                     REVISED AUGUST 22, 2002

                 UNITED STATES COURT OF APPEALS
                      FOR THE FIFTH CIRCUIT


                           No. 00-50523


                    UNITED STATES OF AMERICA,
                                            Plaintiff - Appellee,

                                 v.

          BRANDON BERNARD and CHRISTOPHER ANDRE VIALVA,
                                         Defendants - Appellants.



          Appeals from the United States District Court
                for the Western District of Texas
                           Waco Division

                          July 19, 2002

Before JONES, WIENER and PARKER, Circuit Judges.

EDITH H. JONES, Circuit Judge:

          Brandon Bernard and Christopher Andre Vialva were jointly

tried, found guilty and sentenced to death for the murders of Todd

and Stacie Bagley on the property of Fort Hood, Texas. See Federal

Death Penalty Act (“FDPA”) of 1994, 18 U.S.C. § 3591 et seq.

Bernard and Vialva now appeal their convictions and sentences.

Finding no reversible error, we affirm.
                   I. FACTUAL AND PROCEDURAL BACKGROUND

            On June 20, 1999, Christopher Andre Vialva, Christopher

Lewis and Tony Sparks, members of a gang in Killeen, Texas, met to

plan a robbery.1      The three gang members decided on the following

plan: they would ask someone for a ride, get in the car and pull a

gun on the victim, steal the victim’s money and personal effects,

obtain the pin number for the victim’s ATM card, force the victim

into the trunk of the car and drive somewhere to abandon the car

with the victim locked in the trunk.

            The following day, Vialva, Lewis and Sparks enlisted two

fellow gang members, Brandon Bernard and Terry Brown, to assist in

the carjacking plan.          Initially, the group only had one gun, a

“tiny .22 pistol” that they considered “too small to frighten

anyone.”     The group decided that a second gun was necessary.

Bernard owned a Glock .40 caliber handgun that he had lent to

Gregory Lynch.      Vialva, Bernard, Lewis, Sparks and Brown drove to

Lynch’s house and obtained Bernard’s gun.             The group then set out

in search of a victim.

            Sometime after 2:00 p.m. on the afternoon of June 21,

Bernard    drove    Vialva,    Brown,       Lewis   and   Sparks   to   a   local

supermarket to find a victim.        Having had no luck there, the group



      1
            Most of the facts concerning the events of June 20-21 were testified
to by Christopher Lewis and Terry Brown, who pled guilty to various offenses in
exchange for truthful testimony.

                                        2
continued their search by driving around parking lots at other

local stores.    The search ended at a convenience store in Killeen,

where they found Todd Bagley using a pay phone.

             Todd Bagley and his wife, Stacie, were youth ministers

from Iowa.    Before moving to Iowa, Todd had been stationed at Fort

Hood, where the couple attended Grace Christian Church and worked

with the youth group.         About a week before their deaths, the

Bagleys returned to Killeen to visit friends and to attend a

revival meeting at the church.        On Sunday, June 21, they attended

a morning worship service and had lunch with friends.             Afterward,

Todd stopped at “Mickey’s” convenience store to use the payphone,

while Stacie waited for him in their car.

             Lewis and Sparks approached Todd and asked him for a ride

to their uncle’s house.        Todd agreed.      Vialva, who was standing

nearby, got in the backseat of the Bagleys’ car with Lewis and

Sparks.2     Todd and Stacie occupied the front seat.            Vialva gave

Todd directions, and then pulled out the .40 caliber gun, pointed

it at Todd and told him that “the plans have changed.”           At the same

time, Sparks pointed the .22 handgun at Stacie.                 On Vialva’s

orders, Todd stopped the car, and the Bagleys got out. The gang

stole Todd’s wallet, Stacie’s purse and the Bagleys’ jewelry.




      2
            Bernard and Brown were playing video games in a nearby store.   They
rejoined Vialva later in the day.

                                      3
Vialva demanded the pin numbers for the Bagleys’ ATM cards, and

then forced the Bagleys into the trunk of their car.

          After locking the Bagleys in the trunk, Vialva drove

around for several hours.      He went to ATM machines to withdraw

money from the Bagleys’ account, but was largely unsuccessful

because the Bagleys had less than one hundred dollars on deposit.

Vialva drove to a “Wendy’s” where Lewis and Sparks used the

Bagleys’ money to purchase some food.         Vialva then attempted to

pawn Stacie’s wedding ring, and stopped at a tobacco store to

purchase cigars and cigarettes.

          While they were locked in the trunk, the Bagleys spoke

with Lewis and Sparks through the rear panel of the car.             Lewis

testified that the Bagleys asked them questions about God, Jesus

and church.   The Bagleys told Lewis and Sparks that they were not

wealthy people, but that they were blessed by their faith in Jesus.

The Bagleys informed Lewis and Sparks about the revival meeting at

Grace Christian, a church which Lewis said he had attended. Urging

them to have faith, the Bagleys advised Lewis and Sparks that God’s

blessings were available to anyone.           After this conversation,

Sparks told Vialva he no longer wanted to go through with the

crime.   Vialva, however, insisted on killing the Bagleys and

burning their   car   to   eliminate   the   witnesses   and   the   gangs’

fingerprints.



                                   4
            Vialva drove to his house.             While he was inside, the

Bagleys had another conversation about God with Lewis and Sparks.

By this time, the victims had been locked in the trunk for several

hours.    The Bagleys pleaded with Lewis and Sparks for their lives.

            Vialva returned to the car with a ski mask and some

additional clothing. Vialva, Lewis and Sparks then met Bernard and

Brown, and Vialva repeated that he had to kill the Bagleys because

they had seen his face.      Bernard and Brown set off to purchase fuel

to burn the Bagleys’ car.

            Vialva, Bernard, Lewis and Brown3 drove to an isolated

spot in the Belton Lake Recreation Area on the Fort Hood military

reservation.     Vialva parked the Bagleys’ car on top of a little

hill.     Brown and Bernard poured lighter fluid on the interior of

the car while the Bagleys sang and prayed in the trunk.

            According to Brown, Stacie’s last words were “Jesus loves

you” and “Jesus, take care of us.”        Vialva crudely cussed at her in

reply.    Vialva put on his mask, and told Lewis to open the trunk.

Vialva then shot Todd in the head with the .40 caliber gun, killing

him instantly.     Vialva shot Stacie in the right side of her face,

knocking her unconscious, but not killing her. Bernard set the car




      3
            Sparks was no longer with the group.    He was dropped off earlier in
the evening to avoid missing his curfew.

                                      5
on fire.    An autopsy later revealed that Stacie died from smoke

inhalation.4

            Vialva, Bernard, Lewis and Brown ran down the hill to

Bernard’s car.     Their getaway was foiled when the car slid off the

road into a muddy ditch.      Local law enforcement officers, informed

of a fire, arrived at the scene while the assailants were trying to

push the car out of the ditch.        When firemen discovered the bodies

in the trunk of the Bagleys’ burning car, the four were arrested.

            A grand jury in the Western District of Texas indicted

appellants Vialva and Bernard for the following crimes: carjacking

and aiding and abetting the same in violation of 18 U.S.C. §§ 2,

2119 (“Count One”); conspiracy to commit murder in violation of 18

U.S.C. §§ 1111, 1117 (“Count Two”); the murder of Todd Bagley,

within the special maritime and territorial jurisdiction of the

United States, and aiding and abetting the same in violation of 18

U.S.C. §§ 2, 1111 (“Count Three”); and the murder of Stacie L.

