United States Court of Appeals
         For the Eighth Circuit
     ___________________________

             No. 18-2211
     ___________________________

          United States of America

     lllllllllllllllllllllPlaintiff - Appellee

                        v.

            John Kelsey Gammell

   lllllllllllllllllllllDefendant - Appellant
     ___________________________

             No. 18-2692
     ___________________________

          United States of America

     lllllllllllllllllllllPlaintiff - Appellee

                        v.

            John Kelsey Gammell

   lllllllllllllllllllllDefendant - Appellant
                   ____________

 Appeals from United States District Court
       for the District of Minnesota
              ____________
                            Submitted: March 15, 2019
                              Filed: August 8, 2019
                                  ____________

Before SHEPHERD, ERICKSON, and KOBES, Circuit Judges.
                         ____________

SHEPHERD, Circuit Judge.

       After conducting a series of malicious computer attacks, John Gammell pled
guilty to one count of conspiracy to cause intentional damage to a protected
computer, in violation of 18 U.S.C. § 1030(a)(5)(A), (b), (c)(4)(A)(i)(I),
(c)(4)(A)(i)(VI), and (c)(4)(B), and to two counts of being a felon in possession of a
firearm, in violation of 18 U.S.C. §§ 922(g) and 924(e). The district court1 sentenced
Gammell to 60 months on the conspiracy count and, after classifying Gammell as an
armed career criminal, to 180 months on the felon-in-possession counts, with the
sentences running concurrently. The district court also ordered Gammell to pay
$955,656.77 in restitution to 14 victims of his attacks. In this consolidated appeal,
Gammell challenges both his classification as an armed career criminal and the
district court’s restitution order. Having jurisdiction under 28 U.S.C. § 1291, we
affirm.

                                          I.

      Between 2015 and 2017, Gammell engaged in a campaign of malicious
computer attacks against various entities with whom he had personal grievances. The
attacks, known as distributed denial of service attacks, or DDoS attacks, use repeated


      1
       The Honorable Wilhelmina M. Wright, United States District Judge for the
District of Minnesota.
                                         -2-
attempts to deny service to a computer or website, thereby making it inaccessible to
users or customers. In essence, DDoS attacks flood a computer or website with
massive amounts of internet traffic to the point that the computer or website becomes
disabled and inaccessible to users or customers.

       Gammell victimized approximately 40 different entities, comprised of
companies he used to work for, companies that did not hire him, companies that he
perceived as competitors to his business, law enforcement agencies, and court
systems. His attacks lasted anywhere from weeks to two years and resulted in the
disruption or complete disabling of the victims’ websites, applications, or computer
systems. Each of his victims experienced difficulty in restoring the reliability,
functionality, and accessability of the affected websites, and expended significant
efforts and resources in identifying the source of the attacks and in taking suitable
mitigation and infrastructure improvement measures.

       Throughout the course of his attacks, Gammell made considerable efforts to
conceal his identity as the perpetrator. When using his own computer to launch
DDoS attacks, Gammell used a service to mask his IP address, used encrypted and
drive cleaning tools to conceal any evidence of the attacks on his computer, spoofed
email addresses, and used names of victims’ former employees to create suspicion
against other individuals. Gammell also utilized third-party companies to launch
attacks, which significantly multiplied the number of attacks and further concealed
Gammell as the perpetrator. Gammell also used cryptocurrency to pay the third-party
companies in a continued effort to conceal his identity. On at least two occasions,
Gammell also sent emails to affected entities, bragging about the attacks and mocking
the entities for the disruptions.

        Gammell was subsequently charged with conspiracy to cause intentional
damage to a protected computer, along with two counts of being a felon in possession
of a firearm. The two felon-in-possession counts arose out of conduct that occurred

                                         -3-
outside of Minnesota. In May 2017 in Colorado, Gammell possessed the parts
necessary to build an AR-15 assault rifle and he possessed 420 rounds of ammunition.
Also in May 2017, in New Mexico, Gammell possessed two handguns and hundreds
of rounds of ammunition. Gammell pled guilty to all three counts pursuant to a plea
agreement, which included a waiver of venue with respect to the felon-in-possession
counts.

