                 United States Court of Appeals
                            For the Eighth Circuit
                        ___________________________

                                No. 16-3483
                        ___________________________

                             United States of America

                        lllllllllllllllllllll Plaintiff - Appellee

                                           v.

                                 Denny Johnson, Sr.

                      lllllllllllllllllllll Defendant - Appellant
                                      ____________

                     Appeal from United States District Court
                    for the District of South Dakota - Aberdeen
                                   ____________

                            Submitted: March 10, 2017
                               Filed: June 29, 2017
                                   [Published]
                                 ____________

Before WOLLMAN, COLLOTON, and SHEPHERD, Circuit Judges.
                       ____________

SHEPHERD, Circuit Judge.

      Following a jury trial, Denny Johnson was sentenced to thirty years in prison
for physically assaulting and raping his estranged wife. Johnson now challenges four
of the district court’s1 evidentiary rulings at trial, as well as the court’s application of
sentencing enhancements for obstruction of justice and vulnerable victim. We affirm.

                                     I. Background

       Johnson and D.M. were married nearly seven years and had three young
children together when D.M. filed for divorce in August 2013. D.M. and the children
moved out of the couple’s home in Kenel, South Dakota, and into her parents’ home
in nearby Dupree.2 Seeking to mend her marriage, in September D.M. moved back
in with Johnson, leaving the children with her parents. The two stayed together
through the fall, but in early December D.M. informed Johnson that she had decided
to proceed with the divorce. D.M. continued living with Johnson, although she began
sleeping in a separate bedroom.

       D.M. alleged that, between December 1, 2013 and January 10, 2014, Johnson
continually entered her bedroom while she tried to sleep and raped her both vaginally
and anally. If she resisted, D.M. claimed that Johnson would strangle her, squeezing
his forearm around her neck until her vision blurred. D.M. would later testify that
during those weeks she felt trapped, too frightened to call out for help, and too weak
to regain her car keys, cell phone, and money from Johnson’s control.

       D.M. attempted escape in late December 2013. As she opened the front door
to the house, Johnson slammed the door shut and pulled her back inside by her jacket.


       1
       The Honorable Charles B. Kornmann, United States District Judge for the
District of South Dakota.
       2
       Kenel and Dupree are both communities located on Native American
Reservations in South Dakota. Kenel is situated alongside the Missouri River on the
eastern boundary of the Standing Rock Reservation, and Dupree lies in the western
region of the Cheyenne River Reservation.

                                            -2-
He then threw D.M. to the floor, kicked her repeatedly in an area of her back that had
previously been injured, struck her in the forehead with metal, used a knife to cut off
all the clothes from her body, and instructed her to kill herself in front of him. When
she refused, Johnson urinated on her naked body. He then forced her into the shower,
turned on cold water, and began pouring powdered bathroom cleaner, dishwashing
soap, body wash, shampoo, bleach, and dirty mop water on her. He held up a mirror
to D.M. and said, “Look how ugly you look when you cry,” before shattering the
mirror in the tub. When Johnson’s cousins arrived at the house, Johnson forced D.M.
to stay in the bedroom and told her he would kill her if she cried out for help. After
the cousins left, Johnson raped D.M., forcibly contorting her body to reenact the
positions he claimed he had experienced with other women.

        On January 10, 2014, D.M. and Johnson made a deal: she would give him her
1997 Chevrolet Blazer in exchange for him allowing her to leave. After signing over
the title, D.M. immediately ran outside, got into her Chevrolet Cavalier, and drove to
a gas station to call 911 and report Johnson. D.M. prepared a written statement for
law enforcement summarizing much of what she would later testify to at trial.
Johnson was indicted in the U.S. District Court for the District of South Dakota and
charged with five counts of aggravated sexual abuse, kidnapping, assault with a
dangerous weapon, assault of a spouse by strangulation, and domestic assault by a
habitual offender.

       The charges in the indictment related solely to the incidents that allegedly
occurred in December 2013 and January 2014. At trial, evidence was also presented
that Johnson had two tribal court convictions for physically assaulting D.M. The first
conviction arose from a conflict between Johnson and D.M. in April 2004 in which
Johnson ripped out parts of D.M.’s hair, leaving a bald spot and visibly swollen scalp.
Johnson also sat on D.M.’s stomach and pushed on her chest because he had heard
that doing CPR on a living person stops the heart. When their two-year-old son tried
to help his mother, Johnson hit him in the stomach, knocking the child to the floor.

