Court Opinion

ID: 71497
Source: CourtListenerOpinion
Date Created: 2010-04-26 07:19:14+00
Date Added: 2024-06-11T09:39:09.194073
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[PUBLISH]

                      IN THE UNITED STATES COURT OF APPEALS
                                                                            FILED
                               FOR THE ELEVENTH CIRCUIT
                                                                    U.S. COURT OF APPEALS
                                      _______________                 ELEVENTH CIRCUIT
                                                                           06/25/99
                                        No. 94-3139                    THOMAS K. KAHN
                                                                            CLERK
                                      _______________

                                D. C. Docket No. 94-03055-RV

UNITED STATES OF AMERICA,

                                                                          Plaintiff-Appellee,
                                                                          Cross-Appellant,

                                             versus

WILLIAM O. STEELE,

                                                                          Defendant-Appellant,
                                                                          Cross-Appellee.

                             ______________________________

                         Appeals from the United States District Court
                             for the Northern District of Florida
                            ______________________________

                                        (June 25, 1999)

Before TJOFLAT and BIRCH, Circuit Judges, and SMITH*, Senior Circuit Judge.

BIRCH, Circuit Judge:

       *
         Honorable Edward S. Smith, Senior U.S. Circuit Judge for the Federal Circuit, sitting
by designation.
      William O. Steele appeals his conviction for dispensing controlled

substances in violation of 21 U.S.C. § 841(a)(1), and the government cross-appeals

the district court’s application of the U.S. Sentencing Guidelines. Steele argues

that his conviction must be vacated on three grounds: (1) the indictment was

insufficient to allow him to prepare a defense and protect against double jeopardy;

(2) the government improperly used its peremptory strikes based on gender; and

(3) insufficient evidence existed to support his conviction. The government argues

that the district court based its decision to depart downward from the sentence

range on improper grounds. We affirm Steele’s conviction but vacate Steele’s

sentence and remand for resentencing.

                                  I. Background

      Steele was a registered pharmacist at North Hill Pharmacy in Pensacola,

Florida. During several months in 1993, Steele filled numerous prescriptions

presented by Larry and Gloria Ellis for such drugs as Dilaudid, Xanax, Valium,

and Percodan. The government alleged that Steele knew when dispensing these

drugs that Larry Ellis had forged the prescriptions.

                                          2
      A four-count indictment charged Steele with knowingly dispensing

controlled substances in violation of § 841(a)(1). Count One of the indictment

stated:

      That from on or about July 1, 1993, and continuously thereafter, up to
      and including on or about November 2, 1993, in the Northern District
      of Florida, . . . Steele, did knowingly and intentionally dispense
      hydromorphone hydrochloride, a schedule II controlled substance,
      commonly known as Dilaudid, in violation of Title 21, United States
      Code, Section 841(a)(1).

R1-1-1. Each of the remaining three counts contained identical language to Count

One, except that the government substituted the three other controlled substances

in the place of Dilaudid.

      During the trial, the government’s main witness was Larry Ellis, who

testified pursuant to a plea agreement. Ellis testified that he informed Steele that

he was a drug addict and had phony prescriptions that he hoped Steele would fill.

According to Ellis, Steele agreed to fill the prescriptions and specified a system by

which Ellis and his wife, Gloria, could fill the prescriptions. Ellis further testified

that under the system he and Steele communicated almost daily about what drugs

would be dispensed, what the prescriptions should say, and how they should be

presented to the pharmacy. Gloria Ellis also testified pursuant to a plea agreement

about the steps she took to fill the prescriptions, but she stated that she did not

know whether Steele was involved in the scheme. Among other witnesses, the

                                           3
government called another pharmacist and a clerk from the North Hill Pharmacy,

who both testified that they were suspicious about the prescriptions and informed

Steele about their suspicions, but that Steele filled the prescriptions anyway.

      The jury convicted Steele on all four counts. The sentencing court

determined that Steele’s sentence range under the Sentencing Guidelines was 151-

188 months. Acting pursuant to section 5K2 of the Guidelines, the court ordered a

downward departure in Steele’s offense level by eight levels, resulting in a

sentence range of 63-78 months. The court then sentenced Steele to 63 months of

imprisonment.

