify. The
defendants point to no authority requiring the agents to provide
detailed information about an informant's criminal past (Indeed,
wiretap applications are often based upon information from
informants whose identity is unknown.), nor do they suggest that
the FBI deliberately misled Judge Duhé as to Young's criminal
past.
Moreover, there is no reason to think that inclusion of
additional information about Young's criminal past would have
made any difference. Judge Duhé was informed that Young was a
convicted drug dealer and that he now was cooperating pursuant to
a plea agreement. This was sufficient to inform Judge Duhé of
Young's reliability; the additional information would have been
merely cumulative.
As for the omission of the fact that Young had failed to
testify in a grand jury proceeding, this information would have
had little or no impact on Young's reliability. Such information
53

would only go to show Young's disinclination to give information
to the authorities; here, that was not a problem, as Young was
actively cooperating. We therefore reject the defendants'
arguments as to Young's reliability.
B.
The defendants also assert that the application contained
three lies. In order to obtain a hearing on allegedly deliberate
falsehoods contained in a wiretap application, the defendant is
required to make a substantial preliminary showing that the
application contains a false statement made knowingly or
intentionally, or with reckless disregard for the truth, and that
the statement is necessary for a finding of probable cause.
Franks v. Delaware, 438 U.S. 154, 155-56 (1978). The district
court found that the defendants did not make this showing.
1.
The
defendants
first
point
to
the
application's
characterization of the October 12, 1989, conversation between
Ross and Young, which was as follows: "Ross indicated that he
could help Young with Collins because of Ross's personal
relationship with Collins and also by giving Collins money." We
agree with the district court that this was an accurate summary
of the Young-Ross conversation.
The purpose of the meeting was to discuss whether Ross would
assist Young with his case if it came before Collins. Young had
54

paid Ross $2,500 on the previous day for his services. During
the meeting, Ross told Young about his influence over Collins and
instructed him to start "accumulating" because "big change" was
going to be required. In addition, in the midst of references to
money to be paid by Young, Ross stated, "I mean he would do it
for that . . . he'll do [it] . . . for something like that."
Ross also stated that in addition to "that," he would be asking
Collins for a personal favor.
Considering these statements in the context of the meeting,
the application's summary was accurate. Indeed, an experienced
agent
is
permitted
to draw reasonable inferences and
interpretations of statements in the context of a series of
conversations and events. As the district court concluded,
Cleveland, who applied for the wiretap, "has been an FBI agent
for 19 years, therefore, it was reasonable for him to infer from
the conversations on these two days, that defendant Collins was
to be given money. This is not a misstatement made in reckless
disregard of the truth." We agree.
2.
The second statement the defendants point to is the
following:
During this [October 12] meeting, Ross told Young that
for this assistance with Judge Collins it would take
one hundred thousand dollars ($100,000). (Review of
the tape recording of this conversation clearly shows
that the two men discussed money, but the specific
amount is unintelligible; Young has advised [the FBI]
that the amount discussed was one hundred thousand
dollars ($100,000).)[.]
55

During the September 29 meeting between Ross and Young, Young
stated, "I'll get you a hundred thousand dollars."54 During the
October 12 meeting, Ross confirmed that he previously had
discussed a particular figure with Young, stating that "[w]hen
you mention th)), that number to me . . . ." A few moments later,
Ross stated, "In this case, if you can do what you say you can
do, and I'm banking on that . . . ."55 Given that the application
readily admits that the specific amount was unintelligible on the
tape, we conclude that the application did not contain a
deliberate falsehood.
3.
Finally, the defendants focus on a statement in the
application that asserts that Ross told Young during their
October 12 conversation that Ross had "helped" another defendant
who had appeared before Collins. They argue that it was wrong
for the FBI to assume in its application that this "help" was
illegal. Again, this is a reasonable inference from the
conversation and the context of the meeting and does not
constitute a deliberate falsehood.
54 Cleveland became aware of the $100,000 figure months after submitting
the wiretap application, at which time the recording of the September 29
conversation was enhanced.
55 The defendants argue that money was not discussed, but we believe
this is a reasonable inference to be drawn from the statements.
56

