            Case: 14-10578   Date Filed: 04/27/2015   Page: 1 of 22


                                                          [DO NOT PUBLISH]



              IN THE UNITED STATES COURT OF APPEALS

                      FOR THE ELEVENTH CIRCUIT
                        ________________________

                              No. 14-10578
                          Non-Argument Calendar
                        ________________________

                    D.C. Docket No. 1:13-cr-20160-DLG-1



UNITED STATES OF AMERICA,

                                                                Plaintiff-Appellee,

                                    versus

OLIVER GAYLE,

                                                           Defendant-Appellant.

                        ________________________

                 Appeal from the United States District Court
                     for the Southern District of Florida
                       ________________________

                               (April 27, 2015)

Before TJOFLAT, WILSON, and JULIE CARNES, Circuit Judges.

PER CURIAM:

     Defendant Oliver Gayle appeals his convictions for one count of possessing
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15 or more unauthorized access devices (Count 1), three counts of aggravated

identity theft (Counts 2, 3, 4), and one count of fraud and misuse of a visa (Count

5), in violation of 18 U.S.C. §§ 1029(a)(3), 1028A(a)(1), and 1546(a), respectively.

Defendant raises three arguments on appeal. First, Defendant argues that the

district court erred in denying his motion to suppress. Second, he argues that the

district court abused its discretion in denying his motion for a mistrial based on the

Aventura Police Department’s failure to properly preserve the recording of his

post-arrest interview and timely inform the defense that the recording had not been

preserved. Lastly, he argues that the evidence was insufficient to support a

conviction on one of the aggravated identity theft counts (Count 3). After careful

review, we affirm Defendant’s convictions.

                                   I. Background

      A.     Underlying Fraud Scheme

      From October 8, 2012 through December 28, 2012, Defendant, through a

temporary staffing company, worked in the cashier’s office of the Mt. Sinai

Medical Center (“Mt. Sinai”). In December 2012, he was reassigned to Mt. Sinai’s

purchasing department, where he worked until February 2013.

      In December 2012 and January 2013, Defendant used his ID badge to enter

the cashier’s office after the other employees had left. Using a co-worker’s

username and password, he logged into the computer system and printed

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screenshots of patient information, including names, dates of birth, addresses, and

social security numbers. He printed approximately 94 pages of screenshots from

the Mt. Sinai computer database. Those 94 pages contained approximately 700

names, dates of birth, and social security numbers, of which 613 matched the

information maintained by the Social Security Administration. Defendant also

photocopied approximately 207 checks (dated December 2012 through February

2013) made payable to Mt. Sinai from individual patients. He then used this

personal identifying information to file tax returns. He received tax refunds on

prepaid debit cards.

      B.     Search of Defendant’s Vehicle and Home

      In February 2013, police officers with the Aventura Police Department

responded to a call from a bank employee about an attempt to cash a fraudulent

check. The bank employee told the officers that the person who had attempted to

cash the check was one of three black males who had driven away in a dark grey

SUV. Approximately one block north of the bank, police officers observed

Defendant driving a vehicle matching that description, with two black males

ducked down in the back seat, trying to conceal themselves. The officers initiated

a traffic stop because Defendant was not wearing a seatbelt.

      Defendant provided the officers with a Florida ID card and what appeared to

be a fake Jamaican passport. The officers ran the vehicle’s license plate and

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learned that the vehicle was rented. Defendant told the officers that he had

borrowed the car from a friend, Gerard Reeves, and that he did not have the rental

agreement. The officers arrested Defendant after a records check showed that he

was driving with a suspended license. Because the vehicle was blocking traffic

and because neither of the other two passengers had a valid driver’s license, the

officers decided to have the vehicle towed.