                                         -3-
Johnson subsequently pled guilty in the Cheyenne River Sioux Tribal Court, Eagle
Butte, to two counts of aggravated assault, domestic violence, and endangering the
welfare of a child. The second conviction arose in December 2006, around two
weeks before the couple’s wedding. Johnson came home intoxicated, kicked in the
bedroom door, and kicked over the Christmas tree. He then slapped D.M. in the face,
leaving her cheek swollen. She took her children and fled to the neighbors’ house to
call the police. For this incident, Johnson pled guilty to simple assault and domestic
violence.

       The government also offered expert testimony from Kristine Heeren-Graber,
the executive director of the South Dakota Network Against Family Violence and
Sexual Assault. Heeren-Graber testified about the common emotional and behavioral
characteristics that domestic violence victims often display. Her testimony was based
on the Duluth Model, which she described as a scientific study highlighting the power
and control that propels abusive domestic relationships (the “power-and-control
wheel”). She explained that the power-and-control wheel represents the various
attributes of a physically and/or sexually abusive relationship. In the middle, there
is power and control, surrounded by terms describing how abusers use power and
control to trap their victims in violence, including intimidation, isolation, denial,
blame, and economic abuse. Heeren-Graber also explained the “cycle of violence,”
which divides domestic abuse into three stages. The cycle begins with tension-
building between the abuser and victim, followed by an explosion of violence, and
ending with a honeymoon phase that gives the victim hope until the tension begins
stewing once more. Finally, Heeren-Graber discussed typical victim responses to
domestic violence, including how women often remain in abusive relationships
without reporting the abuse to authorities. Throughout her testimony, Heeren-Graber
did not discuss any emotional or behavioral characteristics specific to D.M. and
offered no opinion as to D.M.’s credibility or whether D.M. had in fact been sexually
abused.



                                         -4-
       Johnson attempted to rebut the government’s expert testimony with evidence
of D.M.’s prior bad acts. In a notice filed before the trial began, Johnson stated his
intent to introduce testimony that (1) in October 2013 D.M. assaulted Johnson and
trashed his home, (2) in November 2013 D.M. punched Johnson in the jaw resulting
in Johnson going to the hospital, and (3) on various other dates witnesses have seen
D.M. physically abuse Johnson. In response, the government pointed to the facts that
D.M. was not on trial and was never convicted of any of the alleged prior bad acts.
The government argued that, under Federal Rules of Evidence 401 and 403,
introducing evidence of D.M.’s prior acts would only confuse the issues and waste
the court’s time. The district court granted the government’s motion to exclude the
evidence on the ground that admitting the evidence would create mini-trials because,
if Johnson offered evidence of D.M.’s prior misconduct, the government would be
allowed to offer rebuttal evidence of Johnson’s same aggressive trait. See Fed. R.
Evid. 404(a)(2)(B).

       The jury found Johnson guilty of two counts of aggravated sexual abuse, 18
U.S.C. §§ 1153, 2241(a); one count of assault with a dangerous weapon, 18 U.S.C.
§§ 1153, 113(a)(3); one count of simple assault, 18 U.S.C. §§ 1153, 113(a)(5); and
one count of domestic assault by a habitual offender, 18 U.S.C. § 117.3 The
presentence report determined that Johnson’s base offense level under the Sentencing
Guidelines was 30. The report recommended increasing the base level by ten because
(1) the offense involved rape by the use of force, see USSG § 2A3.1(b)(1); (2)
Johnson knew or should have known that D.M. was a vulnerable victim, see USSG
§ 3A1.1(b)(1); (3) D.M. was physically restrained in the course of the offense, see
USSG § 3A1.3; and (4) Johnson willfully obstructed or impeded justice, see USSG
§ 3C1.1. The district court overruled Johnson’s objections and imposed all four
offense level enhancements.


      3
       The jury found Johnson not guilty of any crime alleged to have occurred prior
to December 29, 2013.

                                         -5-
       Based on a total offense level of 40 and a criminal history category of I,
Johnson’s Sentencing Guidelines range was 292 to 365 months imprisonment. The
district court imposed individual sentences for each of the convictions to be served
concurrently, resulting in a total effective sentence of 360 months followed by five
years of supervised release.