C.
The defendants next argue that the application contained
"stale" information. Information may be considered stale if it
does not go toward showing "a long-standing, ongoing pattern of
criminal activity." United States v. Webster, 734 F.2d 1048,
1056 (5th Cir.), cert. denied, 469 U.S. 1073 (1984). In
particular, the defendants point to the affidavit's summary of
various allegations of bribery and corruption against Collins
that were raised during his confirmation hearing before the
Senate Judiciary Committee. The affidavit also contained a
summary of similar allegations against Collins that arose after
he was on the federal bench.56
We need not decide whether the information was "stale," as
we agree with the district court that deletion of the information
would not have affected the probable-cause determination. The
affidavit, as noted above, contained detailed information
concerning the conversations between Ross and Young that
56 The affidavit contained the following statements:
Collins served as an Orleans Parish Magistrate-Judge until
he was confirmed as a United States District Judge in May 1978.
During the FBI background investigation, there were allegations
that Collins was furnished prostitutes and other gifts by some
bondsmen and attorneys in exchange for favorable consideration at
bond hearings . . . . It was also alleged that in 1971 Collins
had received part of a forty thousand dollar ($40,000) cash
payment used to buy votes for Edwin Edwards in a gubernatorial
primary election. After inquiring at length into these
allegations, the Senate Judiciary Committee approved Collins'
appointment.
[A]nother FBI file . . . reflects an allegation, received in
May 1986, that in late 1982 or early 1983 Judge Collins accepted a
five thousand dollar ($5,000) bribe to allow an appeal bond to [a]
convicted narcotics trafficker . . . . Investigation failed to
substantiate the allegation, and the United States Department of
Justice's Public Integrity Section declined prosecution because of
insufficient evidence.
57

implicated Collins. If the authorizing judge uses "common sense
and bases [his] finding upon the entire picture presented to
[him]," the determination is conclusive in the absence of
arbitrariness. Gonzales, 866 F.2d at 786. We find no such
arbitrariness here.
D.
The defendants also argue that the application failed to
meet the dictates of 18 U.S.C. § 2518(1)(c), which requires a
wiretap application to include a "full and complete statement as
to whether or not other investigative procedures have been tried
and failed or why they reasonably appear to be unlikely to
succeed if tried or to be too dangerous." We have held that the
purpose of this section "is not to foreclose electronic
surveillance until every other imaginable method of investigation
has been unsuccessfully attempted." Webster, 734 F.2d at 1055.
Rather, the section "is designed to inform the issuing judge of
the difficulties involved in the use of conventional techniques
and to insure that wiretapping is not resorted to in a situation
in which traditional investigative techniques will suffice to
expose crime." Id.
With these considerations in mind, we have held that "[i]t
is enough if the affidavit explains the prospective or
retrospective failure of several investigative techniques that
reasonably suggest themselves." United States v. Hyde, 574 F.2d
856, 867 (5th Cir. 1978). The application in this case met this
58

