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               DISTRICT OF COLUMBIA COURT OF APPEALS

                                   No. 13-CF-0182

                           THOMAS R. JONES, APPELLANT,

                                          V.

                             UNITED STATES, APPELLEE.

                           Appeal from the Superior Court
                            of the District of Columbia
                                  (CF1-14717-09)

                       (Hon. William M. Jackson, Trial Judge)

(Argued April 29, 2015                                           Decided July 9, 2015)

        Lisa D. Chanel, appointed by the court, for appellant.

      David B. Goodhand, Assistant United States Attorney, with whom Ronald
C. Machen Jr., United States Attorney at the time the brief was filed, and Elizabeth
Trosman, Suzanne Grealy Curt, and Jeff Pearlman, Assistant United States
Attorneys, were on the brief, for appellee.

      Before FISHER, Associate Judge, NEBEKER, Senior Judge, and KRAVITZ,
Associate Judge, Superior Court of the District of Columbia.

        KRAVITZ, Associate Judge: Appellant Thomas R. Jones was tried before a

Superior Court jury in March 2011 on charges of first-degree premeditated murder

while armed, assault with intent to kill while armed, aggravated assault while


    Sitting by designation pursuant to D.C. Code § 11-707 (a) (2012 Repl.).
                                         2


armed, possession of a firearm during a crime of violence, carrying a pistol without

a license in a gun-free zone, and possession of a firearm by a convicted felon. The

charges arose from an incident on the night of July 3-4, 2009 in which two men

were shot, one fatally, inside a passenger van parked in the 4400 block of Ord

Street, N.E., in the District of Columbia. The jury returned a partial verdict at the

end of the trial, acquitting appellant of first-degree premeditated murder while

armed and convicting him of carrying a pistol without a license in a gun-free zone

and possession of a firearm by a convicted felon. The jury was unable to reach

unanimous decisions on the other charges, including the lesser-included offense of

second-degree murder while armed, and the trial judge declared a mistrial on the

unresolved charges and later dismissed them on the government’s motion. At

sentencing, the judge imposed concurrent terms of imprisonment of eight years for

carrying a pistol without a license in a gun-free zone and twelve years for

possession of a firearm by a convicted felon. This timely appeal followed.



      Appellant argues that the trial judge erred by (1) admitting evidence of his

prior possession of a “Bulldog” revolver, one of two types of pistols capable of

firing the bullets recovered from the decedent’s body; (2) denying his request for a

mistrial or a continuance following the government’s mid-trial disclosure of

information relating to a potentially exculpatory witness; (3) inviting the jury to
                                          3


return a partial verdict without a sufficient indication that the jury had decided any

of the charges; (4) failing to give the jury a special unanimity instruction on the

charges of carrying a pistol without a license in a gun-free zone and possession of a

firearm by a convicted felon; (5) imposing unreasonable limits on the jurors’

responses to questions posed during a poll of the jury; (6) denying his motion for a

judgment of acquittal on the charges of carrying a pistol without a license in a gun-

free zone and possession of a firearm by a convicted felon; (7) failing to instruct

the jury on an essential element of the offense of carrying a pistol without a license

in a gun-free zone; and (8) imposing illegal sentences for carrying a pistol without

a license in a gun-free zone and possession of a firearm by a convicted felon.1



      We agree that the twelve-year prison term imposed for possession of a

firearm by a convicted felon was illegal in that it exceeded the maximum sentence

allowed by law at the time appellant committed the offense. We therefore vacate

appellant’s sentence on that charge and remand for resentencing within applicable

statutory limits. We otherwise affirm appellant’s convictions.


1
    In a pro se brief appended to his counsel’s initial brief on appeal, appellant
argues further that the trial judge erred by summarily denying his motion for post-
conviction relief under D.C. Code § 23-110 (2012 Repl.). This claim of error is
not properly before us. It is not encompassed by the notice of appellant’s direct
appeal from the judgment of conviction, and the record reflects that a separate
notice of appeal, from the denial of appellant’s § 23-110 motion, was mailed to the
trial judge’s chambers but never docketed by the Clerk of the Superior Court.
                                          4




                                     I.       FACTS



      We will outline here the essential facts and circumstances relating to the

events of July 3-4, 2009. To the extent additional facts and circumstances are

necessary to our analyses of appellant’s contentions on appeal, we will include

them within our discussions below.



      Appellant Thomas R. Jones called his friend Jeffrey Stuckey on the night of

July 3, 2009 and asked for a ride to Mr. Stuckey’s house. Appellant and Mr.

Stuckey had grown up together and were very close. Mr. Stuckey picked up

appellant and brought him over to 4401 Ord Street, N.E., where Mr. Stuckey lived

with his girlfriend, Shaunice Frazier; Ms. Frazier’s 13-year-old son, Antonio

Frazier; and Ms. Frazier’s adult godson, Lee’ante Brown. Those three, as well as

several other adults and children, were at the house when appellant and Mr.

Stuckey arrived.



      Appellant, Mr. Stuckey, Mr. Brown, and others went to the basement to

shoot dice and drink liquor. Some of the adults, including Mr. Stuckey, also
                                          5


smoked marijuana and took ecstasy. Antonio Frazier and the other children were

allowed to remain in the basement despite the nature of the activities.



      Several of the people present in the basement testified that appellant had a

gun on his person. Shaunice Frazier told the jury she saw the butt of a gun

protruding from appellant’s jacket pocket as appellant kneeled down to shoot dice.

Antonio Frazier and Mr. Stuckey testified that at one point the gun fell out of

appellant’s pocket onto the floor. Mr. Stuckey stated that this made him concerned

for the safety of the children in the basement and that he told appellant to put the

gun back in his pocket. Appellant did as he was told, albeit not before Mr. Stuckey

recognized the gun as a .44 caliber “Bulldog” revolver he had seen in appellant’s

possession on previous occasions.



      Later the same night, appellant’s brother, Calvin Jones, called appellant and

proposed an outing to a strip club. (To avoid confusion, we will refer to Calvin

Jones primarily as “Mr. Jones” or “appellant’s brother.”) Like appellant, Mr. Jones

had grown up with Mr. Stuckey and was very close to him. Appellant agreed to

the plan, and Mr. Jones and another friend, Andre Smith, rode over in Mr. Jones’s

van to the Ord Street house, where they picked up appellant, Mr. Stuckey, and Mr.

Brown.
                                           6




      The men went first to a nearby gas station to buy cigars on their way to the

strip club. Mr. Smith drove the van, while Mr. Stuckey sat in the front passenger

seat and Mr. Jones was seated in the second row directly behind Mr. Smith.

Appellant and Mr. Brown sat in seats in the second and third rows, although their

precise seating locations were the subject of conflicting testimony at trial.



      At some point, appellant and Mr. Stuckey got into a heated argument inside

the van. Mr. Stuckey chided appellant and swore at him, causing appellant to

become increasingly angry. As the argument escalated, Mr. Stuckey said he no

longer wanted to go to the strip club, and the men drove back to the house on Ord

Street.



      Shots rang out inside the van once the van came to a stop in front of 4401

Ord Street. One of the shots hit Mr. Stuckey in the left side of his neck. Mr.

Stuckey testified that he did not see anyone fire a gun inside the van, but he said he

believed appellant was the shooter. Mr. Stuckey jumped out of the van and ran

into the house, telling Shaunice Frazier as he entered that “Tom [appellant] just

shot me.”
                                          7


      Mr. Jones and Mr. Smith testified that they did not actually see anyone fire

the shots inside the van, either. Both men told the jury, however, that they saw a

gun in appellant’s hand after the shots were fired. Mr. Jones testified that he saw a

chrome revolver in appellant’s hand immediately after the shots rang out and Mr.