                            II. The Evidentiary Rulings

       We first consider Johnson’s appeal of four of the district court’s evidentiary
rulings. “Evidentiary rulings are reviewed for abuse of discretion, and we afford
deference to the district judge who saw and heard the evidence.” United States v.
Espinosa, 585 F.3d 418, 430 (8th Cir. 2009) (internal quotation marks omitted). We
will reverse “only when an improper evidentiary ruling affected the defendant’s
substantial rights or had more than a slight influence on the verdict.” United States
v. Picardi, 739 F.3d 1118, 1124 (8th Cir. 2014) (internal quotation marks omitted).
We will not reverse a harmless error. United States v. Missouri, 535 F.3d 844, 848
(8th Cir. 2008) (citing Fed. R. Civ. P. 61).

                 A. Expert Testimony of Kristine Heeren-Graber

        The district court rejected Johnson’s request for a Daubert hearing concerning
Heeren-Graber’s qualifications to testify as an expert. See Daubert v. Merrell Dow
Pharmaceuticals, 509 U.S. 579 (1993). Johnson argues that a Daubert hearing would
have established that Heeren-Graber had insufficient knowledge to testify about the
Duluth Model and the cycle of domestic violence. He further asserts that Heeren-
Graber’s testimony was not necessary to help the jury understand the evidence, and
that the testimony merely vouched for D.M.’s credibility. Finally, Johnson argues in
the alternative that the testimony was irrelevant and unduly prejudicial under Federal
Rules of Evidence 401 and 403.



                                         -6-
       Under Federal Rule of Evidence 702, expert testimony is admissible if the
expert’s “knowledge, skill, training, experience or education will assist a trier of fact
in understanding an area involving specialized subject matter.” United States v.
Molina, 172 F.3d 1048, 1056 (8th Cir. 1999). The district court enjoys “broad
latitude” in determining the reliability of expert testimony, Kumho Tire Co., Ltd. v.
Carmichael, 526 U.S. 137, 142 (1999), and “[t]here is no requirement that the
[d]istrict [c]ourt always hold a Daubert hearing prior to qualifying an expert witness,”
United States v. Kenyon, 481 F.3d 1054, 1061 (8th Cir. 2007) (first alteration in
original) (internal quotation marks omitted). Indeed, when the district court is
satisfied that the testimony is “reasonably based on [the expert’s] education, training,
and experience, the court does not abuse its discretion by admitting the testimony
without a preliminary hearing.” Id.

        After careful review of the record, we conclude that the district court did not
err in admitting the testimony of Heeren-Graber without a Daubert hearing. Heeren-
Graber has nearly thirty years of experience as a licensed social worker specializing
in domestic violence and sexual assault. The trial transcript shows that, contrary to
Johnson’s suggestion, Heeren-Graber has a wealth of knowledge about the Duluth
Model and the cycle of violence. Through detailed answers on direct examination,
Heeren-Graber articulated the three steps in the cycle of violence—tension-building,
explosion, and honeymoon—and described how the cycle often worsens over time
in most abusive relationships. She further described the power-and-control wheel
component of the Duluth Model, addressing eight distinct methods in which abusers
use power and control to harm their victims.

      In fact, the only questions Heeren-Graber was unable to answer about the
Duluth Model related to aspects of the Model that have nothing to do with its
substance or validity. For instance, on cross-examination she was unable to recall
every individual scientist who conducted the study, the precise year the study was
published, and the entity that funded the study. Lack of familiarity with such

                                          -7-
incidental details, without more, does not establish that Heeren-Graber did not qualify
as an expert, particularly in light of her education and experience in the field. See
Fox v. Dannenberg, 906 F.2d 1253, 1256 (8th Cir. 1990) (“[A]n individual can
qualify as an expert where [she] possesses sufficient knowledge gained from practical
experience, even though [she] may lack academic qualifications in the particular field
of expertise.”). We therefore conclude that the district court did not abuse its
discretion in determining that Heeren-Graber’s testimony rested on a reliable
foundation.

