                                                                NOT PRECEDENTIAL

                      UNITED STATES COURT OF APPEALS
                           FOR THE THIRD CIRCUIT
                                 __________

                                     No. 11-1050
                                     __________

                           UNITED STATES OF AMERICA

                                           v.

                               CHANCE D. BONNER,
                                          Appellant
                                   __________

                   On Appeal from the United States District Court
                        for the Middle District of Pennsylvania
                             (D.C. No. 1-09-cr-00072-002)
                   District Judge: Honorable Christopher C. Conner
                                     __________

                      Submitted under Third Circuit LAR 34.1(a)
                                   April 16, 2012

            Before: VANASKIE, ALDISERT and BARRY, Circuit Judges.

                                 (Filed: May 1, 2012)
                                    ____________

                              OPINION OF THE COURT
                                   ____________

ALDISERT, Circuit Judge.

      This appeal from the judgment of the District Court for the Middle District of

Pennsylvania stems from a string of drug robberies, home invasions and carjackings.

After a jury convicted Appellant Chance Bonner of nine counts arising from these crimes,

the District Court sentenced him to 976 months‟ imprisonment.
       Bonner raises 13 arguments for our disposition on appeal,1 which fall into four

categories: Bonner challenges (1) the District Court‟s rulings on his motions to suppress

inculpatory statements; (2) the sufficiency of the evidence leading to his conviction; (3)

the District Court‟s admission of certain pieces of evidence; and (4) the length of his

sentence. Before we address the multitudinous issues raised by Appellant, we note that, in

general, “[a]ppellate advocacy is measured by effectiveness, not loquaciousness.”

Ruggero J. Aldisert, The Appellate Bar: Professional Competence and Professional

Responsibility—A View from the Jaundiced Eye of One Appellate Judge, 11 Cap. U. L.

Rev. 445, 458 (1982). Effective advocacy in this Court is predicated on a modicum of

issues, thus permitting a discussion in depth of the reasons justifying our decision. A

party‟s choice to raise over a dozen issues in one case at best interferes inordinately with

the court‟s calendaring process; and at worst, requires the composition of an opinion on a

hodgepodge of helter skelter contentions. More importantly, “[l]egal contentions, like the

currency, depreciate through overissue. . . . [E]xperience on the bench convinces [us] that

multiplying assignments of error will dilute and weaken a good case and will not save a

bad one.” Robert H, Jackson, Advocacy Before the Supreme Court, 37 Cornell L.Q. 1, 5

(1951). This case is no exception. For the reasons that follow, we will affirm the District
Court‟s judgment.

1
  Bonner‟s contentions appear both in his opening brief and in a separate, often-
duplicative pro se supplemental brief, filed with this Court‟s permission after Bonner‟s
initial attorney withdrew and before his current attorney began representing him. Since
that time, we clarified our Local Appellate Rule 31.3 and held that “except in cases
governed by Anders, parties represented by counsel may not file pro se briefs.” United
States v. Turner, No. 10-4573, --- F.3d ---- (3d Cir. 2012). Here, because (1) the panel‟s
grant of permission to file a pro se brief and the government‟s response to that filing
predate Turner, (2) it is unclear whether Bonner was, in fact, represented at the time of
his motion, and (3) none of Bonner‟s pro se arguments ultimately have merit, we see no
harm in combining all of the issues for the sake of being complete.
                                               2
                                               I.

         Because we write primarily for the parties, who are familiar with the facts and the

proceedings in the District Court, we will revisit them only briefly.

         On March 22, 2008, Miqual Hodge2 bumped into Chance Bonner3 while walking

past Jennifer Bass‟s house in Carlisle, Pennsylvania. Bonner, who was Bass‟s boyfriend

and the father of her children, invited Hodge to go for a ride in Bass‟s minivan. During

this trip, Hodge sold Bonner a stolen handgun. After some aimless driving and drug use,

the group drove to Harrisburg, Pennsylvania, to pick up a friend, Donald Scott.

         Scott got into the van carrying a handgun and a ski mask. As they returned to

Carlisle, the group discussed who they might rob and settled on a person known as

“Mikail.” They subsequently parked in front of what they thought to be “Mikail‟s” home

in Carlisle, Pennsylvania. They were mistaken: “Mikail” did not live there; Eric Clarke

and his family did. As Clarke walked to his mailbox, Bonner and Scott drew their guns

and confronted Clarke. Among other things, the pair demanded drugs from Clarke. App.

00333. When Clarke replied that he had neither money nor drugs, Bonner and Scott told

Clarke that they “kn[e]w” he had drugs and searched his jacket to no avail. Id. Growing

desperate, Bonner thrust his gun under Clarke‟s nose and told him to sniff the gunpowder
left from an earlier (fictitious) shooting. They ordered Clarke to get money and drugs

from his house, threatening to kill Clarke‟s child if he lied. When Clarke again said that

he had nothing, Bonner and Scott told him that they would put him in the trunk of their

car until he directed them to a house that did have money or drugs. Before they could put



2
    Miqual is also referred to as “Michael” in the record.
3
    Chance is also rendered “Chanse” in the record. E.g., App. 00836-00838.
                                               3
their plan into action, however, a car drove by. Clarke ran to that passing car and called

the police. Bonner and Scott retreated to the minivan, where Hodge and Bass waited.

       The group then left Clarke‟s neighborhood and drove to Newville, Pennsylvania.

Bonner suggested they visit Quinton Stackfield to collect a $400 debt owed to Bonner‟s

brother for stereo equipment. They parked near Stackfield‟s apartment, in which he lived

with his pregnant fiancée, Renee Barnes, and waited for the couple to return home. When

Stackfield and Barnes arrived, Bonner and Scott approached the couple while Bass and

Hodge stayed behind. They forced their victims into the apartment, tied Stackfield‟s arms

and legs, and demanded money and drugs. Stackfield insisted he had no money and did

not sell drugs, but did occasionally smoke marijuana. Bonner and Scott then took about

one gram of marijuana and other items from Stackfield. At gunpoint, the intruders then

forced Stackfield to call a friend who had “any amount” of drugs to arrange a meet-up.

App. 00375-00376. Stackfield chose Warren Bennett, a friend from school. Bonner and

Scott then forced both victims to drive them to Bennett‟s home nearby.

       Scott‟s pistol greeted Bennett when he opened his apartment door. After bringing

Stackfield and Barnes into Bennett‟s apartment and restraining all three, Bonner and

Scott repeated their demands for money or drugs. They beat Bennett with a pistol and
threatened to shoot him if he proved uncooperative. Bennett eventually relinquished one

and one-half pounds of marijuana and over $3,500 he made from selling marijuana. After

unsuccessfully attempting to get Bennett to divulge his marijuana supplier, Bonner and

Scott left with Bennett‟s drugs, cash, mobile telephones, and identification cards in tow.