      Prior to having the vehicle towed, the officers conducted an inventory search

of the vehicle. In the floorboard of the front passenger seat, the officers found an

open, black bag with paperwork hanging out of it. The officers observed hundreds

of documents containing personal identification information in the bag. A later

search of the bag revealed approximately 94 pages of computer screenshots printed

from the Mt. Sinai computer database and 207 photocopies of checks made

payable to Mt. Sinai from individual patients.

      During a post-arrest interview, Defendant consented to a search of the home

that he shared with Reeves and one other person. The search of Defendant’s

bedroom revealed additional printed screenshots from Mt. Sinai’s patient database,

prepaid debit cards issued in various names, tax returns completed in various

names, more copies of checks made payable to Mt. Sinai, and a notepad containing

the tax return information. Additional screenshots from the Mt. Sinai patient

database were also found in the desk area of the foyer.

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      C.     Motion to Suppress

      Federal authorities (“the Government”) took over Defendant’s case and

Defendant was indicted on federal charges. During pretrial proceedings,

Defendant moved to suppress the numerous documents (computer printouts, copies

of checks, tax returns, notepad, and prepaid debit cards) that were spilling out of

and inside the open bag that officers discovered during their inventory search of

the impounded vehicle that Defendant had been driving when arrested. Significant

to this appeal, Defendant did not challenge the propriety of the original initial stop

of the vehicle. Instead, he challenged, somewhat obliquely, the propriety of an

inventory search of his vehicle. He also argued, again in a cursory fashion, that the

officers could not rely on the “plain view” doctrine to justify their examination of

the documents that were spilling out of and inside the open bag.

      The Government opposed Defendant’s suppression motion arguing both (1)

that Defendant lacked standing to challenge the search of the vehicle because the

vehicle was rented, he was not listed as an authorized driver on the rental

agreement, and he lacked a valid driver’s license and (2) that the search was valid

on the merits.

      After an evidentiary hearing, the magistrate judge issued a report and

recommendation (“R&R”) on July 3, 2013. The magistrate judge recommended

denying Defendant’s motion to suppress. The magistrate judge concluded that

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Defendant lacked standing to challenge the search. Leaving aside the question of

Defendant’s standing, he also concluded that the police officers properly searched

Defendant’s bag as part of an inventory search and further that the incriminating

documents were in plain view. The R&R instructed the parties that they had 14

days to “serve and file written objections” with the district court. Neither party

filed any objections to the R&R.

       On July 26, 2013, after conducting an independent review of the record and

noting that no objections to the R&R had been filed, the district court adopted the

R&R and denied Defendant’s suppression motion. On August 7, 2013, Defendant

moved the district court to reconsider its adoption of the R&R and sought

permission to file out-of-time objections to the R&R. 1 The district court denied

this motion.

       D.      Trial Proceedings

       Defendant proceeded to a jury trial, which began on October 16, 2013.

Defendant moved for a mistrial after an Aventura police detective testified that,

although Defendant’s post-arrest interview had been recorded, the police

department did not have the recording because the recording device had

malfunctioned and the department had been unsuccessful in retrieving the

recording from the device. Defendant argued that the Government’s failure to

       1
         Defendant explained that he filed his objections out of time because he had been
preparing to enter a guilty plea, but then had changed his mind.
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disclose this information in its response to the standing discovery order was a

Brady2 violation. Defendant later tweaked this argument, claiming that the

Government’s failure to earlier disclose the above facts was actually more of a due

process violation than a Brady violation.

      The district court questioned the detective and reviewed the police

department’s emails relating to its history of issues with the recording device and

its attempts to recover the recording. The court held an evidentiary hearing at

which the police captain, a police officer familiar with the recording device, and a

representative from the company that serviced the recording device testified. The

district court denied Defendant’s motion for a mistrial.

      In denying the motion, the district court determined that Defendant could not

prevail under Brady because he had not shown that the evidence was exculpatory.

The district court further found that the Government’s failure to disclose the

information about the recording was not a due process violation because Defendant

had not shown bad faith on the part of the police.