       Johnson also claims that Heeren-Graber’s testimony was not necessary to help
the jury understand the evidence—and therefore not admissible under Federal Rule
of Evidence 702—because Heeren-Graber only testified to general characteristics of
abuse victims and did not tailor her testimony to D.M.’s circumstances. As we have
previously explained, “when determining the admissibility of expert testimony, the
relevant inquiry is whether [the expert’s] testimony would be ‘helpful’ to the jury’s
understanding of the evidence.” United States v. Johnson, 28 F.3d 1487, 1496-97
(8th Cir. 1994). In United States v. Kirkie, we upheld the admission of expert
testimony regarding the general characteristics that sexually abused children exhibit.
261 F.3d 761, 766 (8th Cir. 2001). The trial court in Kirkie found that the testimony
was “helpful to the jury, without usurping the jury’s role of assessing the victim’s
credibility and whether the abuse actually occurred.” Id. Likewise, in United States
v. Johns this court found no error in admitting expert testimony about the “emotional
and psychological traits of abuse victims that often account for behavior such as delay
in reporting the abuse or failure to ‘escape’ the abusive situation.” 15 F.3d 740, 743
(8th Cir. 1994); see also United States v. Whitted, 11 F.3d 782, 785 (8th Cir. 1993)
(“[A] qualified expert can inform the jury of characteristics in sexually abused
children and describe the characteristics the alleged victim exhibits.”).

      While these cases involved sexual abuse of children, we see no reason why
similar testimony should not also be considered helpful to the jury in cases where, as

                                         -8-
here, the victim of sexual abuse is an adult. Regardless of the victim’s age, expert
testimony about how individuals generally react to sexual abuse—such as not
reporting the abuse and not attempting to escape from the abuser—helps jurors
evaluate the alleged victim’s behavior. See, e.g., Kirkie, 261 F.3d at 766. So long
as the expert does not impermissibly “vouch” for the victim by, for example,
diagnosing the victim with sexual abuse or expressing an opinion that sexual abuse
has in fact occurred, the testimony does not necessarily invade the jury’s exclusive
responsibility to determine the credibility of witnesses. See Whitted, 11 F.3d at 785-
86.

       Here, as in Kirkie, the expert testimony about the general characteristics of
victims of sexual abuse “left open the possibility that the victim’s testimony could be
truthful or not.” 261 F.3d at 766. Heeren-Graber did not express any opinion on the
truthfulness of D.M.’s testimony and did not suggest that D.M.’s behavior is
consistent with the behavior of victims of domestic physical and sexual assault in
general. Indeed, Heeren-Graber testified that she had never met D.M.; her expert
testimony merely imparted general knowledge which the jury could then use in
evaluating the charges against Johnson. We therefore find no abuse of discretion in
allowing the testimony under Federal Rule of Evidence 702. See Johns, 15 F.3d at
743 (allowing generalized testimony of an expert who had not met the victim and who
made no comment as to the victim’s credibility).

       For the same reasons, Johnson’s argument that Heeren-Graber’s testimony was
irrelevant is unsupported by the record. The testimony was relevant because it helped
the jury assess the credibility of D.M., whose allegations formed the basis of the
entire indictment. See Fed. R. Evid. 401.

       Likewise, the expert testimony did not mislead the jury, confuse the issues, or
otherwise unfairly prejudice Johnson in violation of Federal Rule of Evidence 403.
As already discussed, Heeren-Graber did not testify as to D.M.’s behavior and did not

                                         -9-
opine as to whether D.M. had in fact been abused. The remoteness of the testimony
from the specific facts of the case makes it is highly unlikely that the testimony
“influence[d] the jury to decide the case on an improper basis.” United States v.
Wipf, 397 F.3d 632, 636 (8th Cir. 2005) (internal quotation marks omitted).
Moreover, the testimony was not misleading or confusing. Heeren-Graber made it
quite clear that she had no firsthand knowledge of D.M.’s particular circumstances;
she merely gave a straightforward account of relevant background information based
on her own knowledge and experience. Accordingly, the district court did not abuse
its discretion by refusing to exclude the testimony under Rule 403.

                        B. Johnson’s Previous Convictions

       Johnson next argues that the district court improperly overruled his objection
to D.M.’s testimony about the facts underlying his prior tribal court convictions. The
district court allowed the testimony under Federal Rule of Evidence 404(b) for
purposes of proving motive, intent, knowledge, absence of mistake, or lack of
accident.

       Johnson’s objection is twofold. First, although Johnson admits that the prior
convictions were relevant to Count IX of the indictment, which charged Johnson with
committing domestic assault by a habitual offender in violation of 18 U.S.C. § 117,
he claims that the conduct giving rise to those convictions was irrelevant. See Fed.
R. Evid. 401 (“Evidence is relevant if . . . it has any tendency to make a fact [of
consequence] more or less probable than it would be without the evidence . . . .”).
Second, Johnson argues that the testimony should have been excluded under Federal
Rules of Evidence 404(b) and 403 as prohibited character evidence that caused unfair
prejudice.