       Two weeks later, on April 8, 2008, a cocaine trafficker named Lori Miller invited

Bonner and Scott to join her and another man in robbing Miller‟s cocaine supplier,

Michael Pearson, in Chambersburg, Pennsylvania. The group concocted a scheme in

                                             4
which Bonner and Scott would “break in” to Miller‟s home after Pearson showed up for

what he thought would be the routine payment of a drug debt. The ploy worked. Upon

Pearson‟s arrival, the “robbers” held Pearson and Miller at gunpoint. They pistol whipped

Pearson and pretended to assault Miller. Again demanding money and drugs, they took

several hundred dollars of Pearson‟s drug proceeds.

         The group then forced their captives—real and pretend—into Pearson‟s car and

made Miller drive. After beating Pearson to comply, he directed the group to his home,

where he lived with his wife, Ruth Miller,4 and their four children. Once there, repeating

a mantra to one another that they “got to do this right,” the assailants restrained Pearson

in his garage. App. 00551. They, likewise, bound Ruth Miller, Lori Miller, and Pearson‟s

cousin. The intruders threatened to kill Pearson‟s children unless he divulged where his

cocaine and money were hidden. When Pearson hesitated, one of Bonner‟s

coconspirators stabbed Pearson in the neck with a screwdriver. Pearson collapsed into a

pool of his own blood and faded in and out of consciousness for the next hour. Scott then

turned his attention and his pistol to Pearson‟s wife, forcing Ruth Miller to undress.

While his comrades watched, Scott sexually assaulted her.

         Afterward, Scott reapplied Ruth‟s restraints and left her in the garage while the
group rummaged through Pearson‟s home. They absconded with jewelry, televisions,

computers, clothes, cellular telephones, identification cards, $1,800 in cash, and either “a

couple pieces” or a “fifty-cent piece” of crack cocaine. App. 00517, 00554-00555. After

the intruders left, Pearson broke free of his restraints, unbound Ruth Miller, and freed his

cousin before again collapsing from his blood loss. Medical technicians later airlifted

Pearson to a hospital for treatment, where he recovered from his wounds.

4
    Ruth Miller and Lori Miller are not related.
                                               5
      After his arrest and several rounds of police interrogations, discussed in detail

below, a grand jury charged Bonner and four codefendants in a 15-Count indictment.

Bonner‟s case was severed from his codefendants‟ before his trial, at which a jury

convicted Bonner of the following:

      Count 1:      Conspiracy to commit an offense against the
                    United States, in violation of 18 U.S.C. § 371.

      Count 6:      Hobbs Act robbery of Clarke, in violation of
                    18 U.S.C. § 1951.

      Count 7:      Possession, use or carrying of a firearm during a
                    crime of violence (robbery of Clarke), in violation
                    of 18 U.S.C. § 924(c)(1)(A).

      Count 8:      Hobbs Act robbery of Stackfield, Barnes and
                    Bennett, in violation of 18 U.S.C. § 1951.

      Count 9:      Carjacking of Stackfield and Barnes, in violation
                    of 18 U.S.C. § 2119.

      Count 10:     Possession, use or carrying of a firearm during a
                    crime of violence (robbery and carjacking of
                    Stackfield, Barnes and Bennett), in violation
                    of 18 U.S.C. § 924(c)(1)(A).

      Count 12:     Hobbs Act robbery of Pearson and Miller, in
                    violation of 18 U.S.C. § 1951.

      Count 13:     Carjacking of Pearson, in violation of
                    18 U.S.C. § 2119.

      Count 14:     Possession, use or carrying of a firearm during a
                    crime of violence (robbery and carjacking of
                    Pearson and Miller), in violation of
                    18 U.S.C. § 924(c)(1)(A).




                                            6
       After weighing all of the Sentencing Guidelines § 3553 factors, the District Court

imposed sentences amounting to 976 months of imprisonment, to be served after the

completion of Bonner‟s state-imposed terms of incarceration.5 Bonner timely appealed.

                                            II.

       The District Court had jurisdiction because the defendant was charged with

offenses against the United States. 18 U.S.C. § 3231. We have jurisdiction over its final

judgment pursuant to 28 U.S.C. § 1291 and 18 U.S.C. § 3742(a).

                                            III.

       We address Bonner‟s contentions in the following order. First, Bonner challenges

the District Court‟s failure to suppress four sets of statements Bonner made to officers

before trial. We disagree and will not disturb the District Court‟s denials of Bonner‟s

suppression motions. Second, Bonner contends that the government did not introduce

sufficient evidence to sustain his convictions on two Hobbs Act robbery charges, two

carjacking charges, and his firearms-possession charges. We reject each of these

sufficiency challenges. Third, Bonner contests the District Court‟s decisions to admit

potentially prejudicial evidence and expert testimony. We will affirm the District Court‟s

evidentiary ruling. Fourth, Bonner challenges his 976-month sentence on several
grounds, none of which persuades us that the District Court erred during sentencing.

                                            IV.




5
 Bonner received concurrent sentences of 240 months (Count Six), 240 months (Count
Twelve), 180 months (Count Nine), 180 months (Count Thirteen), and 60 months (Count
One); a consecutive sentence of 52 months (Count Eight); a consecutive sentence of 84
months (Count Seven); a consecutive sentence of 300 months (Count Ten); and a
consecutive sentence of 300 months (Count Fourteen). See App. 00005.
                                             7
       Bonner appeals from the District Court‟s denials of his motions to suppress four

sets of statements. We consider these challenges under a mixed standard of review,

accepting the District Court‟s findings of fact unless clearly erroneous, and reviewing de

novo the Court‟s legal conclusions. See United States v. Brown, 595 F.3d 498, 514 (3d

Cir. 2010). We hold that the District Court ruled correctly on each motion to suppress.

       It is axiomatic that law enforcement officers must warn a suspect of his right to

remain silent and of his right to an attorney before he may be subjected to a custodial

interrogation. See Berghuis v. Thompkins, 130 S. Ct. 2250, 2259 (2010) (construing

Miranda v. Arizona, 384 U.S. 436 (1966)). A statement made during a custodial

interrogation is “inadmissible at trial unless the prosecution can establish that the accused

„in fact knowingly and voluntarily waived [his Miranda] rights‟ when making the

statement.” Id. at 2260 (quoting North Carolina v. Butler, 441 U.S. 369, 373 (1979)).