      Steele appealed, and a panel of this court reversed Steele’s conviction. See

United States v. Steele, 105 F.3d 603, 607 (11th Cir. 1997) (“Steele I”), superseded

on reh’g, 117 F.3d 1231 (1997) (“Steele II”). The panel reasoned that the

government failed to charge in the indictment that Steele’s conduct fell outside the

statutory exception for dispensing controlled substances in the ordinary course of

professional practice, as was required by the then-existing law of this circuit as

stated in United States v. Outler, 659 F.2d 1306, 1309 (5th Cir. Unit B 1981). See

Steele II, 117 F.3d at 1234-35. Rehearing the case en banc, however, the court

overruled Outler as inconsistent with the plain text of § 841(a)(1) and 21 U.S.C. §

885(a)(1), and held that the indictment was sufficient despite its omission of the

                                          4
statutory exception. See United States v. Steele, 147 F.3d 1316, 1320 (11th Cir.

1998) (en banc) (“Steele III”). The en banc court then remanded the case for a

resolution of Steele’s remaining claims, which we now address in this opinion.

                          II. Sufficiency of the Indictment

      Steele argues that, because the indictment does not specify the precise dates,

locations, drug amounts, and purchasers for each time that he allegedly dispensed

controlled substances, the indictment failed to permit him to prepare his defense as

required by the Sixth Amendment, and failed to protect him against a second

prosecution for the same offenses as required by the Fifth Amendment. Whether an

indictment sufficiently alleges a statutorily proscribed offense is a question of law that

we review de novo. See United States v. Shotts, 145 F.3d 1289, 1293 (11th Cir.

1998), cert. denied, --- U.S. ---, 119 S. Ct. 1111 (1999).

      An indictment is sufficient “if it: (1) presents the essential elements of the

charged offense, (2) notifies the accused of the charges to be defended against, and (3)

enables the accused to rely upon a judgment under the indictment as a bar against

double jeopardy for any subsequent prosecution for the same offense.” Steele III, 147
F.3d at 1320 (quoting United States v. Dabbs, 134 F.3d 1071, 1079 (11th Cir. 1998)).

We concluded in Steele III that the indictment in this case satisfies these three

                                            5
conditions, which implicitly rejects Steele’s present arguments regarding the omission

of precise dates, locations, drug amounts, and purchasers. Nonetheless, because the

en banc opinion expressly decided only the issue of whether the indictment needed to

allege a statutory exception, we will comment briefly upon Steele’s arguments that

additional information must have been alleged in the indictment.

       We begin by noting that, under the terms of the statute, time, location, drug

amount, and purchaser are not essential elements of the offenses charged in this case.1

It is true that “[i]f a general description of the offense is given then it is also necessary

to allege facts and circumstances which will inform the defendant of the specific

offense with which he is being charged.” Belt v. United States, 868 F.2d 1208, 1211

(11th Cir. 1989). When charging a defendant of participating in a conspiracy, the

government may discharge its obligations by referring to a certain duration of time.

See Yonn, 702 F.2d at 1348. For non-conspiracy offenses, the government ordinarily

       1
          This court has held that alleging that an offense occurred within a judicial district, such
as the Northern District of Florida, is sufficient to describe the location of the offense. See
United States v. Yonn, 702 F.2d 1341, 1348 (11th Cir. 1983). In addition, courts hold that the
amount of drugs involved in an offense is not an element of the offense but rather is a factor to
be considered upon sentencing, and therefore need not be alleged in the indictment. See United
States v. Dorlouis, 107 F.3d 248, 252 (4th Cir.), cert. denied, --- U.S. ---, 117 S. Ct. 2525, 138
L. Ed. 2d 1025 (1997). We reject without further discussion Steele’s argument that the indictment
must specify the purchasers of the controlled substances, as no authority supports such a
position. We therefore conclude that Steele’s argument that an indictment alleging drug
distribution must specify the locations, drug amounts, and purchasers is without merit, and we
will focus our discussion in this opinion on the question of whether the indictment fails to
specify with sufficient particularity the dates of the alleged offenses.

                                                 6
is able to specify an exact date of the alleged offense in the indictment, but the law is

well settled that a failure to do so does not in all circumstances preclude a defendant

from preparing an adequate defense or protecting against double jeopardy.

      Although it is unusual for an indictment not to pin down the date of the
      crime with greater specificity than this, it is nonetheless hornbook law
      that great generality in the allegation of date is allowed--at least where,
      as here, the exact time of the crime’s commission is not important under
      the statute allegedly violated.