standard.
Among other things, it stated that physical surveillance of
Ross and others would show that meetings were taking place but
would not supply the content of those meetings. It also stated
that consensual monitoring (as that used with Young) would be
impossible, as it was unlikely that Young was going to be present
during the "ultimate illegal activity that is expected to occur"
between Ross and Collins. Finally, it stated that it was
unlikely that any written records would be kept of the meetings
between Ross and others. This is more than sufficient
information to meet the requirements of section 2518(1)(c).57
XI.
Ross received the pattern jury instruction for entrapment58
57 As the defendants directly challenge only the first wiretap
application, which we find to be sufficient, we need not consider the adequacy
of subsequent applications.
58 The court instructed the jury as follows:
Defendant Ross has asserted that he was the victim of
entrapment. Where an individual has no previous intent or purpose
to violate the law, but is induced or persuaded by law enforcement
officers, or by their agents, to commit a crime, that person is a
victim of entrapment, and the law as [a] matter of policy forbids
that person's conviction on such a case. On the other hand, where
an individual already has the readiness and the willingness to
break the law, the mere fact that the government agents provide
what appears to be a favorable opportunity is not entrapment. For
example, it is not entrapment for a government agent to pretend to
be someone else, and to offer, either directly or through some
informer or other individual, the opportunity to engage in an
unlawful transaction.
If you should find beyond a reasonable doubt from all the
evidence in the case that, before anything at all occurred
relating to the alleged offense involved in this case, that the
defendant Ross was ready and willing to commit a crime as charged
in the indictment whenever the opportunity was afforded, and that
the government officers or their agents did no more than offer the
opportunity, then you should find defendant Ross is not a victim
of entrapment. On the other had, if the evidence in the case
(continued...)
59

that has been upheld on numerous occasions. See United States v.
Martinez, 894 F.2d 1445, 1450 (5th Cir.), cert. denied, 111
S. Ct. 351 (1990); United States v. Johnson, 872 F.2d 612, 622
(5th Cir. 1989). He contends that the jury should have been
instructed that he was maintaining his innocence and in the
alternative was claiming that he was entrapped. He bases this
argument upon Matthews v. United States, 485 U.S. 58 (1988).
Matthews holds that the jury must be given an instruction on
entrapment when there is sufficient evidence from which a jury
could find entrapment, even when the defendant denies culpability
for the crime. Id. at 62. Matthews speaks to when an entrapment
instruction should be given, not to what that instruction should
say. Matthews thus is inapplicable, as Ross received an
entrapment instruction.
Moreover, the jury repeatedly was told that the defendants
were denying culpability; indeed, that was the essence of the
trial. It thus was not necessary for the court specifically to
tell the jury, in its entrapment instruction, that Ross was
denying culpability. See United States v. Fotovich, 885 F.2d
241, 242 (5th Cir. 1989) (sufficiency of jury charge is
determined by looking at the entire jury charge in the total
context of trial), cert. denied, 493 U.S. 1034 (1990).
(...continued)
should leave you with a reasonable doubt as to whether or not
defendant Ross had a previous intent or purpose to commit the
offense charged, apart from the inducement or persuasion of the
officer or agent, then it would be your duty to find defendant
Ross not guilty. The burden is on the government to prove beyond
a reasonable doubt that defendant Ross was not entrapped.
60

XII.
The defendants challenge the computation of their sentence.
The guidelines establish a base offense level of 10 for
"[o]ffering, [g]iving, [s]oliciting, or [r]eceiving a [b]ribe,"
U.S.S.G. § 2C1.1(a), and permit an eight-level enhancement if the
offense involves a payment for the purpose of "influencing an
elected official or any official holding a high level decision-
making or sensitive position." Id. § 2C1.1(b)(2)(B).
But sections 2C1.1(a) and (b) do not apply in all cases. At
the time the defendants were sentenced, section 2C1.1(c)(1)
stated,
If the bribe was for the purpose of concealing or
facilitating
another
criminal
offense,
or
for
obstructing justice in respect to another criminal
offense, apply §2X3.1 (Accessory After the Fact) in
respect to such other criminal offense if the resulting
offense level is greater than that determined [by using
§ 2C1.1(a) and (b)].59