Bagley, within the special maritime and territorial jurisdiction of

the United States, and aiding and abetting the same in violation of

18 U.S.C. §§ 2, 1111 (“Count Four”).        The government gave notice it

would seek the death penalty.




      4
            An autopsy revealed soot in Stacie’s larynx, trachea and bronchi
indicating her inhalation of smoke. A toxicologic examination of Stacie’s blood
revealed a high level of carbon monoxide, the product of breathing smoke carbon
monoxide gas from the burning car.

                                      6
          On June 1, 2000, a jury found Vialva and Bernard guilty

on all four counts of the indictment.       Testimony in the punishment

phase of the trial began on June 8 and lasted four days.          On June

13, the jury recommended a sentence of death against Vialva on

Counts One, Three and Four, and a sentence of death against Bernard

on Count Four.       The district court sentenced Vialva to life

imprisonment on Count Two and death on the remaining counts.          The

court sentenced Bernard to life imprisonment on Counts One, Two and

Three and death on Count Four.         Bernard and Vialva filed timely

notices of appeal.

                           II.   DISCUSSION

          In this direct appeal, Bernard and Vialva challenge their

convictions and sentences on the following grounds:

     A.   The district court violated Vialva’s Due Process rights

          by improperly dismissing a prospective juror for cause;

     B.   The district court violated Vialva’s Due Process rights

          and Fed. R. Civ. P. 14 by failing to order a severance

          and a mistrial sua sponte in the punishment phase of

          trial;

     C.   The   district   court   failed     to   conduct   an   adequate

          investigation into alleged communications between a third

          party and jurors;

     D.   The district court violated Appellants’ First Amendment,

          Eighth Amendment and Due Process rights and 18 U.S.C.

                                   7
     § 3593(c) and § 3593(f) by admitting victim impact

     statements containing improper references to religion and

     improper     characterizations           of   Appellants    and     their

     crimes;

E.   The district court improperly defined certain aggravating

     factors in its instructions to the jury, and the evidence

     is legally insufficient to support the jury’s findings

     regarding three aggravating factors;

F.   Appellants’ death sentences violate the Eighth Amendment

     and   18   U.S.C.     §     3595(c)(2)(A)        because     the    jury

     arbitrarily     found     that      Appellants’     ages     were    not

     mitigating factors;

G.   The   district      court        violated     Vialva’s     Eighth    and

     Fourteenth Amendment rights and 18 U.S.C. § 3593(c) by

     excluding mitigating testimony concerning a childhood

     incident of racial harassment;

H.   Prosecutorial    statements         in    closing   argument       denied

     Vialva a fair trial and violated his Due Process rights.

I.   The cumulative impact of errors in the punishment phase

     of trial denied Vialva a fair trial.

J.   Bernard’s sentence violates the Fifth, Sixth and Eight

     Amendments     because      the     “mental     state    factors”    and




                                  8
               “statutory aggravating factors” were not found by the

               grand jury or alleged in the indictment.

We address each of these issues in turn.

              A.       Dismissal of a prospective juror for cause.

               Vialva       contends    that       the   district     court    erred   by

sustaining the government’s challenge to prospective juror Dana

Pate on the basis of her inability to consider the penalty of

death. In her initial questionnaire, the prospective juror stated,

“I do not feel I have the right to judge whether a person lives or

dies.    I could not do that.”                 When asked about this statement

during voir dire, however, the prospective juror indicated that she

had changed her mind about the death penalty.                      She explained to the

court, “this is a real hard thing for me . . . I’ve talked to some

people, and we’ve talked about [the death penalty], and I still

don’t know if I’m right or not, but if the facts were such that

they were proven that the defendant would need that verdict, then

I would give it.”             The government made and the district court

sustained a for-cause objection to Ms. Pate on the basis of her

inability to adequately consider the death penalty.                         Vialva argues

that    the    district       court    erred       because   the    prospective    juror

expressed          a    willingness    to   consider         the    death    penalty   in

appropriate cases.




                                               9
           “A court may excuse a prospective juror for cause because

of his views on capital punishment if those views would prevent or

substantially impair the performance of his duties as a juror in

accordance with the instruction and oath.”                  United States v.

Webster, 162 F.3d 308, 340 (5th Cir. 1999) (citing Wainwright v.

Witt, 469 U.S. 412, 424, 105 S.Ct. 844 (1985)).                A prospective

juror who would “automatically vote against the death penalty in

every case” must be dismissed.              Id. (citing United States v.

Flores, 63 F.3d 1342, 1355 (5th Cir. 1995)).              Additionally, the

district court has discretion to excuse a juror for cause when the

court “is left with the definite impression that a prospective

juror who would be unable to faithfully and impartially apply the

law.”   Id., (quoting Witt, 469 U.S. at 426, 105 S.Ct. 844).               While

the district court’s dismissal of a prospective juror on this basis

is   reviewed    for   abuse     of    discretion,   we     give   the    court

“considerable deference [] because such decisions are based on

face-to-face credibility assessments.”          Webster, 162 F.3d at 340.

           The record supports the district court’s decision.               Ms.

Pate’s initial questionnaire revealed unequivocally that she could

not sentence another person to death.          When questioned during voir

dire,   the     potential      juror    explained    that     under      limited

circumstances she would be able to sentence another person to

death, but she also stated “I cannot be sure. . . .                I cannot be



                                       10
sure about this.”        These statements and others in the record

support    the   district   court’s     conclusion   that    the   prospective

juror’s bias regarding the death penalty substantially impaired her

ability to abide by her oath as a juror.             The district court did

not abuse its discretion in dismissing Ms. Pate.



                                B.    Severance

            Vialva urges that the trial court should have severed his

case from Bernard’s at the penalty phase of trial.                 See Fed. R.

Crim P. 14.      According to Vialva, evidence of Bernard’s religious

conversion and Christian upbringing implicitly prejudiced the jury

against Vialva, who lacked comparable mitigating evidence.              Vialva

contends    that    Bernard’s        mitigating   evidence    regarding     his

Christianity violated Vialva’s right to exclude consideration of

religion during the penalty phase of trial.            Vialva concedes that

this issue must be reviewed for plain error, since he did not

object to Bernard’s evidence and failed to renew an unsuccessful

pretrial motion for severance.           United States v. Misher, 99 F.3d

664, 669 (5th Cir. 1996).5




      5
         Vialva, but not Bernard, moved to sever the trials at the outset of the
proceedings and again during jury selection. The motions were denied. We are
not faced with any broad question concerning the advisability of joint trials in
federal capital cases, but we note that the Federal Death Penalty Act contains
no special rules regarding joinder of codefendants.



                                        11
           Reversal   may   occur   under   the    demanding    plain   error

standard only if there was (1) clear or obvious (2) error that

(3) affected Vialva’s substantial rights, and (4) failure to

correct the error seriously affects the fairness, integrity or

public reputation of the judicial proceedings.           United States v.

Olano, 507 U.S. 725, 730-37, 113 S.Ct. 1770 (1993).            Vialva cannot

satisfy the standard.

           No clear error attached to the district court’s failure

sua sponte to sever and grant a mistrial when Bernard offered a bit

of evidence of his Christian conversion.            The decision to sever

lies in the trial court’s discretion.              Severance “should” be

granted “only if there is a serious risk that a joint trial would

compromise a specific trial right of one of the defendants.”

Zafiro v. United States, 506 U.S. 534, 539, 113 S.Ct. 933 (1993).

