Court Opinion

ID: 4108602
Source: CourtListenerOpinion
Date Created: 2016-12-19 21:00:45.551291+00
Date Added: 2024-06-11T07:45:43.085585
License: Public Domain

United States Court of Appeals
                     For the First Circuit

No. 15-2089

                    UNITED STATES OF AMERICA,

                            Appellee,

                               v.

                        LUZANDER MONTOYA,

                      Defendant, Appellant.

          APPEAL FROM THE UNITED STATES DISTRICT COURT
                FOR THE DISTRICT OF MASSACHUSETTS

         [Hon. Timothy S. Hillman, U.S. District Judge]

                             Before

                Lynch and Selya, Circuit Judges,
                 and Burroughs,* District Judge.

     Andrew Levchuk, with whom Bulkley, Richardson and Gelinas,
LLP was on brief, for appellant.
     Kelly Begg Lawrence, Assistant United States Attorney, with
whom Carmen M. Ortiz, United States Attorney, was on brief, for
appellee.

                        December 19, 2016

_________________
   *Of the District of Massachusetts, sitting by designation.
           SELYA, Circuit Judge.           When a person is caught red-

handed in the commission of a crime, assiduous defense counsel

often is tempted to consider an entrapment defense.                In the case

before us, the defendant followed this course — but things did not

go well for him.    Among his other plaints, the defendant insists

that the district court forced him to show his hand prematurely.

And to make a bad situation worse, the court — at the conclusion

of all the evidence — ruled that the defendant had not carried his

entry-level burden of producing sufficient evidence to send the

entrapment defense to the jury.

           Following an adverse jury verdict and the imposition of

sentence, the defendant now appeals. Ably represented, he advances

several claims of error.       After careful consideration, we affirm.

I.   BACKGROUND

           We   start   with   an   overview       of    the   case,   reserving

pertinent details for our ensuing discussion of specific issues.

           On three occasions in the summer and fall of 2012,

defendant-appellant     Luzander    Montoya       sold   heroin   to   a   person

surreptitiously    cooperating      with    the    federal     government.     A

federal grand jury subsequently returned an indictment charging

the defendant with three counts of possessing heroin with intent

to distribute. See 21 U.S.C. § 841(a)(1). After a five-day trial,

a jury found the defendant guilty on all three counts.                       The

district court imposed a 132-month term of immurement and denied

                                    - 2 -
the defendant's motion for a new trial.                  This timely appeal

followed.

II.    DISCUSSION

             We subdivide our discussion of the issues into four

segments, corresponding to the defendant's asseverational array.

                         A.    The Entrapment Defense.

             The defendant's principal claim is that the district

court erred in refusing to instruct the jury on entrapment.

Because the court grounded this refusal in what it perceived to be

the insufficiency of the relevant evidence, we review its ruling

de novo, examining the record in the light most favorable to the

defendant.      See United States v. Shinderman, 515 F.3d 5, 13 (1st

Cir. 2008).

             A defendant must make a two-part threshold showing in

order to put an entrapment defense before the jury.                 First, he

must   adduce     some    evidence   "that    the   government   induced   the

commission of the charged crime."             Id. at 14.      Second, he must

adduce some evidence that he "lacked a predisposition to engage in

[that crime]."      Id.       In short, the defendant has an entry-level

burden of production, which requires him to furnish "'some hard

evidence' that 'governmental actors induced [him] to perform a

criminal    act   that    he   was   not   predisposed   to   commit.'"    Id.

(alteration in original) (quoting United States v. Rodriguez, 858

F.2d 809, 814 (1st Cir. 1988)).

                                      - 3 -
             If — and only if — the defendant makes this required

"prima facie showing," id., the issue of entrapment is teed up to

go to the jury.     See United States v. Ramos-Paulino, 488 F.3d 459,

462 (1st Cir. 2007); United States v. Coady, 809 F.2d 119, 122

(1st Cir. 1987).     Once that prima facie showing has satisfied the

defendant's entry-level burden of production, the government must

shoulder the burden of proving beyond a reasonable doubt that

entrapment did not occur.         See Coady, 809 F.2d at 122.

             Against this backdrop, we turn first to the defendant's

claim that he made a prima facie showing of improper inducement.

On   its   face,   this   claim   does     not    look    promising:     while   the

cooperating witness (the CW) approached the defendant seeking to

buy heroin, the law is settled that merely showing that the

government presented a person with an opportunity to commit a crime

is not enough to show improper inducement.                 See United States v.

