Court Opinion

ID: 4666059
Source: CourtListenerOpinion
Date Created: 2021-03-09 18:00:53.925159+00
Date Added: 2024-06-11T08:02:46.549111
License: Public Domain

NOT PRECEDENTIAL

                       UNITED STATES COURT OF APPEALS
                            FOR THE THIRD CIRCUIT
                                _______________

                                      No. 19-3301
                                    _______________

                           UNITED STATES OF AMERICA

                                             v.

                                   DENIS KELLIHER,
                                                        Appellant
                                   ________________

                     On Appeal from the United States District Court
                        for the Eastern District of Pennsylvania
                     (D.C. Criminal Action No. 2-17-cr-00485-001)
                     District Judge: Honorable Michael M. Baylson
                                   ________________

                               Argued: September 21, 2020

                Before: AMBRO, PORTER, and ROTH, Circuit Judges

                                   (Filed: March 9, 2021)

Christy Martin       [Argued]
Federal Community Defender Office
 for the Eastern District of Pennsylvania
601 Walnut Street
The Curtis Center, Suite 540 West
Philadelphia, PA 19106
       Counsel for Appellant

Anita D. Eve
Robert A. Zauzmer [Argued]
Office of United States Attorney
615 Chestnut Street, Suite 1250
Philadelphia, PA 19106
       Counsel for Appellee
                                    ________________

                                        OPINION*
                                    ________________

PORTER, Circuit Judge.

       While Denis Kelliher was on supervised release from a prior fraud conviction, he

participated in a fraudulent boat-selling scheme. After he pleaded guilty to wire fraud, the

District Court sentenced him to 96 months in prison. Kelliher appealed that sentence,

contending that the record lacked sufficient evidence to prove the existence of ten or

more victims, so a two-level enhancement was improper. The government conceded that

there was insufficient evidence to support the enhancement. We accepted the

government’s concession, vacated Kelliher’s sentence, and remanded for resentencing.

Kelliher now contends that the District Court erred when it (1) reopened the record at

resentencing, (2) counted ten or more victims, and (3) provided an alternative basis for

the 96-month sentence, so that even if the ten-victim enhancement were improper,

Kelliher would still receive the same 96-month sentence. Finding no reversible error, we

will affirm.

*
 This disposition is not an opinion of the full Court and, under I.O.P. 5.7, is not binding
precedent.
                                             2
                                              I

       While Kelliher was on supervised release from a previous fraud conviction, he

began working at Trenton Marine Center. At Trenton Marine, Kelliher brokered the sale

of high-end boats and marine equipment. But after Kelliher sold a boat, he sometimes

kept the money for himself instead of reimbursing the boat’s owner. When the boat

owners demanded the money Kelliher owed them, he issued payment through bank

accounts that he knew were underfunded or already closed. Kelliher eventually pleaded

guilty to one count of wire fraud in violation of 18 U.S.C. §§ 1343 and 2.

       At the initial sentencing, the District Court determined that Kelliher was subject to

a two-level enhancement under U.S.S.G. § 2B1.1(b)(2)(A)(i) based on its finding that

Kelliher’s scheme harmed ten or more victims. Because of this enhancement and a three-

level reduction for acceptance of responsibility, Kelliher’s total offense level was 26,

yielding a Sentencing Guidelines range of 78–97 months’ imprisonment. The court

imposed a 96-month sentence. Kelliher appealed, contending that the court erred when it

imposed the two-level enhancement because the government presented insufficient

evidence to support a finding of ten or more victims. The government conceded the errors

and recommended that we vacate and remand for resentencing. We agreed.

       On remand, the government did not again seek the ten-victim enhancement.

Instead, the government requested an upward variance based on the sentencing factors in

18 U.S.C. § 3553(a) and newly identified losses. The court allowed the government to

present supplemental evidence of victim losses, and Kelliher had the opportunity to

respond to and rebut the supplemental evidence. The court readopted its 96-month

                                             3
sentence based on its determination that there were ten victims and that the calculations

in the Presentence Investigation Report were still correct. The court also stated that even

if the two-level enhancement were inappropriate, the court would still reach the same 96-

month sentence by imposing an upward variance based on Kelliher’s prior criminal

record and the details of his scheme. Kelliher timely appealed and asks that we once

again remand for resentencing.1

                                             II

       We will affirm the District Court’s judgment. And because it correctly counted ten

or more victims, we need not reach Kelliher’s third argument about the District Court’s

alternate grounds for the 96-month sentence.