A court’s limiting instructions will often cure any prejudice

resulting from a joint trial.        Id.    Further, defendants charged

with capital murder under federal statutes have been tried jointly

in both the guilt and penalty phases of trial.           See United States

v. Causey, 185 F.3d 407 (5th Cir. 1999); United States v. Tipton,

90 F.3d 861 (4th Cir. 1996).

           While acknowledging that efficiency factors support joint

trials even in capital cases, we share Vialva’s concern over the

inherent    tension     between     joinder       and   each    defendant’s



                                    12
constitutional entitlement to an individualized capital sentencing

decision.    A trial court must be especially sensitive to the

existence   of   such   tension   in    capital   cases,   which   demand   a

heightened degree of reliability.           Lowenfield v. Phelps, 484 U.S.

231, 238-39, 108 S.Ct. 546 (1988); see generally Tipton, 90 F.3d at

891-92 (discussing problems posed by joinder in the penalty phase

of a federal capital case, but noting that since the federal

statute requires the sentencing decision to be made by the jury

that tried the defendants’ guilt, severance during the penalty

phase is impractical.)      Nevertheless, the pro-Bernard mitigating

evidence of which Vialva complains was not sufficiently “mutually

antagonistic” or “irreconcilable” to him to suggest, much less

compel, severance at the     penalty phase.

            Bernard’s mitigating evidence was admissible and not

subject to challenge by Vialva.              Viewed objectively, however,

Bernard did not offer strong proof of his religious conversion.

One friend testified briefly that Bernard had “found the Lord”

while in jail for these crimes.        And Bernard’s mother, pleading for

her son’s life, testified that she tried to instill in Bernard

Christian principles.     Considering the circumstances of the crime,

her plea appears desperate.       None of this evidence tarred Vialva

directly or indirectly, particularly since it was evident that

Vialva was not responsible for the fractured home life of his



                                       13
youth.   The    evidence   generated        no   “specific    and   compelling”

prejudice to Vialva.

          Finally, the court repeatedly instructed the jury to

consider each defendant’s punishment separately, and he instructed

them, as required by the FDPA, not to consider the religious views

of the defendants or victims.         This instruction refutes Vialva’s

complaint that the court should have issued an additional, sua

sponte instruction that evidence of Bernard’s religious upbringing

or conversion should not be considered in assessing Vialva’s

punishment.     This   court   must        presume   that    the    jury   heard,

understood    and   followed   the     district      court’s       instructions.

Richardson v. Marsh, 481 U.S. 200, 211, 107 S.Ct. 1702 (1987).                The

district court’s instructions sufficiently addressed the risk of

prejudice resulting from the joint trial.                   The court did not

plainly err by failing to order severance during the punishment

phase of trial.

               C.   Alleged Third-Party Communication
                             with Jurors

          Before closing arguments in the guilt-innocense phase of

trial, the district court told counsel: “a juror said as they came

past where some people were out on the sidewalk this morning, and

some person they described as a ‘Black lady,’ said to them,

‘Someone is going to die in that trial today.’               So, if you notice




                                      14
some extra security or something today, that will be the reason.”

The record reflects no response from any of the parties.                  Bernard

now contends that the court conducted an insufficient inquiry into

this alleged incident, and the court erred in believing that the

jury had not been tainted by the third-party communication.

            We review the court’s decision that the jury was not

improperly    tainted     by   extrinsic      evidence    under    the    clearly

erroneous standard, and we review the court’s choice of methods to

investigate    the   possibility     of     extrinsic    taint    for    abuse   of

discretion.     United States v. Cantu, 167 F.3d 198, 201 (5th Cir.

1999) (citations omitted).6 Bernard argues that the district court

abused its discretion by discussing this alleged communication with

the juror ex parte.       Relying on Remmer v. United States, 347 U.S.

227, 74 S.Ct. 450 (1954), and other jury tampering cases, Bernard

argues that the district court committed reversible error by

failing to conduct a hearing to investigate this incident.

            This court has explained, however, that district courts

are not required to conduct a “full-blown evidentiary hearing in

every instance in which an outside influence is brought to bear

upon a petit jury.’”        Cantu, 167 F.3d at 201-02 (quoting United



      6
            Because Bernard failed to object to the district court’s announcement
and did not move for a mistrial, plain error review might be appropriate.
Nevertheless, because we find no clear error or abuse of discretion, it is
unnecessary to determine whether the plain error standard is required.



                                       15
States v. Ramos, 71 F.3d 1150, 1153 (5th Cir. 1995)); see also,

United States v. Sylvester, 143 F.3d 923, 932 n.5 (5th Cir. 1998).

To determine whether a hearing is necessary, the district court

“must balance the probable harm resulting from the emphasis such

action would place upon the misconduct and the disruption involved

in conducting a hearing against the likely extent and gravity of

the prejudice generated by the misconduct.”               Ramos, 71 F.3d at

1153 (5th Cir. 1995).

            In this case, the passing statement of a crowd member was

minimally prejudicial, even if it is assumed to have been intended

to influence the jury.      The effect of her statement would have been

greatly     outweighed     by    the   disruption   and   prejudice    of   an

evidentiary hearing. This conclusion is underscored by the absence

of any request for further investigation or a request for a

mistrial.    The district court’s failure to investigate further or

differently    was   not    an   abuse    of   discretion.    Likewise,     its

conclusion that the jury was not improperly tainted is not clearly

erroneous.    Bernard’s argument is without merit.7

                      D.    Victim Impact Statements




      7
            Bernard further inaptly asserts that his counsel had a right to be
present at the court’s “ex parte conference” with the juror. The context of the
court’s statement to counsel suggests that a juror simply mentioned the
passerby’s comment to him. Again, the fact that no attorney present responded
to the court’s announcement strongly indicates the triviality of the incident.



                                         16
           Appellants next contend that the district court erred by

admitting certain parts of the victim impact statements in the

penalty phase of trial.         Not only do they allege that the victim

impact statements were unduly prejudicial, in violation of their

Due   Process      rights,    but   also    that   they   contained    improper

references    to    religion    and   improper     characterizations    of   the

perpetrators and their crimes.             Bernard and Vialva concede that

since they did not object to the victim impact statements at trial,

this court’s review is for plain error.            See, e.g., Jones v. United

States, 527 U.S. 373, 387-88, 119 S.Ct. 2090 (1999).

           The FDPA provides for the submission of an aggravating

factor “concerning the effect of the offense on the victim and the

victim’s family [which] may include oral testimony, a victim impact

statement . . . and any other relevant information.”             18 U.S.C. §

3593(a)(2).        Victim impact evidence is relevant to the jury’s

sentencing decision.         Accordingly, testimony concerning the effect

of the murders on the victims and their parents was offered in

support of this aggravating factor.

           In Payne v. Tennessee, the Supreme Court held that victim

impact evidence is admissible “to show [] each victim’s uniqueness

as an individual human being.”             501 U.S. 808, 823-27, 111 S.Ct.

2597 (1991).       “Victim impact evidence is [a] method of informing

the sentencing authority about the specific harm caused by the



                                       17
crime in question, evidence of a general type long considered by

sentencing authorities.”         Id. at 825, 111 S.Ct. 2597.           Evidence

“about the victim and about the impact of the murder on the

victim’s family is relevant to the jury’s decision as to whether or

not the death penalty should be imposed.             There is no reason to

treat such evidence differently than other relevant evidence is

treated.”    Id. at 827, 111 S.Ct. at 2597.          Victim impact evidence

is admissible unless it “is so unduly prejudicial that it renders

the trial fundamentally unfair” in violation of a defendant’s Due

Process rights.      Id. at 825, 111 S.Ct. 2597; see also, Jones v.