Such a waiver must be (1) “voluntary in the sense that it was the product of a free and

deliberate choice rather than intimidation, coercion, or deception” and (2) “made with a

full awareness of both the nature of the right being abandoned and the consequences of

the decision to abandon it.” Id. (internal quotations and citations omitted). For Miranda‟s

protections to attach, however, a suspect must be both in custody, see New York v.
Quarles, 467 U.S. 649, 655 (1984), and under interrogation (or its functional equivalent),

see Rhode Island v. Innis, 446 U.S. 291, 301 (1980). Otherwise, Miranda does not apply,

and the Fifth Amendment is not offended by a statement‟s admission into evidence.6

                                             A.

6
 We acknowledge that the elicitation of a statement outside of a custodial interrogation
may nevertheless run afoul of the Sixth or Fourteenth Amendments. See Massiah v.
United States, 377 U.S. 201 (1964); Brown v. Mississippi, 297 U.S. 278 (1936). These
doctrines do not concern us in this case.
                                              8
       On May 13, 2008, law enforcement officers Miranda-ized Bonner. He then waived

his Miranda rights after the police falsely told him that he was not the target of their

investigation, and he made some ambiguous statements about his possession of a firearm

that the police felt were not “useful” to the investigation. App. 00013 n.12. The District

Court found that the officers‟ use of deception to procure Bonner‟s waiver, coupled with

Bonner‟s possible intoxication, invalidated his waiver and made his statements

inadmissible. See United States v. Velasquez, 885 F.2d 1076, 1088-1089 (3d Cir. 1989).

       The next day, the same officers drove Bonner and Bass from Suffolk County, New

York, to Harrisburg, Pennsylvania. Bonner‟s court-appointed attorney asked the officers

not to speak with Bonner and cautioned Bonner to remain silent. Once in the police

cruiser, though, Bonner initiated a conversation. The officers reminded Bonner that his

lawyer had asked them not to speak with him. Bonner chose to speak anyway. The

detectives did not Miranda-ize Bonner before or during his remarks.

                                              1.

       In denying Bonner‟s motion to suppress the statements made in the cruiser, the

District Court held that Bonner voluntarily spoke and was not interrogated during the

ride. See United States v. Benton, 996 F.2d 642, 644 (3d Cir. 1993) (holding that
providing an arrestee with information about his charges does not violate Miranda).

Bonner contends that the police interrogated him without first Miranda-izing him; and

also that any incriminating statements made during his car ride were fruits of his earlier,

improper interrogation and should be suppressed as well. The government responds that

Bonner was not interrogated, and that the intervening hearing and appointment of counsel

attenuated any taint remaining from Bonner‟s previous unlawfully obtained statements.

                                              2.

                                              9
       We will uphold the District Court‟s denial of Bonner‟s motion to suppress his May

14, 2008, statements. Bonner was not the subject of interrogation or its functional

equivalent, nor were his statements products of his unlawfully elicited, earlier statements.

       In Innis, the Supreme Court defined “interrogation” as (a) conduct intentionally

designed to evoke a confession, as well as (b) any conduct an officer should reasonably

have foreseen would elicit an inculpatory response. 446 U.S. at 301-302. The Court

elucidated this standard in Arizona v. Mauro, 481 U.S. 520, 528 (1987), holding that the

police did not interrogate a defendant by allowing him to meet with his wife while

recording their conversation. The Court further held that the defendant was not subject to

the functional equivalent of interrogation because there was no evidence that the police

intended to elicit incriminating statements and there were legitimate reasons, unrelated to

securing incriminating statements, for recording the conversation. Id.

       Here, nothing suggests that an interrogation or its functional equivalent took place.

The police did not subject Bonner to a “lengthy harangue,” nor did they make “comments

[that] were particularly evocative.” Innis 446 U.S. at 303. To the contrary, even though

the officers repeatedly admonished Bonner that he was not supposed to speak with them,

Bonner volunteered incriminating information without any direct questioning. There is no
evidence to suggest, moreover, that the officer purposely transported Bonner and Bass

together to elicit incriminating statements. Because Bonner was not subject to

interrogation or its functional equivalent, Miranda does not apply.

       Bonner‟s fruit of the poisonous tree contention is controlled by Oregon v. Elstad,

470 U.S. 298 (1985). There, the Court held that suppression is limited to the immediate

products of the constitutionally infirm encounter. Subsequent statements, even if direct

derivations of the suppressed disclosures, are admissible so long as the original

                                            10
statements were not a product of police coercion. Id. at 310-314. If the prior statement

was coerced, however, “[t]he question of whether those confessions subsequently given

are themselves voluntary depends on the inferences as to the continuing effect of the

coercive practices which may fairly be drawn from the surrounding circumstances.”

Lyons v. Oklahoma, 322 U.S. 596, 602 (1944). Although “[n]o formula to determine this

question by its application to the facts of a given case can be devised,” id., the Court has

since explained that “the time that passes between confessions, the change in place of

interrogations, and the change in identity of the interrogators all bear on whether that

coercion has carried over into the second confession,” Elstad, 470 U.S. at 310.

       Here, regardless of whether Bonner‟s May 13 statements were coerced, his May

14 statements are admissible. If Bonner‟s past statements were not the product of

coercion, notwithstanding the police deception, Elstad teaches that we should not

suppress his May 14 statements, as they are not tainted by involuntariness. Even if we

assume Bonner‟s May 13 disclosures were coerced, the events between the two sets of

statements lead us to conclude “that [any] coercion has not carried over into the second

confession.” Id. Bonner heard proper Miranda warnings on May 13. Over 24 hours

passed between his infirm waiver and his subsequent statements. Within this period,
Bonner appeared before a judge and had ample opportunity to confer with his court-

appointed attorney, who specifically warned Bonner of the consequences of speaking

during his car ride. The officers to whom he confessed repeatedly warned Bonner that he

should remain silent, and they never engaged in any active interrogation. And given the

dearth of details Bonner disclosed on May 13, there was little overlap between the

confessions. Bonner‟s May 14 statements, therefore, were voluntary and untainted by any

coercion from his prior conversation with the officers. Admission at trial was appropriate.

                                             11
                                             B.

       On May 19, 2008, police interrogated Bonner at the Swatara Township Police

Department. The parties now dispute the facts of that interrogation: Bonner claims the

police did not explain his Miranda rights nor did they provide an attorney upon his

request; the government insists that Bonner heard his Miranda rights and waived them.

The District Court credited the government‟s witnesses‟ testimony and found that Bonner

indeed waived his Fifth and Sixth Amendment rights.

       On appeal, we defer to the District Court‟s conclusions about witness credibility.