Guevara, 706 F.3d 38, 46 (1st Cir. 2013); see also United States

v.   Díaz-Maldonado,       727     F.3d     130,     139     (1st       Cir.   2013)

(differentiating between "government inducement" and "improper

government    inducement").        Beyond       showing    that   the    government

afforded him the opportunity to commit the crime, the defendant

must adduce evidence that the government engaged in some kind of

"overreaching conduct."          Díaz-Maldonado, 727 F.3d at 138.                Such

conduct    might    include,      for    example,    intimidation,         threats,

                                        - 4 -
relentless insistence, or excessive pressure to participate in a

criminal scheme.   See id. at 137.

          To lay the groundwork for a finding that the government

did more than create an opportunity for the commission of a crime,

a defendant may identify "plus" factors — factors that suffice to

transform run-of-the-mill stage-setting into improper government

inducement. See Guevara, 706 F.3d at 46; United States v. Gendron,

18 F.3d 955, 961 (1st Cir. 1994).         The defendant strives to

identify several such factors.    To begin, he notes that he and the

CW were friends and suggests that the government played upon this

friendship to lure him into wrongdoing that he otherwise would

have eschewed.   Next, he suggests that the CW's references to his

(the CW's) heroin addiction prompted the defendant to make the

sales out of sympathy.   Neither of these suggestions qualifies as

a "plus" factor.

          The mere existence of friendship, in and of itself, does

not constitute improper inducement.      See United States v. Young,

78 F.3d 758, 761-62 (1st Cir. 1996).     Friendship becomes relevant

to this inquiry only if the defendant can show that the government

cooperator so appeals to friendship as to cause a non-predisposed

defendant to commit the crime.     In other words, there must be an

"accompanying allegation of coercion, threat, or plea based upon

friendship . . . that would constitute more than mere opportunity."

Id. at 762; see United States v. González-Pérez, 778 F.3d 3, 12

                                 - 5 -
(1st Cir.), cert. denied, 135 S. Ct. 1911 (2015) (finding no prima

facie showing of improper inducement when defendant "cite[d] no

evidence indicating that [the government cooperator] solicited his

participation by appealing directly to their friendship"); Díaz-

Maldonado,    727   F.3d   at    138   (similar).         Here,   the    defendant

presented evidence indicating that he and the CW were friends; he

presented no evidence, though, indicating that the CW appealed to

this friendship to get the defendant to sell him heroin.                   On this

record, a jury could have found that the CW betrayed the defendant,

but not that he improperly induced the defendant into committing

the crime.

             This leaves the defendant's suggestion that the CW's

heroin addiction constituted a "plus" factor.                 Although the CW

used his addiction as one of the reasons that he was seeking to

purchase heroin, that passing reference to addiction did not

suffice to create a "plus" factor.               See Young, 78 F.3d at 761-62.

There must be some evidence that the government cooperator used

his addiction either to engender sympathy or to create a sense of

urgency,   cf.   Gendron,       18   F.3d   at    961   (noting   that    improper

inducement might be found when the government took unfair advantage

of defendant's sympathy for cooperator's withdrawal symptoms), and

the defendant introduced no such evidence here.                   In fact, the

record contains more references to the CW's ostensible attempts to

resell the defendant's heroin than to the CW's purported addiction.

                                       - 6 -
           The defendant attempts to mitigate the effect of his

lack of inducement evidence by blaming the government.              To put

this argument in perspective, some additional facts are needed.

           While the government was targeting the defendant in the

summer and fall of 2012, the defendant and the CW communicated in

person, over the telephone, by text, and perhaps over Facebook.

The defendant alleges that the government did not preserve complete

records of all of these communications and posits that its failure

gives rise to an inference of spoliation, which should be counted

as an additional "plus" factor.

           It is undisputed that the government did not retain

complete records of the CW's telephone calls with the defendant

(even though a government agent agreed at trial that it "would

have been good" to do so).      In addition, the defendant elicited

testimony from the same government agent regarding the failure to

preserve records of any messages that the defendant and the CW

might have exchanged on Facebook.      The agent acknowledged that the

CW had used Facebook to communicate with other targets of the

investigation.    He testified, though, that he did not know whether

the CW had ever used Facebook to communicate with the defendant

and, as a result, he did not request records from the CW's Facebook

account when building a case file.         The agent added that if any

such   contacts   ever   occurred,   the   records   were   lost   when   he

instructed the CW to erase his Facebook account as a safety

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precaution       before   the   CW's    planned    entry    into   the     witness

protection program.