United States, 527 U.S. 373, 401-02, 119 S.Ct. 2090 (1999).8

            The Government offered five victim impact statements in

the sentencing phase of trial.         The four parents’ statements were


      8
             Prior to its opinion in Payne, the Court had held victim impact
statements inadmissible on the basis that they created an “impermissible risk
that the capital sentencing decision [would] be made in an arbitrary manner” in
violation of the Eighth Amendment. Booth v. Maryland, 482 U.S. 496, 505, 107
S.Ct. 2529 (1987); see also, South Carolina v. Gathers, 490 U.S. 805, 810, 109
S.Ct. 2207 (1989) (extending Booth to prosecutorial arguments concerning the
character of the victim or the impact of the crime on the victim’s family). The
holdings of Booth and Gathers rested on the reasoning that victim impact evidence
is “wholly unrelated to the blameworthiness of a particular defendant.” Booth,
482 U.S. at 505, 107 S.Ct. 2529.
             In Payne, the Court determined that Booth had “unfairly weighted the
scales in a capital trial” in favor of the defendant. Payne, 501 U.S. at 822,
111 S.Ct. 2597. “By turning the victim into a ‘faceless stranger at the penalty
phase of a capital trial,’ Booth deprives the State of the full moral force of
its evidence and may prevent the jury from having before it all the information
necessary to determine the proper punishment for a first-degree murder.” Id. at
825, 111 S.Ct. at 2597. Overruling Booth and Gathers to this extent, the Court
explained that victim impact evidence is relevant to the defendant’s moral
culpability, and it counterbalances the defendant’s mitigating evidence with
evidence that humanizes the victim. Id.




                                       18
admissible under Payne to show the impact of the murders on the

victims’ families.          501 U.S. at 827, 111 S.Ct. at 2609.          The fifth

statement was made by a friend and former coworker of the Bagleys

and       demonstrated      their    “uniqueness     as   []    individual    human

being[s].”        Id. at 823, 111 S.Ct. at 2607.          The statements in this

case are similar to those held admissible in other cases.                      See,

e.g., United States v. Hall, 152 F.3d 381, 404-05 (5th Cir. 1998),

abrogated on other grounds by, United States v. Martinez-Salazar,

528 U.S. 304, 120 S.Ct. 774 (2000); United States v. McVeigh, 153

F.3d 1166, 1218-19 (10th Cir. 1998).

              Bernard’s and Vialva’s multiple challenges to the victim

impact statements resolve analytically into two issues: whether the

witnesses’ religious statements and references deprived appellants

of    a    fair    trial;   and     whether    portions   of   the   victim   impact

statements went beyond the limits of Payne by injecting into

evidence irrelevant and prejudicial characterizations of the crime

and the Appellants.9

              1.     Religious Statements in the Victim Impact Testimony



      9
            Appellants also challenge Todd Bagley’s father’s statement that
described the emotional harm resulting from his observation of the trial, which
revealed the brutality of the crime. Appellants argue that Bagley’s statement
was irrelevant to the harm caused by the Appellants. This single short paragraph
of Mr. Bagley’s statement “did not inflame [the jury’s] passions more than did
the facts of the crime . . . . In light of the jury’s unavoidable familiarity
with the facts,” we cannot conclude that Mr. Bagley’s brief statement deprived
Appellants of Due Process. Payne, 501 U.S. at 832, 111 S.Ct. at 2612 (O’Connor,
J., concurring).



                                              19
           Appellants argue that religious references in the victim

impact testimony violated their First Amendment, Eighth Amendment

and Due Process rights and contravene provisions of the FDPA

prohibiting the introduction of unduly prejudicial testimony.                     18

U.S.C. §§ 3593(c) and 3595(c)(2)(A).               Four types of religious

references    appear    in   the   testimony:      (1)    descriptions      of   the

religious beliefs and activities of Todd and Stacie Bagley; (2) the

bereaved   parents’     statements    that    they       relied    on    their   own

religious beliefs to find comfort from the pain caused by the

murders; (3) a religious plea by Stacie’s mother directed at

Appellants;    and     (4)   religious      remarks       by    Thelma    Bernard,

appellant’s mother, when pleading for her son’s life.

           With    regard     to   the     first    category       of    religious

statements, we find no error in the introduction of testimony

regarding the victims’ religious activities.                   Payne holds that a

court must consider the victims of an offense as it finds them, not

in the light most favorable to the defendant.                  Indeed, concurring

in Payne, Justice Souter described the “serious practical problems”

caused by the Booth standard with a hypothetical illustration of a

minister killed by a stranger while running an errand to his

church.    Payne, 501 U.S. at 840-42, 111 S.Ct. at 2616-17 (Souter,

J., concurring).       Justice Souter explained:

     The jury will not be kept [at the guilt phase] from
     knowing that the victim was a minister, with a wife and


                                      20
      child, on an errand to his church . . . because the usual
      standards of trial relevance afford factfinders enough
      information about surrounding circumstances to let them
      make sense of the narrowly material facts of the crime
      itself.   No one claims that jurors in a capital case
      should be deprived of such common contextual evidence. .
      . .

Id.   In this case, testimony regarding the religious activities of

the Bagleys is “common contextual evidence.”               The Bagleys were

youth ministers who were attending a revival meeting at their

former church on the day that they were murdered. These contextual

facts are not inadmissible simply because they concern religion.

            In addition to being relevant contextual evidence, the

fact that    Todd    and   Stacie   Bagley   were   “deeply    religious    and

harmless individual[s] who exhibited [their] care for [their]

community by religious proselytization . . . was relevant to the

community’s loss at [their] demise.” Gathers, 490 U.S. at 821, 109

S.Ct. at 2216 (O’Connor, J., dissenting).10 Because religion played

a vital role in Todd and Stacie Bagleys’ lives, it would be

impossible    to    describe   their   “uniqueness    as   individual    human

beings” without reference to their faith.            See Pickren v. State,

500 S.E.2d 566, 568-69 (Ga. 1998) (finding description of victim’s

“faith and church activities an essential part of a ‘glimpse into


      10
            In Gathers, the Court had held inadmissible a prosecutorial argument
containing numerous references to the religious beliefs and activities of the
victim.   Gathers, 490 U.S. at 810-11, 109 S.Ct. at 2210-11.      By overruling
Gathers, the Court has accepted Justice O’Connor’s view that evidence relating
to the victim’s religious activities is relevant to the sentencing decision.



                                       21
his life.’”) (citations omitted).     We find no error in admitting

statements regarding the religious beliefs and activities of the

victims.

           The second category of religious statements includes the

parents’ reliance on their religious belief for comfort and relates

to the harm caused by the Appellants’ crime.        Stacie Bagley’s

father, for example, explained that the only thing that made his

daughter’s tragic death bearable was his belief that he would see

her again someday in heaven.   Such statements are relevant to the

impact of the Appellants’ crimes on the victims’ families.    Thus,

the statements are admissible under Payne.

           We are troubled, however, that Stacie Bagley’s mother,

Donna McClure, addressed Bernard and Vialva personally during the

course of her victim impact statement, warned them that heaven and

hell are real, and called on them to put their faith in Jesus

Christ for the forgiveness of their sins.    Since these admonitions

neither describe Todd and Stacie nor relate to the harm inflicted

on Ms. McClure by appellants’ crime, they were irrelevant and might

have been excluded upon timely objection. Nevertheless, Appellants

have failed to demonstrate that the admission of this testimony

affected their substantial rights for purposes of the third prong

of the plain error test. Unlike cases finding religious statements

inadmissible, neither McClure nor any of the witnesses in this case



                                 22
nor, most important, the prosecutor urged the jurors to use a

religious standard in reaching their verdict.               See, e.g., Sandoval

v. Calderon, 241 F.3d 765, 776 (9th Cir. 2001) (stating that

prosecutorial    invocation    of    a     “higher    law   or    extra-judicial

authority” in argument to jury violates the Eighth Amendment).                    In

this case, the witness urged Appellants to put their faith in God.