See United States v. Brothers, 75 F.3d 845, 853 (3d Cir. 1996). Indeed, “when the district

court‟s decision is based on testimony that is coherent and plausible, not internally

inconsistent and not contradicted by external evidence, there can almost never be a

finding of clear error.” United States v. Igbonwa, 120 F.3d 437, 441 (3d Cir. 1997)

(citing Anderson v. Bessemer City, 470 U.S. 564, 575 (1985)). Here, aside from Bonner‟s

unsupported assertions, there is no “internally inconsistent” testimony nor contradictory

“external evidence” that shows that it was “clear error” to credit the government‟s story

rather than Bonner‟s. The Court found the detectives‟ testimony “unequivocal,”

“consistent,” and “credible.” App. 00024. And based on this credible version of events,
there is no question that Bonner‟s statements, made after proper Miranda warnings and

Bonner‟s waiver, are admissible.

                                             C.

       Bonner repeats this argument for his two subsequent interrogations on May 20,

2008, and again on June 18, 2008, again quarrelling with the government‟s retelling of

the interrogations and claiming that he was never provided Miranda warnings nor the

attorney he requested. Here, again, we see no clear error in the District Court‟s credibility

                                             12
determinations about these two interrogations. Indeed, the case for believing the officers‟

version of events is made even stronger by Bonner‟s execution of a signed waiver of his

Miranda rights for both sessions. We therefore will not disturb the District Court‟s

judgment about these statements, either.

                                             V.

       Bonner next challenges the sufficiency of the evidence supporting his Hobbs Act

convictions on Counts Six and Eight, under 18 U.S.C. § 1951, his carjacking convictions

on Counts Nine and Thirteen, under 18 U.S.C. § 2119, and each of his firearm

convictions, under 18 U.S.C. § 924(c).

       We review a motion for a judgment of acquittal for insufficiency of the evidence

using a “particularly deferential standard . . . because a reviewing court „must be ever

vigilant not to usurp the role of the jury by weighing credibility and assigning weight to

the evidence.‟” United States v. Mercado, 610 F.3d 841, 845 (3d Cir. 2010) (quoting

United States v. Boria, 592 F.3d 476, 480 (3d Cir. 2010)). We therefore “view the

evidence in the light most favorable to the government and must sustain a jury‟s verdict if

„a reasonable jury believing the government‟s evidence could find beyond a reasonable

doubt that the government proved all the elements of the offenses.‟” United States v.
Rosario, 118 F.3d 160, 163 (3d Cir. 1997) (quoting United States v. Salmon, 944 F.2d

1106, 1113 (3d Cir. 1991)). “[O]nly „when the record contains no evidence, regardless of

how it is weighted, from which the jury could find guilt beyond a reasonable doubt‟ will

we reverse a jury verdict for insufficiency of the evidence.” United States v. Walker, 657

F.3d 160, 171 (3d Cir. 2011) (quoting United States v. Mussare, 405 F.3d 161, 166 (3d

Cir. 2005)), cert. denied, 132 S. Ct. 1122 (2012).

       We address Bonner‟s various sufficiency contentions in turn.

                                             13
                                            VI.

       Bonner first questions the sufficiency of the government‟s evidence about his

robberies‟ connections to interstate commerce under the Hobbs Act. Notwithstanding the

Hobbs Act‟s titanic scope, Bonner contends that his convictions for Hobbs Act robberies

of Clarke (Count Six) and Stackfield, Barnes and Bennett (Count Eight), stretch the Act

beyond its jurisdictional limits. Because “„a reasonable jury believing the government‟s

evidence could find beyond a reasonable doubt that the government proved all the

evidence of the offenses,‟” Rosario, 118 F.3d at 163 (quoting Salmon, 944 F.2d at 1113),

we will affirm the District Court‟s denial of Bonner‟s motion for acquittal.

       To establish a Hobbs Act violation, “the government must show that (1) the

defendant committed „robbery or extortion‟ or attempted or conspired to do so, and (2)

that conduct „obstruct[ed], delay[ed], or affect[ed] commerce or the movement of any

article or commodity in commerce.‟” Walker, 657 F.3d at 178-179 (alterations in

original) (quoting 18 U.S.C. § 1951(a)). This “obstruct[ion]” need only be “potential,”

and even a de minimis effect will suffice for a conviction. See United States v. Urban,

404 F.3d 754, 762 (3d Cir. 2005) (instructing jury that “[y]ou do not even have to find

that there was an actual effect on commerce. All that is necessary to prove this element is
that the natural consequences of the [robbery] potentially caused an effect on interstate

commerce to any degree, however minimal or slight”); see also United States v. Manzo,

636 F.3d 56, 61 n.4 (3d Cir. 2011) (explaining that even a wholly local scheme brought

about through a sting operation would potentially affect interstate commerce).

       We have held that “the reach of the Hobbs Act is „coextensive with that of the

Commerce Clause.‟” Walker, 657 F.3d at 179 (citing United States v. Parkes, 497 F.3d

220, 230 n.8 (2d Cir. 2007)). Moreover, we have also noted that “a large interstate market

                                            14
exists for illegal drugs [and] Congress has the power to regulate that market just as it has

the power to regulate food and drugs in general.” United States v. Orozco, 98 F.3d 105,

107 (3d Cir. 1996). Thus, in keeping with Congress‟s finding that drug trafficking is an

illicit business that affects interstate commerce, see 21 U.S.C. § 801, the government may

meet its Hobbs Act burden for drug theft cases “by presenting evidence that (1) the

[defendants] attempted to rob a [drug] dealer of a de minimis amount of drugs and cash,

and (2) the drug dealer‟s [products] originated outside of Pennsylvania.” Walker, 657

F.3d at 183-184. In cases involving conspiracy, such as this one, “federal jurisdiction

[can] be grounded on proof that the conspiracy, if completed, would affect commerce,”

United States v. Jannotti, 673 F.2d 578, 591 (3d Cir. 1982) (en banc).

                                              A.

       Count Six charges that Bonner, after conspiring with his compatriots to rob drug

dealers, attempted to do so by demanding “drugs or money” from a man Bonner thought

to be a locally known drug dealer named “Mikail.” Bonner contends that his mistaken

attempt to rob Eric Clarke instead of his intended target, “Mikail,” shows that he did not

attempt to rob a drug trafficker, as the government did not introduce evidence about

“Mikail,” and Clarke was not a drug dealer. The government responds that the evidence
is more than sufficient because Bonner: (1) undeniably conspired “to target the business

of [drug] trafficking and to use the illicit distribution network of drug traffickers to the

robbers‟ advantage,” Brief for United States 42; (2) demanded “money or drugs”; and (3)

went on to commit robberies consistent with his conspiratorial aim.