       We reject Johnson’s argument that the facts behind his prior convictions were
irrelevant to the government’s case under 18 U.S.C. § 117. In United States v.

                                        -10-
Drapeau, we concluded that testimony about the facts underlying a defendant’s prior
tribal court convictions was relevant to prove, at a minimum, two of the three
elements necessary to secure a conviction under 18 U.S.C. § 117. 827 F.3d 773, 776
(8th Cir. 2016) (finding the victim’s testimony “relevant to prove that the convictions
had occurred—the first element—and that she was a ‘spouse or intimate partner’—the
third element”). Johnson makes no attempt to explain why Drapeau should not
impact our analysis of essentially the same relevancy issue in this case. Accordingly,
we hold that the district court did not abuse its discretion by finding D.M.’s testimony
relevant under Rule 401.

        We also conclude that the district court did not abuse its discretion by
admitting D.M.’s testimony under Federal Rule of Evidence 404(b). Rule 404(b) bars
a defendant’s prior crimes or bad acts from admission as character evidence but
allows such evidence to prove factors including motive, opportunity, intent,
preparation, plan, or knowledge. We have described Rule 404(b) as “a rule of
inclusion, meaning that evidence offered for permissible purposes is presumed
admissible absent a contrary determination.” United States v. Walker, 428 F.3d 1165,
1169 (8th Cir. 2005). We “will reverse only when the evidence clearly had no
bearing on the case and was introduced solely to show defendant’s propensity to
engage in criminal misconduct.” Id. There are four elements governing admissibility
under Rule 404(b): the evidence “must (1) be relevant to a material issue raised at
trial, (2) be similar in kind and close in time to the crime charged, (3) be supported
by sufficient evidence to support a finding by a jury that the defendant committed the
other act, and (4) not have a prejudicial value that substantially outweighs its
probative value.” United States v. Johnson, 439 F.3d 947, 952 (8th Cir. 2006)
(internal quotation marks omitted).

        First, D.M.’s testimony regarding Johnson’s prior assault convictions was
relevant to the material issue of whether Johnson had the requisite intent to commit
the assaults charged in this case. By pleading not guilty, Johnson placed every

                                         -11-
element of the charges brought against him at issue. See United States v.
Mothershed, 859 F.2d 585, 589 (8th Cir. 1988); see also Walker, 428 F.3d at 1170
(“The mere fact that [the defendant] did not actively dispute motive or intent did not
preclude the government from offering otherwise admissible evidence as to these
factors.”). “Evidence of past crimes can be probative of a defendant’s intent to
commit a similar act.” United States v. Littlewind, 595 F.3d 876, 881 (8th Cir. 2010).
As in other cases where this court has found evidence of prior acts relevant to the
defendant’s intent, here Johnson’s prior crimes against D.M. help explain the history
of Johnson and D.M.’s relationship, from which Johnson’s intent to commit violence
upon D.M. is derived. See United States v. Farish, 535 F.3d 815, 819-20 (8th Cir.
2008); Walker, 428 F.3d at 1170. The first Rule 404(b) element is therefore satisfied.

       Second, Johnson’s prior convictions for domestic violence are similar in kind
to the crimes charged in the present case, which arise from allegations that Johnson
physically and sexually abused D.M., his estranged wife. As to temporal proximity,
“there is no fixed period within which the prior acts must have occurred.” United
States v. Baker, 82 F.3d 273, 276 (8th Cir. 1996). We have allowed admission under
Rule 404(b) for acts committed up to thirteen years before the crime charged. See
United States v. Engleman, 648 F.2d 473, 479 (8th Cir. 1981). Johnson’s
convictions—which took place in 2004 and 2006, eight to ten years before Johnson
was indicted in this case—are therefore sufficiently close in time to the crimes
charged in this case.

       Third, D.M.’s testimony by itself was sufficient evidence to support a finding
that Johnson committed the conduct underlying his prior convictions. See Johnson,
439 F.3d at 953 (finding a single witness’s testimony regarding previous drug
transactions between the witness and the defendant sufficient evidence to support the
jury’s finding that the defendant committed the prior acts of drug dealing). As the
victim of both prior crimes, D.M. had firsthand knowledge of the circumstances
leading to the convictions. Although other parts of D.M.’s testimony may have hurt
her reliability, “we generally leave credibility determinations to the jury.” Id.