United States v. Nunez, 668 F.2d 10, 11-12 (1st Cir. 1981) (internal citation and

quotation marks omitted) (per curiam); see also United States v. Perez, 67 F.3d 1371,

1377 (9th Cir. 1995) (“Furthermore, because time is not an element of the crime of

distributing heroin, the indictment was not fatally broad for failing to include precise

dates of distribution.”), withdrawn in part on other grounds, 116 F.3d 840 (9th Cir.

1997); United States v. Jaswal, 47 F.3d 539, 542-43 (2d Cir. 1995) (“The failure to

include the year in Count IV of the indictment is not fatally defective because the

exact time when the defendants committed the crime in this case is immaterial.”) (per

curiam); Butler v. United States, 197 F.2d 561, 562 (10th Cir. 1952) (“Where time is

not an essential element of the offense, it is sufficient to charge facts which show that

the offense was committed within the statutory period of limitation and in such a case,

even though there be a defect in the allegation as to time, it is one of form only.”).

                                           7
       In this case, the government alleged that Steele illegally dispensed four specific

controlled substances within a period of four months.             Because Steele filled

counterfeit prescriptions, he has records and receipts to which he can refer to identify

the dates of the alleged offenses. Given these circumstances and the law summarized

above, we conclude that, although we would have preferred that the government

provide more precise dates in the four counts contained in this indictment, the failure

to do so did not preclude Steele from adequately preparing his defense. We further

conclude that the four-month period specified in the indictment does not expose Steele

to double jeopardy concerns because “the court may refer to the entire record of the

prior proceeding and [will] not be bound by the indictment alone.” See Jaswal, 47
F.3d at 542-43 (internal quotation marks omitted). The indictment therefore complies

with the Fifth and Sixth Amendments.

                    III. Discriminatory Peremptory Challenges

       Steele next argues that the government exercised its peremptory challenges

during voir dire in a way that impermissibly discriminated against women. We give

great deference to a district court’s findings on the issue of discriminatory intent in the

exercise of peremptory challenges, and we review its findings for clear error. See

                                            8
United States v. Tokars, 95 F.3d 1520, 1533 (11th Cir. 1996), cert. denied, 520 U.S.
1132, 117 S. Ct. 1282, 137 L. Ed. 2d 357 (1997).

      The Supreme Court held in J.E.B. v. Alabama, 511 U.S. 127, 114 S. Ct. 1419,

128 L. Ed. 2d 89 (1994), that the use of peremptory challenges solely on the basis of

the prospective juror’s gender violates the Fourteenth Amendment. Id. at 129, 114 S.

Ct. at 1421. In Tokars, we set forth the analytical framework to be applied to claims

arising under J.E.B. 95 F.3d at 1533. First, the party challenging the peremptory

strike must establish a prima facie case that the prosecutor exercised the peremptory

strike for a discriminatory reason.    See id.    Second, if the party succeeds in

establishing a prima facie case, the burden shifts to the prosecutor to articulate a

gender-neutral explanation for the strike. See id. Finally, the trial court “must

ascertain whether the opponent of the strike has carried his or her burden of proving

intentional discrimination.” Id.

      Here, Steele objected during voir dire to the fact that the government used all

six of its peremptory challenges on women. We will assume for the purposes of this

opinion that the government’s use of strikes solely against women successfully

established a prima facie case of discrimination; at any rate, the government does not

argue that Steele failed to satisfy this obligation. After the district court inquired

about the government’s strikes, the prosecutor explained that she exercised the

                                          9
challenges because: (a) two of the prospective jurors were elementary school teachers,

and the prosecutor was “leery” of school teachers; (b) three of the prospective jurors

had worked in the medical industry, and the defendant was a pharmacist; and (c) one

of the prospective jurors was a hair stylist, and the prosecutor feared that the juror

would hear “gossip” about the case. See R6-92-96.

       Steele argues that the government’s reliance upon the two prospective jurors’

jobs as schoolteachers is pretextual in light of the fact that the government did not

strike a male project engineer at a junior college, a female school system clerk, and

a female retired public school administrator. We disagree. The government rationally

could believe that the accepted jurors held jobs that feature entirely different skills and

responsibilities than that of an elementary school teacher. At any rate, “a legitimate

reason is not a reason that makes sense, but a reason that does not deny equal

protection.” See Tokars, 95 F.3d at 1533. Under the circumstances of this case,

Steele has not shown that the prosecutor’s decision to strike the school teachers was

based upon their gender.

