United States Court of Appeals
           For the Eighth Circuit
       ___________________________

               No. 17-3399
       ___________________________

            United States of America,

       lllllllllllllllllllllPlaintiff - Appellee,

                          v.

              Anthony Leon Waits,

     lllllllllllllllllllllDefendant - Appellant.
        ___________________________

               No. 17-3762
       ___________________________

            United States of America,

       lllllllllllllllllllllPlaintiff - Appellee,

                          v.

               Jacqueline D. Mills,

     lllllllllllllllllllllDefendant - Appellant.
                     ____________

   Appeals from United States District Court
for the Eastern District of Arkansas - Little Rock
                 ____________
                          Submitted: September 25, 2018
                             Filed: March 29, 2019
                                 ____________

Before COLLOTON, BEAM, and GRASZ, Circuit Judges.
                          ____________

COLLOTON, Circuit Judge.

      A jury convicted Anthony Waits and Jacqueline Mills after a trial in a fraud
case. The district court sentenced Waits and Mills to 175 and 150 months’
imprisonment, respectively, and entered forfeiture orders against them. On appeal,
Waits and Mills challenge their convictions, and Waits also challenges his term of
imprisonment and forfeiture order. We affirm the convictions and Waits’s term of
imprisonment. We vacate the forfeiture order against Waits and remand for further
proceedings on that issue.

                                         I.

      The United States Department of Agriculture’s Food and Nutrition Service
provides federal funding to after-school and summer programs that serve food to
children in low-income areas. The agency acts through the Child and Adult Care
Feeding Program, which includes an At-Risk Afterschool component, and the
Summer Food Service Program.

      In Arkansas, the Department of Human Services administers these programs.
An organization in Arkansas must receive approval from the Department to become
a sponsor who participates in a feeding program. A sponsor may serve snacks or
meals to eligible children and receive reimbursement from the Department for the
food served. As a condition of participation, a sponsor must follow the Department’s



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regulations governing feeding programs, including those that require keeping and
maintaining records related to the program.

       Waits and Mills were convicted of conspiracy to commit wire fraud related to
their involvement with these feeding programs. The jury also found Mills guilty of
multiple substantive counts of wire fraud, bribery of an agent of a program receiving
federal funds, and money laundering.

       According to evidence at trial, Mills participated in the programs as a sponsor
and claimed inflated or fabricated reimbursements for more than thirty sites. To
avoid scrutiny of her false claims, she paid money to Department officials in
exchange for approval of her programs and help in avoiding detection. Waits was not
a program sponsor, but he recruited others to become sponsors. Waits helped others
to claim fraudulent reimbursements and to create receipts that supported their false
claims. He then collected a share of the profits of the fraud.

       After a jury convicted Waits and Mills, the district court sentenced them to 175
and 150 months’ imprisonment, respectively. The court also ordered Waits to forfeit
a personal money judgment of $3,316,280.85, based on the gross amount that he and
his co-conspirators received from their participation in the conspiracy.

                                          II.

      Waits and Mills first argue that the district court erred in rejecting their
proposed theory-of-defense instructions. We review the district court’s rulings for
abuse of discretion. United States v. Christy, 647 F.3d 768, 770 (8th Cir. 2011).

       Waits’s proposed instruction stated: “Anthony Leon Waits submits that he did
not voluntarily or intentionally agree or conspire with anyone to commit the crime of
wire fraud. Furthermore, he denies that he had knowledge of any agreement, plan or

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scheme to commit wire fraud.” The proposal then stated that the burden of proof is
always on the prosecution, and that the jury must acquit Waits if his theory caused
them to have a reasonable doubt.

        Mills’s proposed instruction would have informed the jury of her position that
she did not intentionally participate in a scheme to defraud, and that she “relied on
individuals working under her to provide accurate numbers of meals served to
children.” The proffered instruction continued by saying that Mills felt the witnesses
who testified against her had a “personal stake” in the outcome of the case and
testified “in the hopes that they will receive a lessor [sic] prison sentence.”

       Two well-established propositions on theory-of-defense instructions are
applicable here. A district court need not adopt a defendant’s proposed instruction
if other instructions given to the jury adequately cover the substance of the requested
instruction. See United States v. Serrano-Lopez, 366 F.3d 628, 637 (8th Cir. 2004).
And a defendant is not entitled to a judicial narrative of her version of the facts, even
though such a narrative might be characterized as a “theory of the defense.” Christy,
647 F.3d at 770.