       We agree with the government. At trial, the government needed to introduce

evidence that Bonner attempted to commit a robbery that had the potential to affect

interstate commerce. See United States v. Tykarsky, 446 F.3d 458, 469 (3d Cir. 2006)

                                              15
(“[A]n attempt conviction requires evidence that a defendant (1) acted with the requisite

intent to violate the statute, and (2) performed an act that, under the circumstances as he

believes them to be, constitutes a substantial step in the commission of the crime.”). The

government has met its burden here by introducing evidence that Bonner conspired to

and intended to rob a series of large-scale drug dealers, and that he intended Eric Clarke

to be such a target. When Bonner confronted Clarke (thinking he was “Mikail”), he

immediately asked for money and drugs, and insisted that he “knew” Clarke had drugs.

When Clarke demurred, Bonner and his accomplice demanded that Clarke take them to

somebody who did have drugs and money. Indeed, this was the core modus operandi of

the conspiracy, as Bonner specifically targeted his victims because they were drug

dealers. App. 00698-00699, 00704. In each encounter, Bonner and his cohorts demanded

drugs as the crux of the robbery and attempted to move up the supply chain to get at more

and more drugs.7 Clarke was simply the unfortunate first victim in Bonner‟s scheme.

That Bonner intended to rob people with large, distribution-sized quantities of drugs is

evidenced by the fact that the conspirators became angry or violent if the victim only had

a small amount of drugs, and accused the victims of lying or hiding the drugs from them.

It is also corroborated by the fact that Bonner believed one of his victims to be the kind of
drug dealer that would have $50,000 on hand. App. 00672, 00704.

       As for proof that the drugs originated outside of Pennsylvania, the government

offered the expert opinion of Chief John Goshert. Chief Goshert testified that, based on



7
 For example, the conspirators made one victim, Stackfield, call his drug supplier
(Bennett) to set up yet another robbery. When the conspirators got to Bennett, they
demanded that he call his supplier as well. Likewise, the robbers used Lori Miller to get
at her drug supplier: Michael Pearson.
                                             16
his substantial experience,8 he had “not seen local grows selling [a] volume of marijuana”

consistent with the amount Bonner sought from Clarke and later stole from Bennett. App.

00776-00777. We have explicitly endorsed this as a proper subject for expert testimony.

Walker, 657 F.3d at 176 (“[L]aw enforcement officers may, given the proper experience,

testify in a Hobbs Act case regarding whether goods had originally been produced in

another state.”). The expert based his opinion on a reasonable chain of inferences drawn

from his experience. And, although the expert candidly admitted the possibility that such

a large amount of drugs could have been locally grown,9 and defense counsel did an

admirable job of illustrating for the jury through cross-examination why it should reject

the expert‟s opinion,10 the jury had the benefit of this excellent cross-examination and

was not persuaded by the defense theory. See United States v. Gambone, 314 F.3d 163,

170 (3d Cir. 2003) (noting that we “credit all available inferences in favor of the

government”).

8
  He testified that he had nearly 30 years of experience in drug enforcement in central
Pennsylvania; he handled about 500 drug cases a month; and had daily interactions with
individuals involved in the drug trade ranging from street-level dealers to individuals
with connections to other countries. He estimated he had spoken to thousands of drug
traffickers. His duties included determining from whom and where drugs were coming.
9
  Chief Goshert testified that, although “marijuana can be grown almost anywhere . . .
almost like with tomatoes. . . . [and] they do grow marijuana [in state], . . . . it‟s hard to
grow a huge, huge marijuana crop [in Pennsylvania].” App. 00754-00755. When asked
specifically about the amount of marijuana taken from Bennett, Goshert testified that it
was “more likely that they were receiving [the marijuana] from out of this area and from
those western states that I talked about. . . .” App. 00756-00757.
10
  For instance, the jury heard Chief Goshert admit that he had not examined any of the
drugs involved in this case, see App. 00758, 00760-00761, that it was “absolutely”
possible for one person to grow 100 pounds of marijuana indoors, in Pennsylvania, in a
single harvest, App. 00767, (evidence showed that Bennett regularly trafficked two to
three pounds every one to two weeks), and that he was “sure [drug dealers] grow
marijuana in Philadelphia [and Pittsburgh].” App. 00777.
                                              17
       In light of this evidence, the jury reasonably could have found that Bonner, in

robbing Clarke, attempted to rob a drug dealer under circumstances that would give rise

to a potential effect on interstate commerce.

                                            B.

       Given our resolution of Bonner‟s sufficiency challenge for Count Six, Bonner‟s

contentions regarding Count Eight need not long detain us. Bonner contends that the

evidence was insufficient to show a potential interstate impact of his attempted and actual

robberies of Stackfield, Barnes and Bennett because there is no evidence that the stolen

marijuana actually travelled in interstate commerce. In short, we are not persuaded.

       The same expert testimony that doomed Bonner‟s challenge to his conviction for

his Clarke robbery is again dispositive here. The government‟s expert testified that the

large amount of marijuana taken from Bennett tends to prove that the marijuana travelled

in interstate commerce, testimony that a reasonable jury could have credited. Stackfield

and Bennett, moreover, admitted to being drug traffickers,11 thereby increasing the

chance that a robbery of their wares would interfere with interstate commerce. See

Parkes, 497 F.3d at 231 (upholding conviction for actual Hobbs Act robbery of 58 small

bags of marijuana and $4,000 from a known drug trafficker, without proof that the
marijuana originated outside the jurisdiction); see also United States v. McCraney, 612

F.3d 1057, 1065 (8th Cir. 2010) (upholding conviction for an actual robbery of a drug

trafficker‟s cocaine); United States v. Thomas, 159 F.3d 296, 298 (7th Cir. 1998) (same).

The government‟s evidence regarding the several robberies and attempted robberies


11
  Indeed, Bennett testified at trial that he was “dealing marijuana” as his main source of
income at the time of the robbery, regularly purchasing “two or three pounds” every two
weeks over a six month period. App 00410, 00422.
                                            18
encompassed by Count Eight, not to mention Bonner‟s demonstrated attempts to find

even more drugs by demanding the name of Bennett‟s supplier, was more than sufficient

for a reasonable jury to find a potential, de minimis effect on interstate commerce.

                                            VII.

       Bonner next challenges the sufficiency of the government‟s evidence underlying

his two convictions for carjacking pursuant to 18 U.S.C. § 2119 (Counts Nine and

Thirteen). Section 2119 requires proof beyond a reasonable doubt that a defendant: “(1)

with intent to cause death or serious bodily harm (2) took a motor vehicle (3) that had

been transported, shipped or received in interstate or foreign commerce (4) from the

person or presence of another (5) by force and violence or intimidation.” United States v.

Applewhaite, 195 F.3d 679, 685 (3d Cir. 1999). Bonner quarrels only with the

government‟s proof of his intent to cause death or harm. After reviewing the evidence, it

is apparent that the government has met its burden on both Counts.