       The same can be said of the prosecutor’s decision to strike the hair stylist.

Regardless of whether the prosecutor’s concerns about an exposure to gossip at the

workplace was reasonable, the record is devoid of evidence that suggests the decision

was based on the juror’s gender. As for the final three jurors struck by the

                                            10
government, we find the prosecutor’s reasons for striking those with medical

backgrounds to be entirely reasonable, and no evidence suggests that male jurors with

medical backgrounds were not stricken.

      In sum, the common thread to Steele’s argument is a lack of persuasive

evidence suggesting that the prosecutor based her decisions to strike the six women

even in part on their gender. In making this observation, we further note that the

ultimate jury panel consisted of ten women and four men, and the unchallenged

presence of protected class members on the final jury panel “undercuts [the] inference

of impermissible discrimination that might arise solely from [the] striking of other .

. . prospective jurors.” United States v. Jiminez, 983 F.2d 1020, 1024 n.11 (11th Cir.

1993) (considering a race-based challenge to the government’s exercise of peremptory

challenges). We therefore conclude that the district court did not clearly err in

rejecting Steele’s argument.

                          IV. Sufficiency of the Evidence

      Steele next argues that the district court erred in rejecting his arguments that

insufficient evidence existed to support his convictions. Steele argues that his

convictions are based solely upon the testimony of government witnesses Larry and

Gloria Ellis. According to Steele, the Ellis’ testimony was so full of lies and manifest

                                          11
inconsistencies that no reasonable juror could believe Larry Ellis’ story that Steele

agreed to fill prescriptions that he knew Ellis had forged.

      We review de novo the sufficiency of the evidence to support a conviction,

viewing the evidence in the light most favorable to the government and drawing all

reasonable inferences and credibility choices in favor of the jury's verdict. United

States v. Fischer, 168 F.3d 1273, 1276 n.7 (11th Cir. 1999). We have held that, “[f]or

testimony of a government witness to be incredible as a matter of law, it must be

unbelievable on its face” and must relate to “facts that [the witness] physically could

not have possibly observed or events that could not have occurred under the laws of

nature.” United States v. Calderon, 127 F.3d 1314, 1325 (11th Cir. 1997) (internal

quotation marks and citation omitted), cert. denied, --- U.S. ---, 118 S. Ct. 1090, 140
L. Ed. 2d 146 (1998). An argument that a witness was incredible as a matter of law is

weakened when the defendant cross-examined the witness concerning the alleged lies

or inconsistencies and the judge instructed the jurors on the degree of suspicion they

should hold when considering the witness’ testimony, yet the jury chose to accept the

witness’ testimony. See id.

      Here, the government indeed based its case against Steele primarily upon the

testimony of Larry Ellis, an alleged co-conspirator whose testimony at times was

inconsistent. Even so, the government adduced other evidence that corroborated Ellis’

                                          12
story that he and Steele entered an agreement to fill phony prescriptions. Another

pharmacist who worked at North Hill Pharmacy testified that the prescriptions forged

by Ellis were so suspicious that she refused to fill them. This pharmacist also testified

that she conveyed these suspicions to Steele. A physician further corroborated the

suspicious nature of the prescriptions by testifying that, based on the amount of pills

contained in each prescription, the prescriptions were “extremely unusual.” R8-223.

Finally, the clerk at the North Hill Pharmacy testified that, after she questioned Steele

about her suspicions regarding the prescriptions, Steele told her that Gloria Ellis, who

brought the prescriptions into the pharmacy to be filled, was a nurse for the doctor

listed on the phony prescriptions and that the prescriptions were for nursing home

patients.

      Steele overlooks this corroborating evidence and focuses instead on the lack of

credibility that can be given to the testimony of Larry and Gloria Ellis. Steele’s

lawyer pointed out the inconsistencies in this testimony to the jury during cross-

examination, and argued at length that the jury should discredit the testimony. The

trial court instructed the jury concerning the skepticism with which they should

consider some witnesses’ testimony. The jury nonetheless rejected Steele’s argument,

and we find that the Ellis’ testimony, when considered in light of the other evidence

presented at trial, is not so inherently incredible that it cannot form the basis of a

                                           13
conviction under Calderon. For these reasons, we conclude that the district court

properly rejected Steele’s arguments based on the sufficiency of the evidence.

