Document ID: s3://data.kl3m.ai/documents/govinfo/USCOURTS/USCOURTS-ca6-15-05852/USCOURTS-ca6-15-05852-0/pdf.json

Parties Involved:
Mark Justice
Appellant
United States of America
Appellee

Document Text:

NOT RECOMMENDED FOR FULL-TEXT PUBLICATION 

File Name: 17a0072n.06 

Nos. 15-5723/5852 

UNITED STATES COURT OF APPEALS 

FOR THE SIXTH CIRCUIT

UNITED STATES OF AMERICA, 

 Plaintiff-Appellee, 

v. 

RICHARD MEADE and MARK JUSTICE, 

 Defendants-Appellants. 

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ON APPEAL FROM THE UNITED 

STATES DISTRICT COURT FOR THE 

EASTERN DISTRICT OF KENTUCKY 

BEFORE: DAUGHTREY, CLAY, and COOK, Circuit Judges. 

 MARTHA CRAIG DAUGHTREY, Circuit Judge. The convictions in this case arose 

from the disguise and resale of stolen motorcycles. A jury found the defendants, Richard Meade 

and Mark Justice, guilty of conspiracy to commit money laundering, in violation of 18 U.S.C. 

§ 1956(h); concealing the proceeds of unlawful activity, in violation of 18 U.S.C. 

§ 1956(a)(1)(B)(i); and possessing vehicle parts with altered vehicle identification numbers 

(VINs), in violation of 18 U.S.C. § 2321. The defendants appeal, alleging principally that the 

indictment was invalid and that the district court made various errors in the admission and 

exclusion of evidence and in the jury instructions. We find no reversible error and affirm. 

FACTUAL AND PROCEDURAL BACKGROUND 

In 2011, federal prosecutors charged the defendants and eight others with conspiring to 

commit money laundering. They also charged Meade and Justice with “concealment money 

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laundering” and with receiving vehicle parts with altered VINs. The basic facts of the moneylaundering conspiracy are as follows: Greg Chapman and Jason Chapman stole motorcycles 

from South Dakota, South Carolina, and Florida, and transported them to Kentucky. These men 

and various co-conspirators then worked to hide the fact that the motorcycles were stolen by 

finding ways to conceal the VINs and other identifying information. In order to do this, the 

Chapmans and their crew would remove the VINs or replace the parts of the motorcycles that 

contained identifying information with new or salvaged parts. The purpose of replacing all of 

the parts that included identifying information was so the motorcycles could be retitled and 

resold. 

 The Chapmans sold motorcycles to Hertz Car Sales, run by defendant Meade. Meade 

then resold and transferred title on these motorcycles. The Chapmans also sold motorcycles to 

Midland Motors. Defendant Justice did not own Midland Motors, but the owners of Midland 

Motors stored motorcycles on Justice’s property, Justice was involved in approving the sales of 

motorcycles, and Justice left envelopes of cash at Midland Motors to pay the Chapmans for the 

motorcycles they delivered. 

 During its investigation, the government relied on several types of information to identify 

the stolen motorcycles. If the VIN was not apparent, the investigators looked for confidential 

markings located on the motorcycles. This confidential information included “secondary 

numbers” and “paint codes.” A secondary number is a unique number located on an undisclosed 

part of the motorcycle, for the purpose of identifying the motorcycle in situations, as here, where 

the original VIN is no longer intact. A paint code is a different number or marking, which can be 

used to identify the date that the motorcycle was manufactured. Harley Davidson maintains a 

database with information for all of the motorcycles it manufactures, and once the investigators 

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found secondary numbers or paint codes, they used that database to identify the original VIN. 

From there, the investigators searched to see if police reports had been filed for a motorcycle 

with that VIN. 

Prior to trial, seven of the co-conspirators entered guilty pleas to various charges, but 

these two defendants (and one other co-conspirator, George Ferguson) went to trial. A central 

issue leading up to the trial was whether or not information regarding the secondary numbers and 

paint codes, referred to throughout the record as “confidential manufacturer identification 

information,” had to be disclosed to the defendants. Based on a case summary prepared by one 

of the government experts, Detective Riley, the defendants moved for supplemental discovery of 

this information, which the government resisted. The district court granted the defendants’ 

discovery request, afterwards explaining that the court understood that Riley’s case summary 

“defin[ed] the information sought” by the defendants in their discovery request, a 

characterization to which the defendants did not object. One category of information that the 

court directed the government to produce was “the files and records of Harley-Davidson.” As 

explained by the district court, “instead of all the ‘files and records’ of the manufacturers that 

might somehow relate to the confidential vehicle identification . . . only those that fell within the 

Court’s specific definition as tied to the Riley Affidavit were required to be produced.” 

At the close of the proof at trial, the jury found both defendants guilty of the moneylaundering conspiracy (Count 1), Meade guilty of two counts of concealment money laundering 

(Counts 3 and 7), and Justice guilty of one count of concealment money laundering (Count 5). 

Each defendant was also found guilty of one count of possessing or receiving vehicle parts with 

an altered VIN. Meade was sentenced to 24 months in prison, and Justice was sentenced to 

18 months. 

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DISCUSSION 

Sufficiency of the Indictment 

We review the sufficiency of an indictment de novo. United States v. Olive, 804 F.3d 

747, 752 (6th Cir. 2015). An indictment “must set out all of the elements of the charge[d] 

offense” and “must be sufficiently specific to enable the defendant to plead double jeopardy in a 

subsequent proceeding, if charged with the same crime based on the same facts.” United States 

v. Douglas, 398 F.3d 407, 413 (6th Cir. 2005) (citation omitted) However, if a defendant does 

not challenge the indictment until after his or her conviction, which is the case here, the 

indictment must be “construed liberally in favor of its sufficiency,” Olive, 804 F.3d at 752 

(citation omitted), and “unless the defendant can show prejudice, a conviction will not be 

reversed where the indictment is challenged only after conviction unless the indictment cannot 

within reason be construed to charge a crime.” United States v. Gatewood, 173 F.3d 983, 986 

(6th Cir. 1999) (quoting United States v. Hart, 640 F.2d 856, 857-58 (6th Cir. 1981)). 