      At the close of the evidence, Defendant moved for a judgment of acquittal

under Rule 29 of the Federal Rules of Criminal Procedure on Counts 1 through 4.

The district court denied the motion. The jury found Defendant guilty on all

counts, and the district court subsequently imposed a 51-month sentence.


      2
          Brady v. Maryland, 373 U.S. 83 (1963).
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                                   II. Discussion

      A.     Motion to Suppress

             1.     Parties’ Positions

      On appeal, Defendant argues that the district court erred in denying his

motion to suppress the evidence found during the search of the vehicle he was

driving. As in the suppression proceedings below, he continues to argue that he

has standing to challenge the search of the vehicle, but he no longer argues that the

inventory search was improper nor does he dispute that the documentary evidence

discovered in his bag was in plain view. Instead, he argues for the first time that,

under Florida law, a driver’s failure to wear a seatbelt does not justify a stop by the

police.

      Because Defendant does not raise on appeal the grounds that he cited in his

suppression motion—the propriety of an inventory search and the Government’s

reliance on the plain view doctrine—we conclude that he has abandoned any

challenge to the search based on those grounds. See Access Now, Inc. v. Sw.

Airlines Co., 385 F.3d 1324, 1330 (11th Cir. 2004) (holding that arguments not

raised on appeal are deemed abandoned). Instead, Defendant proceeds only on an

argument that the initial stop of the vehicle was improper.

      The Government argues that we should not entertain any effort by Defendant

to challenge the search because, in violation of Rule 59(b)(2) of the Federal Rules

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of Criminal Procedure, Defendant failed to file written objections to the magistrate

judge’s R&R within the prescribed 14-day time period and, by the time he got

around to objecting to the R&R, the district court had already issued its order

adopting that R&R and denying Defendant’s suppression motion. The

Government also argues that, even if Defendant has not waived his challenge to the

denial of the suppression motion, he cannot prevail on appeal because (1) the

magistrate judge correctly concluded that Defendant lacked standing to contest the

search and (2) Defendant’s attack on the legality of the stop of the vehicle, raised

for the first time on appeal, has no merit.

      Resolution of the first two issues on these facts—whether Defendant waived

any challenge to the ruling on the suppression motion and whether he has standing

to contest the search—is uncertain under existing precedent. Resolution of the

third and ultimate issue—the legality of the stop of vehicle under Florida law—is

straightforward, and Defendant cannot prevail on that argument. Accordingly,

because Defendant’s challenge to the stop of the vehicle fails, on the merits, we

reject Defendant’s contention that the search in this case should be suppressed.

We do, however, briefly address the first two issues.




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              2.      Whether Defendant Waived His Right To Challenge The
                      Magistrate Judge’s Recommendation To Deny Defendant’s
                      Suppression Motion

       Federal Rule of Criminal Procedure 59(b)(2) requires a party who disagrees

with a magistrate judge’s recommendation to file “specific written objections”

within 14 days of being served with the R&R. The rule further provides that

“[f]ailure to object in accordance with this rule waives a party’s right to review[,]”

and constitutes a waiver of the defendant’s right to appellate review of the district

court’s adoption of the R&R. Fed. R. Crim. P. 59(b)(1)-(2).

       Here, Defendant did not file objections to the magistrate judge’s R&R

within the specified time period. Instead, Defendant waited until after the district

court had already adopted the R&R denying his motion to suppress before offering

his disagreement with the magistrate judge’s conclusions. 3 The district court

declined to reconsider its earlier ruling. Federal Rule of Criminal Procedure

59(b)(2) provides that a failure to object to the magistrate judge’s R&R within 14

days of service of the R&R “waives a party’s right to review.” Citing that rule, we

have held that a defendant who has failed to file objections to a magistrate judge’s