             The defendant argues that the failure to preserve any

Facebook messages and the entirety of the call logs should give

rise   to   an    inference     of   spoliation    and,    thus,   serve    as    an

additional "plus" factor.            His argument appears to be that, had

the government retained the records, he might have found some

evidence of improper inducement.          For instance, he might have been

able to use the records to identify a "little link in the chain"

that would help to get the inducement issue to the jury.                         The

district court disagreed, and so do we.

             What transpired here cannot plausibly be regarded as a

"plus" factor.        Such factors derive from affirmative evidence;

merely identifying the absence of affirmative evidence does not

create a "plus" factor.         See Guevara, 706 F.3d at 46-47; Gendron,

18 F.3d at 961-62.

             In all events, even if an inference of spoliation could

constitute a "plus" factor — a matter that we need not resolve —

no such inference is warranted here.              An inference of spoliation

is appropriate "where there is evidence from which a reasonable

jury might conclude that evidence favorable to one side was

destroyed by the other."         United States v. Laurent, 607 F.3d 895,

902 (1st Cir. 2010).          However, negligent destruction of evidence

                                       - 8 -
is generally insufficient to justify a spoliation instruction;

some indication of bad faith is required.   See id. at 902-03.

          Even assuming that the missing call logs and Facebook

messages might have contained favorable evidence, an inference of

spoliation would still not be justified because the defendant

adduced no evidence suggesting that the government neglected to

preserve the records in bad faith.     The opposite is true: the

failure to retain call logs was at most careless, and — considering

the CW's imminent entry into the witness protection program — there

was good reason for scrubbing his Facebook account.   In fact, with

respect to both the call logs and the Facebook messages, the

defendant's lawyer acknowledged at trial that he did not think

that "there was any bad faith on anyone's part."1

          The short of it is that the district court did not err

in holding that the defendant failed to make a prima facie showing

of inducement.   Because the two requirements for a prima facie

showing of entrapment are conjunctive, that is, the defendant must

carry his entry-level burden of production as to both improper

     1 The defendant argues in passing that the district court's
failure to charge the jury concerning an inference of spoliation
constituted instructional error. That argument is specious. The
defendant did not request such an instruction at trial, nor did he
object when the court did not give one. As a result, we review
this argument only for plain error. See Fed. R. Crim. P. 30(d)
(citing Fed. R. Crim. P. 52(b)); United States v. McPhail, 831
F.3d 1, 9 (1st Cir. 2016); United States v. Paniagua-Ramos, 251
F.3d 242, 245-46 (1st Cir. 2001). For reasons already alluded to,
see text supra, there was no error, plain or otherwise.

                              - 9 -
inducement and lack of predisposition, see Shinderman, 515 F.3d at

14, no more is exigible to uphold the district court's refusal to

send the entrapment defense to the jury.               In the interest of

completeness, however, we add a few words about the defendant's

failure to make a prima facie showing of lack of predisposition.

             In determining predisposition or the lack of it, we

consider how the defendant "likely would have reacted to an

ordinary opportunity to commit the crime."             Gendron, 18 F.3d at

962. Relatedly, we look for evidence indicating that the defendant

was an unlikely candidate to commit the crime before the government

approached him.       See United States v. Joost, 92 F.3d 7, 14 (1st

Cir. 1996) (citing Jacobson v. United States, 503 U.S. 540, 550

(1992)).

             The defendant asserts that "the government . . . had no

information" that he was selling drugs in July of 2012 and insists

that he was otherwise gainfully employed with no reason to engage

in the drug trade.        But the evidence of the defendant's lawful

employment was dwarfed by a surfeit of evidence indicating that

the defendant had previously been convicted of at least one drug-

trafficking offense and was actively engaged in the drug trade

when   the   CW   first   approached   him.     This    evidence   includes

statements     from    the   defendant     regarding     other   customers,

statements regarding his drug inventory and his periodic need to

                                  - 10 -
replenish it, and statements indicating that he had a direct

pipeline with at least one supplier.

           The record is likewise barren of any evidence that

pressure was needed to persuade the defendant to sell the heroin.

To the contrary, he frequently initiated contact with the CW.

Before the second sale, the defendant even offered to sell the CW

a particular brand of heroin that the defendant considered better

quality than the last.    These are indicia of predisposition, not

indicia of a lack of predisposition.     See Rodriguez, 858 F.2d at

815.   In sum, a reasonable factfinder, assessing this evidence in

its totality, could not have found that the defendant had made a

prima facie showing of lack of predisposition.         See Shinderman,

515 F.3d at 14.

           That ends this aspect of the matter.       We hold that the

district court did not err in refusing to charge the jury on

entrapment.