Specified Unlawful Activity 

The defendants argue that the substantive money laundering counts in the indictment 

were insufficient because the government did not allege that the properties involved in the 

financial transactions were the proceeds of a “specified unlawful activity.” To be guilty of 

concealment money laundering, a defendant must have conducted a financial transaction 

involving proceeds of a specified unlawful activity. 18 U.S.C. § 1956(a)(1)(B)(i). Specified 

unlawful activity includes “any act or activity constituting an offense listed in [18 U.S.C.] 

section 1961(1).” 18 U.S.C. § 1956(c)(7)(A). Therefore, in order to prove that the property 

involved in a financial transaction constituted proceeds of a specified unlawful activity, the 

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government must allege and prove that the property was the proceeds of one of the predicate 

offenses listed in § 1961(1). 

The indictment clearly stated that the property involved in the financial transaction “was 

the proceeds of a specified unlawful activity, that is, the interstate shipment of stolen vehicles.” 

This language refers to the criminal offense of transporting stolen vehicles under 18 U.S.C. 

§ 2312, which is a qualifying predicate offenses under § 1961(1). The defendants argue, 

however, that § 2312 criminalizes only the interstate transportation of vehicles that are known to 

be stolen, and because the indictment alleges that the specified unlawful activity was “the 

interstate shipment of stolen vehicles,” it fails to allege a specified unlawful activity. 

Although not stated explicitly in the briefing, the defendants seem to imply that the 

government was required to allege each element of the predicate offense in order to allege 

sufficiently each element of § 1956(a)(1)(B)(i); however, they cite no authority for this 

proposition, and our precedent indicates that the failure to allege all elements of a predicate 

offense does not undermine the sufficiency of the indictment, as long as the indictment properly 

gives the defendant notice of the charges and enough information to protect against double 

jeopardy. See, e.g. United States v. Kuehne, 547 F.3d 667, 696 (6th Cir. 2008) (finding that an 

indictment need not specify the predicate drug-trafficking offense when charging a defendant 

with using a firearm during the commission of a drug-trafficking offense under 18 U.S.C. 

§ 924(c)(1)); United States v. Paulino, 935 F.2d 739, 750 (6th Cir. 1991) (“Moreover, although 

Count III does not list specific predicate acts, it states the time frame in which the acts occurred, 

which would satisfy any double jeopardy concerns.”). 

The indictment not only alleged each element of the offense intended to be charged—

concealment money laundering—but also protected the defendants against double jeopardy by 

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informing them of the timeframe during which the criminal acts were alleged to have taken place 

and identifying the criminal act underlying the claim as the interstate transport of stolen 

motorcycles. The indictment can be read to allege a crime, especially when liberally construed, 

and because the defendants have not specified how the failure to allege each element of the 

predicate offense caused them prejudice, reversal is not warranted. 

In their reply brief, the defendants also argue that the indictment further failed to state an 

offense because the defendants did not participate in the specified unlawful activity listed in the 

indictment. However, “[a]n argument raised for the first time in a reply brief will not be 

considered by this Court.” Overstreet v. Lexington-Fayette Urban Cty. Gov’t, 305 F.3d 566, 578 

(6th Cir. 2002). Additionally, this argument is completely without merit based on the clear 

language of the statute. Although 18 U.S.C. § 1956(a)(1)(B)(i) does rely on the occurrence of a 

predicate offense, the charged party need not have been responsible or involved in the offense – 

they simply had to conduct a financial transaction “knowing that the property involved in [the] 

financial transaction represents the proceeds of some form of unlawful activity.” 18 U.S.C. 

§ 1956(a)(1) (emphasis added). 

Proceeds of the Specified Unlawful Activity 

Next, the defendants take issue with the specific type of proceeds identified by the 

indictment. As explained above, one element of the crime of concealment money laundering is 

that the financial transaction at issue involved the proceeds of a specified unlawful activity. The 

indictment specified that, in this case, the proceeds were stolen motorcycles, which the 

defendants now argue are not the type of “proceeds” referred to in § 1956(a). 

The defendants are wide of the mark in making this argument. They are “not so much 

contending that the indictment fails to state an offense, but rather that [they] could not be guilty 

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under the statute” because motorcycles are not proceeds. United States v. Anderson, 605 F.3d 

404, 412 (6th Cir. 2010). The defendants were free to make this argument at trial, but the 

government was also free to charge in the indictment that motorcycles do constitute proceeds for 

purposes of the statute, and then to prove this point at trial. “The indictment need only set forth 

elements that, if proven, constitute a violation of the relevant statute.” Id. In addition, the 

defendants’ arguments as to why motorcycles cannot be proceeds under § 1956 are without 

merit. They contend, for example, that “proceeds” refers only to monetary instruments or funds, 

and that personal property, such as motorcycles, are not proceeds. The defendants do not cite 

case law supporting this proposition, and although the majority of money-laundering cases do 

involve proceeds such as cash or monetary instruments, the defendants’ interpretation is at odds 

with the clear language of the statute. 

First, whereas § 1956(a)(1) criminalizes certain transactions involving “proceeds of 

specified unlawful activity,” § 1956(a)(2) criminalizes transactions specifically involving 

“monetary instrument or funds.” 18 U.S.C. § 1956(a)(1)-(2). “Where Congress includes 

particular language in one section of a statute but omits it in another section of the same Act, it is 

generally presumed that Congress acts intentionally and purposely in the disparate inclusion or 

exclusion.” Russello v. United States, 464 U.S. 16, 23 (1983) (citation and brackets omitted). 

Second, § 1956(b) provides that anyone who conducts a transaction described in § 1956(a) could 

be liable to the United States for a civil penalty equal to “the value of the property, funds, or 

monetary instruments involved in the transaction,” which indicates that § 1956(a) was intended 

to criminalize not only transactions involving funds and monetary instruments but also other 

types of proceeds. 18 U.S.C. § 1956(b)(1)(A). Third, Congress defined the term “financial 

transactions” as transactions that (1) involve the movement of funds by wire or other means; 

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(2) involve one or more monetary instruments, or (3) involve the transfer of title to any real 

property, vehicle, vessel, or aircraft. 18 U.S.C. § 1956(c)(4). If the term “proceeds” in § 1956(a) 

was meant to refer only to monetary instruments or funds, the third type of financial transaction 

defined in the statute would be superfluous. The best interpretation of this statute is that 

“proceeds,” as used in § 1956(a), is not limited to monetary instruments and funds, but includes 

all property obtained through unlawful activity. 