R&R has waived his right to appellate review of the magistrate judge’s


       3
          As noted, the magistrate judge issued the R&R on July 3, 2013. Defendant should have
filed any objections within 14 days thereafter, or by July 17, and failed to do so. The district
court adopted the R&R recommending denial of the suppression motion on July 26, 2013. On
August 7, 2013, Defendant filed his motion for the court to reconsider that ruling, which we
construe as Defendant’s belated objections to the R&R. The district court denied that motion.
Trial began on October 16.
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recommendation and the district court’s adoption of that recommendation. See

United States v. Holt, 777 F.3d 1234, 1257-58 (11th Cir. 2015) (defendant who

failed to object to magistrate judge’s recommended denial of motion to suppress

wiretap evidence before district court waived right to seek review of that ruling on

appeal to the circuit court); United States v. Garcia-Sandobal, 703 F.3d 1278,

1282-83 (11th Cir. 2013) (defendant waived his right to challenge the district

court’s adoption of the magistrate judge’s recommendation to accept the

defendant’s guilty plea by not filing objections to the magistrate judge’s R&R).

       Yet, in those cases where we have found waiver, the defendants had failed to

file any objections before the district court and instead had first challenged the

R&R on appeal to our court. Here, Defendant belatedly filed his objections, after

the 14-day deadline set by Rule 59, but before trial in the case. We have thus far

not decided whether a tardy filing of objections automatically gives rise to a waiver

and, if not, what factors should be considered in determining the ramifications and

standard of review that attend an untimely filing of objections. As noted, we will

assume without deciding, that Defendant’s tardy filing in this case does not prevent

us from reviewing his present challenge to the search on appeal. 4



       4
          Of course, Defendant is not seeking review of any determinations made by the
magistrate judge in the R&R to which Defendant made untimely objections. As noted,
Defendant does not raise on appeal the propriety of the inventory search or application of the
plain view doctrine, which were the two grounds for suppression that the R&R addressed.
Instead, Defendant seeks review of a different ground he newly asserts in support of suppression:
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               3.      Whether Defendant Had Standing To Challenge The Search

       The Government argues that even if Defendant had preserved the right to

challenge the search, he lacks standing to do so because he was an unlicensed

driver of the rental car that was searched, and the rental contract did not list him as

an authorized driver. As an initial matter, we have yet to consider whether an

unlicensed and unauthorized driver of a rental car has standing to challenge the

search of the rented vehicle. The circuits that have considered the issue are split.

The Fourth, Fifth, and Tenth Circuits have held that unauthorized drivers of rental

vehicles never have standing to challenge a vehicle search. United States v.

Wellons, 32 F.3d 117, 119 (4th Cir. 1994); United States v. Boruff, 909 F.2d 111,

117 (5th Cir. 1990); United States v. Obregon, 748 F.2d 1371, 1374-75 (10th Cir.

1984). On the other hand, the Eighth and Ninth Circuits have held that an

unauthorized driver may challenge the search of a rental vehicle if he can establish

that he had permission from the authorized driver to use the vehicle. United States

v. Thomas, 447 F.3d 1191, 1198-99 (9th Cir. 2006); United States v. Best, 135 F.3d

1223, 1225 (8th Cir. 1998). The Third and Sixth Circuits have determined that an

unauthorized driver does not have standing to challenge the search, but has noted

the possibility that exceptional circumstances might create the legitimate




the propriety of the initial stop of the vehicle. As explained below, we will review this claim,
raised for the first time on appeal, for plain error.
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expectation of privacy. United States v. Kennedy, 638 F.3d 159, 165 (3d Cir.

2011); United States v. Smith, 263 F.3d 571, 586-87 (6th Cir. 2001).

        Because Defendant cannot prevail on his challenge of the search of the

vehicle, even if he had standing to do so, we need not decide this standing question

here.

              4.    The Stop Of The Vehicle Was Proper

        Defendant argues that police officers lacked reasonable suspicion to stop the

vehicle he was driving based on the fact that he was not wearing his seat belt.