       The substance of Waits’s instruction was adequately covered by other
instructions. The court elsewhere advised the jury of the government’s burden of
proof and the elements of the conspiracy and wire fraud charges. Waits was not
entitled to an instruction that covered essentially the same ground in different words.
Mills’s proposal likewise conveyed information about burden of proof, elements of
the offense, and weighing the credibility of witnesses that was addressed by other
instructions. The portion in which Mills addressed her alleged reliance on employees
amounted to a judicial narrative of her version of the facts that the court was not
obliged to present—especially where the instruction was in tension with Mills’s trial
testimony denying that she blamed her employees. The district court did not abuse
its discretion by refusing the proffered instructions.

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       Mills argues for the first time on appeal that the court erred by failing to
include instructions regarding the testimony of an accomplice or credibility of a
cooperating witness. See 8th Cir. Model Jury Instructions §§ 4.05A, 4.05B. Because
Mills did not object to the omission of these instructions, we review only for plain
error, see United States v. Olano, 507 U.S. 725 (1993), and the district court did not
make an obvious mistake by failing to include these instructions sua sponte. The
suggested instructions address the credibility of accomplices or cooperating witnesses
in a specific way, but the court gave a general instruction about evaluating witness
credibility that was not plainly insufficient to address the topic. The jury was able to
give weight to any concerns about the credibility of accomplices and cooperating
witnesses under the instructions delivered by the court. There was no plain error.

      Waits next argues that the district court erred in admitting into evidence a
recording of a conversation between Waits and a co-conspirator named Weeams.
Weeams secretly recorded the conversation during the investigation at the behest of
a federal investigator. Among other things, Waits was heard to make the following
statement to Weeams while discussing the ongoing investigation:

      I hope them n*****s don’t say nothing cause if they indict me I’m going
      to trial. Swear to God see that’s what they don’t know, I’m going to
      trial. And in trial, god damn me, they got to release that information.
      They might give me ten, twelve years, fifteen years, but when I get out
      I’m gonna knock on the door. (knocking noise) Who is it? Doom,
      doom, doom, doom, doom.

Weeams testified that Waits pointed his hand like a gun while saying, “[d]oom, doom,
doom, doom, doom.”

      Waits complains that the government violated his Sixth Amendment right to
counsel by recording the conversation, but the right does not attach until a
prosecution is commenced. Texas v. Cobb, 532 U.S. 162, 167-68 (2001). The

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disputed conversation occurred before the grand jury charged Waits, so the recording
did not interfere with his right to counsel.

       Waits also asserts that the district court abused its discretion by refusing to
exclude the quoted statement under Federal Rule of Evidence 403. We accord great
deference to the district court’s balancing of probative value and prejudicial effect,
United States v. Castleman, 795 F.3d 904, 914-15 (8th Cir. 2015), and we see no
abuse of discretion here. The disputed statement, as explained by Weeams, suggests
that Waits threatened harm to anyone who might cooperate against him. Threats
against witnesses are generally admissible to show consciousness of guilt. Id. at 915.
That Waits did not identify any specific witness who might be the subject of his wrath
did not substantially weaken the probative value of the evidence. Evidence that Waits
would retaliate against anyone who helped to convict him was relevant to show the
defendant’s mindset, and the jury reasonably could infer that he was concerned about
witnesses who could implicate him in wrongdoing. The court did not abuse its
discretion by allowing the evidence.

      Waits next contends that the district court erred by denying, without a hearing,
his motion for a new trial based on the exposure of jurors to publicity about the case.
There was media coverage during Waits’s trial, including an article in a local
newspaper that discussed evidence that the district court had excluded. After defense
counsel alleged during jury deliberations that jurors had been exposed to prejudicial
publicity, the district court followed the three-step process set forth in Tunstall v.
Hopkins, 306 F.3d 601, 610 (8th Cir. 2002):

      [A] federal district court must: 1) determine whether the publicity
      creates a danger of substantial prejudice to the accused; 2) if so, poll
      jurors individually to see if they were exposed; and 3) if they were
      exposed, then ascertain the extent and effect of infection, and determine
      what measure must be taken to protect the rights of the accused.


