          United States Court of Appeals
                     For the First Circuit

No. 12-1791

                    UNITED STATES OF AMERICA,

                            Appellee,

                               v.

                           DAVID FISH,

                      Defendant, Appellant.



          APPEAL FROM THE UNITED STATES DISTRICT COURT
                FOR THE DISTRICT OF MASSACHUSETTS

          [Hon. Michael A. Ponsor, U.S. District Judge]




                             Before

                  Torruella, Dyk,* and Kayatta,
                         Circuit Judges.



     Thomas J. O'Connor, Jr., for appellant.
     Alex J. Grant, Assistant United States Attorney, with whom
Carmen M. Ortiz, United States Attorney, was on brief, for
appellee.



                        February 26, 2014




     *
      Of the Federal Circuit, sitting by designation.
          KAYATTA, Circuit Judge.     Federal law makes it a crime to

possess body armor after having been convicted of a "crime of

violence" as defined in 18 U.S.C. § 16 ("section 16").        See 18

U.S.C. § 931.   Appellant David Fish possessed body armor after

having been convicted of several crimes, and the district court

ruled that at least one of those several offenses qualified as a

crime of violence under section 16.      Following that ruling, Fish

entered a conditional plea of guilty, reserving the right to

challenge on this timely appeal the determination that he had

previously been convicted of a crime of violence.

          In defense of the district court's determination, the

government points to four crimes under Massachusetts law for which

Fish had previously been convicted:     breaking and entering in the

daytime, see Mass. Gen. Laws ch. 266, §§ 17-18, breaking and

entering at night, see id. § 16, assault and battery with a

dangerous weapon, see id. ch. 265, § 15A(b), and possession of a

burglarious instrument, see id. ch. 266, § 49.       Notwithstanding

their aptly-styled titles, we find that none of those crimes, as

defined under Massachusetts law, qualifies as a crime of violence

under section 16.   We therefore reverse Fish's conviction.

                             I. Facts

          The following facts are taken from the prosecution's

presentation at Fish's plea colloquy.        At the colloquy, Fish




                                -2-
admitted to all facts necessary to support his guilty plea.                          The

facts are uncontested on appeal.

            On June 18, 2009, Fish, who was working as an auto

mechanic at a repair shop in Pittsfield, Massachusetts, reported to

the Pittsfield Police Department that someone had broken into a

police vehicle that had been left at the shop for repair.                          After

examining the vehicle, police discovered that several bulletproof

vests were missing.       In early July, the department learned through

a   cooperating     witness      that   Fish      was   offering      to    sell     six

bulletproof vests.        An undercover officer contacted Fish through

the   cooperating      witness    and   purchased       five      vests,    which    the

department afterwards identified as five of the vests that had been

stolen    from   its    vehicle.        The       vests,    manufactured      outside

Massachusetts,      had     traveled         interstate      for     sale     in     the

Commonwealth.

            A federal grand jury eventually returned an indictment

charging Fish with a single count of possessing body armor in

violation of 18 U.S.C. § 931(a), the federal body armor statute,

which prohibits any person who "has been convicted of a felony that

is . . . a crime of violence (as defined in [section 16])" from

possessing body armor that has been "sold or offered for sale[] in

interstate or foreign commerce." See also 18 U.S.C. §§ 921(a)(35).

Fish moved to dismiss the indictment, claiming that none of his

prior    convictions      qualified     as    a    "crime    of    violence"       under


                                        -3-
section 16, and that the body armor statute was unconstitutional.

In response, the government argued that Fish's convictions for

assault and battery with a dangerous weapon and breaking and

entering all qualified as crimes of violence under section 16, and

that the body armor statute was constitutional.

              The district court denied the motion to dismiss, finding

that "[a]t a minimum, the convictions for breaking and entering

satisfy the requirement[s of section 16]." The court also rejected

Fish's   challenge     to   the   constitutionality     of   the    body   armor

statute.       Fish entered a conditional guilty plea under Rule

11(a)(2) of the Federal Rules of Criminal Procedure, preserving his

right to challenge on appeal the district court's denial of his

motion to dismiss the indictment.            On June 7, 2012, the district

court entered a final judgment, sentencing Fish to forty-eight

months' probation, with ten months to be served in a community

corrections facility.        This appeal followed.

                            II. Standard of Review

              Whether a prior conviction is a qualifying offense under

section 16 is a question of law that we review de novo.             See Aguiar

v. Gonzales, 438 F.3d 86, 88 (1st Cir. 2006).

                                  III. Analysis

              The difficulty posed by this and similar cases arises

from the fact that there is no master list of offenses that qualify

as   crimes    of   violence.      Rather,    section   16   sets   forth    two


                                       -4-
qualitative definitions of the term "crime of violence," leaving it

to the courts to measure each crime against these definitions,

which read as follows:

          (a) an offense that has as an element the use,
     attempted use, or threatened use of physical force
     against the person or property of another, or

          (b) any other offense that is a felony and that, by
     its nature, involves a substantial risk that physical
     force against the person or property of another may be
     used in the course of committing the offense.

18 U.S.C. § 16.

           The candidates for satisfying these definitions are

legion and varied.   Each state defines its own crimes, generally

without reference to (and often, we presume, without knowledge of)

the section 16 definitions.     Similar-sounding crimes may have

different elements from state to state.     E.g., Sykes v. United

States, 131 S. Ct. 2267, 2295 (2011) (Kagan, J., dissenting).   The

elements of each crime may be defined by statute, e.g., Mass. Gen.

Laws ch. 266, § 16, or by case law, e.g., Commonwealth v. Burno,

396 Mass 622, 625 (1986) (discussing the elements of Mass. Gen.

Laws ch. 265, § 15A).

           Compounding the difficulty of working with section 16's

two qualitative definitions is the fact that Congress has also

adopted an entirely separate, but quite similar, definition of the

term "violent felony" as used in the Armed Career Criminal Act, 18

U.S.C. § 924(e) ("ACCA").      ACCA defines "violent felony" as

follows:

                                -5-
          [T]he term "violent felony" means any crime
     punishable by imprisonment for a term exceeding one year
     . . . that

     (i) has as an element the use, attempted use, or
     threatened use of physical force against the person of
     another; or

     (ii) is burglary, arson, or extortion, involves use of
     explosives, or otherwise involves conduct that presents
     a serious potential risk of physical injury to another.

          The partially overlapping, two-pronged definitions of the

terms "crime of violence" and "violent felony" have given rise to

multiple lines of precedent, each offering both the advantages and

the limitations of cross-over application by analogy. E.g., United

States v. Leahy, 473 F.3d 401, 412 (1st Cir. 2007) (noting that

although we and the Supreme Court have treated the "risk of

physical injury" provisions as reaching conduct beyond the scope of

section 16(b), neither our decisions nor the Supreme Court's "in

any way suggest[] that the reverse is true").       Adding further

insight, but perhaps further confusion as well, the United States

Sentencing Guidelines define the term "crime of violence" using

language that is almost, but not quite, the same as the language

that ACCA uses to define the term "violent felony."   See U.S.S.G.

§ 4B1.2 (defining "crime of violence" under the career offender

guideline); compare United States v. Willings, 588 F.3d 56, 58 n.2

(1st Cir. 2009) ("[T]he terms 'crime of violence' under the career

offender guideline and 'violent felony' under the ACCA are nearly

identical in meaning, so that decisions construing one term inform


                               -6-
the construction of the other.") with United States v. Giggey, 551

F.3d 27, 36 (1st Cir. 2008) (en banc) (pointing out differences).

            A third and greater complexity arises from the fact that

many crimes are defined in a manner broad enough to cover both

conduct   that   clearly   meets   one   or   both   of   the   section   16

definitions and conduct that clearly does not.            For example, in

Massachusetts, the broad definition of simple assault and battery

encompasses both a devastating beating and a tap on the shoulder.

See generally United States v. Holloway, 630 F.3d 252 (1st Cir.

2011) (discussing the Massachusetts simple assault and battery

statute).

            The Supreme Court has grappled repeatedly with this third

complexity, establishing and then refining a set of rules to be

employed in classifying a defendant's prior offenses of conviction.

These rules derive in great part from the need to honor the

requirements of the Sixth Amendment's right to jury trial.           Their

principal purpose is to ensure that before we send a person to jail

for doing "X," either the person must admit to "X" or a jury (or

jury-waived court) must convict the person of doing "X" following

a fair trial.      See Shepard v. United States, 544 U.S. 13, 24

(2005).

            The first set of rules to be applied forms what is known

as the "categorical" approach. Aguiar v. Gonzales, 438 F.3d 86, 88

(1st Cir. 2006).    The categorical approach requires an assessment


                                   -7-
of "the elements of the statute of conviction, not . . . the facts

of each defendant's conduct."           Taylor v. United States, 495 U.S.