Stuckey left the van, and he said he yelled at appellant to get out of the van as soon

as he saw the gun. Mr. Smith testified that he saw a chrome gun in appellant’s

hand as appellant then left the van and ran off into the neighborhood.



      Once appellant was out of the van, Mr. Brown stated that he, too, had been

shot, and Mr. Smith and Mr. Jones drove him in the van to a nearby hospital.

When they arrived at the hospital, however, Mr. Smith and Mr. Jones decided not

to bring Mr. Brown inside because they were aware of an outstanding warrant for

Mr. Jones’s arrest and did not want to come in contact with the police. Instead,

Mr. Jones and Mr. Smith left Mr. Brown in the hospital parking lot, where Mr.

Brown bled to death from one of the gunshot wounds he suffered in the van outside

the Ord Street house – a shot that entered Mr. Brown’s thigh and severed his ileac

artery. Security guards found Mr. Brown’s body in the parking lot in the early

morning hours of July 4, 2009.
                                          8


      The medical examiner recovered a .44 caliber bullet and a nickel-plated

bullet fragment from Mr. Brown’s body during an autopsy. A firearms expert

testified that both items were fired from the same gun – either a .44 Special

marketed by Charter Arms (with the moniker “Bulldog” imprinted on the side of

its chrome handle) or a .44 Magnum marketed by U.S. Arms Corporation.



      No other physical or forensic evidence tied appellant to the shootings. The

police did not recover the gun used in the incident, and the bullet that hit Mr.

Stuckey in the neck remained lodged in Mr. Stuckey’s shoulder at the time of trial

and was not the subject of ballistics testing. Mr. Jones, moreover, cleaned all of

the blood from the interior of the van before the police could search the vehicle for

evidence.



      The parties stipulated that the distance between a set of trees in front of 4401

Ord Street, N.E. and Kenilworth Elementary School, located at 44th and Ord

Streets, N.E., was less than 200 feet and that a school custodian, if called as a

witness, would testify that for several years, including the dates July 3-4, 2009,

there was a sign posted on the school’s grounds prohibiting the possession of

illegal firearms within 500 feet. The parties stipulated further that as of July 3-4,
                                           9


2009, appellant had a prior felony conviction and did not have a license to carry a

pistol in the District of Columbia.



      Appellant defended against the charges by challenging the credibility of the

government’s witnesses and suggesting that his brother, Mr. Jones, was the real

shooter. He impeached the government’s witnesses with lies and inconsistencies

in their statements to the police and grand jury and with evidence of their prior

convictions, criminal activities, and motives to curry favor with the government.

He exposed the witnesses’ alcohol and drug use in the hours before the shootings

and raised questions about the plausibility of the government’s version of events,

given the location of several bullet holes found in the van’s interior, conflicts in the

testimony concerning the seating arrangement inside the van, and expert medical

testimony about the trajectories of the gunshot wounds suffered by Mr. Brown and

Mr. Stuckey. Finally, he emphasized his brother’s efforts to avoid contact with the

police on the night of the shootings and to destroy critical evidence of the van’s

link to the crime, and he elicited testimony that his brother punched Mr. Brown in

the face during a fight over alcohol sometime before the night of July 3-4, 2009.



      As indicated, the jury found appellant guilty of carrying a pistol without a

license in a gun-free zone and possession of a firearm by a convicted felon and
                                         10


acquitted him of the first-degree premeditated murder while armed of Mr. Brown.

The jury was unable to reach unanimous decisions on any of the other charges,

resulting in a mistrial on the lesser-included offense of second-degree murder

while armed of Mr. Brown, the charges of assault with intent to kill while armed

and aggravated assault while armed of Mr. Stuckey, and three counts of possession

of a firearm during a crime of violence relating to the charges of murder, assault

with intent to kill, and aggravated assault. With the subsequent dismissal of the

charges left unresolved by the jury, the only matters before us on appeal are

appellant’s convictions for carrying a pistol without a license in a gun-free zone

and possession of a firearm by a convicted felon.



                                   II.   ANALYSIS



      A. Evidence of Prior Gun Possession



      The prosecutor notified appellant’s lawyers by letter five days before trial

that the government intended to present evidence of appellant’s possession of a

gun on at least three occasions in the year leading up to the shootings on July 3-4,

2009. The prosecutor stated in the letter that Mr. Stuckey had previously described

the gun he saw fall out of appellant’s pocket on the night of the shootings as a .44
                                        11


caliber Bulldog revolver. The prosecutor stated further that when he asked Mr.

Stuckey at a witness conference how he knew the gun was a Bulldog revolver, Mr.

Stuckey said he had seen appellant carrying the gun at least three times in the year

before the shootings and, on one of those occasions, had been close enough to the

gun to see the model name “Bulldog” stamped into the metal.



      Neither party filed a written motion in limine addressing the admissibility of

the evidence outlined in the prosecutor’s letter. During a discussion of preliminary

matters on the first day of trial, however, the prosecutor advised the judge that he

intended to elicit testimony from Mr. Stuckey regarding three or four occasions in

the “several months” leading up to the shootings on which Mr. Stuckey observed

appellant carrying a Bulldog revolver, including one occasion on which Mr.

Stuckey actually touched the gun and saw the name “Bulldog” stamped on it. The

prosecutor proffered that he had learned the information directly from Mr. Stuckey

on the day he sent the letter to appellant’s lawyers, and he explained that the

testimony was important to the government’s proof of appellant’s involvement in

the shootings because a firearms expert would testify that bullets recovered from

Mr. Brown’s body were fired from a single weapon, either a .44 caliber Charter

Arms Bulldog revolver or a .44 caliber U.S. Arms Magnum revolver.               The

prosecutor stated further that Mr. Stuckey’s testimony about the prior incidents
                                         12


would enable the jury to understand how Mr. Stuckey knew the gun he saw in

appellant’s possession on the night of the shootings was a .44 caliber Bulldog

revolver.



      Appellant objected to the admission of the evidence, arguing that the

government’s disclosure of the proffered testimony was untimely and that the

alleged incidents of prior possession of the weapon were too remote in time to be

relevant. The trial judge overruled appellant’s objection. The judge explained that

appellant was charged with murder and carrying a gun and that the probative value

of the evidence of appellant’s prior possession of a Bulldog revolver outweighed

any risk of unfair prejudice to him.



      At trial, Mr. Stuckey testified on direct examination that a “.44 Bulldog” fell

out of appellant’s jacket pocket in the basement of Mr. Stuckey’s home prior to the

shootings on the night of July 3-4, 2009. Asked by the prosecutor how he knew it

was a .44 Bulldog, Mr. Stuckey stated that he had seen appellant carrying the gun

three times before the night of the shootings and that on one of those occasions he

had actually held the gun in his own hands and seen the name Bulldog “branded on

the gun.” The prosecutor, however, never asked Mr. Stuckey when the prior

incidents occurred, and Mr. Stuckey said nothing to place any of them in time.
                                         13


Appellant’s lawyer asked no questions about the prior incidents on cross-

examination of Mr. Stuckey and made no further objection at trial to the testimony

about them.



      Appellant now contends that the trial judge erred in admitting Mr. Stuckey’s

testimony about the incidents of prior gun possession because the government’s

disclosure of the evidence was untimely, the earlier incidents were too temporally

remote, the testimony actually presented at trial did not support the prosecutor’s

pretrial proffer, the judge failed to give the jury a proper limiting instruction, and

the probative value of the evidence was substantially outweighed by its unfair

prejudicial effect. We find no reversible error.