Alternately, the defendants argue that after the Supreme Court’s decision in United States 

v. Santos, 553 U.S. 507 (2008), “proceeds” is to be defined as the profits from the specified 

unlawful activity. This argument reflects a misunderstanding of our application of Santos in this 

circuit. 

We have interpreted Santos to hold that “proceeds” means “profits” only when “the 

§ 1956 predicate offense creates a merger problem that leads to a radical increase in the statutory 

maximum sentence and only when nothing in the legislative history suggests that Congress 

intended such an increase.” United States v. Kratt, 579 F.3d 558, 562 (6th Cir. 2009). 

A “merger problem” occurs when nearly every violation of the predicate offense would also be a 

violation of the money-laundering statute. Olive, 804 F.3d at 756-757. Using the situation in 

Santos as an example, “if ‘proceeds’ meant ‘receipts,’ nearly every violation of the illegal-lottery 

statute would also be a violation of the money-laundering statute, because paying a winning 

bettor is a transaction involving receipts that the defendant intends to promote the carrying on of 

the lottery.” Id. 

When determining whether “proceeds” should be defined as “profits,” we engage in a 

three part inquiry: (1) is there a merger problem? (2) does this problem lead to a radical increase 

in the statutory maximum sentence? and (3) does the legislative history fail to show that 

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Congress intended the increase? Jamieson v. United States, 692 F.3d 435, 440 (6th Cir. 2012). 

“Proceeds” is defined to mean “profits” only when all three questions can be answered 

affirmatively. Id. The predicate offense in this case, 18 U.S.C. § 2312, criminalizes 

“transport[ing] in interstate or foreign commerce a motor vehicle, vessel, or aircraft, knowing the 

same to have been stolen.” Unlike the illegal-lottery statute, defining “proceeds” as gross 

receipts rather than profits would not result in a merger between § 2312 and the moneylaundering statute. An individual can transport stolen motorcycles across state lines without ever 

engaging in money laundering—this result is true regardless of how “proceeds” is defined. 

Because there is no merger issue in this case, the district court was not required to interpret 

“proceeds” to mean “profits.” 

Conspiracy Count 

The defendants argue that Count One of the indictment, which charges the defendants 

with conspiracy to commit money laundering under § 1956(h), is insufficient because it 

“misstat[es] and selectively incorporate[s] elements from two different statutes, neither of which 

would have applied on their own.” Count One alleges that the defendants: 

[C]onspire[d] together and with others to knowingly conduct and engage in financial 

transactions in criminally derived property, affecting interstate and foreign 

commerce, which, as known by the defendants, involved the proceeds of a specified 

unlawful activity, that is, interstate shipment of stolen vehicles, knowing the 

transaction was designed in whole and in part to conceal and disguise the nature, 

location, source, ownership, and control of the proceeds of said specified unlawful 

activity, in violation of 18 U.S.C. § 1956(a)(1)(B)(i), all in violation of 18 U.S.C. 

§ 1956(h). 

The defendants’ argument centers on one phrase included in the indictment: “criminally derived 

property.” This phrase is present in § 1957, not § 1956, but the government included it—

admittedly, in error—when describing the money laundering provision that the defendants 

allegedly violated. The defendants argue that by including this phrase, the government failed to 

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allege that the defendants agreed to commit the crime of money laundering; instead, they say, the 

government hybridized § 1956 and § 1957 and alleged that the defendants agreed to commit a 

“non-existent offense.” 

The defendants appear to believe, mistakenly, that an indictment charging § 1956(h) must 

not only allege that the defendants agreed to violate the money-laundering statute but must also 

allege each element of the specific money-laundering crime at issue. This position is unfounded, 

as “[i]t is well settled that in an indictment for conspiring to commit an offense—in which the 

conspiracy is the gist of the crime—it is not necessary to allege with technical precision all the 

elements essential to the commission of the offense which is the object of the conspiracy.” 

United States v. Reynolds, 762 F.2d 489, 494 (6th Cir.1985) (citing Wong Tai v. United States, 

273 U.S. 77, 81 (1927). The indictment must allege that two or more people agreed to commit 

some form of money laundering, but the precise elements of the specific money-laundering 

crime are not required. 

Moreover, in this case the government does allege each element of the specific moneylaundering crime at issue. The crime of concealment money laundering under § 1956(a)(1)(B)(i) 

has three elements: (1) that the defendant conducted a financial transaction that involved the 

proceeds of a specified unlawful activity, (2) that the defendant knew the property involved was 

proceeds of unlawful activity, and (3) that the defendant knew that the transaction was designed 

in whole or in part to conceal or disguise the nature, location, source, ownership, or control of 

the proceeds of specified unlawful activity. 18 U.S.C. § 1956(a)(1)(B)(i). The indictment 

alleges that the defendants conspired to “conduct and engage in financial transactions in 

criminally derived property, affecting interstate and foreign commerce, which, as known by the 

defendants, involved the proceeds of a specified unlawful activity,” satisfying each of the first 

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two elements, and that the defendants knew that “the transaction was designed in whole and in 

part to conceal and disguise the nature, location, source, ownership, and control of the proceeds 

of said specified unlawful activity,” satisfying the third element. The indictment can be 

construed to charge a crime, as it alleges not only the elements of the conspiracy offense, but 

also the underlying money-laundering crime. 

To succeed in this claim, the defendants must therefore show that inclusion of the phrase 

“criminally derived property” in the indictment somehow prejudiced them. The government 

argues that this phrase may be ignored as surplusage, but of course not all surplus language is 

harmless and non-prejudicial. See Payne v. Janasz, 711 F.2d 1305, 1312 (6th Cir. 1983). “[A]n 

analysis of surplus words in an indictment is necessarily a nebulous task which requires us to 

speculate as to the effect of semantic irregularities on the trial process.” Id. 

Here, the indictment alleged that the defendants knew that the property at issue 

constituted the “proceeds of a specified unlawful activity” and also that the defendants knew that 

the property was “criminally derived property,” defined by 18 U.S.C. § 1957 as “any property 

constituting, or derived from, proceeds obtained from a criminal offense.” 18 U.S.C. 

§ 1957(f)(2). The defendants do not explain why alleging that the defendants knew the property 

was the proceeds of specified unlawful activity, as well as criminally derived property, was 

prejudicial. Based on the definition of the terms, the “proceeds of specified unlawful activity” 

likely qualify as “criminally derived property” in the majority of cases. This phrase was not 

included in the jury instructions, and because the phrase “did not change the nature of the offense 

charged or obscure the other language of the indictment,” the government correctly asserts that it 

can be ignored as surplusage. Payne, 711 F.2d at 1313. 