Section 2X3.1 provides a base level offense of "6 levels lower
than the offense level for the underlying offense."
In this case, the "underlying offense" )) Young's conviction
for importing over 2,500 pounds of marihuana )) carries a base
offense level of 32. U.S.S.G. § 2D.1.1(6). Cross-referencing
the accessory-after-the-fact sentence to Young's offense level
produces a base offense level of 26, which is greater than the
59 The defendants were sentenced in September 1991. In November 1991,
this section of the guidelines was split into two sections, separating the
penalties for "facilitating" another offense (which is now U.S.S.G.
§ 2C1.1(c)(1)) and "concealing" or "obstructing justice in respect to" another
offense (which is now id. § 2C1.1(c)(2)). This change is not relevant here.
61

offense level of 18 produced by using section 2C1.1(a) and (b).
The district court utilized section 2C1.1(c)(1) and assigned
the defendants a base offense level of 26. It then gave them a
two-level enhancement pursuant to section 3C1.1, "Obstructing or
Impeding the Administration of Justice," yielding an offense
level of 28.60
Both defendants argue that the court should not have applied
the cross-reference to Young's offense, as that offense took
place prior to the effective date of the guidelines (November 1,
1987). In addition, Ross challenges the enhancement for
obstruction of justice under section 3C1.1.
A.
We find that the district court properly used the cross-
reference to Young's pre-guidelines offense in determining the
sentences.61 It is now well-established that "pre-Guideline
conduct may be considered in arriving at the Guideline offense
level." United States v. Parks, 924 F.2d 68, 72 (5th Cir. 1991).
Moreover, all of the defendants' conduct occurred after the
guidelines were in place. Thus, there are no ex post facto
60 Collins explicitly states in his brief that his sentence was enhanced
two levels for "obstruction of justice." It appears from the PSI and the
sentencing hearing, however, that the two-level enhancement was pursuant to
U.S.S.G. § 3B1.3, which permits a two-level enhancement when "the defendant
abused a position of public . . . trust . . . in a manner that significantly
facilitated the commission or concealment of the offense." This discrepancy
does not affect our analysis, however, as Collins's only ground for error in
the sentencing context is the cross-reference to Young's offense, which is
considered below.
61 We apply a de novo standard of review, as this issue involves an
interpretation of the guidelines. See United States v. Lara-Velasquez, 919
F.2d 946, 953 (5th Cir. 1990).
62

concerns here, as the punishment was set in place prior to any
culpable acts.
An analogous situation is presented when guideline penalties
cross-reference to state law violations, even though such
violations consist of conduct that is outside the scope of the
guidelines. Other circuits have upheld the state violation
cross-reference. See United States v. Willis, 925 F.2d 359, 360-
62 (10th Cir. 1991); United States v. Smith, 910 F.2d 326, 329-30
(6th Cir. 1990). As the Tenth Circuit has noted, "the cross
reference merely allows the sentence for the charged crime [that
falls under the guidelines] . . . to reflect the reality of the
crime." Willis, 925 F.2d at 361. Here, the defendants have
offered no other way in which a court could take into account the
seriousness of the underlying offense.
Collins points to the fact that Young, who was sentenced
under the pre-guidelines sentencing scheme, received only three
years' imprisonment, whereas Collins was sentenced to almost
seven years under the guidelines. But there is no inequity here:
Young committed a pre-guidelines offense; Collins did not.
B.
Ross objects to the district court's enhancement under
section 3C1.1 for obstruction of justice. Under this section,
the court may increase the offense level by two if the defendant
"willfully obstructed or impeded, or attempted to obstruct or
impede, the administration of justice during the investigation,
63