       The intent element of § 2119 is satisfied by showing merely “that the defendant

would have at least attempted to seriously harm or kill the driver if that action had been

necessary to complete the taking of the car.” Holloway v. United States, 526 U.S. 1, 12

(1999) (emphasis added). Here, multiple victims testified that Bonner stuck his weapon
under their noses and instructed them to smell the gunpowder because he had purportedly

just shot someone, and commanded them, at gunpoint, to follow his instructions. Bonner

threatened to kill each of his victims during the robberies, and even threatened to kill

their children. Moreover, Bonner‟s compatriots actually did assault, rape, and stab

victims in the course of their robberies. That these threats and assaults were not

contemporaneous with the demands to relinquish a car does nothing to take away from a

jury‟s ability to conclude that Bonner “would have at least attempted to seriously harm or

                                             19
kill the driver” if needed. Id. at 12 (emphasis added). The evidence, therefore, was more

than sufficient for a “rational trier of fact [to] f[i]nd the essential elements of the crime

beyond a reasonable doubt.” United States v. Voigt, 89 F.3d 1050, 1080 (3d Cir. 1996).

                                             VIII.

       Bonner‟s final sufficiency contention, challenging his firearm-possession

convictions, lacks merit. Bonner contends that the government did not prove that the gun

he was convicted of using was a functioning, operable “firearm” under 18 U.S.C.

§ 924(c). But a weapon need not be operable to be considered a “firearm” for the

purposes of a conviction under § 924. See United States v. Rivera, 415 F.3d 284, 286 (2d

Cir. 2005); United States v. Pena-Lora, 225 F.3d 17, 31 (1st Cir. 2000). Courts may look

to a variety of nonexclusive factors in determining whether a firearm was possessed, and

a gun need not be loaded nor operable to sustain a conviction. See Walker, 657 F.3d at

172 (construing United States v. Sparrow, 371 F.3d 851, 853 (3d Cir. 2004)). Rather, an

eyewitness‟s description of having seen a firearm is sufficient. See United States v.

Beverly, 99 F.3d 570, 572 (3d Cir. 1996). Here, Hodge testified that he sold Bonner a

functioning firearm, and the government presented testimony from Bonner‟s victims that

the gun appeared to be real. One witness even went so far as to explain that his nine years
in the United States Army gave him the experience necessary to identify a real firearm.

See United States v. Castillo, 924 F.2d 1227, 1230 (2d Cir. 1991) (holding that there was

sufficient evidence that a gun was a “firearm” after witness testimony based on

“extensive training and familiarity in the identification and use of firearms”). We

therefore conclude that the evidence was sufficient to support the conviction.




                                               20
                                               IX.

       Bonner next challenges the District Court‟s decisions about two evidentiary issues,

contending that the District Court abused its discretion by admitting (1) a potentially

prejudicial photograph, and (2) testimony from the government‟s drug trafficking expert.

       We review the District Court‟s decision to admit photographs under Rule 403 of

the Federal Rules of Evidence for an abuse of discretion. United States v. Jones, 566 F.3d

353, 362 (3d Cir. 2009). “Rule 403 is a balancing test, and „[l]ike any balancing test, . . .

is inexact, requiring sensitivity on the part of the trial court to the subtleties of the

particular situation, and considerable deference on [our] part . . . to the hands-on

judgment of the trial judge.‟” United States v. Vosburgh, 602 F.3d 512, 537 (3d Cir.

2010) (quoting United States v. Guerrero, 803 F.2d 783, 785 (3d Cir. 1986)). We

therefore will not disturb the District Court‟s ruling unless it was “arbitrary or irrational.”

United States v. Kellogg, 510 F.3d 188, 197 (3d Cir. 2007) (quoting United States v.

Universal Rehab. Servs. (PA), Inc., 205 F.3d 657, 665 (3d Cir. 2000) (en banc)).

       Similarly, “[w]e review the District Court‟s decision to admit expert testimony for

abuse of discretion and exercise plenary review over [the Court‟s] legal interpretation of

Rule 702.” Walker, 657 F.3d at 175.
                                               A.

       Bonner first contends that the District Court erred by allowing into evidence a

color photograph of Pearson‟s bloodstained polo shirt. He argues that the image‟s

probative value was substantially outweighed by the danger of unfair prejudice, and thus




                                               21
should have been excluded under Rule 403 of the Federal Rules of Evidence.12 We

conclude that the District Court acted within its discretion by admitting the photograph.

         In the District Court‟s words, the photograph depicts “a polo shirt with a stain on

the upper right quadrant of it which appears to be a blood stain. It also appears that

there‟s some dirt or grime . . . .” App. 00480. The Court found the photograph relevant to

corroborate witness testimony and satisfy elements of the Hobbs Act and carjacking

charges. Weighing prejudice, the Court held that the photograph was not “in any way

inflammatory” because only a shirt—rather than the victim—appears in it. App. 00480.

         Bonner contends that the District Court exceeded its discretion by admitting such a

prejudicial photograph that had very little probative value. Bonner emphasizes that he

never disputed that Pearson had been assaulted, thus depriving the photograph of its

probative value and elevating its potentially prejudicial impact. Bonner further contends

that the District Court erred in admitting the photograph in color without a jury

instruction or a requirement that the photograph be rendered in black-and-white, steps

that Bonner believes would have mitigated the prejudicial nature of the photograph.13

         We agree with the government that a district court‟s Rule 403 decision to admit

potentially prejudicial evidence is the quintessential discretionary trial court ruling with
which we are loathe to interfere. Because “the Rule 403 standard is inexact,” we owe

“considerable deference . . . „to the hands-on judgment of the trial judge.‟” Vosburgh,

602 F.3d at 537 (quoting Guerrero, 803 F.2d at 785). We will reverse such a decision

only if the Court‟s decision to admit evidence was “arbitrary or irrational.” Kellogg, 510


12
   Rule 403 permits the District Court to exclude relevant evidence if “its probative value
is substantially outweighed by a danger of . . . unfair prejudice.”
13
     Bonner did not seek such a limiting instruction at trial. App. 00481
                                               22
F.3d at 197 (quoting Universal Rehab., 205 F.3d at 665). Here, the District Court‟s

decision can hardly be characterized as arbitrary or irrational. Even with Bonner‟s

concession that Pearson was assaulted, it is clear that the photograph was introduced to

prove more than that fact alone; the government needed to prove Bonner‟s use of force in

the course of his robberies and his conditional intent to cause great bodily harm in the

course of his carjackings. We agree with the government, moreover, that the intensive

cross-examination of Pearson, which included attacks on Pearson‟s credibility as a

witness, warranted the introduction of corroborating evidence. Accordingly, we conclude

that the District Court acted within its permissible discretion in admitting the photograph.

                                             B.