Precisely because such statements are not relevant to the jury’s

sentencing decision, we do not believe they could have inflamed or

prejudiced the jury against appellants, they were not designed to

do so, and in sum, such statements do not constitute plain error.

           Vialva also complains that his right to a fair trial was

violated when Bernard’s mother, in mitigating testimony, urged the

jurors to use a religious standard in their deliberations. This is

the fourth type of religious reference complained of by Vialva.

Bernard’s mother, testifying on Bernard’s behalf in the punishment

phase, urged the jury to reject the death penalty because “Jesus

wouldn’t   do   lethal   injection.”          As   noted    earlier,     Bernard’s

mitigating evidence of his religious conversion was admissible.

These   statements   generated      no     specific    prejudice     to    Vialva,

however, as Bernard’s mother urged the jury to reject the death

penalty.    Furthermore,      the   court’s        instructions     to    the   jury

sufficiently addressed the risk of prejudice.                    The jurors also

signed a certification, as required by the FDPA, that religion



                                         23
played no part in their sentencing decision.      The statements of

Bernard’s mother did not deny Vialva a fair trial.

          2.   Characterization of the defendants and their crime

          Appellants also argue that portions of the victim impact

testimony impermissibly characterized the Appellants and their

crime. In Booth, the Supreme Court held inadmissible victim impact

testimony which “set[s] forth the family members’ opinions and

characterizations of the crimes and defendant[s].”       482 U.S. at

508-09, 107 S.Ct. at 2535-36.   The Court reasoned that “the formal

presentation of [family members’ opinions and characterization of

the crime] can serve no other purpose than to inflame the jury and

divert it from deciding the case on relevant evidence concerning

the crime and the defendant.”   Id.   This portion of the holding in

Booth was not overruled by the Supreme Court in Payne.    See Payne,

501 U.S. at 830 n.2, 111 S.Ct. at 2611.

          In her written statement to the jury, Stacie Bagley’s

mother directed the following statement to the Appellants: “I’m

sorry for you, for your heart to be so hard, you couldn’t even see

the innocence of the two you’ve killed.”     Stacie Bagley’s father

testified:

     I truly believe that on June 21st, 1999, our children
     were tragically and recklessly stolen from us. There was
     no profit to be gained, no angry exchange, it was just a
     useless act of violence and a total disregard of life.




                                 24
       Stacie and Todd saw a chance to witness to two young
       people placing themselves in harm’s way.

These statements characterize the Appellants, and offer opinions

about the nature of their crime.               We are bound by Booth to find

such evidence inadmissible.             Furthermore, the error in admitting

such    testimony    was    plain.         However,     Appellants   have   not

demonstrated that the error affected their substantial rights.

These brief statements did not alone unduly prejudice the jury.

Cf. Payne, 501 U.S. at 832, 111 S.Ct. at 2612 (“[S]urely this brief

statement did not inflame [the jury’s] passions more than did the

facts   of   the    crime   .   .   .    .”)    (O’CONNOR,   J.,   concurring).

Furthermore, any prejudice that did result from the statements was

mitigated by the district court’s instructions to the jurors not to

be swayed by passion, prejudice or sympathy.             We reiterate that we

presume that the jury followed its instructions.              U.S. v. Tombin,

46 F.3d 1369, 1391 (5th Cir. 1995).                   Taken in context, this

inadmissible portion of the victim impact testimony was short and

mild compared to the horror of the crimes and the pathos of the

admissible impact on the parents.

              E.    Challenges to the Aggravating Factors

             Appellants next challenge several of the aggravating

factors submitted to the jury: (1) that “the defendant[s] committed

the offense in an especially heinous, cruel or depraved manner in




                                          25
that it involved torture or serious physical abuse of the victim,”

set forth in 18 U.S.C. § 3592(c)(6); (2) that Bernard “is likely to

commit criminal acts of violence in the future which would be a

continuing and serious threat to the lives and safety of others,”

a non-statutory aggravating factor; and (3) that “the defendant[s]

committed the offense as consideration for the receipt, or in the

expectation of the receipt, of anything of pecuniary value,” set

forth   in   18   U.S.C.   §   3592(c)(7).          We    address    each   of   the

aggravating factors in turn, noting at the outset that the jury

found additional aggravating factors as to each defendant, and that

these factors were all found unanimously.

             1. “Especially heinous, cruel or depraved” crime

             Bernard first argues, solely to preserve the issue for

further review, that the statutory “especially heinous, cruel or

depraved” aggravating factor was too broadly defined in the jury

instructions.     He concedes that the instructions submitted to the

jury on this aggravating factor are virtually identical to the

comprehensive instructions approved by this court in other cases.

See Hall, 152 F.3d at 414.           Bernard’s overbreadth argument is

without merit.

             Bernard   also    contends      that   the    evidence    is   legally

insufficient      to   support    the     jury’s     finding        regarding    the

“especially heinous, cruel or depraved” aggravating factor.                       As



                                        26
with any criminal verdict, we review jury findings of aggravating

factors by asking whether, after viewing the evidence in a light

most favorable to the government, any rational trier of fact could

have found the existence of the aggravating circumstance beyond a

reasonable doubt.        See Jackson v. Virginia, 443 U.S. 307, 319

(1979); United States v. Tipton, 90 F.3d 861, 896 (4th Cir. 1996)

(applying Jackson “rational trier of fact” standard to challenges

to jury findings regarding aggravating circumstances);               United

States v. McCullah, 76 F.3d 1087, 1107 (10th Cir. 1996) (same).

           Bernard contends that his participation in the crime was

not as a matter of law “especially heinous, cruel or depraved”

because he “was neither present nor responsible for most of the

acts and events which the Government and its witnesses urged as a

basis for an affirmative finding of this factor.”          Bernard’s Brief

at 50 (emphasis added).       It is true that Bernard was not present or

responsible for every act of cruelty in this criminal episode.

However, the record provides ample basis for a rational juror to

conclude that Bernard engaged in actions that were “especially

heinous, cruel or depraved” as defined by the district court.

Knowing what was to be done with them, Bernard bought two cans of

lighter   fluid   from    a   convenience   store,   and   he   voluntarily

accompanied the gang as they drove the Bagleys to the murder scene.

Bernard poured    lighter fluid all over the Bagleys’ car while they



                                     27
were alive, locked in the trunk.      He set the car ablaze with Stacie

Bagley unconscious, but still alive, in the trunk.                  Viewing the

evidence in the light most favorable to the government, a rational

trier of fact could find the existence of this aggravating factor

beyond a reasonable doubt.

           2. “Future Dangerousness”

           Bernard   also   argues     that       the   evidence    is   legally

insufficient to support the jury’s finding that he is likely to

commit criminal acts of violence in the future that would be a

threat to the lives and safety of others.                 Relying in part on

Simmons v. South Carolina, 512 U.S. 154, 114 S.Ct. 2187 (1994),

Bernard contends that the fact of mandatory long-term incarceration

alone weighs heavily against a finding of ‘dangerousness’ in the

absence of some evidence that the defendant will continue to be

violent even in prison.       Further, given the limited nature and

extent of his personal role in the murder of the Bagleys and his

lack of any substantial prior criminal history, Bernard disputes

that a rational jury could find him a future danger to society.