       At sentencing, the district court determined that Gammell had at least three
prior convictions for violent felonies that qualified as predicate offenses under the
Armed Career Criminal Act (ACCA). The district court identified the three predicate
offenses as two convictions in Minnesota state court in 1981 for aggravated robbery,
in violation of Minn. Stat. §§ 609.245 and 609.11 (1979), and a 1984 conviction in
Minnesota state court for aiding and abetting second-degree burglary, in violation of
Minn. Stat. §§ 609.582 subd. 2(a) and 609.05 (1983). The district court determined
a United States Sentencing Guidelines range of 135 to 168 months imprisonment.
However, due to the ACCA-triggered mandatory minimum of 180 months for each
of the felon-in-possession counts, the district court set the appropriate sentencing
range at 180 months. The district court imposed a 180-month sentence for each
felon-in-possession count and a 60-month sentence for the conspiracy count. The
district court ordered the sentences to run concurrently, for a total term of
imprisonment of 180 months. The district court also ordered that Gammell pay
restitution pursuant to the Mandatory Victims Restitution Act (MVRA), 18 U.S.C.
§ 3663A, but left the amount pending to allow for an evidentiary hearing. After the
subsequent two-day evidentiary hearing, the district court ordered Gammell to pay
restitution to 14 of his victims in the total amount of $955,656.77. This consolidated
appeal follows.




                                         -4-
                                            II.

       Gammell first asserts that the district court erroneously sentenced him as an
armed career criminal, arguing that the district court incorrectly concluded that he had
the requisite predicate offenses. “We review de novo whether a prior conviction is a
predicate offense under the ACCA.” United States v. Eason, 829 F.3d 633, 640 (8th
Cir. 2016) (quoting United States v. Shockley, 816 F.3d 1058, 1062 (8th Cir. 2016)).

       The district court sentenced Gammell to the statutory minimum of 180 months
as an armed career criminal based upon three previous convictions for violent felonies
under Minnesota law. See 18 U.S.C. § 924(e)(1) (“In the case of a person who
violates section 922(g) of this title and has three previous convictions . . . for a violent
felony or a serious drug offense, or both . . . such person shall be . . . imprisoned not
less than fifteen years . . . .”). Gammell argues that his two prior convictions for
aggravated robbery are not violent felonies and asserts that his previous conviction
for aiding and abetting second-degree burglary cannot serve as a predicate offense
because Minnesota’s aiding and abetting statute is broader than generic aiding and
abetting. We find both contentions unpersuasive.

       First, as Gammell concedes, prior panels of this Court have already determined
that aggravated robbery under Minnesota law is a violent felony. See United States
v. Libby, 880 F.3d 1011, 1014, 1016 (8th Cir. 2018) (stating that aggravated robbery
involves the “commission of simple robbery while armed with a dangerous
weapon[,]” and concluding that “the elements of Minn. Stat. § 609.245, subd. 1
categorically present a violent felony under the ACCA” (internal quotation marks
omitted)); see also United States v. Pettis, 888 F.3d 962, 966 (8th Cir. 2018), cert.
denied, 139 S. Ct. 1258 (2019) (“Thus, state caselaw supports a finding that
Minnesota simple robbery requires violent force and qualifies as a predicate offense
under the ACCA.”). As we are bound by prior panel decisions of our Court, we reject

                                            -5-
Gammell’s contention. See Mader v. United States, 654 F.3d 794, 800 (8th Cir.
2011) (en banc). The district court appropriately considered Gammell’s prior
aggravated robbery convictions as violent felonies.

       Second, Gammell’s argument regarding his conviction for aiding and abetting
second-degree burglary is premised upon his assertion that a distinction exists
between accomplice liability and primary liability for the purposes of ACCA
applicability. He does not dispute that second-degree burglary is a violent felony;
rather, he asserts that aiding and abetting accomplice liability is distinct from the
substantive offense and requires evaluation of the Minnesota aiding and abetting
statute. But as our Court has previously explained “[a]iding and abetting, not itself
an offense, [is] simply one way to prove [the defendant] guilty of [the substantive
offense].” United States v. Zackery, 494 F.3d 644, 649 (8th Cir. 2007). Further, our
Court has explicitly rejected this distinction for the purposes of applicability of the
ACCA:

