Court Opinion

ID: 9945455
Source: CourtListenerOpinion
Date Created: 2024-02-27 21:00:38.17305+00
Date Added: 2024-06-11T14:25:29.941395
License: Public Domain

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                                           UNPUBLISHED

                              UNITED STATES COURT OF APPEALS
                                  FOR THE FOURTH CIRCUIT

                                              No. 22-4696

        UNITED STATES OF AMERICA,

                            Plaintiff – Appellee,

                     v.

        JOSE DAVID NAVARRO-CERVELLON,

                            Defendant – Appellant.

        Appeal from the United States District Court for the District of Maryland, at Greenbelt.
        Paula Xinis, District Judge. (8:19-cr-00603-PX-2)

        Argued: December 8, 2023                                   Decided: February 26, 2024

        Before NIEMEYER, GREGORY, and HEYTENS, Circuit Judges.

        Affirmed by unpublished opinion. Judge Heytens wrote the opinion, in which Judge
        Niemeyer and Judge Gregory joined.

        ARGUED: Brent Evan Newton, Gaithersburg, Maryland, for Appellant. Thomas Ernest
        Booth, UNITED STATES DEPARTMENT OF JUSTICE, Washington, D.C., for Appellee.
        ON BRIEF: Nicole M. Argentieri, Acting Assistant Attorney General, Lisa H. Miller,
        Deputy Assistant Attorney General, Criminal Division, UNITED STATES DEPARTMENT
        OF JUSTICE, Washington, D.C.; Erek L. Barron, United States Attorney, Baltimore,
        Maryland, William D. Moomau, Assistant United States Attorney, Leah B. Grossi,
        Assistant United States Attorney, OFFICE OF THE UNITED STATES ATTORNEY,
        Greenbelt, Maryland, for Appellee.
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        Unpublished opinions are not binding precedent in this circuit.

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        TOBY HEYTENS, Circuit Judge:

               A jury convicted Jose David Navarro-Cervellon of three offenses stemming from

        the murder of Ramiro Moya. The district court sentenced him to concurrent terms of life

        imprisonment and an additional 10-year term to be served consecutively. Navarro raises

        several challenges to his convictions and sentence. Seeing no reversible error, we affirm.

                                                       I.

               Navarro was charged with three crimes: conspiracy to commit murder for hire with

        death resulting, in violation of 18 U.S.C. § 1958(a) (Count 1); murder for hire with death

        resulting, also in violation of 18 U.S.C. § 1958(a) (Count 2); and using a firearm in

        connection with a crime of violence with death resulting, in violation of 18 U.S.C.

        § 924(c)(1)(A) and § 924(j) (Count 3). The indictment alleged the substantive murder for

        hire charged in Count 2 as the predicate crime of violence for Count 3. A jury found

        Navarro guilty on all three counts.

               Before sentencing, Navarro moved for a judgment of acquittal under Federal Rule

        of Criminal Procedure 29 and for a new trial under Rule 33. At the sentencing hearing, the

        district court orally denied Navarro’s motions. The court then imposed the mandatory

        minimum sentences of life imprisonment on Counts 1 and 2 and 10 years of imprisonment

        on Count 3 and ordered that the 10-year sentence on Count 3 run consecutively to the

        concurrent life sentences on Counts 1 and 2. The district court also imposed various

        conditions of supervised release.

                                                      II.

               Navarro makes four arguments on appeal. We conclude each fails.

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                                                     A.

               We begin with Navarro’s assertion that his substantive murder for hire conviction

        was not a “crime of violence” as defined in 18 U.S.C. § 924(c)(3) and thus could not serve

        as a predicate for his firearm conviction.

               Navarro’s argument faces a steep climb. For one thing—as Navarro concedes—this

        claim is forfeited because it was never raised in the district court. See United States v.