      It has long been the rule in this jurisdiction that evidence of a defendant’s

uncharged criminal conduct is inadmissible to prove the defendant’s disposition to

commit an offense charged in the case. See Drew v. United States, 331 F.2d 85, 89

(D.C. Cir. 1964). Under Drew, evidence of other crimes committed by a defendant

is admissible only if it is offered to prove a legitimate and materially disputed

issue, such as motive, intent, common plan, identity, or absence of mistake or

accident, Williams v. United States, 106 A.3d 1063, 1067 (D.C. 2015), and only if

the trial judge finds by clear and convincing evidence that the defendant committed
                                        14


the other crimes, Roper v. United States, 564 A.2d 726, 731 (D.C. 1989), and

determines that the probative value of the evidence is not substantially outweighed

by the risk of unfair prejudice posed by its admission, Williams, 106 A.3d at 1067.



      The Drew rule, however, applies only to evidence of uncharged criminal

conduct that is independent of the offense charged in the case. Johnson v. United

States, 683 A.2d 1087, 1090 (D.C. 1996) (en banc). The strictures of Drew,

therefore, are inapplicable to evidence of the defendant’s other criminal conduct

that “(1) is direct and substantial proof of the charged crime, (2) is closely

intertwined with the evidence of the charged crime, or (3) is necessary to place the

charged crime in an understandable context.” Id. at 1098.



      We have repeatedly recognized, moreover, that evidence of a defendant’s

prior possession of the weapon or type of weapon used to commit a charged

offense can be admitted as direct and substantial proof of the crime charged. See,

e.g., Daniels v. United States, 2 A.3d 250, 254, 262 (D.C. 2010) (upholding the

admission of testimony in a murder case that the defendant had been seen many

times with a black or silver gun, where other testimony established that the murder

weapon was black or silver); Coleman v. United States, 379 A.2d 710, 712 (D.C.

1977) (“An accused person’s prior possession of the physical means of committing
                                         15


the crime [charged] is some evidence of the probability of his guilt, and is therefore

admissible.”); see generally Johnson, 683 A.2d at 1097 (“Our cases have

repeatedly held that admissibility of this kind of evidence [possession of pistol

allegedly used in assault with intent to kill] is based upon a determination of

whether it was directly relevant to some issue in the case. We have never held, and

do not do so now, that such evidence must meet the standards established by the

Drew line of cases.”) (alteration in original) (quoting King v. United States, 618

A.2d 727, 730 (D.C. 1993)).



      Ultimately, the admissibility of evidence of a defendant’s prior possession of

the weapon or type of weapon used in a charged offense turns on a consideration of

the temporal proximity of the incidents of prior possession to the charged offense

and a comparison of the appearance of the weapon previously possessed by the

defendant with that of the weapon actually used in the charged offense. Williams,

106 A.3d at 1069. These factors inform the trial judge’s determination of the

relevance of the evidence and drive the requisite balancing of the evidence’s

legitimate probative value and the risk of unfair prejudice posed by its admission;

the more likely it is that the weapon previously in the defendant’s possession was

the weapon used in the charged offense, the “less relevant” is the length of time
                                         16


between the earlier sightings and the crime charged. McConnaughey v. United

States, 804 A.2d 334, 339 (D.C. 2002).



       A trial judge has broad discretion to determine the admissibility of evidence

of uncharged misconduct as direct and substantial proof of the crime charged under

Johnson, and on appeal our review of a judge’s ruling admitting such evidence is

limited to a consideration of whether there has been an abuse of discretion. Busey

v. United States, 747 A.2d 1153, 1165 (D.C. 2000). We find no abuse of discretion

in the judge’s decision to admit Mr. Stuckey’s testimony based on the prosecutor’s

pretrial proffer.



       First, the government did not run afoul of any pretrial disclosure obligation.

We have never determined whether the government must provide pretrial notice of

its intention to present evidence of a defendant’s uncharged criminal conduct as

direct and substantial proof of the crime charged under Johnson. In Johnson itself,

we considered whether, in the Drew context, we should adopt a provision of Rule

404 (b) of the Federal Rules of Evidence that requires prosecutors in federal cases

to provide advance notice of the government’s intent to present evidence of other

crimes at trial. 683 A.2d at 1100 n.17. We declined to impose an across-the-board

notice requirement for the government’s intent to introduce Drew evidence,
                                         17


although we acknowledged that “even without a rule or policy requiring such

notice, the trial court has the discretion to require parties to disclose in advance

their intention[s] to use evidence of other crimes, and in any event a prosecutor

may find it prudent to afford such notice.” Id. We understand that many Superior

Court judges generally require the pretrial disclosure of other crimes evidence and

that the government routinely discloses its intention to present such evidence even

without a judge’s order. Advance disclosure has many benefits – it notifies the

defense of allegations of uncharged criminal conduct the defense must investigate

and prepare to confront at trial; it informs the judge of often-difficult evidentiary

rulings the judge may have to make at trial; and, as we stated in Johnson, it “may

obviate any possible claim of unfair surprise and may avoid a request for [a]

continuance.” Id.



      We need not decide, however, whether the government always has an

obligation to disclose Johnson evidence in advance of trial, because even if we

were to assume the existence of such an obligation, the record reflects that the

prosecutor notified appellant’s lawyers of his intent to present evidence of the prior

incidents of gun possession on the day the prosecutor learned of the incidents from

Mr. Stuckey. On this record, there can be no argument that the government’s

disclosure was untimely.
                                       18




     Second, the prosecutor’s pretrial proffer amply supported the trial judge’s

determination that evidence of appellant’s prior possession of a .44 caliber

Bulldog revolver had significant legitimate probative value despite the temporal

remoteness of the earlier incidents. As the prosecutor explained to the judge,

ballistics evidence would show that a .44 caliber Bulldog revolver was one of only

two types of guns that could have been used in the shootings on July 3-4, 2009,

and Mr. Stuckey’s testimony would clearly link appellant with a .44 caliber

Bulldog revolver. Given the likelihood that the gun previously seen in appellant’s

possession was of the same distinctive type used in the charged offenses, it was

less concerning that the prior sightings may have occurred several months, or even

a year, before the charged offenses. See McConnaughey, 804 A.2d at 338-39

(upholding the admission of testimony relating to the defendant’s possession of a

gun eleven months before the charged offense “in light of the evidence strongly

suggesting that the gun [seen previously in the defendant’s possession] was the

gun with which [the victims] were shot”); (Phillip) Johnson v. United States, 701

A.2d 1085, 1092 (D.C. 1997) (more than one year before the charged offense);

Coleman, 379 A.2d at 712 (five months before).
                                        19


     We readily conclude, moreover, that the trial judge did not abuse his

discretion in determining that the probative value of the proffered testimony was

greater than (and thus not substantially outweighed by) the risk of unfair prejudice

to appellant. The judge understood that the evidence would explain how Mr.

Stuckey knew the type of gun that fell out of appellant’s pocket on the night of the

shootings, and it was apparent from the prosecutor’s proffer that the testimony

could be elicited in front of the jury with a few simple questions of Mr. Stuckey.



     More complex is the question whether the trial judge erred in not striking

Mr. Stuckey’s testimony about appellant’s prior possession of a Bulldog revolver

when the government failed at trial to elicit any testimony to establish the dates on

which the prior incidents occurred. Absent evidence of temporal proximity to the

charged offenses, appellant argues, Mr. Stuckey’s testimony about the prior acts

of possession was virtually irrelevant, and any limited probative value of the

evidence was substantially outweighed by its unfair prejudicial effect.



     We agree that the testimony from Mr. Stuckey actually presented at trial did

not fully support the prosecutor’s pretrial proffer and that without any indication

of temporal proximity the admissibility of the evidence of appellant’s prior acts of

possession of a Bulldog revolver would have been unlikely.           Had appellant
                                         20


objected at trial on this ground, therefore, the judge would have been required to

strike the testimony or to provide some other appropriate remedy for the

government’s failure of proof. See Anderson v. United States, 857 A.2d 451, 458

n.6 (D.C. 2004); Daniels v. United States, 613 A.2d 342, 347 (D.C. 1992).