      For purposes of § 924(e)(2)(B)(i), it is irrelevant that Salean’s 1995
      conviction was for aiding and abetting fourth degree assault. See United
      States v. Groce, 999 F.2d 1189, 1191-92 (7th Cir.1993); accord United
      States v. Brown, 550 F.3d 724, 728 (8th Cir. 2008) (aiding the
      commission of aggravated robbery is a crime of violence under U.S.S.G.
      § 4B1.2). Because modern criminal statutes abrogate the common law
      distinction between principals and aiders and abettors, the “generic
      sense” of statutes prohibiting crimes such as assault “covers . . . ‘aiders
      and abettors’ as well as principals.” Gonzales v. Duenas-Alvarez, 549
      U.S. 183, 190, 127 S. Ct. 815, 166 L.Ed.2d 683 (2007).

United States v. Salean, 583 F.3d 1059, 1060 n.2 (8th Cir. 2009). Thus, for the
purposes of applying the ACCA, it matters not whether Gammell was convicted as
a principal or aider or abettor; it matters only whether the substantive offense
qualifies as a violent felony. See Douglas v. United States, 759 Fed. App’x 554, 555
(8th Cir. 2019) (per curiam) (rejecting argument that defendant’s prior conviction for

                                         -6-
aiding and abetting first-degree aggravated robbery under Minnesota law did not
qualify as a violent felony, noting that, for purposes of ACCA, it is irrelevant whether
conviction is premised on aiding and abetting liability). As Gammell does not dispute
that second-degree burglary is a violent felony, the district court did not err in
counting this conviction as a predicate offense under the ACCA. We find no error
in the district court’s sentencing of Gammell as an armed career criminal.



                                           III.

       Gammell next challenges the district court’s restitution order, asserting that the
district court impermissibly awarded compensation for costs of investigations that the
victims voluntarily undertook, erroneously awarded Gammell’s victims a windfall,
and based the award on insufficient and unreliable evidence. Each of Gammell’s
arguments is unavailing. “We review the district court’s decision to award restitution
for an abuse of discretion and the district court’s finding as to the amount of loss for
clear error. The government bears the burden of proving the amount of restitution
based on a preponderance of the evidence.” United States v. Frazier, 651 F.3d 899,
903 (8th Cir. 2011) (citations omitted). “We review de novo any legal interpretations
the court made when determining its obligation to award restitution.” United States
v. Adetiloye, 716 F.3d 1030, 1038-39 (8th Cir. 2013).

      Under the MVRA, the district court “‘shall order’ a defendant convicted of ‘an
offense against property under this title, . . including any offense committed by fraud
or deceit[,]’ to pay restitution to a ‘victim of the offense.’” Id. at 1039 (alterations in
original) (quoting 18 U.S.C. § 3663A(a)(1), (c)(1)(A)(ii)). A victim of the offense
is “a person directly and proximately harmed by the offense.” 18 U.S.C.
§ 3663A(a)(2). “Once the court has identified the victims, the next step is to
determine ‘the full amount of each victim’s losses.’” Frazier, 651 F.3d at 903
(quoting 18 U.S.C. § 3664(f)(1)(A)). The appropriate measure of loss “must be based

                                           -7-
on the amount of loss actually caused by the defendant’s offense.” Id. at 903-04
(quoting United States v. Petruk, 484 F.3d 1035, 1036 (8th Cir. 2007)). Although a
restitution award must be tied to actual loss,

      [i]nstead of prescribing a single method to be applied in all
      circumstances, the law contemplates discretion by the sentencing court
      in determining how to value a victim’s losses. Consequently, the ‘value’
      of lost property under the MVRA must be determined in the district
      court’s discretion depending on the circumstances of each case.

Id. at 904 (citation omitted). Utilizing this framework, the district court determined
that Gammell’s 14 victims suffered losses in the amount of $955,656.77 and ordered
restitution in this amount.