        Fuertes, 805 F.3d 485, 497 (4th Cir. 2015) (holding that a general motion for a judgment

        of acquittal does not preserve a “purely legal challenge” that a charged predicate is not a

        “crime of violence”). To prevail, Navarro thus must do more than show the district court

        erred in concluding that his 18 U.S.C. § 1958(a) conviction was a qualifying “crime of

        violence.” He also must demonstrate “that the alleged legal error is clear or obvious, rather

        than subject to reasonable dispute.” United States v. Ravenell, 66 F.4th 472, 492 (4th Cir.

        2023) (quotation marks removed).

               Navarro fails to clear that hurdle. This Court has never said a violation of 18 U.S.C.

        § 1958(a) is not a crime of violence. To the contrary, we have held that a conspiracy to

        violate that statute is a crime of violence when death results. See United States v. Runyon,

        994 F.3d 192, 201–04 (4th Cir. 2021). Given Runyon, it is neither clear nor obvious that

        the substantive offense would not also qualify as a crime of violence when death results.

        And there is no doubt death resulted here because the jury specifically found the conduct

        charged in Count 2 “resulted in the death of Ramiro Moya.” JA 947. *

               *
                At oral argument, Navarro suggested this case is distinguishable from Runyon
        because that defendant was convicted of conspiring to violate Section 1958(a) while he
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               Navarro responds that Runyon has been abrogated by United States v. Taylor,

        596 U.S. 845 (2022), which issued after his sentencing. But Taylor involved a different

        crime (attempted robbery) and a different statute (18 U.S.C. § 1951(a)), and it affirmed a

        decision of this Court holding such offenses were not crimes of violence. See United States

        v. Taylor, 979 F.3d 203, 205 (4th Cir. 2020), aff’d, 596 U.S. at 848–52. All that makes for

        an unpromising start to an argument that it is clear or obvious that Runyon is a dead letter

        after Taylor. See, e.g., Carrera v. E.M.D. Sales, Inc., 75 F.4th 345, 352 (4th Cir. 2023) (“We

        do not lightly presume that the law of this circuit has been overturned[.]”).

               But Navarro presses on, insisting Runyon’s explanation for why Section 1958(a)

        violations are crimes of violence cannot be squared with Taylor’s approach to such matters.

        Of course, even fatally undermining Runyon’s reasoning would not—by itself—establish

        that Runyon’s bottom-line result was clearly or obviously wrong. But Navarro does not

        attack all of Runyon’s reasoning. Instead, he argues that two sentences in a seven-paragraph

        explanation employed a form of analysis “explicitly rejected” in Taylor, and urges that,

        absent such analysis, the result in Runyon would have been different. Navarro Br. 20–21

        (identifying language from Runyon).

               Even when unconstrained by the limited scope of review brought on by forfeiture,

        this Court has cast doubt on arguments of that type. Indeed, “[w]e have expressly held that

        when a Supreme Court decision abrogates one portion of our rationale in a prior case but

        was convicted of the substantive offense. See Oral Arg. 12:34–13:12. That argument is not
        merely forfeited: It is waived. See Navarro Br. 20 n.20 (acknowledging that Runyon
        involved a conspiracy offense but stating that Runyon’s “reasoning equally applied to a
        ‘substantive’ violation of § 1958(a)”).
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        not another, the rationale not abrogated by the Supreme Court nonetheless binds future

        panels of this court.” Taylor v. Grubbs, 930 F.3d 611, 619 (4th Cir. 2019). Nothing in the

        Supreme Court’s decision in Taylor “directly contradict[s] our prior holding” in Runyon

        (id.) or makes clear that no “portion” of Runyon’s “logic” or reasoning remains “intact,”

        United States v. Obey, 790 F.3d 545, 550 (4th Cir. 2015). To the contrary, much of this

        Court’s reasoning in Runyon turned on the relationship between the required result of the

        offense (a “death”) and the specific intent requirement (“that a murder be committed for

        money”)—reasoning that is in no way undermined by Taylor. See Runyon, 994 F.3d at 204.

               To be clear: We need not—and thus do not—decide whether Runyon’s holding about

        Section 1958(a) remains correct or binding post-Taylor. We hold only that Navarro has

        failed to meet his burden of showing that the district court committed clear or obvious error

        in following Runyon here.

                                                     B.