     Appellant, however, raised no objection at trial to the incompleteness of Mr.

Stuckey’s testimony about the prior acts of gun possession, and he never asked the

trial judge to strike the testimony or to take any other corrective action. We held

in Anderson, 857 A.2d at 458-59, that the plain error rule applies on appeal when

a defendant failed to object at trial to the admission, under Drew, of other crimes

evidence on the ground that the evidence actually presented to the jury did not

fulfill the prosecutor’s pretrial proffer, even if the defendant objected before trial

to the admission of the evidence. We explained that the “continuing objection

doctrine only applies where the trial court ‘has already had an opportunity to

decide the point at issue’ while ‘the purpose of the contemporaneous objection

rule is to give the trial court an opportunity to correct any potential errors at the

time they are made.’” Id. (quoting McGrier v. United States, 597 A.2d 36, 45

n.14 (D.C. 1991)). Therefore, “[w]here a trial court permits the admission of

evidence subject to the fulfillment of a condition, an opposing party must object if

it believes that condition has not been fulfilled when the disputed evidence is
                                           21


presented.” Id. at 459; see also Huddleston v. United States, 485 U.S. 681, 690

n.7 (1988) (“It is, of course, not the responsibility of the judge sua sponte to insure

that the foundation evidence is offered; the objector must move to strike the

evidence if at the close of the trial the offeror has failed to satisfy the condition.”).



      We have never decided whether the same rule of appellate review applies in

the Johnson context, but we see no meaningful distinction between the two

situations and can think of no good reason why a defendant should be excused

from interposing a contemporaneous objection when evidence of his uncharged

misconduct admitted conditionally under Johnson fails to fulfill the prosecutor’s

proffer. We thus limit to plain error analysis our review of the trial judge’s failure

sua sponte to strike Mr. Stuckey’s testimony about the incidents of appellant’s

prior possession of a .44 caliber Bulldog revolver.



      Under the plain error doctrine, appellant must establish (1) that the trial

judge committed error; (2) that the error was plain, i.e., clear or obvious; (3) that

the error affected his substantial rights; and (4) that a failure to correct the error

would seriously affect the fairness, integrity, or public reputation of judicial

proceedings. Marshall v. United States, 15 A.3d 699, 710 (D.C. 2011) (citing

United States v. Olano, 507 U.S. 725, 732-36 (1993)).
                                         22




      Appellant has not made the requisite showing. Even if it should have been

clear to the trial judge that the evidence of appellant’s prior possession of the

Bulldog revolver lacked probative value without testimony placing it in temporal

proximity to the charged offenses, appellant cannot establish that the judge’s

failure to strike the testimony affected his substantial rights or that our failure to

correct the error on appeal would seriously affect the fairness, integrity, or public

reputation of judicial proceedings. Mr. Stuckey’s testimony about the defendant’s

prior acts of possession covers less than a page in the transcript of a week-long

trial, and without the evidence of temporal proximity proffered by the prosecutor

the testimony was likely less compelling to the jury in any event. Indeed, the fact

that appellant’s trial counsel chose not to raise the government’s failure to fulfill

its pretrial proffer suggests to us that counsel reasonably viewed the government’s

failure more as a benign oversight than as a point of unfair prejudice.



      Finally, appellant complains that the trial judge did not give an instruction

limiting the jury’s consideration of the evidence of his prior gun possession to its

proper purpose. A limiting instruction is generally required when evidence of

other crimes is admitted under Drew. Jones v. United States, 477 A.2d 231, 243

(D.C. 1984). An instruction is not always required, however, when evidence of
                                          23


uncharged criminal conduct is admitted under Johnson as direct and substantial

proof of the defendant’s guilt of the charged offense; in that circumstance, it is left

to the sound discretion of the trial judge to decide whether to grant a request for an

instruction, even though a cautionary directive is usually warranted. Johnson, 683

A.2d at 1097 n.10.



      Appellant never asked the trial judge to give an instruction limiting the

jury’s consideration of the evidence of his prior possession of the Bulldog revolver.

His complaint about the judge’s failure to give a cautionary instruction is therefore

subject to plain error review on appeal. Given the Johnson rule that limiting

instructions are not always required when evidence of uncharged criminal conduct

is admitted as direct and substantial proof of the defendant’s guilt of the charged

offense, we find no error, and certainly no plain error, in the judge’s failure sua

sponte to give a limiting instruction.



      B. Request for Mistrial or Mid-Trial Continuance



      At the end of the first full day of trial, on Wednesday, March 9, 2011, Mr.

Stuckey told the prosecutor he had received a telephone call earlier in the day from

a person named “Teddy” who said he had “heard from this guy Finny[man] . . .
                                        24


that maybe . . . [Calvin Jones] had something to do with Lee’ante [Brown] being

killed.” When the prosecutor asked Mr. Stuckey “how it is that Finny[man] would

know something about this,” Mr. Stuckey said he did not know but would try to

talk further with Teddy.



      The prosecutor reported his conversation with Mr. Stuckey to appellant’s

counsel on the evening of March 9, 2011. The next morning, Thursday, March 10,

2011, appellant’s counsel raised the issue with the trial judge and moved for a

mistrial, stating that she needed time to investigate the information provided by

Mr. Stuckey. The trial judge denied the motion, but he stated that appellant’s

counsel should be given an opportunity to investigate the information while the

trial proceeded, and he directed the prosecutor to make Mr. Stuckey available to

appellant’s counsel for an interview. The prosecutor agreed to arrange a meeting

between appellant’s counsel and Mr. Stuckey and to defer calling Mr. Jones and

Mr. Smith as witnesses until appellant’s counsel had at least had a chance to speak

with Mr. Stuckey. The prosecutor called other witnesses in what became an

abbreviated trial session on March 10, 2011, and the judge recessed the trial until

the following Monday.
                                         25


      Appellant’s counsel renewed her motion for a mistrial when the trial

reconvened on Monday, March 14, 2011. Counsel reported that in the previous

four days she had made considerable efforts to locate Teddy – interviewing Mr.

Stuckey twice, obtaining Mr. Stuckey’s telephone records and calling every

number listed in them, and going to two locations where Mr. Stuckey said Teddy

hung out – all to no avail. Counsel stated further that she had no leads on locating

or even identifying the person known as “Finnyman”; her investigators had not

found anyone who knew the man, and Mr. Stuckey did not know the man’s real

name. Appellant’s counsel told the judge, however, that Mr. Stuckey said he

would likely see Teddy within the next two days and would try to get Teddy’s

telephone number at that time. Asserting that it was critical to appellant’s defense,

counsel asked for a mistrial or, at a minimum, a few additional days to investigate

the matter further.



      The trial judge declined to grant either a mistrial or a further delay of the

trial. The judge noted that “we know nothing about Teddy or his reliability or his

motivation in calling Mr. Stuckey” and that “we know absolutely nothing about”

Finnyman or “his reliability, the source of his information and whether or not this

is anything beyond street rumor.” The judge concluded that the risk of losing

jurors, who were told during the jury selection process that the trial would last only
                                         26


a week, was too great to justify an additional delay beyond the extended weekend

recess already provided.



      Appellant contends that the trial judge committed reversible error in denying

his mid-trial request for a mistrial or a continuance. We disagree.



      A trial judge’s denial of a request for a mid-trial continuance to secure a

witness is reviewed on appeal for abuse of discretion. Daley v. United States, 739

A.2d 814, 817 (D.C. 1999). Factors to be considered in determining whether an

abuse of discretion occurred include the probative value of the absent witness’s

proffered testimony, the likelihood the witness would have appeared had the

continuance been granted, the diligence and good faith of the party seeking the

continuance, the prejudice resulting from the denial of the continuance, any

prejudice the opposing party would have suffered had the continuance been

granted, and the duration of the requested continuance and any likely resulting

disruption or delay of the trial. Gilliam v. United States, 80 A.3d 192, 202 (D.C.

