Justia Criminal Law Opinion Summaries

Articles Posted in US Court of Appeals for the Third Circuit
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In 2012, Lewis was convicted of possession with intent to distribute marijuana under N.J. Stat. 2C:35-5. In 2020, Lewis pleaded guilty in federal court to unlawful possession of a firearm 18 U.S.C. 922(g). Section 922(g) carries an increased base offense level for a defendant convicted of a prior “controlled substance offense,” U.S.S.G. 2K2.1(a)(4)(A), under federal or state law. Lewis argued that only a conviction related to a substance listed in the Controlled Substances Act (CSA), 21 U.S.C. 801, qualified as a “controlled substance offense.” The CSA at the time of Lewis’s federal sentencing defined marijuana more narrowly than did New Jersey law at the time of his state conviction. In 2018, Congress amended the CSA’s definition of “marihuana” to exclude hemp. In 2019, New Jersey followed suit. The government argued that substances regulated by state law are controlled substances under the Guidelines, even if they are not regulated by federal law. The district court agreed with Lewis.The Third Circuit vacated. The meaning of “controlled substance” in U.S.S.G. 4B1.2(b)’s definition of “controlled substance offense” includes drugs regulated by state law at the time of the predicate state conviction, even if they are not federally regulated or are no longer regulated by the state at the time of the federal sentencing. Marijuana, including hemp, was regulated by New Jersey at the time of Lewis’s predicate state conviction; the district court erred in declining to apply the 2K2.1(a)(4)(A) enhancement. View "United States v. Lewis" on Justia Law

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Philadelphia officers Kling and Nestel stopped Gallman for running a stop sign and recovered a firearm from Gallman’s passenger. Officer Rosinski moved Gallman to the patrol car. Kling discovered a firearm near Gallman's driver’s seat. Gallman, previously convicted of first-degree robbery, was charged with possession of a firearm by a felon, and unsuccessfully moved to suppress the evidence. During the hearing, the government informed the court that there was an open Internal Affairs Division (IAD) investigation about Rosinski’s failure to call a supervisor to a traffic stop. The government also supplied an IAD memorandum regarding a racial profiling complaint against Rosinski and Stout, who was also present at the Gallman stop. That matter was closed before Gallman’s arrest; the allegation was unfounded.Following COVID-19 protocol, Gallman's trial was conducted in one courtroom and video-streamed to another where the public and Gallman’s family were seated. Outside the presence of the jury, the court asked Gallman whether he wanted to stipulate his prior conviction and discussed the pending Rosinski IAD investigation.The Third Circuit affirmed Gallman’s conviction. Closing the video stream during the sessions away from the jury did not constitute reversible error; it was not “clear under current law” that the Sixth Amendment public-trial right applied to those proceedings. The closures here were brief and resulted from pandemic protocol challenges rather than any substantive decision. Some of the topics discussed were also discussed in open court. Nor did the court abuse its discretion in admitting evidence of Gallman’s prior conviction. View "United States v. Gallman" on Justia Law

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Heinrich undressed two preschool girls, manipulated them into positions, and took pictures of their genitals. When the girls reported the incident, police found the photos and video of the girls as well as the other child pornography on Heinrich’s electronic devices, although Heinrich had tried to delete the images of the girls. He admitted that he had taken the pictures. Charged with 15 counts of producing child pornography, 18 U.S.C. 2251(a), and one count of possessing child pornography, section 2252(a)(4)(B). Heinrich argued that he lacked the mental state required by 2251(a) because he was trying to show beauty and innocence, not “sexually explicit conduct.” Heinrich tried to present an expert psychological report that concluded, his “painful history as a ‘damaged’ child led him to capture on film what he inappropriately saw as images of beauty, purity, and innocence.”The Third Circuit affirmed his convictions. The report is inadmissible because, under the statute, his reason for taking the pictures is irrelevant; punishes those who orchestrate objectively sexually explicit conduct involving a minor in order to take pictures of that conduct. Heinrich did that. Defining the crime that way is constitutional: trying to expose children’s genitals is in itself usually blameworthy. View "United States v. Heinrich" on Justia Law