                                   V. Sentencing Issues

       The government’s cross-appeal alleges that the district court erred in computing

Steele’s sentence under the Sentencing Guidelines. During the sentencing hearing,

the district court found that the weight of the drugs for which Steele would be held

accountable under the Sentencing Guidelines totaled an equivalent of 2,371.03

kilograms of marijuana.2 In computing the total offense weight, the district court

followed the rule set forth in United States v. Lazarchik, 924 F.2d 211 (11th Cir.

1991), which provides that the court must use the total weight of the pills distributed

by the defendant--that is, the weight of the drug contained in the pill as well as the

weight of the substance in which the drug is mixed--rather than just the weight of the

drug itself. See 924 F.2d at 214. After applying this rule, the district court calculated

Steele’s offense level as 34 with a sentence range of 151-188 months. The district

court nonetheless noted that, if the weight of the substances with which the drugs were

mixed to form the pills were excluded and the sentence based solely upon the net

       2
         Pursuant to section 2D1.1 of the Sentencing Guidelines, the district court multiplied the
weights of the prescription drugs dispensed by Steele by conversion factors to provide an
“equivalent” weight of marijuana that was then used to determine Steele’s sentence. See U.S.
Sentencing Guidelines Manual § 2D1.1 application n.10, at 89 (Nov. 1993 ed.).

                                               14
weight of drugs contained in the pills, the net weight would be the equivalent of

approximately 89 kilograms of marijuana, giving Steele a total offense level of 26 and

a sentence range of 63-78 months.

      The district court thus concluded that, even though under Lazarchik Steele’s

total offense level was 34, the circumstances warranted a downward departure of eight

offense levels pursuant to section 5K2 of the Sentencing Guidelines. This gave Steele

a total offense level of 26 and a sentence level of 63-78 months, or the same sentence

range that would have applied if the court used only the net weight of the drugs

dispensed by Steele. The district court then sentenced Steele to 63 months of

imprisonment. The court expressly noted that ”a downward departure to the range

which would have applied if the net weights were used is appropriate. That range

more reasonably fits the actual crime and the ‘good citizen’ prior record of the

defendant.” R1-77-6. The government appeals this decision, arguing that the facts

and circumstances of the case do not justify a downward departure under section 5K2.

      In reviewing the district court’s application of the Sentencing Guidelines, we

apply the version of the Guidelines in effect on the date of the sentencing hearing, see

United States v. Gunby, 112 F.3d 1493, 1500 n.9 (11th Cir. 1997), which in this case

is the November 1993 edition. Section 5K2 has been amended several times during

the pendency of this appeal, but all the amendments have been deemed to be

                                          15
clarifications so we may apply the current language and case law in this appeal. See

id. We review a district court’s decision to depart downward pursuant to section 5K2

for abuse of discretion. See Koon v. United States, 518 U.S. 81, 99-100, 116 S. Ct.
2035, 2047, 135 L. Ed. 2d 392 (1996).

      Generally, a sentencing court must impose a sentence within the range provided

for in the Sentencing Guidelines unless the court finds there exists a “mitigating

circumstance of a kind, or to a degree, not adequately taken into consideration by the

Sentencing Commission in formulating the guidelines that should result in a sentence

different from that described.” U.S. Sentencing Guidelines Manual § 5K2.0 (Nov.

1998 ed.) (setting forth policy statement for departures under section 5K2). In Koon,

the Supreme Court clarified the application of this section, holding that the unusual

circumstances justifying a departure must take the case outside the “heartland” of

cases contemplated by the applicable guidelines. See 518 U.S. at 94-96, 116 S. Ct.

at 2045.

      To aid in this review, this circuit adopted a rule that “a district court granting

a downward departure must articulate the specific mitigating circumstances upon

which it relies and the reasons why these circumstances take a case out of the

guidelines’ heartland.” United States v. Tomono, 143 F.3d 1401, 1403 (11th Cir.

1998) (per curiam). Once the court identifies these circumstances, three questions

                                          16
must be answered before deciding whether a departure is justified: (1) did the

Sentencing Commission forbid departure based on the particular circumstances; (2)

if not, did the Commission encourage departure based on the particular circumstances;

and (3) if not, did the Commission discourage departure based on the particular

circumstances? See United States v. Willis, 139 F.3d 811, 812 (11th Cir. 1998) (per

curiam). If the circumstance is not encouraged or discouraged by the Commission,

“the court must, after considering the structure and theory of both relevant individual

guidelines and the Guidelines taken as a whole, decide whether it is sufficient to take

the case out of the Guideline's heartland.” Koon, 518 U.S. at 96, 116 S. Ct. at 2045

(internal quotations omitted).     Moreover, the court “must bear in mind the

Commission's expectation that departures based on grounds not mentioned in the

Guidelines will be ‘highly infrequent.’” Id. (citation omitted).