Accordingly, he contends that the evidence discovered after this stop should have

been suppressed by the district court. Because rulings on motions to suppress

involved mixed questions of fact and law, we ordinarily review the district court’s

factual findings for clear error, and its application of the law to the facts de novo.

United States v. Lewis, 674 F.3d 1298, 1302-03 (11th Cir. 2012). Here, however,

Defendant is challenging for the first time on appeal the propriety of the initial stop

of the vehicle he was driving. Accordingly, we review only for plain error. See

United States v. Madden, 733 F.3d 1314, 1322 n.6 (11th Cir. 2013). Under plain

error review, we will reverse where there is “(1) an error (2) that is plain and (3)

that has affected the defendant’s substantial rights; and . . . (4) the error seriously

affects the fairness, integrity, or public reputation of judicial proceedings.” Id. at

1322.

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      A traffic stop is reasonable, and therefore constitutional, if the officer

conducting the stop has probable cause to believe that a traffic violation has

occurred. United States v. Harris, 526 F.3d 1334, 1337 (11th Cir. 2008). Under

Florida law, driving without wearing a seatbelt is a traffic violation. See Fla. Stat.

§ 316.614(4)(b) & (8).

      Contrary to Defendant’s argument, at the time of Defendant’s 2013 stop,

police officers could pull drivers over solely because the driver was not wearing a

seatbelt. It is true that prior to 2009, Florida Statute § 314.614(8) provided that

enforcement of the seatbelt law could only be made “as a secondary action when a

driver of a motor vehicle has been detained for a suspected violation of another

section of this chapter.” See Fla. Stat. § 316.614, Historical and Statutory Notes,

Florida Laws 2009, c. 2009-32 § 1. However, in 2009, prior to Defendant’s stop,

the above sentence was deleted. See id. Accordingly, Defendant’s initial stop was

proper because the officers had probable cause to believe that the traffic violation

of driving without wearing a seatbelt had occurred.

      Accordingly, the district court committed no plain error by failing, sua

sponte, to suppress the evidence based on this newly-asserted ground.

      B.     Motion for Mistrial

      Defendant argues that the district court should have granted his motion for a

mistrial because the Government (1) violated his due process rights by not

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preserving the recording of his post-arrest interview and (2) committed a Brady

violation when it failed to disclose to the defense that a recording had been made,

but not properly preserved. We consider each ground in turn.

             1.    Due Process Violation Based On Failure To Preserve Evidence

      The district court’s conclusion that no due process violation occurred is a

mixed question of law and fact. We review the district court’s factual conclusions

under the clearly erroneous standard and the court’s legal conclusions de novo.

United States v. Revolorio-Ramo, 468 F.3d 771, 774 (11th Cir. 2006).

      To show that the loss of evidence by the Government constitutes a due

process violation, the defendant must show that the evidence was likely to

significantly contribute to his defense. California v. Trombetta, 467 U.S. 479, 488

(1984). “To meet this standard of constitutional materiality, evidence must both

possess an exculpatory value that was apparent before the evidence was destroyed,

and be of such a nature that the defendant would be unable to obtain comparable

evidence by other reasonably available means.” Id. at 489 (citation omitted).

“[F]ailure to preserve this ‘potentially useful evidence’ does not violate [the] due

process clause ‘unless a criminal defendant can show bad faith on the part of the

police.’” Illinois v. Fisher, 540 U.S. 544, 547-48 (2004) (quoting Arizona v.

Youngblood, 488 U.S. 51, 58 (1988)).

      Here, we agree with the district court that Defendant has not shown that the

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police department’s failure to preserve the recording of Defendant’s post-arrest

interview deprived him of due process. Defendant does not argue on appeal that

there was evidence of bad faith on the part of the police, but rather he contends that

the police exhibited “at least gross negligence.” However, Supreme Court

precedent is clear that a defendant must show bad faith on the part of the police to

prevail on a due process claim based on the failure to preserve evidence. See id.