575, 601 (1990).          In other words, without regard to the specific

facts of each defendant's offense, we compare the elements of the

crime       for   which   the   defendant   was   previously   convicted   with

Congress's definition of the type of crime that may serve as a

predicate offense.          Under this approach, we "look[] only to the

statutory definition of the state crime and the fact of conviction

to determine whether the conduct criminalized by the statute,

including the most innocent conduct, qualifies as a crime of

violence."        Karimi v. Holder, 715 F.3d 561, 567 (4th Cir. 2013)

(internal quotation marks omitted); see also Aguiar, 438 F.3d at

89.   For example, if a state defines the elements of burglary so as

not to require unlawful entry, such that its statute encompasses

both shoplifting and a classic midnight break-in of a bank, then

under the categorical approach a conviction under that law is not

considered to be a conviction for so-called "generic" burglary.

Descamps v. United States, 133 S. Ct. 2276, 2281, 2293 (2013)

(defining the "generic" version of a crime as "the offense as

commonly understood"); Shepard, 544 U.S. at 16-18.1



        1
        In the context of statutes other than section 16, courts
are occasionally tasked with defining an offense by the full range
of conduct it proscribes, inquiring not into whether that conduct
is overbroad, but instead into whether it "typically" involves
certain characteristics. See Begay v. United States, 553 U.S. 137
(2008).

                                        -8-
           A second set of rules recognizes an exception to the

categorical approach.      If an offense's elements are overbroad--if,

that is, they encompass conduct that does not require all the

elements necessary to render the offense a predicate--we are

sometimes authorized to apply the "modified" categorical approach.

Under   that   approach,    we   first    determine   whether   the   prior

conviction took place under a "divisible" statute.          Descamps, 133

S. Ct. at 2281-82.   A statute is divisible if it sets forth one or

more elements of a particular offense in the alternative. Id. ("[A

divisible] statute sets out one or more elements of the offense in

the alternative--for example, stating that burglary involves entry

into a building or an automobile.").         When confronted with such a

statute, we are permitted to "consult a limited class of documents,

such as indictments and jury instructions, to determine which

alternative formed the basis of the defendant's prior conviction."

Id.; see also Shepard, 544 U.S. at 17, 26.            We then analyze the

prior conviction not in relation to all the statute's elements, but

instead in relation only to the narrower subset of elements that

actually gave rise to the conviction.         E.g., Descamps, 133 S. Ct.

at 2281-82.

           Third, in assessing whether the elements of the candidate

proposed as a predicate crime are overbroad, we need not consider

fanciful, hypothetical scenarios.         See Gonzales v. Duenas-Alvarez,

549 U.S. 183, 193 (2007) ("[T]o find that a state statute creates


                                    -9-
a crime outside the generic definition of a listed crime in a

federal   statute   requires    more   than     the    application   of    legal

imagination to a state statute's language. It requires a realistic

probability, not a theoretical possibility, that the State would

apply its statute . . . . ");      see also James v. United States, 550

U.S. 192, 208 (2007) ("We do not view [the categorical approach] as

requiring that every conceivable factual offense covered by a

statute must necessarily present a serious potential risk of injury

before the offense can be deemed a violent felony.").              But the two

approaches   remain   stringent:    they   are    governed    by     the   basic

principle that a state's definition of a crime is overbroad if its

elements allow for a conviction without satisfying the elements

Congress has provided to define the required predicate offense.

See generally Descamps, 133 S. Ct. at 2283-85 ("[I]f the statute

sweeps more broadly than the generic crime, a conviction under that

law cannot count as an ACCA predicate, even if the defendant

actually committed the offense in its generic form."); Taylor, 495

U.S. at 599 ("If the state statute is narrower than the generic

view . . . the conviction necessarily implies that the defendant

has been found guilty of all the elements of generic burglary. And

if the defendant was convicted of burglary in a State where the

generic definition has been adopted, with minor variations in

terminology, then the trial court need find only that the state

statute   corresponds   in     substance   to    the    generic    meaning    of


                                   -10-
burglary.").   With these rules in mind, we turn now to analyzing

whether any of the four crimes to which the government points

qualifies as a crime of violence under section 16.

A.   Daytime and Nighttime Breaking and Entering

           Because the district court based its judgment on Fish's

prior convictions for "B&E Daytime Felony" under an unidentified

statute and for breaking and entering a building in the nighttime

with the intent to commit a felony, see Mass. Gen. Laws ch. 266,

§ 16, we begin our analysis by considering the applicability of

section 16 to these offenses.    The government's brief on appeal

argues that even though the records of the former conviction state

only that Fish was convicted of a "B&E Daytime," one could conclude

from them that Fish had been convicted under a statute, Mass. Gen.

Laws ch. 266, § 17, which requires as an element that a person

lawfully in the structure broken into have been put in fear.

Before oral argument, however, the government submitted a Rule

28(j) letter in which it withdrew that interpretation of the

records of conviction. Then, at oral argument, the government said

it had "trouble making sense of" the records of conviction as they

related to the statute, ultimately conceding that we should analyze

the least culpable conduct that qualifies as daytime B&E, see

Aguiar v. Gonzales, 438 F.3d 86, 88 (1st Cir. 2006).   Because that

conduct overlaps in all material respects with nighttime B&E, we

analyze the two offenses together.


                                -11-
           Both daytime and nighttime B&E may be committed by

breaking into a "building, ship, vessel or vehicle."         Id. at § 16;

see also id. at § 18 (" . . . building, ship or motor vehicle or

vessel . . . ").   Presumably because the breaking need not involve

the use of force, e.g., Commonwealth v. Burke, 392 Mass. 688, 688-

90 (1984), but instead may involve simply walking through an

unlocked door, see Commonwealth v. Tilley, 355 Mass. 507, 508

(1969), the government does not argue that either of Fish’s B&E

convictions qualifies as a crime of violence under section 16(a),

which is limited to felonies having "as an element," the "use,

attempted use, or threatened use of physical force."         We therefore

limit our analysis to section 16(b), which applies to all felonies

that, by their nature, "involve[] a substantial risk that physical

force against the person or property of another may be used."

           Though the applicability of section 16(b) to the two

Massachusetts B&E offenses is a question of first impression in

this circuit, our analysis does not take place on a blank slate. In

United States v. Brown, 631 F.3d 573 (1st Cir. 2011), we analyzed

the nighttime B&E statute and held that, even as narrowed under the

modified   approach   to   include    only   "night-time   burglary   of   a

building," nighttime B&E did not qualify as a "crime of violence"

under the residual clause of the career offender provision of the




                                     -12-
sentencing guidelines, U.S.S.G. § 4B1.2.2       A year later, we held in

United States v. Farrell, 672 F.3d 27, 37 (1st Cir. 2012), that in

light of Brown, a district court had committed plain error by

holding that Massachusetts' section 18, the daytime B&E statute,

was a "violent felony" under the Armed Career Criminal Act, 18

U.S.C. § 924(e).

             We based our holding in Brown almost entirely on the

breadth   of   the   "building"   element   under   Massachusetts   law.

Acknowledging that the term "includes not just stores and office

buildings but an array of structures--detached garages and storage

facilities, for example--that may invite theft of property but

would only rarely expose individuals to violence," we found the

"threat of violence" in "so broadly defined a universe" to be

"fairly speculative."       631 F.3d at 79.   Then, in Farrell, when we

considered the "building" element alongside the possibility of

"ship" and "vessel" break-ins, we found that the Brown rationale

"applie[d] with even more force."         672 F.3d at 35.   We noted that

"happening upon a person is far less likely to take place while

breaking and entering a vessel than it is while burglarizing a

building."     Id. at 37.




     2
         The guidelines provision covers any offense that "is
burglary of a dwelling, arson, or extortion, involves use of
explosives, or otherwise involves conduct that presents a serious
potential risk of physical injury to another." Id.

                                   -13-
            The government concedes the correctness of Brown and

Farrell, but asks us to limit those holdings on the ground that,

unlike section 16(b), neither ACCA nor the guidelines provision

takes account of the risk of the use of force against property.

This   is   a   fair   point.     The    problem,    though,    is   that   the

Massachusetts offense plainly does not require any conduct that

involves or substantially risks the use of force against property.

Rather, it reaches such non-forceful acts as walking through an

unlocked door without permission.             See Tilley, 355 Mass. at 508

("In this Commonwealth the opening of a closed but unlocked door or

window is a breaking." (internal quotation marks omitted)).                 And

since we are limited to our common sense--the government has given

us nothing else on which to rely--we must view it as entirely

plausible that the offense frequently involves such conduct (which

is presumably why police frequently remind property owners to lock

doors and windows).