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Jurisdiction of District Court 

The defendants argue that because the indictment was insufficient, the district court did 

not have jurisdiction over these claims. But, as explained above, their arguments about why the 

indictment was insufficient are without merit. In addition, defects in an indictment do not 

deprive a court of jurisdiction to adjudicate a case. United States v. Cotton, 535 U.S. 625, 630-

31 (2002). 

Admission of Police Reports 

 Next, the defendants contend that the district court violated their rights under the 

Confrontation Clause of the Sixth Amendment to the United States Constitution by admitting 

police reports into evidence. Generally, we review the district court’s evidentiary rulings for 

abuse of discretion, but challenges made under the Confrontation Clause are reviewed de novo. 

United States v. Warman, 578 F.3d 320, 345 (6th Cir. 2009). “The Confrontation Clause bars the 

admission of testimonial statements of a witness who did not appear at trial unless he was 

unavailable to testify, and the defendant had had a prior opportunity for cross-examination.” Id. 

at 345-46 (internal quotation marks and citation omitted). To trigger a violation of the 

Confrontation Clause, an admitted statement must be testimonial in nature and must be hearsay, 

defined as “a statement, other than one made by the declarant while testifying at the trial or 

hearing, offered in evidence to prove the truth of the matter asserted.” United States v. Gibbs, 

506 F.3d 479, 486 (6th Cir. 2007) (citing Fed. R. Evid. 801(c)). The government introduced 

police reports into evidence at trial that memorialized statements by the original owners of the 

motorcycles who reported their motorcycles stolen. The defendants argue that those statements 

were testimonial hearsay evidence and, therefore, that their admission was a violation of the 

Confrontation Clause. 

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A statement is testimonial if “a reasonable person would anticipate that his or her 

statement would later be used against the accused in investigating and prosecuting the crime.” 

Warman, 578 F.3d at 346 (internal quotation marks and citation omitted). Under this standard, 

the police reports at issue are undoubtedly testimonial, and the reports could not be offered by 

the government to “prove the truth of the matter asserted”—or, in other words, to prove that the 

bikes were in fact stolen—absent an opportunity for the defendants to cross-examine the 

individual who prepared the reports. However, the admission of a testimonial statement “does 

not necessarily trigger a violation of the Confrontation Clause.” Gibbs, 506 F.3d at 486. “In 

some circumstances, out of court statements offered for the limited purpose of explaining why a 

government investigation was undertaken have been determined not to be hearsay.” Id. (citing 

United States v. Martin, 897 F.2d 1368, 1371 (6th Cir. 1990)). “[E]vidence that is provided 

merely by way of background or is offered only to explain how certain events came to pass or 

why the officers took the actions they did, is not offered for the truth of the matter asserted.” 

Warman, 578 F.3d at 346 (internal quotation marks and citation omitted). Hence, statements 

offered to “establish[] a foundation for the evidence,” rather than as proof that the crime was 

committed, do not violate the Confrontation Clause. United States v. Davis, 577 F.3d 660, 667 

(6th Cir. 2009). 

In this case, the police reports were offered to support Detective Riley’s testimony, by 

which he explained that he and his team identified potentially stolen motorcycles based on 

suspicious title and registration documents. To determine the origin of the motorcycles, Riley 

would run a search using data from the National Crime Information Center and, if he got “a hit,” 

he would call the police agency that filed the police report and request a copy of it. Using the 

information on the report, Riley could locate the individual who reported the bike stolen and 

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determine whether the bike found in Kentucky matched the description of the lost bike. When 

admitted for this purpose, the police reports were not introduced as proof that the motorcycles 

were stolen; rather, as the government explained, the reports were offered to “corroborate the 

officer’s investigation . . . and reconstruct his investigative chain.” Thus, the district court did 

not err in allowing the police reports into evidence for the purpose of detailing the investigation 

of the stolen motorcycles. 

Admission of Expert Testimony 

The defendants argue that the district court erred in allowing three government witnesses 

to testify as experts. “We apply the abuse-of-discretion standard in reviewing a district court’s 

decision regarding the admissibility of expert testimony.” Best v. Lowe's Home Ctrs., Inc., 

563 F.3d 171, 176 (6th Cir. 2009). “A district court abuses its discretion if it bases its ruling on 

an erroneous view of the law or a clearly erroneous assessment of the evidence.” Id. (citing 

Brown v. Raymond Corp., 432 F.3d 640, 647 (6th Cir. 2005)). 

After a three-day Daubert hearing,1

 the district court issued an order qualifying three 

government witnesses as experts on “the techniques utilized to complicate and obscure 

motorcycle and motorcycle part identification” and “the methods used to uncover their true 

identity.” The defendants argue that this qualification was in error because the methodology 

employed by the witnesses in identifying motorcycles relied on confidential manufacturer 

information that had not been disclosed to the district court or the defendants. Thus, the 

defendants argue, the district court was not able to analyze thoroughly the reliability of the 

methodology, and the defendants themselves were unable to call other expert witnesses to 

dispute the reliability of the methodology at issue. 

 

1

 In Daubert v. Merrell Dow Pharm. Inc., 509 U.S. 579 (1993), the Supreme Court held that the Federal Rules of 

Evidence require the trial court judge to ensure that an expert’s testimony is both reliable and relevant before it may 

be admitted. 

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In its order qualifying the three witnesses as experts, the district court summarized the 

lengthy qualifications of each expert and found that under the Daubert standard, their 

methodology was both reliable and relevant. The district court also touched on the defendants’ 

concern regarding the confidential manufacturer identification information, stating that access to 

the confidential information at this point was not a “true cause for concern.” The order 

explained that the reliability of the defendants’ methodology was not based solely on their 

knowledge of confidential information, but rather on their years of experience in vehicle 

identification and, further, that the confidentiality of the secondary numbers bolstered their 

ability to identify motorcycles reliably. United States v. Chapman, No. 11-51-GFVT, 2012 WL 

6020105 (E.D. Ky. Dec. 3, 2012) 

 A trial court must have latitude in deciding whether an expert’s testimony is reliable and 

in how to test that reliability. Kumho Tire Co., Ltd. v. Carmichael, 526 U.S. 137, 152, (1999). 