2013). At a minimum, a party seeking a continuance to obtain the attendance of a

witness must show “(1) who the missing witness is, (2) what the witness’[s]

testimony would be, (3) the relevance and competence of that testimony, (4) that

the witness could probably be obtained if the continuance were granted, and (5)
                                          27


that the party seeking the continuance has exercised due diligence in trying to

locate the witness.” Daley, 739 A.2d at 817 (quoting Bedney v. United States, 684

A.2d 759, 766 (D.C. 1996)).



      Appellant and his counsel certainly acted diligently in investigating the

information disclosed by the prosecutor.        Despite their best efforts, however,

appellant and his counsel were unable to provide Finnyman’s real name, establish

the basis of his knowledge of the shootings, or make a proffer of what he might say

if located and called as a witness. Appellant thus failed to satisfy the minimum

showing required for a mid-trial continuance and provided no ground on which the

trial judge could have found Finnyman’s testimony relevant and competent or

concluded that the denial of the request would be prejudicial to appellant. The trial

judge nonetheless directed the prosecutor to make Mr. Stuckey available for a

defense interview, recessed the trial over an extended weekend, and agreed to the

re-ordering of the government’s witnesses to protect appellant’s ability to cross-

examine Mr. Jones and Mr. Smith with information obtained through his counsel’s

investigation. When those efforts failed to produce anything showing Finnyman’s

alleged statement to be other than an unreliable street rumor, the judge reasonably

concluded that any further delay of the trial, with its attendant risk of losing jurors,

was not warranted in the circumstances. We find no abuse of discretion.
                                         28




      C. Partial Verdict



      At the end of the trial, the judge instructed the jury on all of the charges in

the indictment, as well as on the lesser-included offense of second-degree murder

while armed of Mr. Brown. The jury then began to deliberate at approximately

10:00 a.m. on Wednesday, March 16, 2011. The jury deliberated throughout the

remainder of that day, sending notes to the judge only to request a written copy of

the parties’ stipulations, a marker for the whiteboard, and the password for the

computer in the jury room.



      The jury resumed its deliberations on the morning of Thursday, March 17,

2011. At approximately 11:00 a.m. on that second day of deliberations, the jury

sent the following note to the judge:



             Your Honor, for some of the greater offenses, individuals
             on both sides are very firm in their decision and have
             expressed that any more continued deliberations would
             not change their minds based on the evidence before
             them. We have two questions: (1) At what point are we
             considered a hung jury? (2) Are we allowed to consider
             the lesser offenses before making a unanimous decision
             on the greater offenses?
                                          29


      The trial judge discussed the jury’s note with the parties. The prosecutor

asked the judge to instruct the jury to continue its deliberations, while appellant

requested an anti-deadlock instruction. See Winters v. United States, 317 A.2d 530

(D.C. 1974). The judge considered the parties’ positions and sent a hand-written

note to the jury, stating: “I have spoken to both sides in this matter and I’m

instructing you to continue with your deliberations. You might consider going to

lunch at this time.”



      The jury sent another note to the judge a few hours later. The note, received

at 2:40 p.m. on March 17, 2011, stated:



             Your Honor, we have continued to deliberate. We
             continue to be a hung jury on multiple counts. There
             seems to be no more to discuss.



      By then, the judge was selecting a jury in another trial, and he was unable to

meet with the parties to discuss the jury’s note until 4:00 p.m. Appellant moved

for a mistrial at that time, asserting, through counsel, that “the tone of the note is

very sad and very certain.” The prosecutor objected to a mistrial and requested

that the judge instead ask the jury whether it had reached a verdict on any counts.

The prosecutor argued that portions of the jury’s notes suggested that the jury may
                                          30


have reached unanimous decisions on some of the charges. The judge asked the

parties whether either was requesting that he take a partial verdict. The prosecutor

said yes, while appellant said no and reiterated his request for a mistrial.



      The judge declined to grant a mistrial, concluding that he should ask the jury

whether it had decided any of the charges. He sent another written note to the jury,

stating: “Ladies & Gentlemen of the jury: Has the jury reached a verdict with

respect to any of the counts? If so, which counts?” The jury promptly responded

with a note indicating that it had reached a verdict on three counts: “The jury has

reached a verdict on the following counts: Count 1: First degree murder while

armed. Count 7: carrying a pistol w/o a license. Count 8: possession of firearm by

a convicted felon.”



      The judge then directed the courtroom clerk to escort the jury back into the

courtroom, where the jury’s foreperson announced verdicts of not guilty on the

charge of first-degree premeditated murder while armed and guilty on the charges

of carrying a pistol without a license in a gun-free zone and possession of a firearm

by a convicted felon. Following a poll of the jury (discussed below), the judge

excused the jurors for the day and asked them to return the next morning, Friday,

March 18, 2011, to resume their deliberations on the remaining charges. (The
                                          31


jury’s subsequent deliberations on March 18, 2011 were not fruitful. The jury sent

two more hung notes, one before and one after the judge gave an anti-deadlock

instruction, and the judge declared a mistrial on all charges other than the three

decided on March 17, 2011.)



      Appellant argues that the trial judge improperly invited a partial verdict from

the jury on March 17, 2011 without a sufficient indication that the jury had reached

a unanimous decision on any of the counts before it. We are not persuaded.



      Court rules provide that a jury may return a partial verdict “at any time

during its deliberations.” Super. Ct. Crim. R. 31 (b). “Ordinarily, therefore, a

partial verdict should be accepted when it is offered unless there exists good reason

to do otherwise.” Wilson v. United States, 922 A.2d 1192, 1195 (D.C. 2007). A

trial judge nonetheless treads a “fine line . . . with respect to partial verdicts” and

“must be careful not to coerce juries into reaching decisions,” “particularly where

the jury has given no indication of agreement on any charge.” Speaks v. United

States, 617 A.2d 942, 952 (D.C. 1992).



      We review a trial judge’s decision to accept a partial verdict for abuse of

discretion, Wilson, 922 A.2d at 1195, and we find no abuse here. The jury’s notes
                                         32


leading up to the trial judge’s decision to inquire about the existence of a partial

verdict strongly suggested the possibility that the jury had reached unanimous

decisions on some but not all of the charges. The note at 11:00 a.m. on March 17,

2011 stated that the jurors were split on “some of the greater offenses” and asked

whether the jury was permitted to “consider the lesser offenses before making a

unanimous decision on the greater offenses.” The note a few hours later, at 2:40

p.m., added that “[w]e continue to be a hung jury on multiple counts.” Neither

note said anything to indicate or imply an impasse on “all” of the charges, and

since second-degree murder while armed was the only lesser-included offense on

which the jury had been instructed, the references in the earlier note to a deadlock

on “some of the greater offenses” and to an interest in considering the “lesser

offenses” raised the likelihood that the jurors were split on some or all of the lead

charges in the case – murder, assault with intent to kill, and aggravated assault –

but could have reached agreement on at least some of the “lesser” weapons

offenses. The statement in the later note that the jury continued to be hung on

“multiple” (but not “all”) counts added further support for the judge’s view that the

jury might have reached a partial verdict.



       The trial judge thus reasonably concluded that the jury’s notes indicated the

possibility of unanimous agreement on some of the charges. The judge’s return
                                         33


note to the jurors asking whether they had reached a verdict on any of the charges,

moreover, was plainly worded and appropriately understated so as to avoid any

sense of coercion among the jurors. We are satisfied that the judge successfully

treaded the fine line required by our case law.