            This conclusion likewise dooms the government's final

argument, that we should write off as not the "ordinary case" any

application of the Massachusetts statutes to conduct that does not

pose the relevant risks.        Without an empirical foundation for its

proposed    application    of    the     "ordinary   case"     approach,    the

government directs our attention to the Supreme Court’s suggestion

in Leocal v. Ashcroft, 543 U.S. 1, 10 (2004), that generic burglary

is the prototypical section 16(b) offense.           At oral argument, the


                                       -14-
government pressed the analogy to Leocal, implying that Leocal's

discussion had turned on the risk of violence to property.        But

that opinion, though it discussed section 16(b) in great depth, did

no such thing.   Rather, the Supreme Court suggested that burglary

of a building is a section 16 offense because it "involves a

substantial risk that the burglar will use force against a victim,"

not because it raises any concern about harm to property.   Id.   And

since we already held in Brown and Farrell that the breaking and

entering statutes at issue here are broader than generic burglary

and do not present a requisite risk of the type with which Leocal

was in fact concerned--that is, the risk of harm to persons--we

fail to see how Leocal supports the government’s position.

           Having twice determined that the Massachusetts breaking

and entering statutes, applying as they do to nonviolent entries of

rarely-occupied structures through unlocked doors or windows, do

not necessarily involve conduct that would pose a risk of physical

injury or of the use of force, we now hold that Fish's prior

convictions for daytime B&E and nighttime B&E are not categorically

crimes of violence under section 16(b).

B.   Assault and Battery with a Dangerous Weapon

           The next offense to which the government points is the

Massachusetts crime of assault and battery with a dangerous weapon

("ABDW"), Mass. Gen. Laws ch. 265, § 15A(b).       The name of this

offense marks it as a strong candidate for classification as a


                               -15-
crime of violence.     Indeed, convictions for ABDW often arise from

the intentional use of dangerous force against another, causing

serious injury.    E.g., Commonwealth v. Vick, 454 Mass. 418 (2009)

(shooting with intent to murder and causing serious bodily injury).

           The government, with good reason, nevertheless declines

to argue that ABDW qualifies under section 16(a).              As we have

noted, section 16(a) requires that a predicate offense have "as an

element the use, attempted use, or threatened use of physical

force."   The Supreme Court recently held, in the context of ACCA's

force   clause,   18   U.S.C.   §   924(e)(2)(B)(i),   that   "the   phrase

'physical force' means violent force," see Johnson v. United

States, 559 U.S. 133, 140 (2010), and we see no reason to think the

same would not apply to the same phrase in section 16(a).              And

since ABDW may be accomplished by a mere "touching, however

slight," see United States v. Hart, 674 F.3d 33, 42 (1st Cir.




                                    -16-
2012), it does not have "as an element the use" of physical force.3

As a result, it is overbroad.

            The government therefore focuses its argument on section

16(b),   which   contains   no   requirement   that   violent   force   be

employed.     Section 16(b) does, however, require a "substantial

risk" that physical force "may be used" in the course of committing

an offense.      In theory, it might be possible to construe the

reference to the "use[]" of force so broadly as to encompass

offenses involving strict liability, negligence, or recklessness,

so long as some adequate level of violent impact were involved.

Just such a construction was urged on the Supreme Court in Leocal

v. Ashcroft, 543 U.S. 1, 9 (2004), a section 16(b) case involving

a Florida conviction for driving under the influence and causing



     3
         As we explained in Hart,

     Massachusetts ABDW may be committed (1) intentionally or
     (2) wantonly or recklessly. The former theory requires
     the intentional and unjustified use of force upon the
     person of another, however slight. The latter calls for
     the intentional commission of a wanton or reckless act
     (something more than gross negligence) causing physical
     or bodily injury to another. In the case of reckless or
     wanton ABDW, the victim's injury must be more than
     transient or trifling and severe enough to interfere with
     health or comfort.

674 F.3d at 43 n.7 (citations and internal quotation marks
omitted). Both theories of ABDW require that the offense involve
the employment of a dangerous weapon, but the definition of
"dangerous weapon" includes both items that are dangerous "per se"
and otherwise innocuous items that, as used, are "capable of
producing serious bodily harm."      Id. at 42-43 (citation and
internal quotation marks omitted).

                                   -17-
bodily injury.          The Court, however, rejected the government's

argument that "the 'use' of force does not incorporate any mens rea

component."       Id.     Rather, it reasoned, "'use' requires active

employment," because "[w]hile one may, in theory, actively employ

something in an accidental manner, it is much less natural to say

that a person actively employs physical force against another

person by accident." Id. at 9-10 (emphasis in original). Although

the Supreme Court explicitly limited its reasoning to negligence-

or-less crimes, Leocal's rationale would seem to apply equally to

crimes encompassing reckless conduct wherein force is brought to

bear accidentally, rather than being actively employed.                 It is

therefore not surprising that our sister circuits have concluded,

with   striking    uniformity,    that   section   16(b)   does   not   reach




                                    -18-
recklessness offenses.4    On the force of Leocal's logic, we hold

the same.

            So the key question is whether Massachusetts ABDW allows

convictions based on mere recklessness. The answer is clearly yes,

as long as the recklessness causes non-trivial bodily harm.   E.g.,

Commonwealth   v. Burno, 396 Mass. 622 (1986).        Indeed, "[i]n

Massachusetts, conduct that underlies a conviction for operating

under the influence and causing serious bodily injury may also be


     4
        See Jobson v. Ashcroft, 326 F.3d 367, 373 (2d Cir. 2003);
Tran v. Gonzales, 414 F.3d 464, 469-70 (3d Cir. 2005) ("[U]se of
force is an intentional act."); Bejarano-Urrutia v. Gonzales, 413
F.3d 444, 447 (4th Cir. 2005) ("[T]he conclusion of the Leocal
Court that 'in no ordinary or natural sense can it be said that a
person risks have to use physical force against another person in
the course of operating a vehicle while intoxicated and causing
injury' strongly indicates that the result in Leocal would have
been the same even had a violation of the statute there at issue
required recklessness rather than mere negligence."); United States
v. Chapa-Garza, 243 F.3d 921 (5th Cir. 2001) (felony driving while
intoxicated does not qualify under section 16 because it does not
necessarily involve intentional use of force or recklessness as to
the possibility of intentional use of force); United States v.
Portela, 469 F.3d 496 (6th Cir. 2006) ("[A] crime requiring only
recklessness does not qualify as a 'crime of violence' under 18
U.S.C. § 16."); Jimenez-Gonzalez v. Mukasey, 548 F.3d 557, 560 (7th
Cir. 2008) ("Today we join our sister circuits and hold that
reckless crimes are not crimes of violence under Section 16(b)");
United States v. Torres-Villalobos, 487 F.3d 607, 615 (8th Cir.
2007) (reckless manslaughter not a "crime of violence" after
Leocal); Fernandez-Ruiz v. Gonzales, 466 F.3d 1121, 1129-30 (9th
Cir. 2006) (cited in Covarrubias Teposte v. Holder, 632 F.3d 1049
(9th Cir. 2010) (intentionally discharging firearm with reckless
disregard as to whether it will hit an inhabited dwelling is not a
crime of violence)); United States v. Zuniga-Soto, 527 F.3d 1110,
1124 (10th Cir. 2008) ("[R]ecklessness falls into the category of
accidental conduct that the Leocal Court described as failing to
satisfy the use of physical force requirement under either of
§ 16's definitions of 'crime of violence.'"); United States v.
Palomino Garcia, 606 F.3d 1317, 1335-36 (11th Cir. 2010).

                                -19-
charged as ABDW."     Hart, 674 F.3d at 43 n.8 (1st Cir. 2012).       The

government does not challenge the accuracy of this description of

Massachusetts ABDW.    Instead, the government argues that, in fact,

Massachusetts ABDW is typically applied to conduct involving the

active employment of force against another, so we should simply

ignore, as not the "ordinary case," convictions involving mere

recklessness.

           In support of this position, the government relies on

United States v. Hart, 674 F.3d 33, 41-44 (1st Cir. 2012), in which

we determined that Massachusetts ABDW qualifies as a "violent

felony"   under   ACCA's   residual   clause.     In   analyzing   ACCA's

applicability to the ABDW offense, we first found that ABDW posed

a "serious risk of injury, comparable to the degree of risk posed

by [ACCA's] enumerated offenses."       Id.   Clearly ABDW does, in all

of its applications (and thus in the "ordinary case," see James v.