In this case, the district court spent three days listening to the qualifications of each expert, 

learning about their experience in the field, and hearing them defend their methodologies for 

vehicle identification. At the beginning of the first day of the hearing, the defendants and their 

co-defendants raised the issue of the confidential manufacturer information to the district judge, 

who agreed to consider those concerns when determining the reliability of the evidence. 

Based on all of the information supplied, which included lengthy discussion of vehicle 

identification techniques that did not rely on any confidential information, as well as testimony 

about the general role of the confidential manufacturer information in vehicle identification, the 

district court found the testimony to be admissible as expert testimony. Moreover, the district 

court reminded the defendants that they were permitted to cross-examine the government’s 

experts and to present their own experts at trial. Despite the defendants’ challenges, there is no 

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evidence that the district court abused its discretion in qualifying the three government witnesses 

as experts. 

 Relatedly, the defendants argue that at trial one of the government’s experts, Detective 

Riley, exceeded the scope of his expertise. They contend that despite the district court’s finding 

that Riley was a “non-scientific” expert, he offered scientific testimony about “the quality of the 

sheet metal upon which he conducted an acid test to attempt to locate an obscured VIN on 

Motorcycle 43.” But because the defendants failed to object to this testimony during trial, 

review on appeal is for plain error only. See Fed. R. Evid. 103(a); Fed. R. Crim. P. 52(b). 

To obtain relief under the deferential plain-error standard of review, “the party 

challenging the evidentiary ruling must show that (1) there was an error that (2) was plain, 

(3) affected a substantial right, and (4) seriously affected the fairness, integrity, or public 

reputation of the judicial proceedings.” United States v. Nixon, 694 F.3d 623, 628 (6th Cir. 

2012). Here, the district court qualified Riley to testify on “techniques utilized to complicate and 

obscure motorcycle and motorcycle part identification,” which is exactly what Riley was doing 

in describing the sheet metal. Riley did not attempt to explain the chemical composition of the 

metal or the acid; he simply recounted his observations of a test used to identify vehicles. 

This testimony thus falls within the scope of expertise acknowledged by the district court, and no 

plain error resulted. 

 The defendants also challenge the admission of testimony regarding the confidential 

manufacturer identification information on constitutional grounds. Because this specific 

information was not disclosed to them, the defendants argue that this evidentiary decision 

violated their right to confrontation under the Sixth Amendment. The defendants argue that by 

not requiring the government experts to testify about the location of the confidential markings on 

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each motorcycle, the district court effectively prevented the defendants from confronting the 

witnesses against them. 

“The applicable standard of review for an evidentiary ruling of the district court where 

the evidentiary issues relate to a claimed violation of the Sixth Amendment is the de novo

standard.” United States v. Adams, 722 F.3d 788, 829 (6th Cir. 2013) (citation omitted). 

The government experts declined to identify the exact location of the secondary numbers, and 

the defendants argue that this refusal prevented them from establishing “that those charged 

should not be held accountable for their involvement with stolen motorcycles because they could 

not be expected to identify confidential markings confirming that the bike was stolen,” and from 

disputing “the accuracy of law enforcement’s conclusions that a particular bike or component 

was stolen.” It is not clear why the defendants believe they were prevented from making these 

arguments. The government experts provided substantial testimony related to these numbers, 

such as which parts of the motorcycles contained the identifiers and which did not and how the 

confidential identifiers were used to identify particular motorcycles. The defendants were free to 

find holes in the experts’ testimony, undermine their credibility, and establish doubt in the minds 

of the jurors. Moreover, as conceded at oral argument, the defense in this case was not that the 

motorcycles were not stolen, but that the defendants did not know that they were stolen. As a 

result, it is unclear what additional arguments the defendants would have made had they known 

the exact location of the numbers on the motorcycles. Because the defendants did have the 

opportunity to confront effectively the government witnesses who testified against them, the 

district court did not err in allowing the witnesses to testify about the confidential numbers. 

Disclosure of Manuals 

The defendants next argue that the government’s failure to disclose confidential 

manufacturer identification information violated the defendants’ right to due process, citing both 

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Rule 16(a)(1)(E) of the Federal Rules of Criminal Procedure, as well as Brady v. Maryland, 373 

U.S. 83 (1963). We review a district court’s rulings on Rule 16(a)(1)(E) issues for abuse of 

discretion. United States v. Tarwater, 308 F.3d 494, 515 (6th Cir. 2002). “We review de novo

the issue of whether evidence withheld by the prosecution constitutes Brady material.” Id.

As explained above, prior to trial, the defendants moved for supplemental discovery of 

certain confidential information related to the government’s methodology for identifying the 

stolen motorcycles. The district court granted the motion, explained that the defendants were 

seeking “confidential manufacturer identification information,” and defined the scope of what 

the court understood the defendants to be requesting. Critically, the district court determined that 

the defendants sought information that was used by investigators to identify the stolen 

motorcycles at issue in this case. The defendants did not object to the district court’s 

characterization of their request. 

During the Daubert hearing, Simet, a Harley Davidson employee and expert witness for 

the government, detailed his expertise in vehicle identification and mentioned that he had 

published a manual of vehicle identification techniques and trained various law enforcement 

agencies on the information included in these manuals. The district court determined that these 

manuals were not subject to the supplemental discovery order after finding that they had not 

been relied on during the investigation at issue. The defendants now contend that the district 

court erred by not requiring the government to provide these manuals to the defendants. 

Brady Violation 

The defendants do not argue that the manuals contain exculpatory information that the 

government willfully or inadvertently withheld from them; rather, they insist that failure to gain 

access to these manuals prevented them from finding an expert who potentially could identify 

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exculpatory information related to the methodology employed by the government in identifying 

the motorcycles. 

In Brady v. Maryland, the United States Supreme Court held that “the suppression by the 

prosecution of evidence favorable to an accused upon request violates due process where the 

evidence is material either to guilt or to punishment, irrespective of the good faith or bad faith of 

the prosecution.” 373 U.S. at 87. “A Brady violation includes three elements: (1) the evidence 

must be favorable to the accused, either because it is exculpatory, or because it is impeaching; 

(2) the evidence must have been suppressed by the State, either willfully or inadvertently; and 

(3) prejudice must have ensued.” Doan v. Carter, 548 F.3d 449, 459 (6th Cir. 2008) (internal 

quotation marks and citation omitted). At this point, the defendants have not identified any 

exculpatory evidence that was withheld, either willfully or inadvertently. Consequently, no 

Brady violation has occurred. 