                                             A

       Kelliher first contends that the District Court abused its discretion by reopening

the record and allowing the government to present supplemental evidence of victim

losses. “An abuse of discretion occurs only where the district court’s decision is

‘arbitrary, fanciful, or clearly unreasonable’—in short, where ‘no reasonable person

would adopt the district court’s view.’” United States v. Green, 617 F.3d 233, 239 (3d

Cir. 2010) (quoting United States v. Starnes, 583 F.3d 196, 214 (3d Cir. 2009)). And

“decisions to reopen proceedings are traditionally a discretionary matter for the district

1
 The District Court had subject-matter jurisdiction under 18 U.S.C. § 3231. We have
appellate jurisdiction under 28 U.S.C. § 1291.
                                            4
court.” United States v. Trant, 924 F.3d 83, 90 (3d Cir. 2019) (quoting United States v.

Coward, 296 F.3d 176, 180 (3d Cir. 2002)).

       When determining whether to reopen a proceeding, a district court must consider

whether (1) reopening would prejudice the party opposing it, and (2) the party supporting

reopening provided “a reasonable explanation for its failure to initially present the

evidence.” United States v. Smith, 751 F.3d 107, 114 (3d Cir. 2014). The prejudice prong

is the “paramount factor” for the court to consider, and “[t]iming is key to this analysis.”

Id. If the opposing party has the ‘“opportunity to respond and attempt to rebut the

evidence introduced,’ the possibility of prejudice is greatly lessened.” Id. (quoting

Coward, 296 F.3d at 181). And for the reasonable-explanation prong, we recognize that a

district court is in a much better position to weigh the merits of the party’s rationale.

Coward, 296 F.3d at 182; United States v. Vastola, 915 F.3d F.2d 865, 876 (3d Cir.

1990). The District Court did not abuse its discretion in granting the government’s

request to reopen the record.

       Most importantly, Kelliher was not prejudiced by the evidence presented on

remand. Kelliher had the opportunity to respond to and rebut the new testimony through

extensive cross-examination.

       The District Court also acted reasonably, not arbitrarily or fancifully, in accepting

the government’s reasoning. First, the government explained that it was introducing

supplemental evidence in support of its request for an upward variance, not the ten-victim

enhancement. So the government took a more arduous path in seeking the same sentence.

Second, the government said that it did not initially include Frank Martins as a victim

                                              5
because it believed that Martins was reimbursed for the funds he gave Kelliher. And

third, the government explained that it failed to offer the evidence of additional victims in

part because it thought it already had evidence of ten victims without including them.

       The dissent does not believe the government gave a reasonable explanation for its

failure to initially present the evidence. But here, the District Court has already decided

that the government’s reasoning was sufficiently persuasive. Our job is merely to ask

whether the court’s decision was an abuse of discretion—not whether we would do things

differently. Abuse of discretion is a high bar: we will not encroach on the court’s

discretion unless “no reasonable person would adopt the district court’s view.” Starnes,

583 F.3d at 214. Here, the court’s decision to accept the government’s explanation

satisfies that standard.

       As the dissent correctly notes, we said in United States v. Dickler that the

government “should ordinarily have to stand or fall on the record it makes the first time

around. It should not normally be afforded ‘a second bite at the apple.’” 64 F.3d 818, 832

(3d Cir. 1995) (emphasis added). We conceded, however, that “we perceive no

constitutional or statutory impediment to the district court's providing the government

with an additional opportunity to present evidence on remand if it has tendered a

persuasive reason why fairness so requires.” Id.

       Kelliher contends that we must remand for resentencing because the government’s

reasons for reopening the sentencing record were insufficiently persuasive, violating the

principles of Dickler. But Dickler is procedurally distinct from this case. In Dickler, the

district court had not yet ruled on whether the record should be reopened; we remanded

                                              6
the case for resentencing and provided guidance because we anticipated that “the

question may arise whether the district court is restricted to resentencing the defendants

based on the current record.” Id. at 831. But we were careful not to “suggest that the

government should or should not be permitted to offer further evidence in this case on

remand.” Id. at 832. Instead, we emphasized that “[t]he district court is in a far better

position than we to assess the situation in the light of the circumstances surrounding the

original sentencing hearing.” Id.