United States, 550 U.S. 192, 208 (2007)), pose such a risk--even in

its reckless form, which expressly requires injury that is "more

than transient."    Burno, 396 Mass. at 627; see also United States

v. Glover, 558 F.3d 71, 81 (1st Cir. 2009) (concluding that because

ABDW requires as an element that a defendant have effected a

touching with a dangerous weapon, the offense "ineluctably poses a

serious potential risk of physical injury").       Equally clearly, and

contrary to the dissent's suggestion that section 16(b) "does not

differ from the ACCA's residual clause in any relevant respects,"


                                 -20-
see Dissenting Op. at 43, this is not the risk that must be

assessed in a section 16(b) analysis.           See Leocal, 543 U.S. at 10

n.7 (holding that section 16(b) "plainly does not encompass all

offenses which create a 'substantial risk' that injury will result

from a person's conduct", because "[t]he 'substantial risk' in

§ 16(b) relates to the use of force, not to the possible effect of

a person's conduct"); Aguiar, 438 F.3d at 88.

            Having determined that ABDW posed a sufficient risk of

injury to qualify under ACCA's residual clause, we proceeded,

pursuant to the Supreme Court's analysis in Begay v. United States,

553 U.S. 137, 142 (2008), to inquire into whether ABDW was "roughly

similar in kind to the [offenses enumerated in ACCA's residual

clause]."   Hart, 674 F.3d at 43-44; see also Begay, 553 U.S. at 143

("[T]o   give   effect   to   every    clause   and   word   [of   18   U.S.C.

§ 924(e)(2)(B)(ii)], we should read the [example crimes in section

924(e)(2)(B)(ii)] as limiting the crimes that clause (ii) covers to

crimes that are roughly similar, in kind as well as in degree of

risk posed, to the examples themselves." (internal citation and

quotation marks omitted)).       In order to satisfy Begay's test for

"rough[]" similarity to burglary, arson, extortion, and crimes

involving the use of explosives--crimes that are listed in ACCA,

but not in section 16(b)--an offense must "typically involve

purposeful, violent and aggressive conduct." Hart, 674 F.3d at 43-

44 (quoting Begay, 553 U.S. at 144-45) (internal quotation marks


                                      -21-
omitted).   Over protest from the defendant to the effect that ABDW

is occasionally applied to reckless conduct--and, in particular, to

reckless driving causing injury--we found that such a fact pattern

did not "represent the vast majority of ABDW convictions,"                    674

F.3d at 44, and could therefore not defeat the conclusion that ABDW

was "typically" purposeful, violent, and aggressive.                  Id.

            We   need   not     question   Hart's     holding    as    to   ABDW's

similarity to ACCA's listed offenses.          But that holding, based as

it is on an inquiry into whether ABDW is "typically purposeful,

violent, and aggressive," cannot establish that ABDW satisfies

section 16(b).      To the extent that the "typically purposeful,

violent, and aggressive" test requires that an offense involve

purposefulness     at   all,5    the   test   looks    only     to    the   "usual

circumstances of the crime." See 674 F.3d at 44 ("'Adjectives like

"purposeful" and "aggressive" denote qualities that are ineluctably

manifested in degree and appear in different                    combinations.'"

(quoting United States v. Williams, 529 F.3d 1, 7 n.7 (1st Cir.

2008)).   Section 16(b), by contrast, requires that an offense, in


     5
        Though the phrase "purposeful, violent, and aggressive"
would seem, on its face, to require purposefulness, violence, and
aggression, it is by now well-established that the test may be
satisfied by any offense that "contemplates purposefulness, but not
necessarily conduct that is deliberately violent or aggressive as
a matter of course." Hart, 674 F.3d at 44 n.9; see also United
States v. Williams, 529 F.3d 1, 7 n.7 (1st Cir. 2008) (noting that
even ACCA's example crimes "satisfy [the 'purposeful, violent, and
aggressive'] requirements only in some measure" and that drug
trafficking crimes, which "involve purposeful conduct but are only
sometimes violent or aggressive," may satisfy Begay).

                                       -22-
every realistically probable application, involve a substantial

risk that physical force will be brought to bear in a manner such

that it can be said to have been "used."        See Leocal, 543 U.S. at

8-12; Gonzales v. Duenas-Alvarez, 549 U.S. 183, 193 (2007) ("[To

find that a state statute is overbroad] requires a realistic

probability, not a theoretical possibility, that the State would

apply its statute to conduct that falls outside the generic

definition of a crime.      To show that realistic probability, an

offender,    of   course,   may   show   that    the   statute   was   so

applied . . . "); see also James v. United States, 550 U.S. 192,

208 (2007) (citing Duenas-Alvarez with approval and noting that

"[o]ne can always hypothesize unusual cases in which even a

prototypically violent crime might not present a genuine risk of

injury--for example, an attempted murder where the gun, unbeknownst

to the shooter, had no bullets.").

            Finding no comfort in Hart's holding, the government

points out that our opinion in Hart employed language that can be

read to go beyond what Begay required.            Specifically, Hart's

analysis of the "purposeful, violent, and aggressive" test contains

the following references to the "ordinary case":

     It is true that an ABDW conviction may rest on a
     recklessness theory, and it is not insignificant that
     reckless ABDW may be committed with a seemingly innocent
     object used in a dangerous fashion, as in the case of
     reckless, vehicular ABDW. But this fact pattern does not
     represent the vast majority of ABDW convictions, and our
     analysis under the residual clause is explicitly, and


                                  -23-
     necessarily, limited to the "ordinary case."        James v.
     United States, 550 U.S. 192, 208 (2007).
     . . .

          . . . In considering the 'ordinary case []' of ABDW,
     James, 550 U.S. at 208, we must conclude that a composite
     of purposeful, violent, and aggressive conduct is the
     norm. See Begay, 553 U.S. at 144-45.

674 F.3d at 43-44 (some citations omitted).      The government argues

that this language, in combination with Hart's citations to James,

should be read as license to use the "ordinary case" approach to

ignore reckless ABDW in determining whether Massachusetts ABDW

satisfies the section 16(b) test.        For the following reasons, we

disagree.

            As an initial matter, the license the government would

draw from this language rests on dictum.        As we have explained,

Begay's test for similarity to ACCA's enumerated offenses was never

intended to operate as a rigorous comparison between the conduct

necessarily underlying a prior conviction and the conduct described

in a recidivist statute.    See Sykes v. United States, 131 S. Ct.

2267,   2275   (2011)   ("The   phrase    'purposeful,   violent,   and

aggressive' has no precise textual link to the residual clause.").

Rather, after first employing the categorical approach to define

the elements of an offense without reference to the actual facts of

a defendant's conduct, Begay trains its focus on whether that

offense is, in addition to meeting ACCA's textual requirement,

"roughly similar" to the offenses listed in ACCA, so as to avoid

the absurd application of ACCA to crimes that "though dangerous,

                                 -24-
are not typically committed by those whom one normally labels

'armed career criminals.'"       Begay, 553 U.S. at 146.          Because our

observation   in   Hart   that   reckless,   vehicular     ABDW    "does   not

represent the vast majority of ABDW convictions" was enough to

satisfy this permissive standard, it was unnecessary to further

inquire into whether the "ordinary case" of ABDW involves a risk of

the "use" of physical force as required by Leocal.          Any conclusion

we drew as to that question would, as dictum, therefore not bind us

here.   See Koseiris v. Rhode Island, 331 F.3d 207, 213 (1st Cir.

2003) ("Dicta, of course, is not binding on future panels."); see

also Diaz-Rodriguez v. Pep Boys Corp., 410 F.3d 56 (1st Cir. 2005)

("[A]lthough a newly constituted panel ordinarily may not disregard

the decision of a previous panel, principles of stare decisis do

not preclude us from disclaiming dicta in a prior decision.");

Pierre N. Leval, Judging Under the Constitution: Dicta About Dicta,

81 N.Y.U. L. Rev. 1249, 1263 (2006) ("Among the most common

manifestations of disguised dictum occurs where the court ventures

beyond the issue in controversy to declare the solution to a

further problem--one that will arise in another case, or in a later

phase of the same case.").