Federal Rule of Criminal Procedure 16 

The defendants also argue that Rule 16(a)(1)(E) of the Federal Rules of Criminal 

Procedure required the government to disclose the manuals. The rule states: 

Upon a defendant’ s request, the government must permit the defendant to inspect 

and to copy or photograph books, papers, documents, data, photographs, tangible 

objects, buildings or places, or copies or portions of any of these items, if the item 

is within the government’s possession, custody, or control and: (i) the item is 

material to preparing the defense; (ii) the government intends to use the item in its 

case-in-chief at trial; or (iii) the item was obtained from or belongs to the 

defendant. 

Fed. R. Crim. P. 16(a)(1)(E). 

Based on the language of this rule, at first glance it does seem that the manuals—which 

contain general information about how law enforcement goes about identifying stolen 

motorcycles—arguably could be useful in preparing a defense. However, the rule clearly 

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provides that the defendants must request this information from the government, and because the 

government had not relied on the manuals during the investigation, the district court 

appropriately determined that the manuals were beyond the scope of the discovery order. 

The defendants do not argue that the district court’s summary of the information 

requested in their supplemental discovery motions was incorrect or overly narrow. Instead, the 

defendants argue that the manuals indeed did fall within the information that the district court 

ordered the government to disclose and that the court’s contrary finding was erroneous “because 

it incorrectly distinguished between the materials in Harley Davidson’s possession and the 

manuals testified to by government experts as containing the same information.” However, the 

district court found that the “materials in Harley Davidson’s possession” subject to the discovery 

order were limited to the information in the company’s database, and there is no support for the 

defendants’ conclusory statement that the manuals were discoverable because they were “copies” 

of the identification information stored in the database. The minimal amount of testimony 

related to the manuals indicates that that they contained general vehicle identification 

information meant to assist law enforcement with vehicle recovery, not specific identification 

information for each manufactured Harley Davidson motorcycle. 

 The district court did not abuse its discretion in defining the scope of the defendants’ 

motion for supplemental discovery or in finding that the manuals were not included within the 

scope of that request. This allegation of error is thus without merit. 

Exclusion of Witness Testimony 

 Defendant Meade alone contends that the district court abused its discretion in excluding 

the testimony of co-conspirator Jason Chapman, who had already pleaded guilty to conspiracy to 

commit money laundering. Outside the presence of the jury, counsel for the defense asked 

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Chapman if Meade knew that the motorcycles at issue were stolen, and Chapman responded, 

“No, he did not.” The government then attempted to ask Chapman several follow-up questions, 

such as how many motorcycles Chapman stole, where he brought the stolen motorcycles, and 

whether he faked or forged documents in titling the motorcycles that he took to the defendants. 

Chapman invoked his Fifth Amendment right against self-incrimination and declined to answer 

each of the questions asked by the government. Based on Chapman’s refusal to respond to any 

of the government’s questions, the district court excluded his testimony from the trial. 

 A district court’s decision to exclude evidence is reviewed for abuse of discretion. 

United States v. Baldwin, 418 F.3d 575, 579 (6th Cir. 2005). Under that standard, we will 

reverse an evidentiary ruling only if we are firmly convinced of a mistake that affects substantial 

rights and amounts to more than harmless error, such as a district court reliance on incorrect 

findings of fact or improperly applied the law. See id. In deciding whether to exclude 

Mr. Chapman’s testimony, the district court relied heavily on an unpublished opinion from this 

court, United States v. Coleman, 453 F. App’x 640 (6th Cir. 2011). In Coleman, we held that it 

was not an abuse of discretion for a district court to exclude testimony from a prospective 

witness for the defense when the witness invoked her Fifth Amendment right against selfincrimination during the prosecution’s cross-examination. Id. at 644. We explained that “one of 

the legitimate demands of the adversary system is the right of cross-examination” and found that 

the district court was within its discretion to exclude witness testimony because “its admission 

would unduly prejudice the prosecution.” Id. The district court read from the Coleman decision, 

explained that “the government has to be able to test that assertion and the credibility of the 

witness with regard to that particular statement,” and concluded that it would not “allow the 

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defense to call Mr. Chapman who is going to refuse to answer any questions posed on crossexamination.” 

Although Chapman’s testimony is undeniably relevant to the issue at hand, Rule 403 of 

the Federal Rules of Evidence allows the district court to exclude relevant evidence if its 

probative value is substantially outweighed by a danger of unfair prejudice or of misleading the 

jury. See Fed. R. Evid. 403. Although the probative value of Chapman’s statement is potentially 

strong, the admission of this kind of statement without any cross-examination to help the jury 

determine the strength of the statement and the credibility of the witness has a great risk of 

misleading the jury and unfairly prejudicing the prosecution. “Broad discretion is given to 

district courts in determinations of admissibility based on considerations of relevance and 

prejudice, and those decisions will not be lightly overruled.” United States v. Dixon, 413 F.3d 

540, 544 (6th Cir. 2005) (internal quotation marks and citation omitted). We find no abuse of 

discretion in the district court's ruling on this matter. 

Sufficiency of Evidence for Count 5 

 A heading in the defendants’ brief states that a “lack of federal jurisdiction barred Mr. 

Justice’s prosecution for counts 1 and 5 and Mr. Meade’s in counts 1, 3, 7, and 8,” but the body 

of the argument discusses only the perceived jurisdictional problem for Count 5 against Justice.2

 

The text contains no reference to the other counts, no explanation of why jurisdiction did not 

exist as to the other counts, and no argument as to the sufficiency of the evidence for those 

counts. “[I]ssues adverted to in a perfunctory matter, unaccompanied by some effort at 

 

2

 Although the argument concerning Count 5 applied only to the charge against Justice, the analysis of the claim 

actually appeared only in the appellate brief filed by Meade and is not mentioned in Justice’s brief. However, the 

latter brief does include a statement that Justice “joins” in Meade’s brief and “adopts the arguments presented” in 

that brief. 

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developed argumentation, are deemed waived.” United States v. Layne, 192 F.3d. 556, 566 (6th 

Cir. 1999)) (citing McPherson v. Kelsey, 125 F.3d 989, 995-996 (6th Cir. 1997)). 

 As to Count 5 against Justice, the defendants argue that the district court should have 

dismissed the charge for lack of jurisdiction because the government did not prove that the 

financial transaction at issue had an effect on interstate commerce, as required by the statute. 