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       The court determined that the newspaper article “could create a danger of
substantial prejudice to Mr. Waits,” so the court polled the jurors to determine
whether they had seen television coverage or read the newspaper article. After one
juror replied in the affirmative, the court excused the other jurors and asked the juror
what she had learned. The juror replied that she saw only video of the lawyers
walking in front of the courthouse. The court determined that the juror’s observations
did not cause prejudice, and allowed the deliberations to proceed.

       After the verdicts were returned, Waits moved for a new trial based on the
jury’s exposure to publicity during trial. In addition to relying on one juror’s
admitted exposure to television coverage, he submitted an affidavit from a witness
who averred that she saw two jurors reading a newspaper in their vehicles before
entering the courthouse. The district court denied the motion, finding that Waits had
not demonstrated that he was prejudiced by any juror’s exposure to publicity. The
court credited the juror’s testimony that she did not view anything prejudicial on
television, and no other juror reported seeing any media coverage of the trial. The
court further noted that the jury already had completed a verdict form saying that
Waits was guilty before the testifying juror saw the attorneys on television.

       The court did not abuse its discretion in denying the motion for new trial. The
court followed the correct procedure to evaluate the claim of exposure to mid-trial
publicity, and the account of the single juror did not support a finding of prejudice.
The affidavit submitted after trial did not contradict the testimony of other jurors who
denied reading coverage of the proceedings. Waits has not shown that he is entitled
to a new trial.

                                          III.

    Waits also challenges the sentence imposed. He contends that the district court
committed procedural error in calculating his advisory sentencing guideline range.

                                          -7-
We review the district court’s factual findings for clear error, and its interpretation
of the sentencing guidelines de novo. United States v. Rickert, 685 F.3d 760, 767 (8th
Cir. 2012).

       Waits first argues that the district court erred in applying a two-level
adjustment for obstruction of justice under USSG § 3C1.1. The sentencing guidelines
provide for the adjustment “[i]f (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.” Id. The commentary includes a
nonexhaustive list of actions that qualify, including when a defendant “threaten[s] .
. . a co-defendant,” “attempt[s] to suborn perjury,” or engages in other conduct
prohibited by obstruction of justice provisions under Title 18. Id., comment. (n.4).

        The record supports the district court’s finding that Waits engaged in
obstruction of justice. The recorded conversation and testimony from Weeams
supported a finding that Waits threatened to retaliate against Weeams and other
potential witnesses with his “doom, doom, doom” remark. The threat was
communicated directly to Weeams, and even though Waits did not personally convey
the threat to other conspirators, there was a sufficient basis for the court to infer that
Waits’s statements to Weeams—that other conspirators who testified would face
“doom”—was an attempt by Waits to threaten or intimidate others. See United States
v. Capps, 952 F.2d 1026, 1028-29 (8th Cir. 1991). There was also sufficient evidence
to support a finding that Waits attempted, with consciousness of wrongdoing, to
prevent others from communicating evidence of wrongdoing to law enforcement
officers. See United States v. Gaye, 902 F.3d 780, 788 (8th Cir. 2018); 18 U.S.C.
§ 1512(b). In a recorded conversation, Waits instructed co-conspirator Weeams to
lie to investigators, and another co-conspirator testified that Waits encouraged him
to tell investigators falsely that he “fed the kids” and did everything that he was
supposed to do. In light of this evidence, the district court did not err in applying the
adjustment for obstruction of justice.

                                           -8-
       Waits next challenges the calculation of his criminal history score. He
contends the district court erred by counting prior sentences for two different
offenses—failure to appear in 1997 and battery in 2002—because he was sentenced
for both offenses on the same day. There is no merit to this point, because prior
sentences are counted separately when there is an intervening arrest. See USSG
§ 4A1.2(a)(2). Waits was arrested on the failure to appear charge in 1997, long
before he committed the battery offense in 2002. Thus, even assuming that Waits was
ultimately sentenced for both offenses on the same day, the offenses were separated
by an intervening arrest. Accordingly, the district court properly assessed criminal
history points for both prior sentences.

       Waits also challenges the assessment of one criminal history point for a
revocation of probation in Arkansas. He argues that the revocation was invalid
because the state court record does not establish that the State issued a revocation
warrant before his term of probation ended. This argument fails because Waits may
not collaterally attack the state court’s revocation determination in this federal
sentencing proceeding. See Moore v. United States, 178 F.3d 994, 997 (8th Cir.
1999). Waits contends that this court allowed such a collateral attack in United States
v. Gleason, 33 F. App’x 234 (8th Cir. 2002) (per curiam), but he is mistaken. The
question there was whether the defendant committed a prior offense while on
probation. Id. at 235. While this court looked to state law to determine whether the
offender was on probation at the time of the prior offense, there was no collateral
attack on a prior judgment of a state court. Here, an Arkansas state court already
revoked Waits’s probation in 2002, and Waits may not litigate in this case whether
the 2002 revocation was proper. There was thus no error in calculating his criminal
history score.