       Here, we are not writing on a blank slate and anticipating arguments that might be

raised on remand. The District Court already ruled in favor of reopening; the only

question is whether it abused its discretion in doing so. While we may not find the

government’s reasons particularly compelling,2 the District Court—which is in a far

better position than we to assess the situation—reasonably found those justifications

persuasive. Our conclusion is supported by a combination of factors: the court’s wide

discretion at sentencing, the government’s decision to seek a variance rather than

continue to pursue an enhancement, and, most importantly, the lack of prejudice to

Kelliher. See Trant, 924 F.3d at 90 (holding that the government’s reason for failing to

introduce evidence was “hardly compelling”—it “simply forgot”—but the district court

did not abuse its discretion when it reopened the record because no prejudice resulted).

2
 We have previously rejected a reopening of the record for lack of a sufficiently
“persuasive reason.” See United States v. Rowe, 919 F.3d 752, 763 (3d Cir. 2019).
                                            7
                                              B

       Kelliher claims the District Court clearly erred in finding ten or more victims

because two of the alleged victims—Jeff McCoun and Frank Martins—do not qualify as

victims under the Sentencing Guidelines. We are not persuaded. “A finding is ‘clearly

erroneous’ when although there is evidence to support it, the reviewing court . . . is left

with the definite and firm conviction that a mistake has been committed.” United States v.

U.S. Gypsum Co., 333 U.S. 364, 395 (1948). Further, the “information relied upon at

sentencing must have ‘sufficient indicia of reliability to support its probable accuracy.’”

United States v. Berry, 553 F.3d 273, 280 (3d Cir. 2009) (quoting United States v.

Warren, 186 F.3d 358, 364–65 (3d Cir. 1999)).3

       The District Court determined—partly based on the supplemental testimony of

McCoun and Martins—that the offense “involved 10 or more victims” under U.S.S.G.

§ 2B1.1(b)(2)(A)(i). Under the Guidelines’ commentary, a “victim” includes “any person

who sustained any part of the actual loss determined under subsection (b)(1).” Id. § 2B1.1

cmt n.1. The bar for actual loss “is not high . . . . [M]onetary harm can include even ‘the

expenditure of time and money to regain misappropriated funds and replace

compromised bank accounts.’” United States v. Moreno, 809 F.3d 766, 776 (3d Cir.

2016) (quoting Smith, 751 F.3d at 119); see also Smith, 751 F.3d at 120 (account holders

who were not reimbursed for “the expenses involved with their trips or the time spent in

communication with the banks” were victims under the Guidelines).

3
 “[F]acts that are considered at sentencing, as a general matter, must be proved by a
preponderance of the evidence.” Berry, 553 F.3d at 280.
                                             8
       Kelliher contends that the District Court clearly erred by counting McCoun as a

victim because the evidence presented did not constitute actual loss and it lacked

sufficient indicia of reliability. We disagree. FBI Agent Kurt Kuechler testified about

McCoun’s actual loss based on his years of involvement in the case and his interviews

with McCoun. According to Agent Kuechler, McCoun reported that he and his associates

took time off work, traveled to New Jersey, and prepared for the delivery of a boat that

never arrived. McCoun also said that although Kelliher’s business partner, Gerald Tipton,

reimbursed him for the travel and accommodations from his last trip to New Jersey,

Tipton never reimbursed him for other expenses—his time off work, his efforts preparing

for the boat delivery, and the travel expenses from the first trip he took to New Jersey to

buy the boat. These expenses appear to overcome the “actual loss” bar, which, as we

noted, “is not high.” See Moreno, 809 F.3d at 776.