      In any event, the district court properly found no bad faith. The detective

who interviewed Defendant testified that he tried to record the interview, but the

recording device malfunctioned,5 and, by the time he went to retrieve the recording

(after first searching Defendant’s home), the recording device had been sent off for

servicing. Testimony from a police captain, another officer familiar with the issues

with the recording device, and a representative from the company that serviced the

device, as well as internal police department emails, reflected that the police

department had been trying to get the recording device to work correctly for more

than two years before the manufacturer ultimately agreed to replace it. Because

the detective who interviewed Defendant did not work in the Detective Bureau, it

was unlikely that he was aware of the long-standing issues with the recording

device. Prior to the device being taken away, the police department, with the help

of a service technician, tried to offload the recording of Defendant’s interview


      5
          The problem with the recording device was that the audio and video were out of sync.
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from the device, but was unsuccessful, and the manufacturer never returned the

hard drive from the recording device to the police department.

      In short, there is no evidence that the police purposely destroyed the

recording of Defendant’s interview. Rather, it is undisputed that the police

attempted, albeit unsuccessfully, to retrieve the recording from the defective

recording device. As Defendant cannot show bad faith, we conclude that the

failure to preserve the recording was not a due process violation and the district

court properly denied Defendant’s motion for a mistrial on this ground.

             2.    Brady Violation Based On Failure To Disclose

      We review the district court’s denial of a Brady objection for an abuse of

discretion. United States v. Vallejo, 297 F.3d 1154, 1163 (11th Cir. 2002).

      While a due process violation based on the failure to preserve evidence

requires bad faith, suppression of “evidence favorable to an accused upon request

violates due process where the evidence is material either to guilt or to punishment,

irrespective of the good faith or bad faith of the prosecution.” Brady v. Maryland,

373 U.S. 83, 87 (1963). To establish a Brady violation, a defendant must show

that (1) the Government possessed evidence favorable to him, either because it is

exculpatory or impeaching; (2) he did not possess the evidence, nor could he

obtain it himself with reasonable diligence; (3) the Government suppressed the

evidence; and (4) had the evidence been disclosed to the defense, a reasonable

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probability exists that the outcome of the proceedings would have been different.

United States v. Hansen, 262 F.3d 1217, 1234 (11th Cir. 2001). A “reasonable

probability” is “a probability sufficient to undermine confidence in the outcome.”

United States v. Bagley, 473 U.S. 667, 682 (1985). “The mere possibility that an

item of undisclosed information might have helped the defense, or might have

affected the outcome of the trial, does not establish ‘materiality’ in the

constitutional sense.” United States v. Agurs, 427 U.S. 97, 109-110 (1976).

      Here, Defendant has not demonstrated a reasonable probability that the

outcome of his trial would have been different had the Government disclosed prior

to trial that the police had recorded Defendant’s post-arrest interview, but the

recording had not been preserved. Defendant merely speculates that he would

have been able to recover the recording had he known of this issue.

      Even if Defendant had been able to retrieve the recording from the device,

he has not shown that there was a reasonable probability that the recording of his

post-arrest interview would have altered the outcome of his trial. The detective

testified that, in his post-arrest interview, Defendant changed his story about who

the bag and the documents belonged to. According to the detective, Defendant

initially denied, but later admitted, that the bag was his. The detective also

testified that Defendant changed his story about how the documents got into the

bag and that Defendant had implicated another person as being responsible for

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putting the documents in the bag. However, based on the information provided

about this person, the detective was never able to locate him. Defendant does

nothing more than speculate that the recording may contradict the detective’s

testimony regarding the interview. Indeed, Defendant does not argue here, and did

not argue in the district court, that the detective’s testimony misrepresented

Defendant’s statements from his post-arrest statement. As Defendant failed to

show a reasonable probability that the outcome of his trial would have been

different, we conclude that the district court did not abuse its discretion in denying

Defendant’s motion for a mistrial based on a Brady violation. 6

       C.      Sufficiency of the Evidence

       Finally, Defendant challenges the sufficiency of the evidence supporting his

conviction on Count 3, which charged that he had “knowingly transfer[red],

possess[ed] and use[d], without lawful authority” J.P.’s name and date of birth.