However, we have specifically explained that an interstate commerce element, although often 

referred to as a “jurisdictional element,” is “not jurisdictional in a sense that it deprives the 

district court of subject matter jurisdiction.” United States v. Turner, 272 F.3d 380, 390 (6th Cir. 

2001) (finding that the failure to prove nexus between the crime and interstate commerce did not 

strip the federal court’s jurisdiction); see also United States v. Rayborn, 312 F.3d 229, 231 (6th 

Cir. 2002). The defendants’ interstate-commerce argument is better characterized as an 

argument against the sufficiency of the evidence, and we review it as such. 

 To preserve properly a sufficiency-of-the-evidence issue for appeal, “the defense must 

make a motion for a judgment of acquittal at the end of the prosecution’s case-in-chief and at the 

close of evidence.” United States v. Sease, 659 F.3d 519, 522 (6th Cir. 2011) (internal quotation 

marks and citation omitted). The defendants properly moved for judgment of acquittal as to 

Count 5. Specificity is not required, but “where the defendant makes a Rule 29 motion on 

specific grounds, all grounds not specified in the motion are waived.” United States v. Chance, 

306 F.3d 356, 369 (6th Cir. 2002). The defendants’ motions for judgment of acquittal raised 

sufficiency-of-evidence concerns and specified certain elements that had not been sufficiently 

proven, but they made no argument about the interstate commerce element. 

The standard of review for a properly preserved challenge to the sufficiency of the 

evidence is “whether, after viewing the evidence in the light most favorable to the prosecution, 

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any rational trier of fact could have found the essential elements of the crime.” Kuehne, 

547 F.3d at 696 (internal quotation marks and citation omitted). If the challenge was not 

properly preserved, as here, the challenge “is reviewed under a manifest miscarriage of justice 

standard.” Id. Under either standard, the defendants’ argument fails. 

 The defendants argue that Justice’s convictions were based on the title transfer of a 

motorcycle, identified as Motorcycle #43 throughout the trial, and that the government failed to 

prove that the transaction involving that motorcycle had any effect on interstate commerce. 

However, as the government points out, Count 5 was actually based on Motorcycle #19, a 1997 

Harley Davidson black and grey Heritage Softail, not Motorcycle #43. The government 

presented sufficient evidence to support a finding that the titling transaction of Motorcycle 19 

had at least a de minimus effect on interstate commerce: the bike was stolen in Florida, 

transported to Kentucky, reassembled with parts from a company in California, and retitled in 

Kentucky. Given this proof, there is no manifest miscarriage of justice, and the evidence is 

sufficient for a rational trier of fact to have found that the transaction affected interstate 

commerce. The sufficiency-of-the-evidence challenge is thus without merit. 

Propriety of Jury Instructions 

The defendants argue that the district court made three errors when instructing the jury by 

failing to include a good-faith instruction, by included a deliberate-indifference instruction, and 

by incorrectly defining the term “proceeds.” To preserve a challenge to a jury instruction, a 

party “must inform the court of the specific objection and the grounds for the objection”; absent 

plain error, the failure to make such an objection precludes appellate review. Fed. R. Crim. P. 

30(d). Of the errors alleged here, only the first was properly preserved. 

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The defendants waived their challenge to the deliberate-indifference instruction by 

inducing the error of which they now complain. They specifically proposed that pattern jury 

instruction 2.09, the deliberate-indifference instruction, be included in the jury instructions. 

“According to the invited error doctrine, when a party has himself provoked the court to commit 

an error, that party may not complain of the error on appeal unless that error would result in 

manifest injustice.” United States v. Demmler, 655 F.3d 451, 458 (6th Cir. 2011) (applying the 

invited-error doctrine to a challenged jury instruction). Because instructing the jury on deliberate 

indifference did not result in “manifest injustice,” we decline to review the challenge to the 

deliberate-indifference instruction. 

Because the defendants failed to object to the definition of “proceeds” at trial, we may 

review the claim on appeal for plain error only. The defendants appear to argue that the 

definition of “proceeds” was incorrect because it did not consider the Santos decision, under 

which “proceeds” are at times defined as profits. But, as we explained above, Santos is 

inapplicable in this case, and there is no error, plain or otherwise, in the definition of “proceeds” 

used in the jury instructions. 

The defendants did preserve their challenge to the denial of a good-faith jury instruction, 

which we review for an abuse of discretion. United States v. Theunick, 651 F.3d 578, 589 (6th 

Cir. 2011). We may reverse the denial of a good-faith instruction “only if the proposed 

instruction is (1) a correct statement of the law, (2) not substantially covered by the charge 

actually delivered to the jury, and (3) concerns a point so important in the trial that the failure to 

give it substantially impairs the defendant’s defense.” United States v. Volkman, 797 F.3d 377, 

385 (6th Cir. 2015), cert. denied, 136 S. Ct. 348 (2015) (internal quotation marks and citation 

omitted). Generally, a good-faith instruction is appropriate when fraud or other specific-intent 

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crimes are being charged, because a finding of good faith is incompatible with a required finding 

of bad faith. See United States v. Wall, 130 F.3d 739, 746 (6th Cir. 1997) (“Since mail fraud is a 

specific intent crime . . . , good faith is a complete defense to that crime.”) 

Here, however, the defendants are not charged with a specific-intent crime. They are 

charged with conducting a financial transaction, knowing that the property involved in the 

transaction was the proceeds of unlawful activity, and knowing that the transaction was designed 

to conceal or disguise that property. The defendants do not offer any authority for why a goodfaith defense is appropriate in this situation. Further, because the jury instructions adequately 

informed the jury of the mens rea element actually at issue, an additional instruction on good 

faith was unnecessary and likely would have resulted confusion if it had been given. Because 

the defendants have failed to demonstrate that a good faith instruction was appropriate in this 

case, and because the instruction was substantially covered by the charge given to the jury, the 

district court did not err in declining to give a good-faith instruction to the jury. 