          The      government    concedes    that   Hart     is,     "to    be

sure, . . . not dispositive" of this case, and we take that

concession at face value.        The dissent, however, overshoots the

government, proposing that we transform the Begay test--an inquiry


                                   -25-
designed to narrow ACCA's application even when a crime, in all its

actual applications, poses the risk that ACCA's text requires--into

one that broadens section 16(b)'s application.           For this simple

reason, we cannot accede to the dissent's suggestion that Begay's

focus on the "usual circumstances" of an offense now binds us to

conclude that everything outside those "usual circumstances" is, in

James's terms, "hypothesize[d]."         See James, 550 U.S. at 208.6

Neither James nor Begay suggests such an approach, and to adopt it

would be to abandon section 16(b)'s requirements in favor of an

ill-fitting and less demanding test designed to accommodate the

text, purpose, and legislative history of a materially different

statute.   Such   a   result   simply    cannot   be   what   Begay,   which




     6
        The dissent suggests that "the examples of 'unusual' cases
that James gave are not so far-fetched." See Dissenting Op. at 46.
But James gave no examples of merely "unusual" cases.        Rather,
James made clear that the examples it provided were of
"hypothesize[d] unusual" cases, see 550 U.S. at 208 (emphasis
added), provided in order to demonstrate only that "ACCA does not
require metaphysical certainty" that a defendant's underlying
conduct would have met a federal recidivist statute's requirements.
Id. (citing Duenas-Alvarez, 550 U.S. at 193). Notwithstanding our
dissenting colleague's objection to the examples provided in James,
that case's warning against relying on imagined, hypothetical
scenarios has no application here, because the defendant points to
cases in which the ABDW statute has in fact been applied to conduct
falling outside section 16(b)'s bounds.

                                  -26-
mentioned the "risk" inquiry only to demonstrate that it was not

the inquiry at issue, had in mind.7

              Our analysis under section 16(b) is therefore governed by

James, Duenas-Alvarez, and Leocal, not by Begay.                 And in defining

the "ordinary case" as it applies to the "risk" inquiry, James

explains that sentencing courts may disregard only "hypothetize[d]"

factual scenarios.        550 U.S. at 208.       Duenas-Alvarez, which James

cites in the course of its explanation of the "ordinary case,"

likewise permits exclusion only of applications that exist solely

in "legal imagination."           549 U.S. at 193.    Unlike Begay's "roughly

similar" test, the analysis described in James and Duenas-Alvarez

grants us no license to ignore actual cases on the ground that they

are    not    "typical"      or   do   not    represent    the   "majority"    of

convictions.      Thus, though we do not read our opinion in Hart as

having gone out of its way, in cryptic dictum, to violate James and

Duenas-Alvarez, we conclude that we would be bound to follow those

two Supreme Court cases over any dictum the government might find

to    the    contrary   in   Hart's    application    of   the    less-demanding

"typically      purposeful,       violent,    and   aggressive"    test.      See



       7
          Moreover, we are unable to reconcile the dissent's
suggestion that section 16(b) "does not differ from the ACCA's
residual clause in any relevant respects," Dissenting Op. at 43,
with the Supreme Court's suggestion in Leocal that the two statutes
are meaningfully distinct. See 543 U.S. at 10 n.7; see generally
John v. United States, 524 U.S 236, 252-53 (1998) (Supreme Court
decisions "remain binding precedent" until that Court "see[s] fit
to reconsider them").

                                       -27-
generally United States v. Dancy, 640 F.3d 455, 470 (1st Cir.

2011).8

            In so concluding, we acknowledge that at least one court

has, in an analogous situation, relied on James to find license

under the "ordinary case" approach to look only to what it imagined

might be the typical case of conviction, in the process ignoring a

state statute's overbreadth even in the face of actual applications

of   the   statute   to   conduct   that   failed   to   meet   the   textual

requirements of the federal statute at issue.            See, e.g., United




      8
          In agreeing with the government that Hart is not
dispositive of the case before us, we do not, as the dissent
suggests, "apply[] the ordinary case rule differently to Section
16(b) than the ACCA." Dissenting Op. at 45. To the contrary, we
acknowledge that the ordinary case rule allows courts to disregard
imagined, hypothetical scenarios when matching an offense to the
two statutes' "risk" requirements.     But what does not apply to
section 16(b) (particularly to broaden it) is the assessment, under
Begay, of what an offense "typically" involves. That assessment,
which permits a court to look only to the usual circumstances under
which an offense is committed, applies only to ACCA.

                                    -28-
States v. Mayer, 560 F.3d 948, 960-63 (9th Cir. 2009).9     Such a

freewheeling interpretation of James would seem to conflict not

only with James and Duenas-Alvarez, but also with the Supreme

Court's recent decision in Descamps v. United States, 133 S. Ct.

2276, 2285-86 (2013), which again reaffirmed that the only way a

facially overbroad statute can qualify as an ACCA predicate is by

application of the modified categorical approach.     Though it is

theoretically possible to read Descamps as having no application to

the theory the dissent proposes, we think it unlikely that the


     9
         Though our dissenting colleague also claims support in
Delgado-Hernandez v. Holder, 697 F.3d 1125, 1129 (9th Cir. 2012),
and United States v. Johnson, 616 F.3d 85 (2d Cir. 2010), see
Dissenting Op. at 47-48 & nn.15-16, neither opinion even feints
toward an analysis different from the one we employ. In Delgado-
Hernandez, the Ninth Circuit held that California's kidnapping
statute was a crime of violence only after scouring reported cases
to ensure that only by "adopt[ing] a Pollyannaish outlook at the
margins of the statute" could it "imagine" a scenario in which the
offense did not involve at least "a substantial risk of force."
Delgado-Hernandez, 697 F.3d at 1129. And in Johnson, the Second
Circuit applied James precisely as we understand it, concluding
that Connecticut's prison rioting statute applied (both in theory
and in fact) only to conduct involving the requisite risk. See 616
F.3d at 94 ("Every violation of prison rules creates a risk that
fellow inmates will join in the disturbance, oppose it with force,
or simply use its occurrence to engage in other acts of
violence."). If the language our colleague quotes from Johnson
seems inconsistent with that understanding of James, see Dissenting
Op. at 48 n.16, that is perhaps because the language is plucked not
from the section of Johnson entitled "Similar in Degree of Risk
Posed," but instead from a separate section of the opinion--one
entitled "Similar 'In Kind.'" See 616 F.3d at 89-93. The latter
section, which makes not a single reference to the "ordinary case,"
demonstrates little more than that like us, the Second Circuit
understands the Begay inquiry to permit a court to look only to the
usual circumstances of an offense. See supra note 8. Neither case
contains any indication whatsoever that the same applies to either
ACCA's or section 16(b)'s "risk" requirement.

                               -29-
Supreme Court took and decided the Descamps case, in which it yet

again clarified the ornate rules that govern the categorical and

modified categorical approaches, all in the service of a procedure

that ends with the excision of real applications of broad offenses

based on non-empirical determinations that they do not present the

ordinary case.

             We are guided here not merely by the thrust of Descamps,

but by its language, as well. Descamps contains myriad warnings to

the effect that "[w]hether the statute of conviction has an

overbroad or missing element, the problem is the same: Because of

the mismatch in elements, a person convicted under that statute is

never convicted of the generic crime."       Id. at 2292.   In this case,

the dissent can avoid the application of that principle only by

suggesting that we not consider whether the statute is overbroad

until   we    have   already   whitewashed     its   overbroad,   actual

applications.

             To adopt that approach would ensnare us into deciding how

big a "minority" of actual convictions for unqualifying offenses

under an overly broad definition we may permissibly ignore.          One

option, in theory, would be to find empirical tools for confidently

gauging whether actual convictions met whatever definition of

minority we might invent.      See Mayer, 560 F.3d at 952 (Kozinski,

C.J., dissenting from denial of rehearing en banc) ("Don't even

think about how a court is supposed to figure out whether a statute


                                  -30-
is applied in a certain way 'most of the time.'        (A statistical

analysis of the state reporter?         A survey?   Expert evidence?

Google?    Gut instinct?)").   The only alternative would be to wipe

out the categorical approach and directly reject Descamps.        The

first option is impossible, the second foreclosed.

            In view of the unavoidable complexity of the foregoing,

we also consider a simple hypothetical. Imagine that Massachusetts

defined the current elements of ABDW solely by statute, rather than

in its case law. Keeping the elements the same, the statute would,

in substance, read as follows:

     Assault and Battery with a Dangerous Weapon is:

     (1) The intentional and unjustified touching of another
     by use of a dangerous weapon,

     or,

     (2) The intentional commission of a wanton or reckless
     act causing more than transient or trifling injury to
     another.

See Hart, 674 F.3d at 42, 43 n.7.

            We do not understand the dissent or the government to go

so far as to argue, counter to the law of ten circuits, that a

conviction under part (2) of our hypothetical statute would serve

as a predicate offense under section 16(b). See, e.g., Leocal, 543

U.S. at 9-10. And if a defendant's conviction were simply for ABDW

(as in the present case), with no indication as to whether the

charge was under a particular subdivision, one would have to assume

that the conviction might have taken place under part (2).     Aguiar

                                 -31-
438 F.3d at 89 ("[O]nly the minimum criminal conduct necessary to

sustain a conviction under a given statute is relevant." (internal

citation omitted)).      So the question arises: given such a statute,

and an     actual conviction not specified as to whether it arose

under part (1) or part (2), would the possibility of a conviction

under part (2) be ignored as outside of the "ordinary case"?