               We turn next to Navarro’s challenge to the district court’s denial of his new trial

        motion. Navarro does not contend the court could not have denied that motion under the

        correct legal standard—a decision that would be reviewed only for an abuse of discretion.

        See United States v. Miller, 41 F.4th 302, 315 (4th Cir. 2022). Instead, Navarro argues the

        district court made a legal error by applying the wrong standard.

               We disagree. To be sure, the court’s oral explanation of its ruling made significant

        use of shorthand and could have been more thoroughly explained. But we see no persuasive

        evidence the court misunderstood the relevant legal standards or applied the wrong one in

        denying Navarro’s new trial motion. See Frazier v. Prince George’s Cnty., 86 F.4th 537,

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        544 (4th Cir. 2023) (noting that, absent circumstances not present here, “a district court’s

        lack of explanation doesn’t amount to error, even if it makes our job harder”).

               Two threshold considerations frame our inquiry. First, as Navarro concedes,

        Rule 33 does not require a district court to explain its reasons for denying a motion for a

        new trial. Compare United States v. Ali, 991 F.3d 561, 570 (4th Cir. 2021) (noting that a

        “district court does not need to expound upon its reasoning in its denial of a new trial

        motion”), with 18 U.S.C. § 3553(c) (directing a sentencing court to state “the reasons for

        its imposition of the particular sentence”); and Fed. R. Crim. P. 12(d) (requiring courts to

        make express findings of fact when ruling on pretrial suppression motions). Second,

        “[e]ven when the transcript does not explicitly show as much, trial judges are presumed to

        know the law and to apply it in making their decisions.” Ali, 991 F.3d at 570 (alterations

        and quotation marks removed). For that reason, the question is not whether the district

        court provided enough explanation for denying Navarro’s Rule 33 motion or whether some

        of the court’s language can be read in the way he suggests. Instead, it is whether the district

        court’s oral explanation for its decision is enough to rebut the presumption that the court

        knew and was applying the correct legal standard.

               As always, the context for the district court’s ruling is critical. Like many federal

        criminal defendants, Navarro filed two post-trial motions in one document: He asked for

        both a judgment of acquittal under Federal Rule of Criminal Procedure 29 and a new trial

        under Rule 33. That filing was entered on the district court’s electronic docket as entry 198

        and labeled “Motion for New Trial.”

               Despite being brought in a single filing, however, all agree that Navarro brought

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        two alternative motions governed by distinct legal standards. A court deciding a Rule 29

        motion may neither weigh the evidence nor assess witness credibility. See, e.g., United

        States v. Gallagher, 90 F.4th 182, 190 (4th Cir. 2024). Instead, the court asks whether “any

        rational trier of fact could have found the essential elements of the crime beyond a

        reasonable doubt.” United States v. Millender, 970 F.3d 523, 528 (4th Cir. 2020).

               In contrast, district courts enjoy “much broader” authority when deciding whether

        to grant a new trial based on the weight of the evidence. United States v. Arrington,

        757 F.2d 1484, 1485 (4th Cir. 1985). When reviewing such a motion, the court acts “as a

        thirteenth juror” by “conduct[ing] its own assessment of the evidence, unconstrained by

        any requirement to construe the evidence in the government’s favor.” United States v.

        Rafiekian, 68 F.4th 177, 186 (4th Cir. 2023) (quotation marks removed). The central

        question in the Rule 33 context is whether “the evidence weighs so heavily against the

        verdict that it would be unjust to enter judgment.” Arrington, 757 F.2d at 1485.

               The parties’ disagreement is narrow. They agree about the relevant legal standards.

        They agree the district court denied both motions. And they agree the district court applied

        the correct legal standard in denying Navarro’s Rule 29 motion. The only dispute is

        whether Navarro can show the district court applied the wrong legal standard when orally

        denying the Rule 33 motion.