      The district court departed downward pursuant to section 5K2 on five grounds:

(a) Steele’s conduct--dispensing prescription drugs that were legally in his possession

by filling forged prescriptions that appeared to be otherwise valid--was not the target

of § 841(a)(1), which was aimed more at street dealers who sell illegal narcotics; (b)

Steele received additional punishment beyond his criminal sentence by losing his

pharmacist’s license; (c) the computation of the drug weights in this case created a

disparity when compared to drugs that are not mixed with other compounds to form

                                          17
tablets or pills; (d) Steele made only a nominal profit from the drug sales in this case

(approximately $700, or the price of eight ounces of marijuana), but was held

accountable at sentencing for the equivalent of 5,227 pounds of marijuana; and (e)

Steele incurred a “serious medical problem” that “apparently affected his mental

functioning” at the time of the offense. R1-77-5-6.

      The district court’s first ground for departure reflects a belief that Steele was

convicted not of unlawful drug trafficking, but of failing to recognize that the

prescriptions presented by Larry and Gloria Ellis were forged, which the court

described as less culpable behavior. The Guidelines do not list this factor as a ground

for departure and do not encourage or discourage courts from considering such a

factor. As described earlier in this opinion, however, the government alleged that, and

adduced sufficient evidence to prove that, Steele knowingly agreed with Larry Ellis

to fill phony prescriptions for a person who had no medical need for the drugs.

Moreover, the jury believed this evidence. As summarized by the First Circuit in

United States v. Limberopoulos, 26 F.3d 245 (1st Cir. 1994), this conduct falls

expressly within the heartland of a drug trafficking offense as defined by § 841(a)(1).

See 26 F.3d at 249-51. Limberopoulos is factually analogous to this case, as the

government claimed that the defendant pharmacists knowingly filled fraudulent

prescriptions to people who had no legitimate medical need for the drugs, and the jury

                                          18
refused to believe the defendants’ arguments that they acted in good faith. See id. at

250-51. As the Limberopoulos court explained, “if the drug-dispensing pharmacist

knows that a customer not only lacks a valid prescription but also will not use the

drugs for legitimate medical purposes, then section 841 applies in full flower and

treats the dispenser like a pusher.” Id. at 250. Consequently, for the same reasons as

set forth in Limberopoulos, we conclude that the district court abused its discretion

in relying on this ground to depart downward.

      The district court’s second ground for departing downward was that Steele

would lose his pharmacist’s license, which the district court categorized as a “major

additional punishment . . . which has not been addressed by the Sentencing

Commission.” R1-77-5. In an opinion published after the date of the sentencing

hearing, this court concluded that the loss of a medical license may not serve as a

ground for departure when the offense for which the defendant is convicted reflects

an abuse of the trust inherent in the granting of the license to the defendant. See

United States v. Hoffer, 129 F.3d 1196, 1204-06 (11th Cir. 1997). A departure under

such circumstances, the court observed, would negate an enhancement for the abuse

of a special position to facilitate the crime that is mandated pursuant to other sections

of the Guidelines. See id. at 1205. The conclusion reached in Hoffer applies with

equal force here, where the district court’s departure based on Steele’s loss of his

                                           19
pharmacist license would negate an enhancement imposed for Steele’s abuse of his

position as a pharmacist. Under these circumstances, Hoffer dictates that the district

court abused its discretion in departing downward on this ground.

      The district court’s third ground for departing downward was that the inclusion

of the substances with which the drugs were mixed to form tablets and pills when

computing the drug weights to be used for sentencing purposes created a disparity

when compared to cases involving drugs that are not mixed with other substances.

The district court’s reasoning, however, directly contradicts the rule set forth in

Lazarchik for sentencing defendants who are convicted of offenses involving drugs

in pill form. Lazarchik mandates that, when computing the amount of drugs attributed

to a defendant under the guidelines, the court must include the weight of the

substances with which the drugs are mixed to form pills or syrups. See 924 F.2d at

214. The ground relied upon by the district court therefore is expressly precluded,

because allowing a downward departure on this ground would abrogate the

requirement that the substances mixed with drugs be included in the total drug weight.