Clearly, the answer must be no.

            If that is the case, then why would one reach a different

result here?      True, our hypothetical is easy because the elements

are plainly defined by statute. But because the provenance of a

crime's    elements     tells   one   nothing    about       how   the    crime      is

committed, we see no reason why that fact should be decisive.

            This hypothetical also serves to illustrate our reading

of Hart.    Absent any Shepard-approved documents telling us which

provision    of   the   hypothetical        statute    had    given      rise   to    a

conviction, our analysis of the statute under ACCA would replicate

Hart's holding that ABDW is a violent felony under ACCA's residual

clause.     Thus, we would first ask whether, in all but imagined,

hypothetical      circumstances,      the    statute    involved      a    "serious

potential risk of physical injury." We would have to conclude that

it did: section (2) makes injury an explicit textual requirement,

and although section (1) does not explicitly require injury, it

plainly requires conduct that creates a serious potential risk

thereof.    Under ACCA (unlike section 16(b)), we would then apply


                                      -32-
Begay's similarity test to see whether ABDW should nevertheless be

disqualified.       Because that inquiry, unlike the "ordinary case"

analysis, is satisfied so long as the "typical" violation of the

statute involves purposefulness, we would, just as in Hart, find

Begay satisfied. Cf. United States v. Johnson, 616 F.3d 85, 91 n.4

(2d Cir. 2010) (finding Begay's "roughly similar" test satisfied

even   on    the    assumption   that   an    "overwhelming       majority"   of

convictions under a statute, but not all of them, "involve[d]

violent and aggressive behavior").

             To summarize our analysis of ABDW: the elements of

Massachusetts ABDW are satisfied when the intentional commission of

a reckless act causes more than trifling injury; convictions for

ABDW   for   such    reckless    conduct     are   not   merely   hypothetical

possibilities, but instead actually occur; we agree with ten

Circuits that reckless conduct bereft of an intent to employ force

against another falls short of the mens rea required under section

16(b) as interpreted in Leocal; no Shepard-approved documents tell

us that Fish's ABDW conviction was not such an offense; therefore,

his ABDW conviction is not a crime of violence under section 16(b).

And in response to our learned colleague's considered dissent, we

agree with both Fish and the government that Hart does not dictate

a contrary result.       To the extent that Hart can be read as using

the "ordinary case" notion of James to erase from our consideration

of ABDW its actual applications to reckless conduct, we find such


                                     -33-
a construction of James to be unnecessary to Hart's actual holding

that    Massachusetts    ABDW    survives     examination       under    Begay's

similarity test. The similarity test requires only that an offense

"typically" involve a purposeful use of force.10

            Finally, the very complexity of the government's attempt

to prove that every person convicted of ABDW in Massachusetts is,

per se, a violent offender, without any adjudication or admission

necessitating the conclusion, should itself give us pause.                     If

someone with Fish's record had asked whether he could lawfully buy

body armor, no one (other than five Supreme Court Justices) could

have confidently answered the question.          In such a case, we cannot

simply combine intricate statutory interpretations with judicial

hunches about the conduct underlying prior convictions in order to

imprison    as   a   violent   felon    one   whose   conduct    no     jury   has

necessarily found to satisfy the elements that make an offense a


       10
        Our dissenting colleague, proposing that we should "treat
Begay and James interchangeably," points to two cases that he
suggests have so held. See Dissenting Op. at 44 (citing United
States v. Dismuke, 593 F.3d 582 (7th Cir. 2010); United States v.
Stinson, 592 F.3d 460, 466 (3d Cir. 2010)). But neither of those
cases supports our colleague's conclusion that the James rule
permits us to disregard actual applications of a statute to conduct
that fails to meet ACCA's "risk" requirement. Rather, in Dismuke,
the defendant conceded that the "risk" requirement was satisfied,
thus taking it off the table completely. See 593 F.3d at 591 n.3.
And in Stinson, the Third Circuit concluded that although the
language of Pennsylvania's resisting arrest statute suggested the
possibility of overbroad application, the statute had never been so
applied. See 592 F.3d at 466 ("[W]e have found no decision under
Pennsylvania law that affirmed a conviction for resisting arrest
based on a defendant's inaction or simply 'lying down' or 'going
limp.'").

                                       -34-
crime of violence as defined by Congress.    See Leocal, 543 U.S. at

11 n.8 (noting that because "§ 16 is a criminal statute", "the rule

of lenity applies"); cf. Alleyne v. United States, 133 S. Ct. 2151,

2156 (2013) ("The Sixth Amendment . . . , in conjunction with the

Due Process Clause, requires that each element of a crime be proved

to the jury beyond a reasonable doubt.").     We therefore hold that

because ABDW, as defined by Massachusetts law, does not in form or

application require a risk of the use of force, it is not a crime

of violence as defined in section 16(b).

C.   Burglarious Tools

           The government points us last to Fish's prior conviction

under the Massachusetts statute prohibiting the making, possession,

and use of burglarious instruments. That statute reads as follows:

      Whoever makes or mends, or begins to make or mend, or
      knowingly has in his possession, an engine, machine, tool
      or implement adapted and designed for cutting through,
      forcing or breaking open a building, room, vault, safe or
      other depository, in order to steal therefrom money or
      other property, or to commit any other crime, knowing the
      same to be adapted and designed for the purpose
      aforesaid, with intent to use or employ or allow the same
      to be used or employed for such purpose, or whoever
      knowingly has in his possession a master key designed to
      fit more than one motor vehicle, with intent to use or
      employ the same to steal a motor vehicle or other
      property therefrom, shall be punished by imprisonment in
      the state prison for not more than ten years or by a fine
      of not more than one thousand dollars and imprisonment in
      jail for not more than two and one half years.

Mass. Gen. Laws ch. 266, § 49.         Fish argues that because the

government never raised the burglarious instruments conviction

until this appeal, we should not consider the offense.     While we

                                -35-
note the peculiarity of placing an appellate court in the position

of finding facts to satisfy an element of an offense, we need not

address Fish's contention: We ultimately conclude, as perhaps the

government did when it determined not to argue the issue in the

district court, that the burglarious tools statute is overbroad, as

well.

             The problem for the government is that Massachusetts

courts have made clear that a “tool or implement . . . designed

for . . . breaking open a building, room, vault, safe or other

depository” as described in the first clause of section 49 can be

a master key, so long as the master key is not one for an

automobile.     Commonwealth v. Tilley, 306 Mass. 412, 417 (1940)

(“Keys expressly made to fit a particular lock for the purpose of

wrongfully gaining access to a depository in which goods were kept,

in order to steal them, are tools and implements of the kind and

character described in the statute.”).11 Given the possibility that

a defendant might be convicted of making or possessing a master key

without any attempt to use it--a crime that strikes us as posing a

relatively low risk of the ultimate use of physical force against

persons or property–-we cannot conclude that the burglarious tools



        11
        Though the offense of possession of an automobile master
key may no longer be charged under the first clause, see
Commonwealth v. Collardo, 13 Mass. App. Ct. 1013, 1013-14 (Mass.
App. Ct. 1982), the government provides us no reason to conclude
that the possession of a non-automobile master or duplicate key
could not be charged under the first clause.

                                -36-
offense, even as limited under the modified approach, categorically

constitutes a crime of violence.

                                   IV. Conclusion

             It is no secret that the statutes Congress chose to enact

in its understandable effort to focus on violent conduct are

imperfect.     See, e.g., Descamps v. United States, 133 S. Ct. 2276,

2293-94 (Kennedy, J., concurring) ("If Congress wishes to pursue

its   policy   in     a   proper    and    efficient   way    without     mandating

uniformity among the States with respect to their criminal statutes

for scores of serious offenses, and without requiring the amendment

of any number of federal criminal statutes as well, Congress should

act at once."); Derby v. United States, 131 S. Ct. 2858 (2011)

(Scalia,     J.,     dissenting     from    denial     of    certiorari    and   so

criticizing ACCA's residual provision); Sykes v. United States, 131

S. Ct. 2267, 2295 (2011) (Kagan, J., joined by Ginsburg, J.,

dissenting     and    lamenting     the    Supreme   Court's    difficulties     in

crafting a workable approach); Chambers v. United States, 555 U.S.

122, 131-32 (2009) (Alito, J., joined by Thomas, J., concurring in

the judgment) ("[O]nly Congress can rescue the federal courts from

the mire into which ACCA's draftsmanship and Taylor's 'categorical

approach' have pushed us.").              As has been pointed out elsewhere,

see, e.g., Sykes, 131 S. Ct. at 2284 (Scalia, J., dissenting), the

great variation between the different states' criminal statutes has

flummoxed the federal courts.               Though the duty here undertaken


                                          -37-
seems a better fit for Congress or an administrative agency, we

have for now no choice but to do our best to give effect to

Congress's expressed intent.