      D. Special Unanimity Instruction



      The trial judge gave a standard “general unanimity” instruction as part of his

final charge to the jury:



             The verdict in this case must represent the considered
             judgment of each juror. In order to return a verdict, each
             juror must agree on the verdict. In other words, your
             verdict must be unanimous.



See Criminal Jury Instructions for the District of Columbia, No. 2.405 (5th ed.

2010).



      Appellant contends that the judge also should have given a “special

unanimity” instruction on the charges of carrying a pistol without a license in a

gun-free zone and possession of a firearm by a convicted felon. In particular,

appellant asserts that the judge was required, in the circumstances, to instruct the
                                            34


jury that all twelve jurors must agree on a particular act of carrying or possession

of the Bulldog revolver before the jury could find him guilty of either weapons

offense. Without a special unanimity instruction, appellant argues, there is an

unacceptable risk that the jury found him guilty of the weapons offenses through

non-unanimous verdicts, i.e., that some jurors found him guilty based on evidence

of his carrying and possession of the revolver in the basement of the Ord Street

house while others found him guilty based on evidence of his carrying and

possession of the gun in the van. Appellant contends that the error requires the

reversal of his convictions on both weapons charges even though he did not request

a special unanimity instruction at trial.



      The right to a unanimous verdict is an “indispensable feature of the Sixth

Amendment right to trial by jury.” Scarborough v. United States, 522 A.2d 869,

872 (D.C. 1987) (en banc). The unanimity guarantee “requires jurors to be in

substantial agreement as to just what a defendant did as a step preliminary to

determining whether the defendant is guilty of the crime charged.” Id. at 873

(quoting United States v. Gipson, 553 F.2d 453, 457-58 (5th Cir. 1977)). Thus,

whenever one count in an indictment encompasses two or more separate criminal

acts, the trial judge must instruct the jury that a guilty verdict may be returned only
                                         35


if all jurors agree “as to the specific act the defendant committed.” Id.; see also

Wynn v. United States, 48 A.3d 181, 192 (D.C. 2012).2



      A special unanimity instruction is not required, however, “when a single

count is charged and the facts show a continuing course of conduct, rather than a

succession of clearly detached incidents.” Gray v. United States, 544 A.2d 1255,

1258 (D.C. 1988). In that event, the alleged actions of the defendant are not

distinct, either factually or legally, and a special instruction is not necessary to

ensure unanimity among the members of the jury. Id.




2
  The current edition of the standard Red Book instructions contains the following
instruction on special unanimity:

            [Name of defendant] has been charged with one count of
            [name of offense]. You have heard evidence of more
            than one act or incident related to this count. [Describe
            the separate acts/incidents.] You may find [name of
            defendant] guilty on this count if the government proves
            beyond a reasonable doubt that [name of defendant]
            committed either of these acts/incidents. However, in
            order to return a guilty verdict on this count, you must all
            agree that [name of defendant] committed [describe first
            act/incident] or you must all agree that [name of
            defendant] committed [describe second act/incident]
            [repeat if other alternative acts/incidents].

Criminal Jury Instructions for the District of Columbia, No. 2.406 (5th ed. 2014).
                                         36


      It is a close question whether a special unanimity instruction was required in

these circumstances. On the one hand, we have held in the merger context that the

act of carrying or possessing a weapon “is continuous and may be committed by a

person who is moving from place to place,” Bruce v. United States, 471 A.2d 1005,

1007 (D.C. 1984), and there is no evidence in the record that appellant ever broke

his continuous (and unlawful) carrying and possession of the Bulldog revolver

throughout the events at issue by putting it away or (as to the charge of carrying a

pistol without a license) by returning it to his home, place of business, or other

location at which his carrying of the weapon might not have been unlawful, see id.

On the other hand, we have recognized that “unanimity and merger inquiries must

be approached from different perspectives in light of the different constitutional

principles they are meant to safeguard,” Bryant v. United States, 93 A.3d 210, 219

(D.C. 2014), and we are concerned, in light of the jury’s inability to reach

unanimous verdicts on the charges arising from the shootings of Mr. Brown and

Mr. Stuckey, that the jury also may have been divided on the question whether

appellant carried and possessed the Bulldog revolver in the van. In this regard, we

reiterate our recent statement that “[i]n determining whether a special unanimity

instruction was required, we need only determine that it was possible, based on the

evidence, for the jury to reasonably perceive separate incidents and then base their

convictions on different factual predicates.” Id. at 220-21.
                                           37




      We need not resolve this difficult question, however, because appellant’s

failure to request a special unanimity instruction at trial subjects his claim to plain

error review on appeal, see id. at 217; Wynn, 48 A.3d at 192, and appellant cannot

satisfy the plain error standard. Even if we were to assume, without deciding, that

the trial judge’s failure sua sponte to give a special unanimity instruction met the

first three prongs of the plain error standard – i.e., that it was a clear error affecting

appellant’s substantial rights – appellant cannot meet the fourth prong of the plain

error standard by showing that a decision on appeal declining to correct the error

would seriously erode the fairness, integrity, or public reputation of judicial

proceedings. See Marshall, 15 A.3d at 710. First, “we can rely on the ‘robust

intuition and good common-sense of jurors . . . to apply the standard unanimity

charge to circumstances where special unanimity problems lurk.’” Bryant, 93

A.3d at 222 (alteration in original) (quoting Shivers v. United States, 533 A.2d 258,

263 n.14 (D.C. 1987)).        We are thus confident that the general unanimity

instruction the judge gave to the jury at trial reduced the danger of non-unanimous

verdicts on the weapons offenses. Second, as we discuss below, the government

presented abundant evidence at trial of appellant’s carrying and possession of the

Bulldog revolver in the basement of the Ord Street house and in the van in which

the shootings occurred. As we held in Bryant, the government’s presentation of
                                          38


ample evidence at trial of a defendant’s commission of all of the separate acts

constituting an offense precludes the defendant on appeal from “carry[ing] his

burden on this [fourth] prong of plain error analysis.” Id. at 225. We therefore

find no reversible error.



      E. Jury Poll



      The trial judge conducted a poll of the jury immediately after the jury’s

foreperson announced the jury’s partial verdict on the offenses of first-degree

premeditated murder while armed (not guilty), carrying a pistol without a license in

a gun-free zone (guilty), and possession of a firearm by a convicted felon (guilty).

Without objection from either party, the judge gave the jury the following

explanation before conducting the poll:



             Ladies and gentlemen of the jury, I’m going to do what is
             now called a poll of the jury and I’m going to do it by
             seat number. I’m going to ask you if you agree with the
             verdict as stated by your foreperson. If you agree with
             the verdict, say “I agree.” If you disagree with the
             verdict, say “I disagree.” Don’t say anything else.
             Okay?
                                         39


      The judge then asked each juror individually for the juror’s answer to the

question whether the juror agreed with the verdict as stated by the foreperson. The

record reflects that each of the twelve jurors stated unequivocally either “yes” or “I

agree” in response to the judge’s question.



      Appellant contends that it was error for the judge to limit the jurors’

responses to “I agree” or “I disagree.” Particularly given the absence of a special

unanimity instruction on the weapons offenses, appellant argues, the judge’s

directions to the jurors preceding the poll were too restrictive.        We are not

persuaded.