The district court’s effort to use section 5K2 to craft a sentence based on the net

weight of the drugs therefore constituted an abuse of discretion.

      The district court’s fourth ground for departing downward was that the

defendant made a nominal profit from the sale of the drugs, while the length of his

                                         20
sentence is more consistent with an amount of drugs that has an enormous street value.

Lack of personal profit is not a factor that is included in the Guidelines’ list of

encouraged or discouraged factors, and therefore we must determine whether the

nominal profit earned by Steele takes the case out of the “heartland.” Courts that have

considered downward departures based on this ground have generally disfavored the

reasoning relied upon by the district court. See United States v. Broderson, 67 F.3d
452, 458-59 (2d Cir. 1995); United States v. Seacott, 15 F.3d 1380, 1387 (7th Cir.

1994). As noted in Broderson, “lack of personal profit ordinarily [is not] a ground for

departure, because the Commission generally took that factor into account in drafting

the Guidelines.” 67 F.3d at 459; see also Seacott, 15 F.3d at 1387 (observing, after

listing several provisions in the Guidelines that address profits by the defendant, that

“[g]iven the frequency with which the drafters of the Guidelines specifically adjusted

offense levels based on whether the defendant was motivated by profit, we must

assume that had they been interested in providing for such an adjustment . . . they

would have done so”). Here, we confront a case in which the jury concluded that the

defendant agreed to sell prescription drugs to a person who notified him beforehand

that the prescriptions were phony. In all varieties of drug distribution cases,

defendants have experienced difficulties in turning profits and even incurred losses

for their efforts. We cannot say that such cases fall outside the heartland of drug

                                          21
distribution cases. Rather, we conclude that, despite the nominal profits earned by

Steele in filling the forged prescriptions, this case fails to present sufficiently unusual

circumstances that would permit the district court to depart downward pursuant to

section 5K2. The district court therefore abused its discretion in relying on this

ground.

       The fifth ground relied upon by the district court was that Steele had incurred

a “serious medical problem” that had affected his mental functioning at the time of the

offenses. The Commission expressly encourages district courts to consider whether

the defendant suffered from “significantly reduced mental capacity” at the time of the

offense when deciding whether to grant a downward departure. U.S. Sentencing

Guidelines Manual § 5K2.13. In order to warrant a departure, the diminished capacity

must be linked to the commission of the offense. See United States v. Miller, 146
F.3d 1281, 1285 (11th Cir. 1998), cert. denied, --- U.S. --- 119 S. Ct. 915, 142 L. Ed. 2d
912 (1999).

       During the pendency of this appeal, the Sentencing Commission amended

section 5K2.13 by completely replacing the text of the section and adding an

application note. See U.S. Sentencing Guidelines Manual § 5K2.13 (Nov. 1998 ed.).

The application note defines “significantly reduced mental capacity” to mean that the

defendant “has a significantly impaired ability to (A) understand the wrongfulness of

                                            22
the behavior comprising the offense or to exercise the power of reason; or (B) control

behavior that the defendant knows is wrongful.” Id. application n.1. The amended

section also provides that, “[i]f a departure is warranted, the extent of the departure

should reflect the extent to which the reduced mental capacity contributed to the

commission of the offense.” Id. § 5K2.13. The district court made no specific

findings whether Steele’s diminished mental capacity contributed to the commission

of the crime.

      Given our earlier conclusion that the district court abused its discretion in

relying on the first four grounds for the downward departure granted in this case, we

conclude that the present sentence must be vacated and a new sentencing hearing held.

During the new sentencing hearing, the amended version of section 5K2.13 will apply.

The opportunity thus arises for the district court to determine in the first instance

whether the evidence regarding Steele’s mental condition continues to justify a

downward departure according to the new language.            Moreover, if the court

determines that a downward departure indeed is warranted, the court may assess anew

the extent of the departure in light of its findings of how much the impairment

contributed to the commission of the offense. We therefore decline to reach a

conclusion whether the district court abused its discretion in departing on this ground

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and instead remand the issue to the district court to reassess in light of the changes in

the law and posture of this case.

                                    VI. Conclusion

      For the reasons set forth in this opinion, we AFFIRM Steele’s conviction but

VACATE Steele’s sentence and REMAND for resentencing proceedings consistent

with this opinion.

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