               On that question, we conclude the answer is no. After confirming Navarro had

        received and reviewed the presentence report, the district court said it was “mov[ing] to the

        motion for new trial at ECF 198” (JA 978) which—again—is how Navarro’s single

        consolidated filing was labeled on the court’s docket (JA 30). The court explained it had

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        “left” that motion “open just to make sure that there wasn’t anything else that either side

        wished to bring to [its] attention,” and noted that it had not “received any other

        supplemental information.” JA 978. The court then said it was “going to deny that motion,”

        and gave the following brief explanation:

               As counsel well knows, that a jury’s verdict is to be upheld if there is
               substantial evidence viewed in the light most favorable to the government to
               support it. Another way of saying it is I can only set aside the jury verdict if
               I find that no reasonable juror could come to the conclusion -- to come to a
               finding of guilt.

               And as to the three counts to which Mr. Navarro was convicted, I presided
               over the entire trial, listened to the witnesses, heard the evidence, and there
               is simply no basis to grant the new trial motion. Obviously, it preserves your
               issues for appeal, but I’m going to deny ECF 198.

        JA 978–79.

               All agree the first paragraph of that explanation closely tracks the Rule 29 standard.

        See Rafiekian, 68 F.4th at 186. The dispute involves the second paragraph.

               Admittedly, that paragraph does not recite the Rule 33 standard. Still, what the court

        did say (“I presided over the entire trial, listened to the witnesses, heard the evidence”)

        sounds a lot like a district court that appreciated the shift from Rule 29’s objective standard

        to Rule 33’s subjective one. See Rafiekian, 68 F.4th at 186. There would be no obvious

        reason for the district court to have discussed its personal impressions of the evidence under

        the Rule 29 standard, which focuses on what a reasonable juror could have found. On its

        face, that statement seems far more relevant to the court’s role as the “thirteenth juror”

        under Rule 33.

               The district court’s final statement also undercuts Navarro’s claim that the court

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        mistakenly applied the same legal standard in denying his two motions. The court noted

        that its ruling “preserves your issues”—plural—“for appeal.” JA 979 (emphasis added).

        That too suggests the court recognized that the single filing it referenced at both the

        beginning and the end of its discussion (“ECF 198”) raised multiple issues, not just one.

        We would not place much significance on the word “issues” standing alone, and it would

        not be enough to rebut otherwise-compelling evidence that the district court applied the

        wrong standard. But considering the other signals we have, we take this as another cue that

        the district court correctly analyzed the issue.

               Navarro’s contrary argument relies on United States v. Mallory, 902 F.3d 584 (6th

        Cir. 2018). There, the Sixth Circuit reversed the denial of a criminal defendant’s new trial

        motion because the trial court’s written order—“[w]hen read as a whole”—

        “demonstrate[d] that it asked the wrong question” when denying the Rule 33 motion. Id. at

        597. In fact, the Sixth Circuit concluded the district court in that case did exactly what

        Navarro accuses the district court of doing here: applying the Rule 29 sufficiency-of-the-

        evidence standard when considering a Rule 33 motion. See id. at 596–97.

               Navarro overlooks a critical distinction between this situation and Mallory and thus

        overstates the similarity between the two. Unlike Navarro, Mallory sought relief only under

        Rule 33, meaning any reference to Rule 29’s more rigorous standard for granting a motion

        for a judgment of acquittal was out of place and cause for concern. See United States v.

        Pioch, No. 3:14-cr-00403-JGC, 2017 WL 1376410, at *1 (N.D. Ohio Apr. 17, 2017)

        (“Pending are each defendant’s Fed. R. Crim. P. 33 motion for a new trial.”), rev’d in

        relevant part, 902 F.3d at 597. Yet the district court’s written order “repeatedly

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        characterized its task as evaluating the sufficiency of the evidence” (the Rule 29 standard)

        “rather than weighing the evidence for itself ” (the Rule 33 standard). Mallory, 902 F.3d at

        596.

               Here, by contrast, the district court confronted both a Rule 29 and a Rule 33 motion.

        For that reason, there was nothing problematic about the court’s reference to the Rule 29

        standard. And, as we have already explained, we conclude that—“read as a whole,”

        Mallory, 902 F.3d at 597—the record here fails to overcome the presumption that the

        district court knew and applied the correct legal standard to each of Navarro’s motions.