      The purposes of a jury poll are to determine whether each individual juror

agrees with the verdict as announced by the jury’s foreperson and to assure that no

juror has been coerced into stating agreement with a verdict with which the juror

disagrees. Harris v. United States, 622 A.2d 697, 700-01 (D.C. 1993) (citing

Crowder v. United States, 383 A.2d 336, 340 (D.C. 1978)). “The jury poll is the

primary device for discovering doubt or confusion of individual jurors and has

long been regarded as a useful and necessary tool for preserving the defendant’s

right to a unanimous verdict.” Id. at 700; see generally Super. Ct. Crim. R. 31 (d).
                                         40


      The trial judge has “an appreciable measure of discretion” in determining

how best to conduct a poll of the jury, Jones v. United States, 779 A.2d 357, 360

(D.C. 2001) (quoting Harris, 622 A.2d at 701), and we have never prescribed any

particular questions or sets of questions that must be asked. Even where a timely

objection to the method used to conduct the poll has preserved the issue for appeal,

we review only for abuse of discretion and “will affirm if we can ‘say with

assurance that the jury freely and fairly arrived at a unanimous verdict.’” Id. at

360-61 (quoting Harris, 622 A.2d at 701). And where, as here, no objection has

been made in the trial court, we review for plain error and “will reverse . . . ‘only

in exceptional circumstances where a miscarriage of justice would otherwise

result.’” Id. at 360 (quoting Brawner v. United States, 745 A.2d 354, 357 (D.C.

2000)).



      We find no abuse of discretion, and certainly no plain error, in the way the

trial judge conducted the poll of the jury.       The judge addressed each juror

individually and determined that all twelve jurors agreed with the partial verdict

announced by the foreperson. No juror expressed any doubt or confusion about the

partial verdict, and nothing in the record suggests that any juror even hinted at

having been coerced or induced into falsely stating his or her agreement. Indeed,

we think it was wise, in the circumstances, for the judge to limit the jurors’
                                         41


responses to his polling question. The judge knew the jury was divided on all

charges other than the three to be resolved through the jury’s partial verdict, and it

was essential to the jury’s ability to continue its deliberations on the unresolved

charges that the jurors not divulge any information about their thought processes or

the substance of their ongoing discussions. See Fortune v. United States, 65 A.3d

75, 83 (D.C. 2013) (discussing the “weighty” policy reasons for “insulating the

jury’s deliberative process”).



      F. Sufficiency of the Evidence



      Appellant moved for a judgment of acquittal on all counts at the end of the

government’s case-in-chief and again at the close of the evidence. The trial judge

denied both motions. Appellant claims error, asserting that the government’s

witnesses were so inherently incredible, and so thoroughly impeached, that their

testimony about his carrying and possession of the Bulldog revolver was legally

insufficient to support his convictions for carrying a pistol without a license in a

gun-free zone and possession of a firearm by a convicted felon. We disagree.



      A party seeking to exclude a witness’s testimony from consideration based

on the doctrine of inherent incredibility must satisfy a “stringent test.” Payne v.
                                           42


United States, 516 A.2d 484, 494 (D.C. 1986). Specifically, the doctrine “can be

invoked only when the testimony can be disproved . . . as a matter of logic by the

uncontradicted facts or by scientific evidence, or when the person whose testimony

is under scrutiny made allegations which seem highly questionable in the light of

common experience and knowledge, or behaved in a manner strongly at variance

with the way in which we would normally expect a similarly situated person to

behave.” In re A.H.B., 491 A.2d 490, 496 n.8 (D.C. 1985) (ellipsis in original)

(quotations and citations omitted). “A certain amount of inconsistency in the

evidence is almost inevitable in any trial, but it rarely justifies reversal.” Id. at 495.

Evidence is not legally insufficient to support a criminal conviction merely because

the testimony of the witnesses has been contradictory and the explanations for the

inconsistencies difficult to believe. Id. (citing United States v. Jackson, 579 F.2d

553, 558 (10th Cir. 1978)).       To the contrary, “a witness may be inaccurate,

contradictory and even untruthful in some respects and yet be entirely credible in

the essentials of his testimony.” Id. (quoting United States v. Tropiano, 418 F.2d

1069, 1074 (2d Cir. 1969)).



      More generally, whenever we consider the legal sufficiency of the evidence

presented in support of a criminal conviction, “we view the evidence in the light

most favorable to the government, giving full play to the right of the jury to
                                         43


determine credibility and to weigh and draw justifiable inferences from the

evidence.” Jackson v. United States, 940 A.2d 981, 987 n.3 (D.C. 2008) (citing

Rivas v. United States, 783 A.2d 125, 134 (D.C. 2001) (en banc)). Although we

are “not a rubber stamp,” Swinton v. United States, 902 A.2d 772, 776 n.6 (D.C.

2006), we “must deem the proof of guilt sufficient if, ‘after viewing the evidence

in the light most favorable to the prosecution, [we conclude that] any rational trier

of fact could have found the essential elements of the crime beyond a reasonable

doubt,’” Rivas, 783 A.2d at 134 (quoting Jackson v. Virginia, 443 U.S. 307, 319

(1979) (emphasis in original)).



      We are satisfied that the government’s evidence at trial was legally sufficient

to support appellant’s convictions on the weapons charges. Five witnesses testified

that appellant had a gun on his person on the night of July 3-4, 2009. Ms. Frazier,

her son Antonio, and Mr. Stuckey all told the jury that appellant had a gun in his

jacket pocket while he and others shot dice in the basement of the Ord Street

house; as discussed above, Mr. Stuckey stated that he had seen the same gun in

appellant’s possession three times before and that he recognized it as a .44 caliber

Bulldog revolver when it fell out of appellant’s pocket onto the basement floor.

Mr. Jones and Mr. Smith testified that appellant later had a chrome revolver in his

hand after several shots were fired inside the van. All of this testimony was
                                          44


corroborated by undisputed evidence that two people were shot inside the van and

by the testimony of the government’s firearms expert that the bullets recovered

from Mr. Brown’s body were fired from either a .44 caliber Charter Arms Bulldog

revolver or a .44 caliber U.S. Arms Magnum revolver. Although the government’s

witnesses testified inconsistently on some points and were impeached on others,

appellant has not established that their testimony was disproved as a matter of fact

or logic or otherwise shown to be inherently incredible. The discrepancies in the

testimony were properly left for the jury to resolve, and we have no difficulty

concluding that a rational trier of fact could have resolved the discrepancies in

favor of the government and found the essential elements of each of the weapons

offenses beyond a reasonable doubt.



      G. Jury Instruction on CPWL in Gun-Free Zone



      The trial judge gave the following instruction to the jury on the offense of

carrying a pistol without a license in a gun-free zone:



             The essential elements of the offense of carrying a pistol
             without a license, each of which the government must
             prove beyond a reasonable doubt, are: number one, that
             Thomas Jones carried a pistol on or about his person;
             number two, that he did so voluntarily and on purpose,
             and not by mistake or accident; number three, that
                                          45


             Thomas Jones was not licensed to carry the pistol by the
             Chief of Police of the District of Columbia; and number
             four, he carried the pistol in a place other than his home,
             place of business, or land or premises possessed and
             controlled by him; that the pistol could fire a bullet; and
             that at the time he carried the pistol, he did so in a gun-
             free zone, that is, within 1,000 feet of Kenilworth
             Elementary School. The term “pistol” means a firearm
             that has a barrel less than 12 inches.



      Appellant contends that another essential element of the offense, omitted

from the trial judge’s instruction, was the presence of a sign on the premises of

Kenilworth Elementary School identifying the school and its surrounding area as a

gun-free zone. Appellant argues that the judge’s failure to include this element in

the instruction to the jury entitles him to the reversal of his conviction for carrying

a pistol without a license in a drug-free zone.



      We agree that the instruction was incomplete. The statute defining the

penalty enhancement for carrying a pistol without a license in a gun-free zone

makes clear that the enhancement does not apply unless there is a sign on the

premises identifying the building or area as a gun-free zone:



             All areas within[] 1000 feet of an appropriately identified
             public or private day care center, elementary school,
             vocational school, secondary school, college, junior
             college, or university, or any public swimming pool,
                                          46


             playground, video arcade, youth center, or public library,
             or in and around public housing . . . shall be declared a
             gun free zone. For the purposes of this subsection, the
             term “appropriately identified” means that there is a
             sign that identifies the building or area as a gun free
             zone.