Under the above-quoted limited test for sufficiency of evidence on

appeal, we find no merit in these arguments.

           Simmons   does   not   hold     that    future   dangerousness    is

irrelevant to a jury’s sentencing decision when the defendant will

be   imprisoned   indefinitely,      but    instead      requires    that   this



                                     28
aggravating factor be explained to the jury in the context of the

defendant’s ineligibility for parole.          512 U.S. at 169, 114 S.Ct.

2187.      Simmons was applied correctly here, since the jury was

informed that Bernard would be ineligible for parole.               Moreover,

the Eighth Circuit, sitting en banc, rejected a similar Simmons

argument in United States v. Allen, 247 F.3d 741, 788 (8th Cir.

2001) (en banc) (“[Appellant] argues that the government asserted

only that he would be a danger to society but not that he would be

a   danger   in   prison.     Because    the   jury   was   informed   of   his

ineligibility for parole, we find no basis for drawing such a

distinction.”).      In any event, the government offered proof not

only of Bernard’s past record but also of his potential for

violence in prison.      At the sentencing hearing, Dr. Richard Coons,

a forensic psychiatrist, testified concerning Bernard’s propensity

for violence in prison.11         Based on Dr. Coons’s testimony, the

horrific facts of Bernard’s participation in the crimes, and ample

evidence of Bernard’s gang membership and criminal activities,



      11
             Specifically, Dr. Coons testified as follows:
      A:     If [a person] is a gang member on the outside [of prison], they’ll
             be a member of a gang inside.

      Q:     All right. And being a member of a gang inside the prison, does
             that lead itself or lend itself to even more acts of violence?

      A:    Yes. Gangs [] band together for two reasons, basically, protection
            and control. The members of the gang will be asked to participate
            in criminal acts and violent acts. I mean, that’s just the facts.
R.V. 24 at 3162-63.



                                        29
including his participation in at least two dozen burglaries, a

rational juror could find that Bernard posed a serious threat of

future harm to others.

            3. “Pecuniary Gain”

                                      a.

            A far more difficult question is presented by both

appellants’ challenge to this aggravating factor.                 Appellants

contend that the statutory “pecuniary gain” aggravating factor, see

18 U.S.C. § 3592(c)(8), does not apply to this case and that the

evidence is legally insufficient to support the jury’s findings on

this factor.12

            The district court followed the language of §3592(c)(8)

when it instructed the jury to determine whether each “defendant

committed the offense as consideration for the receipt, or in the

expectation of the receipt, of anything of pecuniary value.”               The

court further instructed the jury that “[t]he phrase ‘pecuniary

value’ means anything of value belonging to Todd A. Bagley or

Stacie L. Bagley in the form of money, property or anything having

economic value.”     The jury unanimously found the existence of this

factor as to Bernard and Vialva.


      12
            Appellants filed written objections to the proposed charge in the
district court arguing that the “pecuniary gain” factor should not be submitted
to the jury. Appellants argued that “the plain meaning of this aggravator is
that the defendant must commit the offense because he exchanged his act of
‘murder’ for a promise of something of ‘pecuniary value.’”



                                      30
            Citing United States v. Chanthadara, 230 F.3d 1237, 1263

(10th Cir. 2000), Appellants argue that Congress intended to

reserve application of the “pecuniary gain” factor to “scenarios

where the expectation of pecuniary gain is from the actual killing

[i.e., a murder-for-hire scenario] and not just the underlying

felony [i.e., a robbery].”     Appellants argue that Congress did not

intend for the “pecuniary gain” factor to apply in every case in

which the defendant acquires something of pecuniary value as a

result of his involvement in a homicide.         Instead, application of

the “pecuniary gain” factor is limited to situations where “the

murder itself    was    committed   as    consideration   for,   or    in    the

expectation of, anything of pecuniary value.”             Chanthadara, 230

F.3d at 1263, 1264 (finding jury instruction erroneous where it

“failed to specify the ‘offense’ to which it referred was the

homicide, not the underlying robbery, and thereby failed to impose

a necessary limitation.”).

            We agree with Appellants, and the Tenth Circuit, that the

application of the “pecuniary gain” aggravating factor is limited

to situations where “pecuniary gain” is expected “to follow as a

direct result of the [murder].”            Chanthadara, 230 F.3d at 1263

(citation   omitted).      Thus,    this    aggravating   factor      is    only

applicable where the jury finds beyond a reasonable doubt that the

murder itself was committed “as consideration for, or in the



                                     31
expectation of” pecuniary gain.    See Woratzeck v. Stewart, 97 F.3d

329, 334 (9th Cir. 1996) (discussing analogous “pecuniary gain”

factor under Arizona death penalty statute, and explaining that

“[t]he State needs to prove at sentencing that the killing was done

with the expectation of pecuniary gain.     Even if it is true that

under many circumstances a person who kills in the course of a

robbery is motivated to do so for pecuniary reasons, that is not

necessarily so.”).

          In light of this limitation, the evidence is legally

insufficient to support application of the “pecuniary gain” factor

in this case.   Appellants were not hired to commit the offense of

murder, and they did not commit the offense “as consideration for”

pecuniary gain.    Nor did Appellants commit the offense of murder

“in expectation of pecuniary gain.” The government argues that the

murders in this case were a “necessary step in finishing the car-

jacking plan,” and were therefore committed “in expectation of

pecuniary gain.”     The motivation for the murders, however, was

unrelated to pecuniary gain. Instead, Appellants sought to prevent

the Bagleys from reporting their crimes to the police.     Since no

pecuniary gain was expected to flow directly from the homicide,

this aggravating factor should not have been considered by the jury

in weighing whether to impose the death penalty.    The evidence is




                                  32
insufficient to support application of the “pecuniary gain” factor

on the basis of the facts presented by this case.

                                        b.

              We    must    next   consider   the   effect   of   the   invalid

“pecuniary gain” aggravating factor on Appellants’ death sentences.

The FDPA provides that courts of appeals cannot vacate death

sentences on the basis of errors that are harmless beyond a

reasonable doubt.          18 U.S.C. § 3595(c)(2).    “Harmless-error review

of a death sentence may be performed in at least two different

ways.      An appellate court may choose to consider whether absent an

invalid factor, the jury would have reached the same verdict, or it

may choose instead to consider whether the result would have been

the same had the invalid factor been precisely defined.”                Jones v.

United States, 527 U.S. at 402, 119 S.Ct. at 2109 (citations

omitted).13        Applying the first of these methods, we conclude that

the error is harmless beyond a reasonable doubt.14

      13
            In United States v. Webster, 162 F.3d 308, 324 (5th Cir. 1999),
decided a few months prior to the Supreme Court’s decision in Jones, this court
applied a slightly different test: “Our duty when the jury finds an invalid
aggravating factor is to strike the factor and either reweigh the remaining
factors or apply harmless error review. . . . In conducting a harmless error
review [] we may inquire into whether, beyond a reasonable doubt, either (1) the
death sentence would have been imposed had the invalid aggravating factor been
properly defined in the jury instructions or (2) the death sentence would have
been imposed absent the invalid aggravating factor.”
      14
            In Ring v. Arizona, ___ U.S. ___, 122 S.Ct. 2428 (2002), the Supreme
Court has held that a jury must determine the existence of aggravating factors
that would increase a sentence from imprisonment to the death penalty. Ring
explicitly states, however, that the Court was not considering the state supreme
court’s authority to reweigh the aggravating and mitigating circumstances after



                                        33
           Elimination of the invalid pecuniary gain factor from

consideration    leaves   two      statutory    aggravating   factors    as   to

Bernard and three statutory aggravating factors as to Vialva.                 The

jury unanimously found the existence of the “especially heinous,

cruel or depraved” and “substantial planning and premeditation”

aggravating factors in their consideration of Bernard’s sentence.