                  B.   The Forced Disclosure Claim.

           The defendant has a fallback position.        He complains

that the district court "forc[ed] the defense to disclose," prior

to trial, the defendant's plan to present an entrapment defense.

Since the defendant failed to preserve this plaint below, our

review is for plain error.   See Puckett v. United States, 556 U.S.

129, 134-35 (2009).    Under this stringent standard, the defendant

must show "(1) that an error occurred (2) which was clear or

                                - 11 -
obvious and which not only (3) affected the defendant's substantial

rights, but also (4) seriously impaired the fairness, integrity,

or public reputation of judicial proceedings."        United States v.

Duarte, 246 F.3d 56, 60 (1st Cir. 2001).

          We start with the relevant facts.       The defendant submits

that, at a pretrial hearing held in April of 2015, the district

court "compell[ed] the defense to give notice of an entrapment

defense," thereby "graft[ing] a new requirement" onto the Federal

Rules of Criminal Procedure.2      The record, though, belies this

self-serving account.

          At   the   pretrial   hearing,    the   prosecutor   told   the

district court that "the defendant has suggested that he is going

to raise an entrapment defense." The prosecutor then asked whether

the government would be allowed to discuss entrapment in its

opening statement.      The court turned to defense counsel and

inquired whether he would know, prior to making his own opening

statement, if he would say anything about entrapment.           Defense

counsel responded that he was not currently planning to mention

entrapment in his opening statement, but added, "If I change my

mind, I'll let the government know."       In light of this reply, the

     2 The Criminal Rules do require that defendants furnish
advance notice of certain specified defenses. See, e.g., Fed. R.
Crim. P. 12.1 (alibi), 12.2 (insanity), 12.3 (acting under public
authority). Entrapment is not one of these enumerated defenses.

                                - 12 -
court directed defense counsel to "notify the government" of his

decision by the end of the week.                Defense counsel did not object.

             Given       this    sequence      of   events,    it    is   surpassingly

difficult to say that the district court "forc[ed]" the defense to

disclose its theory of the case prematurely.                          The defendant,

through counsel, had already volunteered to let the prosecutor

know   if    he    was    going    to    mention     entrapment      in   his   opening

statement.        What is more, the defendant had laid his cards on the

table for all to see: he had moved to dismiss the indictment on

the ground of entrapment almost a year before and had stated, in

an earlier pretrial motion, that "the government has been on notice

for    the   past    year       that    [the   defendant]      was   considering    an

entrapment defense at trial."

             Under       these    circumstances,       we     find   no   unwarranted

compulsion: the court was merely attaching a timeline to defense

counsel's offer.         If there was error at all — a matter on which we

take no view — the error was not "clear or obvious."                      Duarte, 246

F.3d at 60.         Nor was there any likelihood that, given both the

defendant's decision to press forward with an entrapment defense

and his subsequent failure to make out that entrapment defense,

the error (if one occurred) in any way "affected the defendant's

substantial rights."             Id.    We hold, therefore, that the district

court did not plainly err in directing defense counsel to follow

through, by a date certain, on counsel's volunteered commitment to

                                          - 13 -
advise the prosecutor about the defendant's intent to mention

entrapment in his opening statement.

          C.   The Delayed Disclosure of Brady Material.

          Next, the defendant submits that he was prejudiced by

the government's delayed disclosure of exculpatory evidence and,

thus, is entitled to a new trial.    We review the district court's

refusal to order a new trial on this basis for abuse of discretion.3

See United States v. Van Anh, 523 F.3d 43, 51 (1st Cir. 2008)

(citing United States v. Casas, 425 F.3d 23, 43 (1st Cir. 2005)).

          In a criminal case, the government bears an "affirmative

duty to disclose evidence favorable to a defendant."       Kyles v.

Whitley, 514 U.S. 419, 432 (1995) (citing Brady v. Maryland, 373

U.S. 83, 86 (1963)).   If the government fails to disclose this so-

called Brady material in a timeous manner, the defendant may be

entitled to relief.    See United States v. Flores-Rivera, 787 F.3d

1, 17-18 (1st Cir. 2015); United States v. Lemmerer, 277 F.3d 579,

587-88 (1st Cir. 2002).     Everything depends on the circumstances.