          As a result, our holding may appear odd to the reasonably

discerning citizen, particularly from afar.      Convictions under

statutes with names connoting violence are sometimes deemed not to

be crimes of violence, even if it is likely that most such

convictions arise from violent conduct.     This apparent anomaly

arises largely because many states have stretched these violence-

connoting rubrics to encompass conduct that Congress does not

define as a crime of violence.    Driving under the influence and

accidentally causing serious injury thus gets grouped together with

pistol-whipping a bank teller, and prosecutors and courts are left

to choose between two unpalatable options: either we may deem non-

violent individuals who likely are in fact violent, or we may

falsely assume that every person convicted under an overbroad

statute is in fact a violent criminal.     Since the constitution

prohibits us from charting the latter course, we will take the

former unless Congress changes the law or the Supreme Court

instructs otherwise.

          Fish's conviction is reversed, and the case is remanded

for dismissal.   So ordered.



                 -- Dissenting Opinion Follows --


                               -38-
          DYK, Circuit Judge, dissenting.     Like the majority, I

find problematic the government’s arguments here that breaking and

entering and possession of burglar’s tools constitute crimes of

violence under 18 U.S.C. § 16.     I part company with the majority

when it holds that Massachusetts ABDW is not a crime of violence.

          This court has previously held in United States v. Hart,

674 F.3d 33, 40-44 (1st Cir. 2012), and United States v. Glover,

558 F.3d 71, 79-82 (1st Cir. 2009), that Massachusetts ABDW is a

“violent felony” under the Armed Career Criminals Act (ACCA), 18

U.S.C. § 924(e)(2)(B) and a “crime of violence” under the United

States Sentencing Guidelines, U.S.S.G. § 4B1.2(a). The question in

this case is whether Massachusetts ABDW--assault and battery with

a dangerous weapon--is similarly a “crime of violence” under

Section 16(b).12   The majority, deciding not to follow Glover and

Hart, holds that Massachusetts ABDW is not a “crime of violence”

for purposes of Section 16(b), and reverses Fish’s conviction.

          Nothing in the language of the three provisions supports

such an inconsistent result, and in my view the majority’s decision

is directly contrary to the reasoning of this court’s decision in

Hart, reasoning which the majority dismisses as “dictum.” Majority


     12
          Section 16(b) defines “crime of violence” for purposes of
the body armor statute under which this defendant was charged as
well as for many other criminal statutes.          E.g., 8 U.S.C.
§ 1227(a)(2)(E)(i) (allowing deportation of any alien who commits
a crime of violence against a domestic relation); 18 U.S.C. § 25
(doubling the statutory maximum sentence if a defendant
intentionally uses a minor to commit a crime of violence).

                                 -39-
Op. at 24. In my view the majority’s decision is also inconsistent

with the Supreme Court’s decision in James v. United States, 550

U.S. 192, 208 (2007).     I respectfully dissent.

                                    I.

             When a federal statute makes reference to crimes defined

by state law in order to determine what constitutes a crime of

violence or violent felony under federal law, courts apply a

“categorical approach” to determine whether the state law crime

meets the federal definition.            See, e.g., Descamps v. United

States, 133 S. Ct. 2276, 2281 (2013); James, 550 U.S. at 202;

Taylor v. United States, 495 U.S. 575, 588-89, 600-02 (1990).               The

court must consider the state law crime generically, i.e., with “a

focus   on   the   elements,   rather   than    the   facts,   of   a   crime,”

Descamps, 133 S. Ct. at 2285, except to the extent that the statute

of conviction is divisible and the charging and similar documents

reveal under which subdivision of the statute the conviction was

obtained.    See id. at 2281, 2285 n.2.        The government does not rely

on such documents here.

             Section 16(b) defines a crime of violence as an offense

that “is a felony and that, by its nature, involves a substantial

risk that physical force against the person or property of another

may be used in the course of committing the offense.”                     This

language has been interpreted to require a higher degree of intent

than is present in “merely accidental or negligent” applications of


                                   -40-
physical force.         Leocal v. Ashcroft, 543 U.S. 1, 11 (2004).               The

majority holds that the inclusion of reckless conduct, such as

reckless driving, within Massachusetts ABDW excludes ABDW from the

definition of Section 16(b). But the categorical approach does not

require a court to consider            “every conceivable factual offense”

covered by the state statute.                James, 550 U.S. at 208.             When

applying a federal statute that contains “inherently probabilistic”

language such as “potential risk of injury,” under James courts

consider only “the conduct encompassed by the elements of the

[statute of conviction] in the ordinary case.”                    Id. at 207, 208

(emphasis added).

                                           II.

               This   court   in   Glover        held   that   “the   ordinary   ABDW

offense” is a crime of violence under the Sentencing Guidelines.

Glover, 558 F.3d at 82. Hart applied Glover’s holding to the ACCA.

674 F.3d at 41-42.            In my view, Hart disposes of this case by

holding that reckless driving, while within the scope of the ABDW

statute, is not the ordinary case under James and does not prevent

ADBW    from    being    a    crime   of    violence      under   the   categorical

approach.13

               The precise question in Hart was whether ABDW is a

violent felony under the residual clause of the ACCA, which



       13
          Glover did not explicitly address the reckless driving
scenario. 558 F.3d at 82.

                                           -41-
encompasses felony offenses that “present[] a serious potential

risk of physical injury to another” and are similar in kind to

certain listed offenses such as burglary, arson, and extortion. 18

U.S.C. § 924(e)(2)(B)(ii); Hart, 674 F.3d at 41.                   To be similar to

the     enumerated     offenses,    a     crime    must    “‘typically     involve

purposeful, violent, and aggressive conduct.’”                Id. at 41 (quoting

Begay    v.   United   States,     553   U.S.     137,    144-45    (2008)).   The

defendant in Hart argued that Massachusetts ABDW failed that

requirement because a conviction could rest on reckless conduct

such as drunk driving.           674 F.3d at 43.          The court nonetheless

concluded that “a composite of purposeful, violent, and aggressive

conduct is the norm” under Massachusetts ABDW.                 Id. at 44.

              In reaching that conclusion, the Hart court specifically

rejected the ground on which today’s majority rests:

              It is true that an ABDW conviction may rest on
              a recklessness theory, and it is not
              insignificant that reckless ABDW may be
              committed with a seemingly innocent object
              used in a dangerous fashion, as in the case of
              reckless, vehicular ABDW.      But this fact
              pattern does not represent the vast majority
              of ABDW convictions, and our analysis under
              the residual clause is explicitly, and
              necessarily, limited to the “ordinary case.”

Id. at 43 (footnotes and citations omitted) (quoting James, 550

U.S. at 208).     This same point was reiterated on the very next page

of the opinion:

              ACCA’s enumerated offenses must only typically
              involve purposeful conduct, and so we must
              look to the usual circumstances of the crime,

                                         -42-
          not allowing hypothetical fact patterns to
          negate   commonsense.   In   considering   the
          “ordinary case” of ABDW, we must conclude that
          a composite of purposeful, violent, and
          aggressive conduct is the norm.

Id. at 44 (quoting James, 550 U.S. at 208) (citations, alterations,

and internal quotation marks omitted).   Thus, Hart twice concluded

that reckless ABDW is not the ordinary case under James.       This

panel is bound to follow Hart.    In addressing the residual clause

of Section 16(b), which does not differ from the ACCA’s residual

clause in any relevant respects, the court need not concern itself

with reckless ABDW because it “does not represent the vast majority

of ABDW convictions.”   Id. at 43.

          The majority suggests that Hart’s discussion of the

ordinary case was “dictum.”      Majority Op. at 24.   I disagree.

Begay specifically held that drunk driving is outside the scope of

the purposeful, violent, and aggressive conduct requirement of the

ACCA, 553 U.S. at 144-45,14 and other courts of appeals have agreed

that the ACCA definition of “violent felony” does not include

reckless conduct, e.g., United States v. Smith, 544 F.3d 781, 782

(7th Cir. 2008); United States v. Morris, 527 F.3d 1059, 1061 (10th



     14
          Begay stated: “The listed crimes [in the ACCA] all
typically    involve   purposeful,    violent,    and    aggressive
conduct. . . . By way of contrast, statutes that forbid driving
under the influence, such as the statute before us, typically do
not . . . . [U]nlike the example crimes, the conduct for which the
drunk driver is convicted (driving under the influence) need not be
purposeful or deliberate.” 553 U.S. at 144-45 (internal quotation
marks omitted).