                                         IV.

      Waits next challenges the district court’s order of forfeiture on two grounds.
The first objection, raised for the first time on appeal, is that the district court

                                         -9-
premised the order on a statute that does not apply. The indictment noticed a claim
of forfeiture under 18 U.S.C. § 982. After trial, the government moved for an order
of forfeiture under § 982(a)(3)(F), and the court ordered forfeiture under that
provision. Section 982(a)(3)(F), however, applies only to offenses that involve a sale
of assets acquired or held by the Federal Deposit Insurance Corporation, the National
Credit Union Administration, or another conservator appointed by the Office of the
Comptroller of the Currency. The assets at issue did not meet those criteria. The
statutes that authorize forfeiture of property traceable to a wire fraud conspiracy, 18
U.S.C. § 981(a)(1)(C) and 28 U.S.C. § 2461(c), were not cited in the government’s
motion or the forfeiture orders.

       Waits’s second complaint about the forfeiture order is that the court should not
have included proceeds of the fraud scheme that Waits did not himself acquire.
Citing the intervening decision in Honeycutt v. United States, 137 S. Ct. 1626 (2017),
Waits argues that joint and several liability for proceeds received by co-conspirators
is contrary to the forfeiture statute on which the district court relied. Honeycutt held
that forfeiture under 21 U.S.C. § 853 of “any property constituting, or derived from,
any proceeds the person obtained, directly or indirectly, as the result of” certain drug
crimes is limited to property that the defendant himself acquired. Id. at 1630. Waits
contends that because the district court’s forfeiture order relied on 18 U.S.C.
§ 982(a)(3)(F), and the forfeiture of property under § 982 is governed by the
provisions of 21 U.S.C. § 853, the rationale of Honeycutt applies and precludes joint
and several liability.

       The government responds that the incorrect statutory citation does not require
vacating the forfeiture order. The implicit suggestion is that if Waits had objected,
then the government could have amended its motion to cite the correct statutes, and
the district court could have ordered the same forfeiture under those statutes, so Waits
was not prejudiced. See United States v. Silvious, 512 F.3d 364, 369-70 (7th Cir.
2008). On the issue of joint and several liability, however, the government does not

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urge that Waits failed to preserve the issue or that the question should be analyzed
under the correct forfeiture statutes. The government responds only that Honeycutt
changed the law with respect to joint and several liability, and “agrees that a limited
remand is appropriate to reevaluate Anthony Waits’s forfeiture judgment.” This court
recently held that joint and several liability is available in a forfeiture under
§ 981(a)(1)(C), United States v. Peithman, No. 17-2721, 2019 WL 942825, at *10
(8th Cir. Feb. 27, 2019), but the court has not addressed the issue under
§ 982(a)(3)(F).

       Rather than address the propriety of the forfeiture order without adversarial
briefing in a case already complicated by the government’s reliance in the district
court on an incorrect forfeiture statute, we vacate the forfeiture order and remand for
further proceedings on forfeiture. See Ragland v. United States, 756 F.3d 597, 602
(8th Cir. 2014); cf. Lawrence ex rel. Lawrence v. Chater, 516 U.S. 163, 168 (1996).
As the government agrees that the district court should reevaluate the forfeiture order
in the first instance under current law, it is unnecessary to address at this juncture
whether the district court’s reliance on an inapplicable forfeiture statute by itself
would require vacatur. Nor do we resolve whether the availability of joint and
several liability under § 981(a)(1)(C) would be sufficient reason to uphold the
entirety of a forfeiture order that was incorrectly premised on § 982(a)(3)(F). Cf.
United States v. Annabi, 746 F.3d 83, 86 (2d Cir. 2014).


                                   *      *       *

       For the foregoing reasons, we affirm the judgment of the district court except
for the forfeiture order as to Waits, and we remand for further proceedings. Mills’s
pro se motion for leave to file a supplemental brief and to supplement the record is
denied.
                        ______________________________



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