       The evidence also shows sufficient indicia of reliability. McCoun’s testimony

contained no internal inconsistencies, and Agent Kuechler corroborated McCoun’s

statements with his own findings, seized reimbursement records, sales receipts from the

boats, and interviews with Tipton. We are thus not “left with a definite and firm

conviction that a mistake has been committed” by the District Court. U.S. Gypsum Co.,

333 U.S. at 395. The District Court did not clearly err by counting McCoun as a victim.

       Kelliher also contends that the District Court clearly erred by counting Martins as

a victim because the government failed to prove that the Martins transaction was part of

the charged offense or that Kelliher even had access to the Martins funds. We again

disagree. The government showed that Martins (1) wired money to Trenton Marine at the

                                             9
direction of Kelliher while the scheme was ongoing; (2) received pictures of the boat

from Kelliher; (3) never received the promised boat and engines; and (4) has a court

judgment against Kelliher and Trenton Marine for $780,000 in losses. Based on this

testimony, we are not left with a firm conviction that the District Court made a mistake in

concluding Martins was a victim. Thus, the District Court did not clearly err.

                                      *      *      *

       In sum, the District Court did not abuse its discretion in admitting the

supplemental evidence or clearly err in applying the ten-victim enhancement. We will

affirm the District Court’s judgment sentencing Kelliher to 96 months’ imprisonment.4

4
  As we previously stated, we need not address Kelliher’s procedural attack on the
District Court’s alternative basis for the 96-month sentence. But had we reached the
issue, we would have determined that the District Court did not plainly err in its
alternative basis for the 96-month sentence.
                                              10
ROTH, Circuit Judge, dissenting.

       The government concedes that its “failure to meet its burden” at the defendant’s

initial sentencing was “clear”1 and offers no persuasive excuse for that failure.

Nevertheless, at resentencing, the District Court permitted the government to introduce

additional evidence and reinstated the original sentence. Because the Majority supports

that result, it defies our well-established precedent that the government may not have a

second bite at the apple without a persuasive reason. I respectfully dissent.

                                             I

       “[W]here the government has the burden of production and persuasion as it does on

issues like enhancement of the offense level . . . , its case should ordinarily have to stand

or fall on the record it makes the first time around.”2 “We have recognized a limited

exception to our distaste for ‘a second bite at the apple’” at resentencing where the

government “has tendered a persuasive reason why fairness” requires that it be permitted

to offer new evidence.3 “If the government, for want of notice or any other reason beyond

its control, does not have a fair opportunity to fully counter the defendant’s evidence and

1
       Gov’t’s Mot. to Vacate J. & Remand for Resentencing at 5, United States v.
Kelliher, No. 18-2512 (3d Cir. Mar. 13, 2019).
2
       United States v. Dickler, 64 F.3d 818, 832 (3d Cir. 1995)
3
       United States v. Rowe, 919 F.3d 752, 763 (3d Cir. 2019) (emphases added) (citing
Dickler, 64 F.3d at 832 (quoting United States v. Leonzo, 50 F.3d 1086, 1088 (D.C. Cir.
1995))).
                                             1
the government’s theory does not carry the day, the district court is entitled to permit further

record development on remand.”4

       The government chose to include McCoun, Martins, Ciasulli, and Carolla on its

victims list at the first hearing, even though its threadbare investigation into their

transactions indicated that at least three of them were not “victims” under our precedents.5

The government did not even interview McCoun before the hearing, and its cursory

investigation resulted in grossly inaccurate testimony about Martins. The government does

not argue that it was unable to collect and present additional evidence about these

individuals at the first hearing; it simply chose not to do so. Both McCoun and Martins

apparently were willing to provide more information: McCoun participated in interviews

after remand, and Martins testified at the second hearing. I would hold the government to

its own investigatory choices and require the District Court to impose a sentence based on

the evidence that had been presented at the first hearing.

                                              A

       The government offers two contradictory excuses for its failure at the first hearing

to offer evidence that McCoun and Martins suffered unreimbursed losses. The government

4
       Dickler, 64 F.3d at 832 (emphases added); see also United States v. Johnson, 587
F.3d 203, 213 (3d Cir. 2009) (finding adequate excuse where government was unable to
produce a plea colloquy because of “personnel turnover in the office that provides
transcription services for the court in which [the defendant’s] simple assault conviction
arose”).
5
       See United States v. Smith, 751 F.3d 107 (3d Cir. 2014); United States v. Kennedy,
554 F.3d 415 (3d Cir. 2009).
                                               2
first argues that it felt it already had ten victims without McCoun and Martins. This is the

only excuse it offered in the District Court.