                                        -12-
       Finally, D.M.’s testimony about the underlying facts of Johnson’s prior
convictions did not prejudice Johnson to such an extent that reversal is warranted.
In Drapeau, we concluded that the probative value of a victim’s testimony regarding
the facts underlying a defendant’s prior convictions was not substantially outweighed
by the testimony’s prejudicial effect. 827 F.3d at 777. While D.M.’s descriptions of
Johnson’s prior crimes may have prejudiced Johnson, their probative value increased
because the same victim (D.M.) was involved in both of the previous convictions as
well as in this case. See Walker, 428 F.3d at 1170; Littlewind, 595 F.3d at 881
(“[T]he relative probative value of prior crime evidence is increased by the fact that
both offenses were associated with the same victim.” (internal quotation marks
omitted)). Moreover, the district court gave two limiting instructions during trial, and
the jury instructions also reminded the jury that it cannot convict Johnson simply
because he has committed similar acts in the past. See Farish, 535 F.3d at 820 (noting
that limiting instructions diminish the risk of unfair prejudice). We therefore reject
Johnson’s position that the prejudicial impact of D.M.’s testimony substantially
outweighed its probative value. See Johnson, 439 F.3d at 952.

       After carefully considering the elements of Rule 404(b), we conclude that
D.M.’s testimony as to the facts underlying Johnson’s prior convictions was not
clearly irrelevant to the case and was not “introduced solely to show [Johnson’s]
propensity” to commit crimes. See Walker, 428 F.3d at 1169. The district court’s
evidentiary ruling is therefore affirmed.

                              C. D.M.’s Prior Bad Acts

       Johnson next challenges the district court’s exclusion of evidence that D.M.
assaulted Johnson on multiple occasions prior to December 2013. Johnson argues
that the ruling prevented him from effectively cross-examining D.M. in violation of
the Sixth Amendment Confrontation Clause. He also claims that the evidence was
admissible under Rule 404(b) as interpreted by this court in United States v. Gregg,
451 F.3d 930 (8th Cir. 2006). We address each argument in turn.

                                         -13-
       “District courts retain wide latitude insofar as the Confrontation Clause is
concerned to impose reasonable limits on . . . cross-examination based on concerns
about, among other things, harassment, prejudice, confusion of the issues, the
witness’[s] safety, or interrogation that is repetitive or only marginally relevant.”
United States v. Dale, 614 F.3d 942, 956 (8th Cir. 2010) (second alteration in
original) (internal quotation marks omitted). When using the Confrontation Clause
to challenge a limitation on cross-examination, “the defendant must establish that a
reasonable jury might have received a significantly different impression of a witness’s
credibility had counsel been permitted to pursue the proposed line of cross-
examination.” United States v. Petters, 663 F.3d 375, 382 (8th Cir. 2011) (internal
quotation marks omitted). We will affirm “unless there has been a clear abuse of
discretion and a showing of prejudice to the defendant.” Id.

        Through cross-examination of D.M., Johnson was able to establish that (1)
D.M. had no signs of injury when she spoke with law enforcement after fleeing
Johnson’s house; (2) in D.M.’s written statement and in her initial conversations with
police, D.M. did not claim that Johnson had raped her or forced her to engage in
sexual acts; and (3) D.M. had previously lied by claiming that Johnson would not
allow her to go to work the day after one of his alleged assaults when timesheets from
her workplace confirmed that she did in fact work that day. Johnson does not explain
why evidence of D.M.’s alleged prior assaults—which Johnson concedes took place
one to two months before the time period for which Johnson was on trial—would
have caused jurors to form a “significantly different impression” of D.M. or her
credibility. Id. Rather, Johnson had a “full and fair opportunity to probe and expose
. . . infirmities through cross-examination,” and excluding evidence of D.M.’s
unrelated prior bad acts did not “effectively emasculate the right of cross-examination
itself.” United States v. Sigillito, 759 F.3d 913, 937-38 (8th Cir. 2014) (alteration in
original) (internal quotation marks omitted). We therefore reject Johnson’s
Confrontation Clause argument.

                                         -14-
       Johnson has also failed to establish that the evidence should have been
admitted under Rule 404(b) to prove Johnson’s state of mind. As discussed above,
Rule 404(b) allows evidence of prior bad acts to show, among other things, “motive,
opportunity, intent, preparation, plan, [or] knowledge.” While this rule is ordinarily
invoked by the prosecution, in Gregg we explained that a defendant may use Rule
404(b) to introduce evidence of the victim’s specific bad acts to prove the defendant’s
state of mind. 451 F.3d at 935; see also United States v. Bordeaux, 570 F.3d 1041,
1049 (8th Cir. 2009) (“[E]vidence of prior bad acts of the victim are admissible under
Rule 404(b) to establish the defendant’s state of mind and the reasonableness of the
defendant’s use of force.”).