Defendant argues that the Government failed to present evidence that he possessed

and used J.P.’s identity without lawful authority.

       We review de novo whether the evidence was sufficient to sustain a

conviction. United States v. Jiminez, 564 F.3d 1280, 1284 (11th Cir. 2009). We



       6
          On appeal, Defendant also argues that, in denying his motion for a mistrial, the district
court erred by not separately analyzing the two layers of misconduct discussed above. We
disagree, as the record reflects that the district court separately considered whether the evidence
was exculpatory as required for a Brady violation and whether there was bad faith on the part of
the police as required for a due process violation based on the failure to preserve evidence.
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view the evidence in the light most favorable to the Government, resolving any

conflicts in favor of its case. United States v. Frank, 599 F.3d 1221, 1233 (11th

Cir. 2010). Whether the evidence is direct or only circumstantial, we accept all

reasonable inferences that tend to support the Government’s case. United States v.

Williams, 390 F.3d 1319, 1324 (11th Cir. 2004). Where the Government relies on

circumstantial evidence, reasonable inferences—rather than mere speculation—

must support the conviction. United States v. Capers, 708 F.3d 1286, 1297 (11th

Cir. 2013).

       To sustain a conviction of aggravated identity theft, the Government must

show that a defendant, in relation to certain felonies, “knowingly transfer[red],

possesse[d], or use[d], without lawful authority, a means of identification of

another person . . . .” 18 U.S.C. § 1028A(a)(1). For the purposes of § 1028A,

“means of identification” is defined to include any name or number that may be

used, alone or in conjunction with any other information, to identify a specific

individual. Id. § 1028(d)(7). Under the plain language of the statute, the

Government did not have to prove that Defendant both possessed and used J.P’s

identity without lawful authority. 7 Instead, the Government could obtain a

conviction by showing that Defendant either possessed or used J.P.’s identity

without lawful authority. See United States v. Simpson, 228 F.3d 1294, 1300 (11th

       7
          At the time of his arrest, Defendant had yet to use J.P.’s identifying information to file
a tax return.
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Cir. 2000) (“where an indictment charges in the conjunctive several means of

violating a statute, a conviction may be obtained on proof of only one of the

means”); see also 18 U.S.C. § 1028A(a)(1).

      The evidence was more than sufficient to sustain the challenged aggravated

identity theft conviction. While J.P did not testify, the Government presented

circumstantial evidence at trial from which the jury could reasonably infer that J.P

did not authorize Defendant to possess his personal information. See Capers, 708

F.3d at 1297. A printout from the Mt. Sinai computer database with J.P’s name,

date of birth, and social security number was found by the desk area in the foyer of

Defendant’s home. This information would have been entered in the hospital’s

computer database by a patient access representative when J.P. registered for

treatment. Even though Defendant had temporarily worked at Mt. Sinai, he had no

work-related reason to print out patient information or take such printouts from the

hospital office. Furthermore, Defendant was informed, through ethics training at

the start of his employment, that patient information was confidential, employees

were prohibited by the code of conduct from taking home any information or

providing information to third parties, and medical center files could not be

removed or distributed to anyone unless authorized.

      In light of the above evidence, we are satisfied that the jury could reasonably

infer that J.P. gave his personal identifying information to a Mt. Sinai employee

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upon his admission to the hospital and did not authorize Defendant to possess his

name, date of birth, and social security number by printing such information from

the hospital database and taking it home.

                                 III. Conclusion

      For the reasons stated above, Defendant’s conviction is AFFIRMED.




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