       At trial, the government‟s expert on drug trafficking, Chief Goshert, rendered

opinions about the likely geographical origins of several types of drugs, but did not

inspect the actual drugs involved in this case. On appeal, Bonner contends that the

District Court erred in allowing Chief Goshert to testify speculatively about drugs he did

not examine. We conclude that the testimony was properly admitted.

       Bonner objected to the introduction of Chief Goshert‟s testimony under Rules 401,

402, 403, and 702 of the Federal Rules of Evidence. The District Court overruled
Bonner‟s objections that the expert testimony was vague, speculative, and hypothetical,

because the testimony “f[e]ll[] within the scope of [Chief Goshert‟s] expert

qualifications.” App. 00775. Bonner‟s contentions on appeal, however, seem to fall

entirely under Rule 702, which requires that expert testimony be “based on sufficient

facts or data,” be “the product of reliable principles and methods,” and those principles

and methods must be applied reliably to the case. Bonner contends that Chief Goshert‟s

testimony was too speculative and abstract to pass muster under Rule 702.

                                             23
       We conclude that Chief Goshert‟s testimony did nothing to run afoul of the rules

governing the introduction of expert opinions at trial. Our recent holding in Walker

controls our resolution of this issue. There, we reemphasized that “[a]n expert witness

may be permitted to testify regarding scientific, technical, or other specialized knowledge

if it will assist the trier of fact to understand the evidence or to determine a fact in issue.”

Walker, 657 F.3d at 175 (quotations and citations omitted). Under Rule 702, a witness

may testify as an expert so long as: (1) the testimony is “based upon sufficient facts or

data”; (2) it is “the product of reliable principles and methods”; and (3) “the expert has

reliably applied the principles and methods to the facts of the case.” “In cases not

involving scientific testimony, courts must still serve the gatekeeping function described

in Daubert v. Merrell Dow Pharm., Inc., 509 U.S. 579 (1993),” Walker, 657 F.3d at 175,

but “the factors identified in Daubert may or may not be pertinent in assessing reliability,

depending on the nature of the issue, the expert‟s particular expertise, and the subject of

his testimony.” Kumho Tire Co. v. Carmichael, 526 U.S. 137, 150 (1999). Rather, “the

relevant reliability concerns may focus upon personal knowledge or experience.” Id.

       Here, it is apparent that Chief Goshert‟s testimony was both relevant and reliable,

and was properly admitted.14 Indeed, in Walker, we rejected contentions almost identical
to those made here that the expert—the same Chief Goshert—did not possess the

expertise to testify about the geographic origins of drugs and did not use reliable methods

for his conclusions. We held that “law enforcement officials can rely upon their


14
  We assume without deciding that a particular drug‟s origin “is sufficiently technical in
nature to be the subject of expert testimony under Rule 702.” Walker, 657 F.3d at 177
n.14. But see United States v. Needham, 604 F.3d 673, 680 (2d Cir. 2010) (“[A] jury is
capable of concluding, based on its lay knowledge, that cocaine is imported into the
United States.” (citing United States v. Gomez, 580 F.3d 94, 102 (2d Cir. 2009))).
                                               24
specialized knowledge or experience to offer expert testimony on various aspects of drug

trafficking.” Walker, 657 F.3d at 176 (collecting cases). As was the case in Walker,

“Goshert‟s expert opinions [here] were based upon his personal experiences interacting

with drug traffickers and law enforcement personnel over a period of decades. During

that time, he had numerous opportunities to investigate the geographic origins of the

[drugs] sold in [the area].” Id. Because of this experience, “he did not need to be a

professional chemist in order to gather reliable information on whether [drugs] w[ere]

being produced inside Pennsylvania or instead being produced elsewhere and transported

into Pennsylvania.” Id. (citing Betterbox Commc‟ns Ltd. v. BB Techs., Inc., 300 F.3d

325, 328-329 (3d Cir. 2002)).

       Accordingly, the District Court acted within its discretion in concluding that Chief

Goshert‟s testimony about drugs‟ origins was reliable and admissible testimony.

                                              X.

       Lastly, Bonner challenges his sentence of 976 months‟ imprisonment on three

fronts. He contends that the District Court (1) misinterpreted the “except” clause in 18

U.S.C. § 924(c) by imposing three consecutive sentences for his three firearms-

possession convictions; (2) exceeded its discretion by applying the “life-threatening”
sentence enhancement in U.S.S.G. § 2B3.1(b)(3)(C) for Pearson‟s stabbing; and (3)

exceeded its discretion by imposing an unreasonable sentence based on an erroneous

interpretation of the facts. For the reasons that follow, we reject each.

       Our review of the District Court‟s legal conclusions is plenary, whereas we review

the Court‟s factual findings and ultimate sentencing decisions for an abuse of discretion.

Rita v. United States, 551 U.S. 338, 351 (2007). Complaints regarding sentencing that

were not raised below are reviewed for plain error. United States v. Miller, 594 F.3d 172,

                                              25
183 n.6 (3d Cir. 2010). We accord great deference to the Court‟s choice of a final

sentence. United States v. Lessner, 498 F.3d 185, 204 (3d Cir. 2007); see also Gall v.

United States, 552 U.S. 38, 51 (2007) (“The fact that the appellate court might reasonably

have concluded that a different sentence was appropriate is insufficient to justify reversal

of the district court.”); United States v. Tomko, 562 F.3d 558, 565 (3d Cir. 2009) (en

banc) (“[D]istrict courts have an institutional advantage over appellate courts in making

[sentencing] determinations.”). On appeal, Bonner bears the burden of showing that his

sentence is unreasonable. United States v. King, 454 F.3d 187, 194 (3d Cir. 2006). We

will not reverse a sentence for being substantively unreasonable “unless no reasonable

sentencing court would have imposed the same sentence on that particular defendant for

the reasons the District Court provided.” Tomko, 562 F.3d at 568.

                                              A.

       Bonner contends first that the District Court erroneously interpreted 18 U.S.C.

§ 924(c) by sentencing Bonner to consecutive sentences of 84, 300 and 300 years‟

imprisonment for his three § 924(c) convictions. We disagree.

       To punish gun possession by persons engaged in crime, Congress made it a

separate offense to use, carry, or possess a deadly weapon in connection with “any crime
of violence or drug trafficking crime.” 18 U.S.C. § 924(c)(1). The minimum prison term

for the first violation of § 924(c) is 60 months, id. § 924(c)(1)(A)(i), to be served

consecutively to “any other term of imprisonment imposed on the [offender],” id. § 924

(c)(1)(D)(ii). Each subsequent § 924 conviction, even if occurring in the same case,

comes with a consecutively served minimum sentence of 300 months (25 years). See

Deal v. United States, 508 U.S. 129, 136-137 (1993).