       Johnson’s invocation of Rule 404(b) is misplaced. The defendant in Gregg
sought to introduce specific violent acts by the victim in order to demonstrate the
defendant’s subjective fear of the victim at the time of the offense conduct. 451 F.3d
at 935. Indeed, in every case cited in Gregg’s discussion of Rule 404(b), the
defendant used evidence of the victim’s specific violent acts in order to corroborate
the defendant’s position that he reasonably feared imminent injury from the victim.
See United States v. Milk, 447 F.3d 593, 600 (8th Cir. 2006); United States v. Saenz,
179 F.3d 686, 688 (9th Cir. 1999); Virgin Islands v. Carino, 631 F.2d 225, 230 (3d
Cir. 1980).4 Johnson, however, has not alleged that he feared D.M. or that he acted
in self-defense. To the contrary, Johnson denied D.M.’s allegations and argued that
she was a “scorned woman” bringing false accusations due to jealousy over Johnson’s
new girlfriend. It is unclear why Johnson would need to prove his state of mind
during events that, by Johnson’s account, never occurred. We therefore conclude that
the district court did not abuse its discretion in failing to admit the evidence under
Rule 404(b).


      4
       The court in Gregg also cited United States v. Rocha, 916 F.2d 219, 241 (5th
Cir. 1990), but that case did not involve evidence of a victim’s prior bad acts and is
therefore inapposite.

                                         -15-
                            D. D.M.’s Written Statement

       Johnson’s final evidentiary challenge arises from the introduction of a
statement that D.M. prepared for law enforcement in January 2014, after she escaped
from Johnson. The two-page, handwritten document explained many of the same
incidents that D.M. later testified to at trial. Namely, D.M. wrote that Johnson had
tried to make D.M. kill herself with a knife, used the knife to cut off her clothes,
urinated on her, made her go to the shower where he threw a mirror at her, and
threatened to kill her if she called for help. The statement also contradicted parts of
D.M.’s trial testimony. For example, the statement claimed that Johnson would not
allow D.M. to go to work the day after one of his alleged assaults, when at trial D.M.
admitted that she did in fact go to work that day. Additionally, D.M. did not claim
in the written statement that she had ever been raped or sexually assaulted by
Johnson.

      Over Johnson’s objection the district court admitted the written statement as
an exhibit. Johnson argues that while D.M. was properly allowed to testify about the
written statement, admitting the statement into evidence unfairly prejudiced Johnson
because it allowed D.M. to bolster her own testimony.

      We decline to address the merits of Johnson’s objection. We instead find that,
regardless of whether the district court erred by allowing the written statement as an
exhibit, Johnson’s substantial rights were not affected and therefore reversal is
unwarranted. See United States v. Marrowbone, 211 F.3d 452, 455 (8th Cir. 2000)
(evidentiary rulings that do not affect substantial rights are not reversed). Although
Johnson argues that the statement bolstered the impact of D.M.’s testimony, the
writing in fact supports Johnson’s defense of the aggravated sexual abuse charges,
as the statement does not contain a single allegation that Johnson raped D.M.
Further, on cross-examination Johnson effectively used the written statement to raise
doubt about D.M.’s credibility, including eliciting an admission by D.M. that she had

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lied in the written statement by claiming that Johnson would not allow her to go to
work the day after one of his alleged assaults.

      Thus, while parts of the written statement indeed corroborate D.M.’s testimony,
we conclude that any error in admitting the statement into evidence was harmless.
The district court’s evidentiary ruling on this issue is therefore affirmed.

                        III. The Sentencing Enhancements

       The district court enhanced Johnson’s base offense level for obstruction of
justice, USSG § 3C1.1, and vulnerable victim, USSG § 3A1.1(b)(1). Johnson claims
the court erroneously applied these enhancements, resulting in an incorrect
calculation of his Guidelines range. We review de novo “[t]he legal conclusions a
district court reaches in order to apply an enhancement for purposes of calculating an
advisory [G]uidelines range . . . , while the factual findings underpinning the
enhancement are reviewed for clear error.” United States v. Septon, 557 F.3d 934,
936 (8th Cir. 2009).