prosecution, or sentencing of the instant offense . . . ."
Application note 1 states that "[t]his provision is not intended
to punish a defendant for the exercise of a constitutional
right." It adds that "[a] defendant's denial of guilt (other
than a denial of guilt under oath that constitutes perjury) . . .
is not a basis for application of this provision." In applying
this provision, the court is instructed to evaluate alleged false
testimony "in a light most favorable to the defendant."
Ross argues that the enhancement placed an impermissible
burden on his right to testify. Yet, as noted above, the
guideline plainly contemplates that a district court may use the
enhancement when "a denial of guilt under oath . . . constitutes
perjury." Indeed, "there is no protected right to commit
perjury." United States v. Grayson, 438 U.S. 41, 54 (1978). The
guideline section is tailored to protect a defendant's right to
testify, while still permitting sentencing courts to take into
account the fact that the defendant perjured himself. As we
recently have held, "[t]hough the court may not penalize a
defendant for denying his guilt as an exercise of his
constitutional rights [including the right to testify],
enhancement based upon perjury is permissible." United States v.
Goldfaden, 959 F.2d 1324, 1331 (5th Cir. 1992).62
62 Seven of the eight circuits that have considered whether the
enhancement impinges on the right to testify agree that it does not. See
United States v. Batista-Polanco, 927 F.2d 14, 22 (1st Cir. 1991); United
States v. Acosta-Cazares, 878 F.2d 945, 953 (6th Cir.), cert. denied, 493 U.S.
899 (1989); United States v. Barbosa, 906 F.2d 1366, 1369 (9th Cir.), cert.
denied, 111 S. Ct. 394 (1990); United States v. Keys, 899 F.2d 983, 988 (10th
Cir.), cert. denied, 111 S. Ct. 160 (1990); United States v. Matos, 907 F.2d
(continued...)
64

Ross also contends that the court failed to evaluate his
testimony "in a light most favorable" to him in accordance with
the application note. In United States v. Garcia, 902 F.2d 324,
326 (5th Cir. 1990), we suggested that "this note does not
require the sentencing court to believe the defendant, but
`simply instructs the sentencing judge to resolve in favor of the
defendant those conflicts about which the judge, after weighing
the evidence, has no firm conviction.'" (Citation omitted.) In
this case, the district court apparently had no conflicts to
resolve, as it noted that "from the evidence which [it] heard"
during trial, "an application of the adjustment" for obstruction
of justice was "appropriate."63 We find no error.
XIII.
In summary, we refuse to create a "federal judge exception"
to the general rule that reasoned suspicion is not required
before federal authorities may commence an investigation. We
(...continued)
274, 276 (2d Cir. 1990); United States v. O'Meara, 895 F.2d 1216, 1220 (8th
Cir.), cert. denied, 111 S. Ct. 352 (1990); United States v. Wallace, 904 F.2d
603, 604-05 (11th Cir. 1990) (per curiam). But see United States v. Dunnigan,
944 F.2d 178, 183 (4th Cir. 1991), cert. granted, 112 S. Ct. 2272 (1992).
Dunnigan distinguishes Grayson on the ground that that case addressed a
pre-guidelines realm in which the sentencing court had broad discretion to be
lenient. 944 F.2d at 184. We find that this is not a distinguishing factor,
as the guideline plainly requires that the court evaluate the allegedly false
testimony in the light most favorable to the defendant. In addition, the
guideline is not designed to punish a defendant for exercising his
constitutional right; nor is it designed to apply to denials of guilt "other
than a denial of guilt under oath that constitutes perjury."
63 Thus, the court based the enhancement not upon "the mere fact that
the jury returned a verdict of guilty," as Ross suggests, but rather upon its
own evaluation of the evidence. See United States v. Benson, 961 F.2d 707,
709 (8th Cir. 1992) (enhancement may not be based "solely upon [the
defendant's] failure to convince the jury").
65

also conclude that the government's conduct was not so outrageous
in this case as to constitute a due process violation. In
addition, we find that the defendants failed to show that they
were victims of selective prosecution.
We hold that the government's commencement of a telephone
survey did not violate the defendants' due process rights. Nor
were the defendants deprived of a fair and impartial jury because
of juror misconduct. We also conclude that the government did
not violate Batson in exercising its peremptory strikes. In
addition, we find no violation of Miranda, as the defendants were
not in custody when they made the incriminating statements.
Finally, we conclude that the prosecutor did not improperly
comment on Collins's failure to testify, nor did he improperly
comment on Collins's pre-arrest silence. In addition, we find
that the wiretap application was sufficient, as was the court's
entrapment instruction. The district court did not err in
sentencing the defendants. The judgments of conviction and
sentence therefore are AFFIRMED.
66

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