                                              26
       The preface to § 924(c)(1)(A)—the so-called “except” clause—states that courts

must impose these minimum terms “[e]xcept to the extent that a greater minimum

sentence is otherwise provided by [§ 924(c) itself] or by any other provision of law.”

       Bonner contends that this clause forbids the imposition of more than one § 924(c)

sentence in a case, and requires a court to impose only the single, highest mandatory

minimum stemming from all of a defendant‟s § 924(c) convictions. Applied here, Bonner

argues that his conviction for his third § 924(c) offense, which carried a minimum

sentence of 300 months, was the “greate[st] minimum sentence . . . otherwise provided

by” § 924, and that the “except” clause nullifies his other two § 924(c) sentences.

       This argument is foreclosed by United States v. Abbott, 131 S. Ct. 18 (2010),

which holds that “a defendant is subject to a mandatory, consecutive sentence for a

§ 924(c) conviction, and is not spared from that sentence by virtue of receiving a higher

mandatory minimum on a different count of conviction.” Id. at 23. Bonner is right that

Abbott bars “stacking” of § 924(c) sentences, but not of the type that apply here. After

Abbott, the “except” clause means that a mandatory seven-year sentence for brandishing

a firearm would merge into a mandatory ten-year sentence if the defendant discharged

the gun during the same crime. See id. at 30; United States v. Ham, 628 F.3d 801, 813
(6th Cir. 2011) (citing Abbott, 131 S. Ct. at 26).

       In situations such as Bonner‟s, in which he committed three discrete offenses

involving a firearm before being apprehended, it would defy logic to give him a lesser

sentence merely because he escaped apprehension and conviction until all three robberies

had been committed. See Deal, 508 U.S. at 137. Not only would this likely lead the

government to simply hold separate—and wasteful—trials for each firearms offense, but

such an interpretation would create precisely the type of “sentencing anomalies” at issue

                                             27
in Abbott. See 131 S. Ct. at 27.15 Considering Congress‟s animating, anti-gun rationale

for enacting § 924,“[w]e doubt that Congress . . . would simultaneously provide an

exception severely limiting application of the [statute].”16 Abbott, 131 S. Ct. at 29-30.

Indeed, Congress could not have “intend[ed] such . . . bizarre result[s].” Id. at 27.

       Accordingly, we find no error in the District Court‟s imposition of consecutive

sentences for Bonner‟s multiple § 924(c) convictions.

                                             B.

       Bonner next contends that the District Court exceeded its discretion by enhancing

Bonner‟s sentence for Pearson‟s “life-threatening” stab wound, pursuant to U.S.S.G.

§ 2B3.1(b)(3)(C).17 We reject this contention.

       After hearing testimony from Pearson‟s wife about the blood flowing from

Pearson‟s neck wound, examining the medical records from his injury, and considering

15
   For example, consider two defendants, one of whom possesses a firearm while
trafficking drugs (a 5-year minimum under § 924(c)(1)(A)(i)), and one of whom
discharges a firearm while trafficking drugs (a 10-year minimum sentence under
§ 924(c)(1)(A)(iii)). Both later commit a second § 924(c) offense in the course of the
crime (a 25-year minimum sentence under § 924(c)(1)(C)(i)). Under Bonner‟s proposed
reading, the more culpable second defendant would receive the same sentence as the less
culpable first defendant—25 total years. This would make irrelevant whether such a
defendant violated § 924(c) a third—or fourth, or tenth—time before being apprehended;
a 25-year sentence would be the maximum possible sentence for all § 924(c) violators.
16
  Other provisions in § 924 and the Sentencing Guidelines reinforce this conclusion.
Section 924(c)(1)(D)(ii) declares that “no term of imprisonment imposed on a person
under this subsection shall run concurrently with any other term of imprisonment . . . .”
And the Guidelines require “the term of imprisonment [under § 924(c) ] . . . to run
consecutively to any other term of imprisonment.” Id. § 5G1.2(a); see also id. cmt.
3(B)(iii) (explaining that, if a defendant is convicted of two counts of § 924(c), the
“sentence on each count is imposed to run consecutively to the other counts”).
17
  Section 2B3.1(b)(3)(C) provides for a six-level enhancement to an offender‟s base
offense level if a victim sustains “[p]ermanent or [l]ife-[t]hreatening [b]odily [i]njury”
during the commission of a crime.
                                             28
the “emergency medical treatment and surgery [needed] to save [Pearson‟s] life,” App.

00854, the District Court concluded that this enhancement should apply. Although it is

true that Pearson, in his post-stabbing condition, did manage to snap his restraints, hop up

a set of stairs, use a knife to cut his wife and cousin loose, drink juice, and smoke a

cigarette, we review the District Court‟s weighing of the facts underlying this conclusion

with the utmost deference. See United States v. Grier, 475 F.3d 556, 570 (3d Cir. 2007)

(en banc). Because we cannot say that the District Court clearly erred in finding

Pearson‟s stab wound to be life-threatening, we will not disturb the District Court‟s

application of this enhancement.

                                              C.

       Finally, Bonner contends the District Court‟s 976-month sentence was

procedurally unreasonable because it relied on clearly erroneous facts. We do not agree.

       When the District Court follows appropriate sentencing procedures, we review for

substantive reasonableness, United States v. Cooper, 437 F.3d 324, 330 (3d Cir. 2006),

and will affirm “unless no reasonable sentencing court would have imposed the same

sentence on that particular defendant for the reasons the district court provided.” Tomko,

562 F.3d at 568.
       Bonner contends that the Court‟s evaluation of the facts was inappropriate because

it based its sentence, in part, on the codefendants‟ repetition of the “mantra to „do it

right,‟ . . . meaning with all necessary brutality.” App. 00855. Because the phrase “do it

right” does not appear in the record, Bonner contends that his sentence rests on a clearly

erroneous finding of fact, and is therefore unreasonable.

       This contention is baseless, for two reasons. First, the District Court relied on

several factors; whether or not the defendants said “do it right” is hardly notable when

                                              29
compared with the robbers‟ ultimatum to Pearson: “You‟re going to tell me where it‟s at

or I‟m going to kill your kids.” App. 00552. Indeed, twelve pages of the record detail the

Court‟s rationale for its sentence. See App. 00865-00877. Second, although Bonner is

correct that “do it right” does not appear the record, the phrase “do this right” certainly

does. See, e.g., App. 00551 (“[W]e got to do this right . . . we got to do this right.”). A

judge‟s pronoun substitution hardly rises to the level of procedural unreasonableness.

       Accordingly, we find no reversible error evident in Bonner‟s sentencing.

                                             XI.

       For the foregoing reasons, we will reject Bonner‟s contentions challenging his

convictions and sentences, and will affirm the District Court‟s judgment.




                                              30