Juror Bias 

During the trial, the district judge notified counsel that one of the jurors had mentioned 

feeling uncomfortable due to being “stared down” by Justice and that this statement had been 

“kind of confirmed by other jurors.” Additionally, more than one juror reported to a court 

security officer that they felt uncomfortable walking to their cars at night because the defendants 

parked their cars near where the jurors parked. However, no juror reported any attempted or 

actual communication or physical contact or intimated that his or her impartiality was 

compromised. Nevertheless, the defendants moved for a mistrial. The district court denied the 

motion and issued a memorandum explaining why the situation did not merit a mistrial or even a 

Remmer hearing. On appeal, the defendants argue that the district court erred by “not conducting 

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a Remmer hearing or permitting any additional investigation or presentation of evidence . . . on 

the issue of juror bias.” 

In Remmer v. United States, the Supreme Court explained that “[i]n a criminal case, any 

private communication, contact, or tampering directly or indirectly, with a juror during a trial 

about the matter pending before the jury is, for obvious reasons, deemed presumptively 

prejudicial,” and that if such contact or tampering is suspected, the trial court should “determine 

the circumstances, the impact thereof upon the juror, and whether or not it was prejudicial, in a 

hearing with all interested parties permitted to participate.” 347 U.S. 227, 230-231 (1954). 

However, “not all communications with jurors warrant a hearing for a determination of potential 

bias” and trial courts are generally required to conduct Remmer hearings “only in cases involving 

claims of intentional improper contacts or contacts that had an obvious potential for improperly 

influencing the jury.” United States v. Frost, 125 F.3d 346, 377 (6th Cir. 1997) (internal 

quotation marks and citation omitted). We review the district court’s decision not to hold a 

hearing for abuse of discretion. See id. 

In explaining why a hearing was not necessary in this case, the district court first 

addressed the parking lot concerns. The district court found that no intentional contact had 

occurred and that “jurors’ understandable preference for not seeing a defendant outside of court 

does not mean that when that preference goes unrealized, unfair influence follows. This sort of 

de minimis unintentional contact is well below the threshold at which a court should hold a 

hearing.” In regard to the jurors’ comments about being “stared down,” the district court cited 

United States v. Owens, in which we held that a juror’s perception that a defendant was staring at 

her did not constitute extraneous influence. 426 F.3d 800, 805 (6th Cir. 2005). In Owens, we 

noted that “[w]hen a defendant stares at a juror during the course of his trial . . . he has 

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introduced no outside contact with, nor special information about, a party or witness.” Id. We 

noted that “[t]o hold otherwise . . . is to create incentives for a defendant to make his or her jury 

uncomfortable.” Id. Based on these considerations, the district court decided that the 

circumstances presented in this matter did not warrant a Remmer hearing. Nothing in the district 

court’s analysis constitutes an abuse of discretion. 

Restitution 

Defendant Justice challenges the district court’s order that he provide restitution to the 

victims of the crimes. Under the Mandatory Victims Restitution Act (MVRA), restitution must 

be made for offenses against property in which an identifiable victim has suffered a pecuniary 

loss. 18 U.S.C. § 3663A(c)(1)(a). The MVRA defines “victim” as “a person directly and 

proximately harmed as the result of the commission of an offense for which restitution may be 

ordered,” 18 U.S.C. § 3663A(a)(2), and “the legislative history of the MVRA makes clear that 

Congress did not intend to make defendants liable for losses they did not proximately cause.” 

United States v. Church, 731 F.3d 530, 538 (6th Cir. 2013). Justice was convicted of money 

laundering and engaging in a conspiracy to money launder, and the government determined that 

these offenses were a direct and proximate cause of the harm resulting from the theft and 

laundering of 11 motorcycles. Based on the harm associated with these crimes, the government 

calculated that Justice owed $219,850.39 in restitution. Justice argues that this restitution 

amount is erroneous because only one of the 11 stolen motorcycles could be connected to his 

actions. We review the amount of a restitution award for abuse of discretion. United States v. 

Boring, 557 F.3d 707, 713 (6th Cir. 2009). 

Justice contends that “[he] was involved with the titling of only one bike, Motorcycle 

43,” implying that he could be the “direct and proximate cause” of the harm caused to the 

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victims only if he was personally responsible for improperly titling the stolen motorcycles. 

The district court found, however, that the government appropriately attributed each of the 

11 motorcycles to Justice. First, the district court concluded that Justice was clearly a direct and 

proximate cause of the harm to the owner of Motorcycle 19, based on the fact that his connection 

to the reassembly and falsified purchase order for Motorcycle 19 had been extensively litigated 

at trial. Moreover, the remaining nine motorcycles were properly attributed to Justice because 

Midland Motors had titled those motorcycles, and Justice was connected to Midland Motors. 

Even though Justice argued that his connection was too tenuous to support liability, the district 

court found “unmistakable evidence of Justice’s direct involvement in the sale of the stolen bikes 

through Midland Motors” based on the following facts: Midland Motors was located in a garage 

on Justice’s property, Justice attended a trade show as a representative of Midland Motors, and 

Justice was present when people bought motorcycles from Midland Motors. The district court 

found that Justice’s testimony denying any connection to Midland Motors was “implausible” and 

“patently contradicted.” Based on these findings, the district court acted within its discretion 

when it found that Justice, through his participation in Midland Motors, was a direct and 

proximate cause of the harm resulting from stolen motorcycles that were titled and resold by 

Midland Motors. 

In imposing sentence upon Justice, the district court did not address specifically the 

ramifications of Justice’s conspiracy conviction. Nevertheless, the government correctly points 

out that not only can Justice be held responsible for harm that he directly and proximately 

caused, but he also can be held responsible for harm that resulted from the money-laundering 

conspiracy. “[U]nder the MVRA, if someone is convicted of a conspiracy, the court can order 

restitution for damage resulting from any conduct that was part of the conspiracy and not just 

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from specific conduct that met the overt act requirement of the conspiracy conviction.” United 

States v. Elson, 577 F.3d 713, 723 (6th Cir. 2009) (internal quotation marks and citation 

omitted); see also United States v. Bogart, 576 F.3d 565, 576 (6th Cir. 2009). 

For the first time on appeal, Justice challenges the government’s plan to convert 

forfeiture funds to restitution in a process called “remission.” This argument is based on 

comments made by the government at the restitution hearing, in reference to the fact that many 

defendants entered plea deals for forfeiture amounts greater than the amount of restitution they 

were later calculated to owe. As the government explains, remission is inapplicable to Justice 

because, unlike the defendants who entered plea deals, he is not subject to a forfeiture money 

judgment. Therefore, this argument is without merit. 

CONCLUSION

For the reasons set out above, we AFFIRM the judgment of the district court. 

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