       The government’s second excuse, however, shows that its first excuse was

pretextual. Specifically, it argues for the first time on appeal that it failed to present

additional evidence because Kelliher did not object to the insufficient evidence at the first

hearing.6 Which is it: Did the government think that it met its burden without McCoun

and Martins, or did it fail even to think about its burden until Kelliher raised it on the first

appeal? It is clear that the government did not think about this issue until the appeal, which

is why it immediately conceded that its “failure to meet its burden” was “clear.”7

       The government’s second excuse should also fail. As an initial matter, Kelliher did

raise some of these issues in his Sentencing Memorandum: He objected to the number of

victims and argued that McCoun was not a victim, citing Kennedy, and that Ciasulli was

not a victim for other reasons that the government included in its Motion to Vacate. In any

event, defendant’s failing to object is no excuse for the government’s failure to meet its

burden.8 The government has an obligation to meet its burden of proof, independent of

any objection.9 The government is on notice of that obligation, and its ability to comply

6
       Gov’t’s Br. at 25–26.
7
       Gov’t’s Mot. Vacate J. at 5.
8
       See United States v. Chem. & Metal Industs., Inc., 677 F.3d 750, 753 (5th Cir. 2012)
(holding that the government may not present new evidence on remand even where the
defendant failed to object to the original sentencing).
9
       Cf. Berger v. United States, 295 U.S. 78, 88 (1935) (“The United States Attorney is
the representative not of an ordinary party to a controversy, but of a sovereignty . . . whose
interest . . . in a criminal prosecution is not that it shall win a case, but that justice shall be
done.”); United States v. Coward, 296 F.3d 176, 182 (3d Cir. 2002) (stating in dictum that
                                                3
with our precedents was not “beyond its control.”10 The government should not be allowed

to treat the first sentencing as a dress rehearsal. At the very least, where, as here, the

government’s failure to meet its burden was abundantly clear, it should be limited to the

evidence presented at the first hearing. When we granted the government’s Motion to

Vacate, it “ha[d] already been given one full and fair opportunity to offer whatever proof

about [McCoun and Martins] it could assemble. . . . One bite at the apple is enough.”11

                                              B

       The government argues that it need not offer a persuasive reason where the

defendant is not prejudiced by reopening the record, such as where the defendant can cross-

examine the witnesses. I disagree. First, this argument is inconsistent with our rule that

the government “ordinarily is only afforded one opportunity to carry its burden.”12

Defendants will be able to cross-examine witnesses at most (if not all) resentencing

“[t]he government may not shift the blame to the District Court for its own failure to advise
the court of the applicable law and to bear its burden of proof on a clearly established
requirement”); Am. Bar Ass’n, CRIMINAL JUSTICE STANDARD FOR THE PROSECUTION
FUNCTION 3-7.2(a) (“The severity of sentences imposed should not be used as a measure
of a prosecutor’s effectiveness.”); ABA Standard 3-4.3(a) (“A prosecutor should seek or
file criminal charges only if the prosecutor reasonably believes that . . . admissible evidence
will be sufficient to support conviction beyond a reasonable doubt . . . .” (emphasis added)).
10
        Dickler, 64 F.3d at 832; accord United States v. Archer, 671 F.3d 149, 168 (2d Cir.
2011) (“The consensus among our sister circuits is that generally where the government
knew of its obligation to present evidence and failed to do so, it may not enter new evidence
on remand.”).
11
        United States v. Parker, 30 F.3d 542, 553–54 (4th Cir. 1994).
12
        United States v. Rowe, 919 F.3d 752, 762–63 (3d Cir. 2019) (emphasis added)
(citation omitted).
                                              4
hearings. Accepting the government’s argument would thus turn our ordinary rule into a

rare exception.

       Second, defendants are almost always prejudiced by reopening the record where the

new evidence is used to impose a higher sentence. If defendants must show the type of

“prejudice” contemplated by the government, we would read Dickler nearly out of

existence.

       Third, the government’s position is inconsistent with our precedent.            As the

government concedes, in our mandates remanding cases for sentencing, without addressing

potential prejudice, we have preempted district courts ex ante from reopening the record

where the government did not offer a persuasive reason.13 Although a “district court is in

a far better position” to assess whether the record should be reopened,14 its discretion is not

unlimited, and it should not be able to reopen the record without a persuasive reason from

the government.