          A key circumstance is whether the delayed disclosure

prejudiced the defendant.    See United States v. Sepulveda, 15 F.3d

1161, 1179 (1st Cir. 1993).    To secure relief, the defendant must

     3 The government complains that this claim of error was not
properly preserved and, therefore, engenders plain error review.
Because we find no abuse of discretion, we bypass the government's
complaint and assume, albeit without deciding, that the defendant
sufficiently preserved his claim.

                                - 14 -
show a "reasonable probability that the outcome of his case would

have been . . . different" had the material been disclosed in a

timely manner.     United States v. Delgado-Marrero, 744 F.3d 167,

199 (1st Cir. 2014).

             In the case at hand, the defendant asserts that he was

prejudiced    by   the   government's   delayed    disclosure   of   Brady

material.    The facts are straightforward.       On the third day of the

trial, the government disclosed to the defendant, for the first

time, its reports of its initial interviews with the CW. According

to those reports, government agents asked the CW to describe all

of the illegal activity of which he was aware.          In response, the

CW identified more than thirty people with connections to gangs

and drug-trafficking in western Massachusetts — but he did not

mention the defendant.     In the defendant's view, these reports are

exculpatory because the omission of his name suggests that the

defendant was not actively dealing drugs when the government

targeted him.

             We assume, favorably to the defendant, that the reports

were Brady material and that the government was obligated to

produce them before trial.      Even so, the defendant has failed to

show that the delayed disclosure of the reports prejudiced him:

nothing about the timing inhibited the defendant from using the

disclosed material effectively.

                                 - 15 -
            We need not tarry.      When all was said and done, the

defendant was able to use the reports for the very purpose that he

now says was thwarted.      After the reports were produced mid-trial,

the defendant elicited testimony from the government agent that

the CW did not mention the defendant in his initial interviews.

Defense counsel reiterated this fact as part of his closing

argument.    There is no reason to believe that a timely disclosure

would have enabled the defendant to use the reports differently or

to greater effect.       Consequently, the delayed disclosure did not

justify granting the defendant's motion for a new trial.               See

Lemmerer, 277 F.3d at 588 (holding that because "defense counsel

incorporated [late-produced documents] ably into" the defense, the

late disclosure did not violate Brady).

            The defendant does not go quietly into this bleak night.

He argues that, had he received the material earlier, his attorney

could have used the reports to impeach the CW.          This argument is

empty: defense counsel received the material before the CW took

the stand, and he had an unfettered opportunity to cross-examine

the CW about their contents.       To cinch the matter, the jury was

fully apprised on several occasions that the CW did not name the

defendant in his initial canvass.          Given this known information,

the   defendant   has    not   explained    how   impeachment   on   cross-

examination would have yielded a reasonable probability of a

different result.       In view of the mass of other evidence against

                                  - 16 -
him,   any    hope    of    a    different      result    seems    farfetched.         See

Sepulveda, 15 F.3d at 1179 (finding no prejudice where, "[i]n

comparison to what was already known," the delayed disclosure of

a "relatively inconsequential amount of incremental information[]

comprised small potatoes").

             So,     too,   the        defendant's     vague    suggestion      that   his

"defense theory might have had an entirely different cast" had he

received the reports earlier is wholly speculative.                          He has not

put any flesh on these bones; that is, he has not made the necessary

"prima facie showing of a plausible strategic option which the

delay foreclosed."              Delgado-Marrero, 744 F.3d at 200 (emphasis

omitted) (quoting Lemmerer, 277 F.3d at 588).

             To say more on this point would be supererogatory.                         We

hold that the court below did not abuse its discretion in refusing

to grant a new trial based on the delayed disclosure of Brady

material.

                           D.    The Challenged Sentence.

             The     last       stop    on    our   itinerary     brings   us    to    the

defendant's claim that he should not have been sentenced as a

career offender under USSG §4B1.1.                    This claim engenders de novo

review.      See United States v. Whindleton, 797 F.3d 105, 108 (1st

Cir. 2015), cert. dismissed, 137 S. Ct. 23 (2016), and cert.

denied, 137 S. Ct. 179 (2016).

                                             - 17 -
          The sentencing guidelines call for a career offender

enhancement when, among other things, a defendant has "at least

two prior felony convictions of either a crime of violence or a

controlled substance offense."        USSG §4B1.1(a).      A court tasked

with determining whether a particular conviction qualifies as a

career offender predicate must employ a categorical approach,

taking into account "the elements of the statute of conviction"

and not the specifics of the defendant's conduct. Taylor v. United

States, 495 U.S. 575, 600-01 (1990).