18 U.S.C. § 3592(c)(6) and (9).             In addition to these, the jury

unanimously found the existence of the “single criminal episode”

aggravating factor in regard to Vialva’s sentence.                18 U.S.C. §

3592(c)(13).    The jury also unanimously found three non-statutory

aggravating factors for both appellants: that they were likely to

commit future acts of violence; that they caused injury, harm and

loss to the families of the victims; and that they murdered the

Bagleys for the purpose of preventing the victims from providing

information to the police regarding the crime. In the government’s

closing argument to the jury in the sentencing phase, the pecuniary

gain aggravating factor received less attention than any of the

other aggravating factors.         During the sentencing phase testimony,

the   government   focused    on    the     “especially   heinous,   cruel    or

depraved” nature of Appellants’ crime and the harm done to the

victims’ families.        Again, the pecuniary gain factor was not



it struck an aggravating factor.    See Ring, 122 S.Ct. 2428, 2002 WL 1357257 at
*9 n.4.



                                       34
emphasized. The jury’s findings of at least five other aggravating

factors     regarding     each   appellant,      and       hardly   any     mitigating

factors,15 compel the conclusion that the erroneous submission of

the pecuniary gain factor was harmless beyond a reasonable doubt.

We   are    confident    that    the   jury   would        have   imposed    the    same

sentences even if the pecuniary gain factor had not been submitted

for their consideration.

             F.    Challenges to the Mitigating Findings

             Appellants next challenge the jury’s findings regarding

their ages as mitigating factors. At trial, it was undisputed that

Bernard was eighteen and Vialva was nineteen at the time of the

murders.      The jurors, instructed to determine “the existence of

each    particular      mitigating     factor   by     a    preponderance      of   the

evidence,” unanimously found that Appellants failed to prove that

their age was a mitigating factor.16            Based on Eddings v. Oklahoma17

       15
            The jury found no mitigating factors regarding Bernard. Ten of the
twelve jurors found Vialva’s abused childhood to be a mitigating factor.
However, the jury rejected all other mitigating factors that were submitted
regarding Vialva.
       16
             The Special Findings Form submitted to the jury stated:

       IV. PART FOUR - MITIGATING FACTORS
             Instructions: For each of the following mitigating factors,
       indicate the number of jurors who find the existence of each
       particular mitigating factor by a preponderance of the evidence; if
       none of the jurors find by a preponderance of the evidence that a
       particular mitigating factor exists, write the number “0" in the
       blank provided:
             . . .
             IV(C) Christopher Vialva was nineteen at the time of the
             offense.



                                         35
and related cases, Appellants argue that their sentences violate

the Eighth Amendment because the jury arbitrarily and capriciously

refused to acknowledge the existence of a mitigating circumstance

that clearly existed.

            This court has previously expressed doubt regarding its

authority to review jury findings relating to mitigating factors.

See Hall, 152 F.3d at 413.         Hall questions whether a jury’s failure

to   find   the   existence   of    a    mitigating   factor   is   subject   to

appellate review, since the FDPA does not require the jury to make

special findings of the existence of, or degree of jury unanimity

upon, mitigating factors.          Id.    Assuming, however, that we have

such authority, we find no constitutional error in the jury’s

determination that Appellants’ relative youthfulness was not a

mitigating factor.

            “Neither the FDPA nor Lockett and Eddings require a

capital jury to give mitigating effect or weight to any particular

evidence . . . There is only a constitutional violation if there

exists a reasonable likelihood that the jurors believed themselves



                  Number of jurors who so find, if any         ______

            IV(C) Brandon Bernard was eighteen at the time of the
            offense.
                  Number of jurors who so find, if any     _______

In response to both questions, the jurors wrote “0" in the blank.
      17
            455 U.S. 104, 102 S.Ct. 869 (1982).



                                         36
precluded from considering mitigating evidence.”   United States v.

Paul, 217 F.3d 989, 999-1000 (8th Cir. 2000) (citing Boyde v.

California, 494 U.S. 370, 386, 110 S.Ct. 1190 (1990)).    In Paul,

the Eighth Circuit found no constitutional error where six jury

members refused to find the defendant’s age a mitigating factor

although it was undisputed that the defendant was eighteen at the

time of his offense.   Id.   (“The jury was certainly not precluded

from considering Paul’s youthful age as a mitigating factor [and]

Paul has not cited authority for the proposition that a jury is

somehow required to give mitigating effect to any factor, let alone

this one.”).

          Appellants contend that Paul is inapposite, because the

form of the verdict here misled the jurors by allowing them to find

– irrationally – that neither defendant was chronologically 18 or

19 at the time of the offense, and by then preventing them from

considering youthfulness as a mitigating factor.    We do not read

the verdict form this way, and in any event, appellants did not

object to the jury instructions or verdict form regarding this

mitigating factor.   The jury instruction accompanying the list of

mitigating factors clearly tells the jury to consider whether each

listed circumstance mitigates the defendant’s culpability.   Thus,

they were instructed to write down the number of jurors, if any,

who found that the fact that Christopher Vialva was nineteen at the



                                 37
time of the offense was mitigating as to Vialva, and likewise for

Bernard.    The government plainly explained the impact of these

questions in its closing argument.

            The jurors necessarily decided that these appellants’

ages were not mitigating, as they were entitled to do.               While the

defendants’ tender years may lead a jury to exercise clemency, it

need not do so.    The jury had ample evidentiary basis to believe

that these appellants’ acts climaxed a pattern of gang activities

and made them older, criminally, than their chronological ages.

The jury did not have to balance youthfulness, since they did not

regard it as mitigating,       against the aggravating factors.

            G.   Exclusion of Potentially Mitigating Evidence

            Vialva contends that the district court impermissibly

prevented him from introducing relevant mitigating testimony about

a childhood incident of racial discrimination.              Vialva’s mother,

Lisa Brown, testified extensively regarding her personal background

and Vialva’s childhood experiences.             Ms. Brown described her

sheltered childhood, her troubled and often abusive relationships

with men and her difficult pregnancy with Vialva.                    She also

discussed   Vialva’s    childhood   illnesses,     his   attention     deficit

disorder and Vialva’s difficult familial relationships with his

Mother’s    partners.    Ms.   Brown     also   testified    about   Vialva’s

struggle with his racial identity resulting from his having one



                                    38
black and one white parent and various conflicts Vialva faced due

to his mixed racial background.

          Vialva now challenges the district court’s rulings in the

following exchange, which occurred after the testimony described

above:

     Q:   Is [Vialva] getting into fights?

     A:   Yes.

     Q:   And are those fights, you believe, the result of his
          mixed racial background?

     A:   Yes.   There were kids that called him “zebra”.

     MR. FRAZIER: I’m going to object to that, Your Honor.        This
          witness wouldn’t have --

     THE COURT: It’s speculation.       Sustain the objection.

R.V.24 at 2949-50.

          Vialva contends that the district court violated his

constitutional right to introduce relevant mitigating testimony by

excluding Ms. Brown’s testimony regarding this single      incident of

childhood racial harassment.      Vialva relies on Skipper v. South

Carolina,18 and related authority, arguing that the district court

erred by precluding the sentencing jury “from considering, as a

mitigating factor, any aspect of the defendant’s character or

record . . . that the defendant proffers as a basis for a sentence

less than death.”    Skipper, 476 U.S. at 3, 106 S.Ct. 1669.     Vialva

     18
          476 U.S. 1, 106 S.Ct. 1669 (1986).