                             A. Obstruction of Justice

      Under section 3C1.1 of the Sentencing Guidelines, two levels are added to a
defendant’s base offense level if:

      (1) the defendant willfully obstructed or impeded, or attempted to
      obstruct or impede, the administration of justice with respect to the
      investigation, prosecution, or sentencing of the instant offense of
      conviction, and (2) the obstructive conduct related to (A) the
      defendant’s offense of conviction and any relevant conduct; or (B) a
      closely related offense.

Conduct that occurs before the investigation begins may constitute obstruction of
justice “if the conduct was purposefully calculated, and likely, to thwart the

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investigation or prosecution of the offense of conviction.” USSG § 3C1.1, comment.
(n.1). A defendant qualifies for the obstruction-of-justice enhancement if, for
instance, he “threaten[s] the victim of the offense in an attempt to prevent the victim
from reporting the conduct constituting the offense of conviction.” USSG § 3C1.1,
comment. (n.4(K)).

       The district court concluded that Johnson obstructed justice before the
investigation began by threatening D.M. with a knife while telling her he would kill
her if she called the police or otherwise reached out for help. Johnson objected,
arguing that conduct occurring before the offense is completed cannot be considered
in a court’s determination of the obstruction-of-justice enhancement. He claimed that
his threats to D.M. were part of his offense conduct and therefore cannot be used to
determine that Johnson obstructed justice under the Guidelines.

       We are unaware of any authority for Johnson’s interpretation of the
obstruction-of-justice enhancement. He cites United States v. Stapleton, which held
that an enhancement for obstructing justice may be applied based on the defendant’s
conduct at resentencing. 316 F.3d 754, 758 (8th Cir. 2003). But by definition
resentencing occurs after the offense is completed, and Stapleton therefore has no
bearing on whether the enhancement can be based on conduct occurring before the
offense conduct becomes final.

       In the absence of authority limiting the obstruction-of-justice enhancement to
conduct occurring after the completed offense, we find that Johnson’s threats to D.M.
are precisely what the Guildelines contemplate as “an attempt to prevent [D.M.] from
reporting the conduct constituting the offense of conviction.” USSG § 3C1.1,
comment. (n.4(K)). Accordingly, the district court’s enhancement for obstruction of
justice is affirmed.




                                         -18-
                                B. Vulnerable Victim

       Section 3A1.1(b)(1) prescribes a two-level sentencing enhancement “[i]f the
defendant knew or should have known that a victim of the offense was a vulnerable
victim.” A “vulnerable victim” is one “who is unusually vulnerable due to age,
physical or mental condition, or who is otherwise particularly susceptible to the
criminal conduct.” USSG § 3A1.1, comment. (n.2). This enhancement is not meant
to apply “if the factor that makes the person a vulnerable victim is incorporated in the
offense guideline.” Id.

       The district court found that D.M. was particularly susceptible to Johnson’s
assaults because Johnson had subjected her to further assaults by removing her
clothing with a knife, and because the assaults took place in an isolated area during
the winter months of South Dakota, which prevented her from escaping without risk
of freezing or frostbite. Johnson argues that these factors reflect the same conduct
that led the district court to enhance his sentence for committing rape by the use of
force under USSG § 2A3.1(b)(1), and therefore the court engaged in “double
counting” by applying the vulnerable victim enhancement. We disagree.

       “Impermissible double counting occurs when precisely the same aspect of a
defendant’s conduct factors into his sentence in two separate ways.” United States
v. Strong, 826 F.3d 1109, 1116 (8th Cir. 2016) (emphasis added) (internal quotation
marks omitted). Here, giving “due deference to the district court’s application of the
[G]uidelines to the facts,” we conclude that the court did not consider “precisely the
same” conduct when applying sentencing enhancements for vulnerable victim and
rape by force. See id. While the fact that Johnson used a knife to cut off D.M.’s
clothes may reasonably be considered part of the conduct underlying the rape by force
enhancement, the isolated location of the abuse and risk of freezing upon attempting
escape are clearly related only the vulnerable victim analysis.



                                         -19-
       Because the vulnerable victim enhancement was based on factors separate and
distinct from the other sentencing enhancements, the district court did not commit
unlawful double counting. See id. The vulnerable victim enhancement is therefore
affirmed.

                                  IV. Conclusion

       For these reasons, we reject Johnson’s challenges to the district court’s
evidentiary rulings and its application of sentencing enhancements for obstruction of
justice and vulnerable victim. The district court is affirmed in all respects.
                       ______________________________




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