          In this instance, the defendant had a checkered past,

and his criminal record included a number of prior convictions.

Two of these convictions are relevant here.          First, the defendant

has a prior state conviction for cocaine distribution.           See Mass.

Gen. Laws ch. 94C, § 32E.      Second, the defendant has a prior state

conviction for assault with a dangerous weapon (ADW).            See Mass.

Gen. Laws ch. 265, § 15B(b).

          The district court found these two offenses sufficient

to serve as predicate offenses under the career offender guideline.

The first of these is unarguably a conviction for a controlled

substance offense and, thus, a proper predicate offense under the

career   offender     guideline.       See    USSG   §4B1.2(b)   (defining

"controlled substance offense").            The second conviction — for

Massachusetts   ADW   —   is   less   clear-cut.     The   district   court

nonetheless found it to be a crime of violence.         See id. §4B1.2(a)

                                   - 18 -
(defining "crime of violence").         The applicability of the career

offender guideline depends on the vitality of the defendant's

challenge to this finding.

          Section 4B1.2(a) supplies a built-in definition for the

term "crime of violence."         The definition in effect when the

defendant was sentenced described a "crime of violence" in relevant

part as a federal or state felony that "has as an element the use,

attempted use, or threatened use of physical force against the

person of another."        USSG §4B1.2(a)(1) (Nov. 2014 ed.).              This

subcategory    of   the   definition,    commonly     known    as   the   "force

clause," United States v. Fields, 823 F.3d 20, 33 (1st Cir. 2016),

is apposite here.4

          In    Whindleton,     we      held   that     a     conviction    for

Massachusetts ADW, categorically viewed, is a conviction for a

violent felony under the force clause of the Armed Career Criminal

Act (ACCA), 18 U.S.C. § 924(e)(2)(B)(i).         See Whindleton, 797 F.3d

at 112, 116.    The force clause of the career offender guideline's

"crime of violence" definition mirrors the force clause of the

ACCA's "violent felony" definition and, on that basis, we have

     4A different subcategory of the definition, commonly known as
the "residual clause," Fields, 823 F.3d at 33, is irrelevant here.
For that reason, we have no occasion to address whether and to
what extent Johnson v. United States (Johnson II), 135 S. Ct. 2551,
2557 (2015), may apply either to the career offender guideline or
to sentences imposed thereunder.

                                  - 19 -
extended Whindleton's reasoning to the career offender guideline.

See Fields, 823 F.3d at 35.

            The defendant invites us to reconsider Whindleton and

Fields.   We decline his invitation: where, as here, "a claim runs

headlong into circuit precedent," the "law of the circuit doctrine"

requires us to respect that precedent.5    United States v. Hudson,

823 F.3d 11, 14-15 (1st Cir. 2016).

            Whindleton and Fields are directly on point. They remain

good law.    See, e.g., United States v. Tavares, ___ F.3d ___, ___

(1st Cir. 2016) [No. 14-2319, slip op. at 26-27]. We are therefore

duty-bound to follow these precedents.      Applying them, we hold

that the defendant was lawfully sentenced as a career offender.

            We add a coda.   Our recent decision in Tavares does not

in any way impugn this holding.      There, we considered whether a

Massachusetts conviction for assault and battery with a dangerous

weapon (ABDW) under Mass. Gen. Laws ch. 265, § 15A(b) was a crime

of violence within the meaning of the career offender guideline.

See Tavares, ___ F.3d at ___ [No. 14-2319, slip op. at 23].      We

     5 To be sure, there are isthmian exceptions to the law of the
circuit doctrine. See San Juan Cable LLC v. P.R. Tel. Co., 612
F.3d 25, 33 (1st Cir. 2010). For example, the doctrine does not
apply when "the holding of a previous panel is contradicted by
controlling authority, subsequently announced (say, a decision of
the authoring court en banc, a Supreme Court opinion directly on
point, or a legislative overruling)." United States v. Rodríguez,
527 F.3d 221, 225 (1st Cir. 2008).     No such exception pertains
here.

                                - 20 -
held that Massachusetts ABDW was divisible and that a conviction

under the first section — defined in state case law as "the

intentional and unjustified use of force upon the person of

another, however slight" — would qualify as a crime of violence.

Id. at 27 (citation omitted); see also id. at 37.      This holding

explicitly relied on Whindleton, so Tavares does not undermine

Whindleton but, rather, reaffirms it.    See id. at 26-27.

III.   CONCLUSION

            We need go no further. For the reasons elucidated above,

the defendant's conviction and sentence are

Affirmed.

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