                                   39
also asserts that the district court violated the FDPA by excluding

Ms. Brown’s testimony on the basis of speculation, because the FDPA

provides that the rules of evidence cannot be used to exclude

relevant mitigating information.          18 U.S.C. § 3593(c).

           The district court’s exclusion of Ms. Brown’s speculative

statements, even if error, is harmless beyond a reasonable doubt.

As explained above, the district court allowed Ms. Brown to testify

at length about the racial tension in Vialva’s life. Additionally,

the district court admitted expert testimony regarding the effect

of racial harassment on Appellant.19        In closing argument, Vialva’s

counsel, relying on the evidence of racial harassment, argued that


     19
           Dr. Mark Cunningham, a forensic psychiatrist, testified as follows:

     Q:    Doctor, another thing that occurred in “Chris’” life - or Mr.
           Vialva’s life was the fact that he was - considered himself of mixed
           race, and was confused about that in his childhood.         Did you
           identify that as a risk factor in this case?

     A:    Yes, I did, that there was significant confusion, and at different
           times in his childhood, he identified himself as being white, and
           then later mixed, and then later black, and the psychological
           records showed evidence of a lot of turmoil and confusion about that
           very essential who am I kind of question.

     Q:    How does that affect a person?

     A:    Well, when it was accompanied by some bigotry that he experienced
           early in childhood and by some peer rejection, then that aggravated
           the effects of it, that there was not a peer group that he easily
           blended with, and that’s a separate risk factor . . . In [Vialva’s]
           case, he experienced some active peer rejection.      When he’s six
           years old and the other kids are calling him names and throwing
           rocks at him . . . then it isn’t just that he feels different,
           although that’s part of it, but that he is actively being
           discriminated against. . . .

R.V.24 at 3061-62.



                                     40
Vialva’s    childhood       racial       experiences      mitigated   his     moral

culpability for his crime.         The jury was not, therefore, precluded

from    considering     racial     discrimination         and   harassment    as   a

potential mitigating factor in Vialva’s background.                   In light of

substantial      evidence   in    the    record    regarding     Vialva’s    racial

background, any arguable error in the exclusion of one instance of

childhood harassment was harmless.                See Hitchcock v. Dugger, 481

U.S. 393,     398-99,    107     S.Ct.    1821,    1824   (1987)   (exclusion      of

relevant mitigating evidence invalidates death sentence unless such

exclusion was harmless beyond a reasonable doubt).

            H.     Prosecutorial Misconduct

            Vialva next contends that he was denied Due Process and

a fair trial by repeated inappropriate comments by the prosecutor

in his closing argument to the jury.               During his closing argument

to the jury, the prosecutor stated:

            But because the investigation was so thorough, it
       did not leave either be [sic] these Defendants or their
       attorneys with anything to work with.      You heard the
       evidence.   You heard the corroboration.     You saw the
       physical evidence and the scientific evidence. . . . It
       left them with nothing, because the evidence is so
       overwhelmingly and so positive and so true as to the
       guilt of both of these Defendants for the crimes they’ve
       been charged with.
            So, what were they left to do? Defense Counsel were
       left with the opportunity - with - with nothing, so they
       had to try to create a doubt where one did not exist.
       And [defense counsel] spent, for the last hour to hour
       and a half, trying to convince you any way they can, any
       possibility, no matter how remote or extreme it would be,



                                          41
      to try to get someone on this jury to follow down a
      rabbit trail and take a red herring and somehow say, “Oh,
      I’ve got a doubt.” Not based on facts, but based purely
      on conjecture and speculation. Ladies and gentlemen, if
      these guys had another hour, they’d be trying to convince
      you it’s midnight outside right now.

The prosecutor continued to argue that defense counsel made up an

“outrageous theory” out of desperation in an attempt to mislead the

jurors. Vialva contends that the prosecutor’s statements amount to

an improper personal attack on defense counsel, denying Vialva a

fair trial.     Because Vialva’s counsel failed to preserve error

regarding most of the prosecutor’s statements, he bears the burden

of   demonstrating     that,   all   told,   the   prosecutor’s       statements

constitute plain error.         United States v. Gallardo-Trapero, 185

F.3d 307, 321 (5th Cir. 1999).

           Improper prosecutorial comments constitute reversible

error   only   where    “the   defendant’s    right   to   a   fair    trial   is

substantially affected.”        United States v. Andrews, 22 F.3d 1328,

1341 (5th Cir. 1994) (citation omitted). “A criminal conviction is

not to be lightly overturned on the basis of a prosecutor’s

comments standing alone. The determinative question is whether the

prosecutor’s remarks cast serious doubt on the correctness of the

jury’s verdict.”       United States v. Iredia, 866 F.2d 114, 117 (5th

Cir. 1989).     The factors relevant to this inquiry are: “(1) the

magnitude of the prejudicial effect of the statements; (2) the

efficacy of any cautionary instructions; and (3) the strength of


                                      42
the evidence of the defendant’s guilt.”      Andrews, 22 F.3d at 1341

(citation omitted).

           Vialva has failed to demonstrate error, much less plain

error.    The prosecutor’s arguments, properly understood, attacked

the strength of the defense on the merits, not the integrity of

defense counsel.       Moreover, the prosecutor had some latitude

because the defense counsel accused the government of “paying for”

some of its witnesses.        Finally, the court instructed the jury

twice not to consider the statements, arguments or questions by the

attorneys as evidence.        Given the strength of the prosecution’s

case against Vialva, these remarks could not have denied him a fair

trial.

                         I.    Cumulative Error

           Vialva contends that he was denied a fair trial by the

cumulative impact of errors in the punishment phase.         Vialva’s

argument is based primarily on the district court’s failure to

properly instruct the jury on the pecuniary gain aggravating

factor.    As explained above, the error in applying the pecuniary

gain factor is harmless beyond a reasonable doubt, and Vialva was

not denied a fair trial.       Vialva’s cumulative impact argument is

without merit.

                  J.   Sufficiency of the Indictment




                                    43
             In   supplemental    briefing    before      this    court,   Bernard

alleges that his sentence is unconstitutional because the grand

jury did not find, nor did the indictment allege, the existence of

mental state and statutory aggravating factors required by the FDPA

for imposition of the death penalty.            Bernard did not object at

trial on this ground, and concedes that review is for plain error.

The alleged error in the indictment is plain, according to Bernard,

because Ring v. Arizona, ___ U.S ___, 122 S.Ct. 2428, 2002 WL

1357257 (2002) extended Apprendi v. New Jersey20 to aggravating

factors in capital cases.         Ring did not hold that indictments in

capital cases must allege aggravating and mental state factors.

See Ring, 2002 WL 1357257 at *9 n.4 (“Ring does not contend that

his indictment was constitutionally defective.”). Even if Apprendi

were applicable to this case, the alleged error in the indictment

does not amount to plain error.            See United State v. Cotton, ___

U.S. ___, 122 S.Ct. 1781, 1786-87 (2002) (explaining that Apprendi

error in an indictment failing to allege a drug quantity was not

plain     error   because   the   evidence    of    the    drug    quantity   was

“overwhelming”).

                                  CONCLUSION




     20
             530 U.S. 466, 120 S.Ct. 2348 (2000).



                                      44
          For the foregoing reasons, we find no reversible error in

the convictions or capital sentences.   Accordingly, we AFFIRM the

judgments of the district court.




                                45