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Kwasnik was an estate-planning attorney who convinced clients to open irrevocable family trusts in order to avoid federal and state taxes and to ensure that they earned interest on the funds. Kwasnik named himself as a trustee, with authority to move assets into and out of the trust accounts. He received the account statements. In reality, Kwasnik moved the funds from his clients’ trust accounts to accounts of entities that he controlled. Within days, the funds were depleted. Clients were defrauded of approximately $13 million.Kwasnik pleaded guilty to money laundering, 18 U.S.C. 1956(a)(1)(B)(i), then moved to withdraw his plea. The district court denied the motion and sentenced him. Kwasnik then filed a notice of appeal. He later filed three more post-appeal motions in the district court concerning his guilty plea. The court denied them. The Third Circuit affirmed with respect to the denial of the first motion. The district court did not abuse its discretion in finding that Kwasnik did not have “newly discovered” evidence. The court declined to consider the others. A party must file a new or amended notice of appeal when he seeks appellate review of orders entered by a district court after he filed his original appeal, Fed.R.App.P. 4(b). View "United States v. Kwasnik" on Justia Law

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Convicted of wire fraud, for his scheme to defraud Gains Capital, Banks was sentenced to 104 months’ imprisonment. Banks made fraudulent deposits of $324,000 and unsuccessfully executed 70 withdrawals/transfers totaling $264,000. Gain Capital, however, did not transfer any to Banks and suffered no loss.The Third Circuit remanded for resentencing. The district court erred in applying the loss enhancement to the U.S.S.G. fraud guideline. The loss enhancement in the Guideline’s application notes impermissibly expands the word “loss” to include both intended loss and actual loss. The court affirmed the conviction, rejecting an argument that the court erred in denying Cross his constitutionally protected right to self-representation. The court predicated its finding that Banks could not understand the risks of self-representation on Banks’s voluminous filings and the court’s own observations of Banks over several years, including his “unrelenting and persistent focus on CIA-managed ‘voice-to-skull’ technology, a construct as to which he admits he has no factual basis to conclude was ever applied to him.” The court properly concluded Banks could not knowingly and voluntarily waive his right to counsel. The court upheld special device-purchase and financial-transactions conditions of supervised release and a requirement that Banks participate in DNA collection. View "United States v. Banks" on Justia Law

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Investigating drug trafficking based on the report of a confidential informant, the police entered the homes of both Alexander and his girlfriend, without search warrants. Officers entered Alexander’s home and secured the premises, then waited to conduct a search until a warrant was issued. At Alexander’s girlfriend’s home, they secured the premises and were applying for a warrant, which was all but certain to issue, when they received what they understood as consent to a search. Alexander was charged with possession with intent to distribute 28 grams or more of cocaine base, 21 U.S.C. 841(a)(1), (b)(1)(B); possession with intent to distribute cocaine; possession of a firearm in furtherance of a drug trafficking crime, 18 U.S.C. 924(c)(1)(A)(i); and possession of a firearm by a prohibited person, 18 U.S.C. 922(g)(1), 924(a)(2).The Third Circuit affirmed the denial of Alexander’s motion to suppress, citing the inevitable discovery exception to the exclusionary rule. There was probable cause to believe Alexander had cocaine and drug-dealing paraphernalia in both houses. Officers had reason to believe that Alexander had been tipped off so that evidence of drug dealing would be imminently destroyed. Exigent circumstances justified the officers entering without a warrant; the search of Alexander’s residence was valid because a warrant was properly issued. View "United States v. Alexander" on Justia Law

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In 2012, the DEA, the FBI, and the Chester Police Department initiated a joint investigation of a drug trafficking conspiracy (DTG) that employed confidential informants, controlled purchases of narcotics, surveillance, pole cameras, pen registers, and court-authorized wiretaps. To facilitate their drug trafficking, members of the DTG illegally carried guns and stashed both drugs and guns in alleyways and in a playground.Some members pled guilty; the four Appellants, among others, were convicted on drug conspiracy and related charges. The Third Circuit affirmed their convictions and sentences. Any improper expert testimony in violation of Rule of Evidence 704(b) was harmless error in light of the evidence that supports the Appellants’ membership in the conspiracy. The court rejected claims that the district court erred in its instructions and interrogatories to the jury concerning the quantity of drugs for which they were held responsible and erred in admitting evidence of firearms and acts of violence in the vicinity of the DTG’s territory during the period of the conspiracy. The court properly calculated the sentences, considering career offender status, acceptance of responsibility, firearms enhancements, and drug quantities attributable to the Appellants. View "United States v. Womack" on Justia Law