                                                     C.

               Navarro next argues he is entitled to resentencing because the district court

        mistakenly believed it had to order his 10-year sentence on Count 3 be served

        consecutively to the two life sentences he received on Counts 1 and 2. This Court’s recent

        decision in United States v. Huskey, 90 F.4th 651 (4th Cir. 2024), resolves that issue. In

        Huskey, as here, a defendant was sentenced to two concurrent life sentences to be followed

        by a consecutive 10-year sentence for “using and carrying a firearm in connection with a

        crime of violence that resulted in [ ] death.” Id. at 676. In Huskey, as here, the defendant

        failed to object to the district court’s conclusion that it had to make the 10-year sentence

        consecutive but argued that such a conclusion was reversible plain error after the Supreme

        Court’s intervening decision in Lora v. United States, 599 U.S. 453 (2023). See Huskey,

        90 F.4th at 676. And here—as in Huskey—we hold Navarro is not entitled to relief under

        the plain-error standard because he offers no “non-speculative explanation about how a

        consecutive sentence tacked onto a life sentence will affect [his] substantial rights.” Id.

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                                                      D.

               Finally, we address Navarro’s assertion that the district court violated the rule of

        United States v. Rogers, 961 F.3d 291 (4th Cir. 2020), by imposing discretionary conditions

        of supervised release that were never announced in his presence. We disagree—the district

        court committed no Rogers error.

               Rogers holds that a district court may not impose discretionary conditions of

        supervised release in a written judgment if the court did not announce those conditions

        during the sentencing hearing. See 961 F.3d at 297–99. This rule, this Court has explained,

        stems from a criminal defendant’s “right to be present when he is sentenced” and the

        principle that “if a conflict arises between the orally pronounced sentence and the written

        judgment, then the oral sentence controls.” Id. at 296. So, much like Navarro’s challenge

        to the district court’s ruling on his motion for a new trial, resolving the alleged Rogers error

        requires a close reading of the relevant transcript. See id. (reviewing court determines

        whether a Rogers error occurred by “comparing the sentencing transcript with the written

        judgment”).

               During the sentencing hearing, the district court announced it was imposing “a

        special condition of drug and alcohol evaluation and treatment, as deemed appropriate by

        probation.” JA 993–94. In its written judgment, the district court stated Navarro “must

        participate in” drug and alcohol treatment and in “substance abuse testing” and that his

        probation officer would “supervise [his] participation in the program.” JA 1004. According

        to Navarro, these two conditions are “materially different” because the court’s oral

        pronouncement—but not its written judgment—gave the probation officer discretion to

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        decide “whether [Navarro] should participate in the programs or testing” in the first place.

        Navarro Br. 23–24.

               No question, a material discrepancy between a discretionary condition as orally

        pronounced and later detailed in the written judgment is a Rogers error. See United States

        v. Cisson, 33 F.4th 185, 194 n.6 (4th Cir. 2022). But Rogers itself noted that “where the

        precise contours of an oral sentence are ambiguous, we may look to the written judgment

        to clarify the district court’s intent.” 961 F.3d at 299.

               That is the situation we have here. As the government correctly points out, the

        district court’s statement at the sentencing hearing is susceptible to two meanings—either

        the probation officer had authority to decide whether Navarro would participate in drug

        and alcohol treatment or they had discretion to decide which program he was to complete.

        Because both readings are reasonable, we conclude the oral pronouncement was

        ambiguous. The court’s written judgment, however, closed the door on one of those

        possibilities and adopted the other. So, under Rogers itself, there was no error. See 961 F.3d

        at 299; accord United States v. Love, 593 F.3d 1, 9 (D.C. Cir. 2010) (noting the “vast

        majority of ” the courts of appeals hold that “district court[s] may use the written judgment

        to clarify an ambiguous oral pronouncement of the sentence”). We therefore reject

        Navarro’s challenge to his conditions of supervised release.

                                                *       *      *

               The district court’s judgment is

                                                                                        AFFIRMED.

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