       The Majority relies on United States v. Smith,15 and United States v. Trant.16 Both

are inapposite. The Smith court did not hold that a lack of prejudice was a substitute for a

persuasive excuse. To the contrary, it reaffirmed the requirement that “a party seeking to

reopen a proceeding must provide a reasonable explanation for its failure to initially

13
       See id. at 763 (ordering district court not to reopen record on remand because
government lacked a “persuasive reason”); see also United States v. Cespedes, 663 F.3d
685, 691 (3d Cir. 2011) (holding that under Dickler the government could not again seek
sentencing enhancement on remand).
14
       Dickler, 64 F.3d at 832.
15
       751 F.3d 107 (3d Cir. 2014).
16
       924 F.3d 83 (3d Cir. 2019); see also Gov’t Br. at 26.
                                              5
present the evidence.”17 There, the government had a persuasive excuse: Other circuits

had not unanimously agreed on the reimbursement issue, and we decided the controlling

case (Kennedy) after Smith’s initial sentencing.18 But the government apparently did not

learn its lesson: It once again asks us to reopen the record to correct its mistakes under

Kennedy. This time, however, the government has no excuse. Both Kennedy and Smith

were decided long before Kelliher’s first sentencing, which is why the government

conceded in the first appeal that its error was “clear.”

       In Trant, we held that the government, immediately after resting, could reopen its

case-in-chief to submit a stipulation it had forgotten to put on the record. We limited our

holding, however, to trials, in part because of the many “opportunities for technical

requirements or details to be overlooked during the often high pressure of a trial

proceeding[.]”19 By contrast, Kelliher’s sentencing was short and informal, involved only

a few witnesses, and was not governed by rules of evidence. Moreover, the government

did not merely forget to enter a piece of evidence immediately after resting: It failed to

even investigate the evidence at issue until after remand. “The government’s burden of

proof . . . is not merely a ‘technical requirement’ . . . but a critical requirement of criminal

law.”20

17
       Smith, 751 F.3d at 114 (emphasis added).
18
       Id. at 115.
19
       Trant, 924 F.3d at 89.
20
       United States v. Coward, 296 F.3d 176, 182 (3d Cir. 2002).
                                               6
       In sum, our cases require a persuasive reason to reopen the sentencing record on

remand, not just a lack of prejudice. We cannot and should not deviate from that

requirement.

                                              II

       The government asks us alternatively to affirm Kelliher’s sentence based on the

District Court’s upward variance. It suggests that there is some meaningful distinction

between seeking a variance based on the number of victims and re-seeking the

enhancement. But the government cannot evade Dickler by relabeling its motion. Just as

the government had an obligation at the initial hearing to introduce evidence in support of

the enhancement, it also had an obligation to introduce any evidence that it wanted the

District Court to consider under § 3553(a).

       In order to give us a basis to determine that the District Court’s decision to reopen

the record was harmless error, the government must show that it is “clear that the error did

not affect the district court’s selection of the sentence imposed.”21 In view of the facts and

argument presented at the resentencing, I cannot conclude that the variance was not tainted

by the new evidence.        I would, therefore, vacate the sentence and remand for

resentencing.22

21
       United States v. Langford, 516 F.3d 205, 215 (3d Cir. 2008).
22
       See United States v. Juwa, 508 F.3d 694, 701–02 (2d Cir. 2007) (remanding where
the basis of sentence was unclear); United States v. Curran, 967 F.2d 5, 7 (1st Cir. 1992)
(same); cf. United States v. Negroni, 638 F.3d 434, 446 (3d Cir. 2011) (holding that district
court erred in failing to explain reasons for downward variance);United States v. Merced,
603 F.3d 203, 219–20 (3d Cir. 2010) (reversing where district court failed “to ‘plainly state
                                               7
                                          III

       In conclusion, I take no position as to what sentence Kelliher should have received.

However, because I believe that the government was not entitled to a second bite at the

apple and that the District Court’s variance probably was tainted by the new evidence, I

respectfully dissent.

the reasoning’ behind its sentence” (quoting United States v. Levinson, 543 F.3d 190, 197
(3d Cir. 2008))).
                                            8