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A York, Pennsylvania woman told law enforcement that Dyer had attacked her with a handgun, trafficked women, and sold drugs from his house. They obtained a warrant to search Dyer’s home for “[f]irearms, illegal drugs, [and] cell phones” after a search of his criminal history revealed that Dyer, a felon, may have possessed a firearm. Officers executed the warrant the following day; they found Dyer, who directed them to a firearm that matched the woman's description. They also seized “the Box” containing pills, drug packing materials, and ID” from a shelf in Dyer’s son’s bedroom. ATF Agents obtained another warrant to search Dyer’s residence, garage, and the surrounding curtilage for drugs and drug paraphernalia; they found pentylone capsules (bath salts), and digital scales with cocaine residue.Charged with knowingly possessing a firearm as a convicted felon, possession of a firearm in furtherance of a drug trafficking crime, criminal conspiracy to distribute and possess pentylone with the intent to distribute, and possession of pentylone with the intent to distribute. Dyer moved to suppress all the evidence. The court ultimately refused to exclude the firearm properly seized during the first search and the drugs, digital scales, and packaging seized during the second search. Dyer pled guilty to the felon in possession of a firearm charge, Dyer appealed the admission of the Box. The Third Circuit affirmed. The Box was immaterial to his case and admitting it was at most harmless error. View "United States v. Dyer" on Justia Law

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Clark, a JTVCC inmate, was treated for schizophrenia and bipolar disorder at the prison for at least 10 years, a fact of which the prison officials were aware. Despite having few disciplinary “points” on his record and no security classification meriting solitary confinement, Clark remained in the unit for seven months, alone in his cell except for three one-hour intervals per week. Clark was not allowed to work or participate in educational or religious services. He was permitted only four phone calls and four visitors per month. Inmates must “earn their way out” of solitary confinement; while in isolation, Clark would “yell and bang on the door." Prison officials considered these outbursts to be disciplinary incidents. When Clark questioned his confinement, he was put in the “naked room,” an isolation cell where he had only an open smock. Clark's mental illness caused behavior that was punished by conditions that furthered his deterioration. Clark experienced “increased hallucinations, paranoia, self-mutilation, sleeplessness, and nightmares.”Officials failed to abide by a policy requirement to consider his mental illness. Clark alleges they knew of the American Correctional Association study on the effects of solitary confinement on seriously mentally ill inmates. The study singled out JTVCC’s Warden, stating that he is not “open to change in regards to restrictive housing" regarding the mentally ill. The Third Circuit reversed the qualified immunity dismissal of Clark’s 42 U.S.C. 1983 suit. His allegations trigger established Eighth Amendment protection. View "Clark v. Coupe" on Justia Law

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In 1995, Range pleaded guilty to making false statements about his income to obtain $2,458 of food stamp assistance in violation of Pennsylvania law, a conviction that was classified as a misdemeanor punishable by up to five years’ imprisonment. Range was sentenced to three years’ probation, plus restitution, costs, and fines. Three years later, Range attempted to purchase a firearm but was rejected by the instant background check system. Range’s wife subsequently bought him a deer-hunting rifle. Years, later Range learned that he was barred from purchasing and possessing firearms because of his welfare fraud conviction. He sold his rifle to a firearms dealer and sought a declaratory judgment that 18 U.S.C. 922(g) violated the Second Amendment as applied to him. The section prohibits firearm ownership by any person who has been convicted of a crime punishable by imprisonment for a term exceeding one year—the federal definition of a felony.The district court rejected the suit, holding that the Second Amendment does not protect “unvirtuous citizens.” The Third Circuit affirmed. Based on history and tradition, “the people” constitutionally entitled to bear arms are “law-abiding, responsible citizens,” a category that properly excludes those who have demonstrated disregard for the rule of law through the commission of felony and felony-equivalent offenses, whether or not those crimes are violent. Even if Range fell within “the people,” the government demonstrated that its prohibition is consistent with historical tradition. View "Range v. Attorney General United States" on Justia Law