                                 -43-
Cir. 2008); see also United States v. Herrick, 545 F.3d 53, 59-60

(1st Cir. 2008) (concluding that an offense requiring “criminal

negligence” did not meet the purposeful, violent, and aggressive

conduct requirement of Begay).           Hart could find that Massachusetts

ABDW was a “violent felony” under the ACCA only by finding that

reckless driving was not the ordinary case under James (itself a

case under the ACCA residual clause), which is exactly what Hart

did.   See 674 F.3d at 43-44.       The James ordinary case discussion in

Hart was not dictum.

           The majority appears to suggest that Hart unnecessarily

applied James’s “ordinary case” standard because it should have

applied    Begay’s       “typical[]”      case   standard,     which   is   more

“permissive.”       Majority Op. at 25-25, 27, 28 n.8.          Of course, that

is contrary to Hart, which viewed the James and Begay standards as

being the same.          674 F.3d at 43-44; see also United States v.

Dancy, 640 F.3d 455, 470 (1st Cir. 2011).               It is also contrary to

the views of at least two other circuits which treat Begay and

James interchangeably. United States v. Dismuke, 593 F.3d 582, 594

(7th Cir. 2010) (under the ACCA, court must ask whether the crime,

“in the ordinary or typical case,” meets both prongs of Begay);

United States v. Stinson, 592 F.3d 460, 466 (3rd Cir. 2010) (“[W]e

must   determine         whether   the     ‘ordinary’     or   ‘typical’    fact

scenario   .    .    .    is   sufficiently      ‘purposeful,    violent,    and

aggressive’ to qualify as a crime of violence after Begay.” (citing


                                         -44-
both   Begay   and     James)).           Contrary    to    the    majority,    Begay’s

“typical[]” case is not different from James’s “ordinary case.”

             There is also no basis for applying the ordinary case

rule differently to Section 16(b) than the ACCA.                     The ACCA defines

a   “violent   felony”    as     a    crime    that    “is       burglary,    arson,   or

extortion,     involves    use       of   explosives,       or    otherwise    involves

conduct that presents a serious potential risk of physical injury

to another.”     § 924(e)(2)(B)(ii).              Section 16(b) defines a “crime

of violence” as an “offense that is a felony and that, by its

nature, involves a substantial risk that physical force against the

person or property of another may be used in the course of

committing the offense.”          Both statutes require purposeful action;

both statutes exclude negligent conduct.                    See Begay, 553 U.S. at

144-45; Leocal, 543 U.S. at 11.

             I do not think the ACCA and Section 16(b) are “materially

different statute[s],” as the majority suggests.                      Majority Op. at

26.    As I see it, there are only two differences between the two

provisions:     one,    the     ACCA      enumerates       certain    offenses    while

Section 16(b) does not, and two, the ACCA refers to a “serious

potential risk of physical injury” while Section 16(b) refers to a

“substantial     risk    that    physical         force    against    the    person    or

property of another may be used.”              Those differences are certainly

important. See Leocal, 543 U.S. at 10 n.7; Aguiar v. Gonzales, 438

F.3d 86, 88 (1st Cir. 2006).              But neither difference suggests that


                                           -45-
the “ordinary case” inquiry under James should be different under

the two provisions, or that Hart’s analysis of the ordinary case of

ABDW as to the ACCA should not apply to Section 16(b).

                                III.

            The majority also suggests that Hart was wrongly decided

because its application of James was too broad, and should have

excluded only “fanciful, hypothetical scenarios.”    Majority Op. at

9; see also id. at 27.     But James did not define the inquiry so

narrowly.    The Court defined “the proper inquiry” as “whether the

conduct encompassed by the elements of the offense, in the ordinary

case, presents a serious potential risk of injury to another.” 550

U.S. at 208.   The Court cautioned that one can always “hypothesize

unusual cases in which even a prototypically violent crime might

not present a genuine risk of injury.”   Id.   To be sure, this means

that courts applying the categorical approach to residual clauses

need not concern themselves with absurd hypotheticals.       But the

examples of “unusual” cases that James gave are not so far-fetched.

James explained:

            One can always hypothesize unusual cases in
            which even a prototypically violent crime
            might not present a genuine risk of injury--
            for example, an attempted murder where the
            gun, unbeknownst to the shooter, had no
            bullets.   Or, to take an example from the
            offenses specifically enumerated in [the
            ACCA], one could imagine an extortion scheme
            where an anonymous blackmailer threatens to
            release embarrassing personal information
            about the victim unless he is mailed regular
            payments. In both cases, the risk of physical

                                -46-
          injury to another approaches zero. But that
          does not mean that the offenses of attempted
          murder   or   extortion   are  categorically
          nonviolent.

550 U.S. at 208.   And, as described above, Begay (following James)

looked to the “typical[]” case of a crime, 553 U.S. at 144-45, not

to “fanciful, hypothetical scenarios,” Majority Op. at 9.

          Other courts have not interpreted James so narrowly as

the majority does today.     Relying on James, the Ninth Circuit

concluded that Oregon’s burglary law meets the ACCA’s residual

clause. United States v. Mayer, 560 F.3d 948, 963 (9th Cir. 2009).

Even though the statute had been applied to the act of entering

public phone booths to steal change, the Ninth Circuit found that

that was not the ordinary case. See id. at 952-53 (Kozinski, C.J.,

dissenting from the denial of rehearing en banc).15     The Second

Circuit concluded that Connecticut’s prison rioting statute was a

violent felony under the ACCA although in two cases inmates were

convicted for non-violent conduct.16


     15
          See also Delgado-Hernandez v. Holder, 697 F.3d 1125, 1129
(9th Cir. 2012) (“[W]e too may imagine a non-custodial parent who
refuses to return with her children from a vacation abroad, thereby
effectuating a kidnapping under § 207, with minimal risk of force.
However, we cannot adopt a Pollyannaish outlook at the margins of
the statute; the evidence before us is that the ordinary case of
kidnapping involves a risk of violence.” (citation omitted)).
     16
          United States v. Johnson, 616 F.3d 85, 94 (2d Cir. 2010)
(quoting James, 550 U.S. at 208). The court’s reasoning was quite
similar to Hart:

     The fact that some arguably nonviolent conduct--such as
     a hunger strike–-might violate the statute, or even that

                                -47-
           Finally, the majority suggests that James is no longer

good law after Descamps.   See Majority Op. at 29-30.   But Descamps

only addressed whether courts may consult charging and similar

documents when a defendant was convicted under an indivisible

statute.   133 S. Ct. at 2281.    Descamps did not discuss James or

the ordinary case rule, and the parties in Descamps never suggested

that James should be overruled. We are obligated to follow Supreme

Court precedent until it is explicitly overturned.   Hohn v. United

States, 524 U.S. 236, 252-53 (1998) (“Our decisions remain binding

precedent until we see fit to reconsider them, regardless of

whether subsequent cases have raised doubts about their continuing

vitality.”).   James is still good law.




     some convictions under the statute have actually involved
     nonviolent conduct, is not dispositive.      We recently
     held, in United States v. Thrower, that “larceny from the
     person” is a violent felony under the ACCA. 584 F.3d 70,
     74 (2d Cir. 2009). We did so notwithstanding the fact
     that some conduct that is neither violent nor aggressive-
     -such as pickpocketing--would surely be covered by the
     statute at issue in that case. Similarly, the fact that
     the sexual assault statute at issue in [United States v.
     Daye, 571 F.3d 225, 234 (2d Cir. 2009)] could have been
     applied to the conduct of consenting teenagers did not
     foreclose a holding that a ‘typical instance of this
     crime’ will indeed involve violent and aggressive
     conduct.

Id. at 91 (footnote omitted).

                                 -48-
                                IV.

          In my view, the majority’s decision is inconsistent with

Hart and James.   I respectfully dissent.17




     17
          Fish also argues that the body armor statute exceeds
Congress’s power to regulate interstate commerce. As he appears to
concede, that argument was all but foreclosed by Scarborough v.
United States, 431 U.S. 563 (1977), which appeared to assume the
constitutionality of a similar statute banning felon possession of
firearms.   Scarborough remains good law, see United States v.
Cardoza, 129 F.3d 6, 11 (1st Cir. 1997), and I see no basis for
distinguishing the body armor statute. Other circuits have upheld
the body armor statute on the basis of Scarborough. United States
v. Cook, 488 F. App’x 643, 644-46 (3d Cir. 2012) (unpublished);
United States v. Alderman, 565 F.3d 641, 645-48 (9th Cir. 2009);
United States v. Scott, 245 F. App’x 391, 393 (5th Cir. 2007)
(unpublished); United States v. Patton, 451 F.3d 615, 634-36 (10th
Cir. 2006).

                               -49-