D.C. Code § 22-4502.01 (a) (2012 Repl.) (emphasis added).



      A proper instruction on the elements of carrying a pistol without a license in

a gun-free zone therefore must inform the jury that the school (or other building or

area) is a gun-free zone only if a sign on the premises identifies it as such. See

Criminal Jury Instructions for the District of Columbia, No. 8.102 (5th ed. 2010)

(including as an element of the gun-free zone enhancement that “[t]here was a sign

identifying [the school or other qualifying building or area] as a gun-free zone”).

The trial judge’s instruction lacked this essential information.



      Appellant, however, lodged no objection to the instruction in the trial court,

and his claim of instructional error is therefore subject to plain error review on

appeal. See Bellamy v. United States, 810 A.2d 401, 406 (D.C. 2002). Under the

plain error standard, an incomplete jury instruction to which no objection was

made at trial “will not be a cause for reversal where . . . no rational jury, shown by

its verdict to have found the facts necessary to convict the defendant under the
                                          47


instructions as given, could have failed, if fully instructed on each element, to have

found in addition the facts necessary to comprise the omitted element.” Id.



      Appellant is not entitled to reversal. The parties stipulated at trial that

Kenilworth Elementary School “has a sign placed on the east side of the school on

44th Street that states that illegal firearms may not be within 500 feet of the school”

and that a “custodian of the school would testify that the sign has been posted at

that location for several years, which time includes July 3 rd, 2009, and July 4th,

2009.” The parties read this stipulation (and others) to the jury during the trial, and

the judge later provided a written copy of all of the stipulations to the jury during

the jury’s deliberations. In addition, a photograph of the school grounds admitted

in evidence clearly showed the sign identifying the school and its surrounding area

as a gun-free zone. In these circumstances, there is no basis for concern that the

jury, acting rationally, would have declined to find appellant guilty of carrying a

pistol without a license in a gun-free zone had the trial judge’s instruction properly

included the requirement that there be a sign on the premises identifying the school

building and its surrounding area as a gun-free zone. There was no dispute at trial

over whether the area surrounding Kenilworth Elementary School was properly

identified as a gun-free zone, and the omission from the judge’s instruction thus

could not have had any prejudicial impact on the outcome of the case.              See
                                       48


(Marques An’Rico) Johnson v. United States, 2015 D.C. App. LEXIS 264, No. 13-

CF-929, slip op. at 15-16 (D.C. June 18, 2015) (“on plain-error review, incorrect

jury instruction was not reversible error because there was no reasonable

probability that it had a prejudicial impact on the outcome of the trial”) (citing

Kidd v. United States, 940 A.2d 118, 128 (D.C. 2007)).



      H. Lawfulness of Sentences Imposed



      The trial judge sentenced appellant to concurrent terms of imprisonment of

eight years for carrying a pistol without a license in a gun-free zone and twelve

years for possession of a firearm by a convicted felon. The judge ordered that the

prison terms be followed by concurrent three-year periods of supervised release.

The judge did not specify any mandatory minimum prison time.



      Appellant contends that the twelve-year prison sentence for possession of a

firearm by a convicted felon exceeded the maximum penalty authorized by law at

the time of the offense. The government conceded this point at oral argument, and

we agree that the sentence imposed for possession of a firearm by a convicted

felon was illegal.
                                        49


      At the time of the events in this case, District of Columbia law provided that

a felon convicted of possession of a firearm faced a maximum possible sentence of

ten years in prison and a one-year mandatory-minimum prison term. D.C. Code

§ 22-4503 (a)(2) (2008 Supp.). The District of Columbia Council soon amended

the District’s gun control laws, retaining the ten-year maximum and one-year

mandatory-minimum periods of incarceration for ordinary felon-in-possession

charges and creating an enhanced penalty of up to fifteen years in prison, with a

three-year mandatory-minimum term, for possession of a firearm by a person

previously convicted of a felony defined in the bail statute as a crime of violence.

See D.C. Code §§ 22-4503 (b)(1) & (d)(1) (2010 Supp.); see also D.C. Code § 23-

1331 (4) (2010 Supp.) (defining “crime of violence”); see generally Council of the

District of Columbia, Comm. on Pub. Safety and the Judiciary, Report on Bill 8-

151, “Omnibus Public Safety and Justice Amendment Act of 2009” (June 26,

2009). However, although it is undisputed that appellant had a prior conviction for

a crime of violence (second-degree murder while armed), the amendments to the

District’s gun control laws did not take effect until December 10, 2009, see

Omnibus Public Safety and Justice Amendment Act of 2009, D.C. Law 18-88, 56

D.C. Reg. 7413 (December 10, 2009), and the Ex Post Facto Clause prohibits their

retroactive application to appellant even though they were fully in effect by the
                                          50


time of his trial, see Carmell v. Texas, 529 U.S. 513, 522 (2000) (citing Calder v.

Bull, 3 U.S. 386, 390 (1798)).



      The twelve-year prison sentence imposed for possession of a firearm by a

convicted felon was therefore illegal in two respects: it exceeded the ten-year

statutory maximum in effect at the time of the offense, and it failed to specify a

one-year mandatory-minimum period of incarceration.           The sentence must be

vacated and the case remanded for resentencing on this charge in accordance with

applicable statutory requirements.3



      Finally, in a Rule 28 (k) statement filed after oral argument, appellant

contends, for the first time, that his eight-year prison sentence for carrying a pistol

without a license in a gun-free zone also exceeded the maximum penalty allowed

by law at the time of the offense. We disagree. First, the law in effect as of July 3-

4, 2009 plainly provided that a felon convicted of carrying a pistol without a


3
   Because District of Columbia law requires the sentencing judge in a felony case
to withhold part of the maximum possible prison term as “back-up time” in the
event of the subsequent revocation of the defendant’s supervised release, the
longest prison term that can be imposed at the time of resentencing on the charge
of possession of a firearm by a convicted felon is eight years, equal to the ten-year
statutory maximum penalty in effect at the time of the offense minus the two-year
period that must be reserved as back-up time. See D.C. Code §§ 24-403.01
(b)(7)(C) & (b-1) (2009 Supp.).
                                         51


license faced a maximum possible sentence of ten years in prison and a $10,000

fine. See D.C. Code § 22-4504 (a)(2) (2009 Supp.). Indeed, District of Columbia

law has authorized a ten-year prison sentence for carrying a pistol without a license

by a convicted felon for at least the past thirty-five years. See Henson v. United

States, 399 A.2d 16, 21 (D.C. 1979) (highlighting a felon’s “[e]xposure to a

possible ten-year sentence under § 22-3204,” the predecessor to § 22-4504 (a)(2)).

Second, the gun-free zone enhancement doubled the maximum possible sentence

appellant faced for carrying a pistol without a license. See D.C. Code § 22-

4502.01 (b) (2009 Supp.) (“Any person illegally carrying a gun within a gun free

zone shall be punished by a fine up to twice that otherwise authorized to be

imposed, by a term of imprisonment up to twice that otherwise authorized to be

imposed, or both.”). Appellant thus faced a maximum possible penalty of twenty

years in prison and a $20,000 fine for carrying a pistol without a license in a gun-

free zone. The eight-year term imposed, therefore, was not unlawful.



                                 III.   CONCLUSION



      For the foregoing reasons, we vacate appellant’s sentence for the offense of

possession of a firearm by a convicted felon and remand the case for resentencing

on that charge. The judgment of the Superior Court is otherwise affirmed.
52




     It is so ordered.