       Gammell first asserts the district court’s restitution order must be reversed
because it includes costs associated with investigations that victims independently
undertook apart from the government’s investigation into Gammell’s attacks. See
Lagos v. United States, 138 S. Ct. 1684-1690 (2013) (holding that under § 3663 costs
of investigation that a victim voluntarily undertakes were not property included in a
restitution award). Gammell asserts that this holding changes the landscape of every
restitution award under the MVRA, but his reliance on Lagos is misplaced. Lagos
considered the recoverability of costs of investigations with respect to restitution
awards under 18 U.S.C. § 3663A(b)(4), which governs restitution as it relates to lost
income and other expenses incurred during the investigation or prosecution of an
offense. See id. at 1687. Here, as the district court noted, it ordered restitution
pursuant to a separate subsection of the MVRA, § 3663A(b)(1), which governs
restitution regarding damage, loss, or destruction of property. The district court did
not make any award specifically tied to expenses incurred in investigating Gammell
as the perpetrator or in prosecuting Gammell’s crimes. Rather, the so-called
investigative costs were “a prerequisite to repairing or replacing the damaged
property[,]” and thus were tied to compensation for property damage. See Restitution

                                         -8-
Order 12, Dist. Ct. Dkt. 131. Lagos thus has no applicability to a restitution award
made pursuant to § 3663A(b)(1), a separate subsection unrelated to costs of
investigation.

       Second, Gammell asserts that the district court erred in ordering $955,656.77
in restitution because it improperly included expenses that victims incurred for
mitigation services and infrastructure modifications, which effectively provided
victims with a windfall because it allowed the victims to recover costs against future
and speculative property loss due to already-existing security vulnerabilities. But as
the district court noted, the unique and pervasive nature of Gammell’s attacks
required specific and extensive efforts to restore the affected website and applications
to proper functionality. The district court discussed in detail the nature and substance
of these efforts, including that “Gammell’s victims were deprived of their
property—namely, reliable access to and use of their websites and web
applications—absent the mitigation efforts they used,” before concluding that “[t]hese
costs effectively equate to repair or cleanup costs because they involve mitigating the
damage caused by Gammell’s DDoS attacks and restoring a website or web
application to its normal functionality, without necessarily replacing the website or
web application.” Restitution Order 8, 10. We find no error in the district court’s
determination that these expenses were compensable as repair or cleanup costs under
the MVRA.

       Finally, Gammell challenges the sufficiency and reliability of the evidence
supporting the restitution award, asserting that requests for restitution were based on
vague claims, that the victims failed to document their losses, and that the
government failed to verify the amount requested by each victim. But Gammell’s
argument ignores the realities of the district court’s thoughtful and thorough
restitution order, entered following a two-day evidentiary hearing. The district court
summarized the evidence upon which it based its order as follows:



                                          -9-
      Here, the United States introduced in evidence signed declarations or
      affidavits from each of the 14 victims that seeks restitution. These
      declarations and affidavits describe, in varying degrees of detail, the
      actions each victim took to mitigate or remediate the damage caused by
      Gammell’s DDoS attacks and the costs associated with those actions.
      In addition to the fees and labor costs involved in obtaining DDoS
      mitigation services and moving websites to new web hosts, Gammell’s
      victims paid employees and third-party vendors to take other responsive
      actions, including investigating and diagnosing the disruptions and
      mitigating and remediating the effects of the DDoS attacks.
      Accompanying these declarations and affidavits are hundreds of pages
      of underlying documentation that the United States obtained from the
      victims, including emails, invoices and letters from third-party vendors,
      timesheets, and other summaries and spreadsheets. Moreover [FBI]
      Agent Behm testified about the contents of these documents as well as
      details he learned from his personal conversations with the victims.

Restitution Order 12. The district court also noted that because Gammell’s “attacks
created crisis situations for his victims that required immediate action,” victims did
not track all responsive actions “with the level of precision that Gammell now
demands” and stated that “[t]hat each victim did not respond in an identical manner
to Gammell’s attacks is not surprising and does not render the evidence unreliable.”
Restitution Order 13. These factors did not render the evidence so insufficient and
unreliable as to undercut the validity of the district court’s “reasonable estimate of the
loss[.]” United States v. Carpenter, 841 F.3d 1057, 1060 (8th Cir. 2016) (internal
quotation marks omitted).

       The voluminous and detailed evidence provided a legally sufficient basis for
the district court to determine the appropriate amount of restitution, and we give the
district court’s determination of this amount considerable deference. See id. (“[W]e
accord particular deference to the loss determination because of the district court’s
unique ability to assess the evidence and estimate the loss.” (internal quotation marks
omitted)). The district court thus committed no error in its restitution order.

                                          -10-
                                          IV.

      For the foregoing reasons, we affirm.

KOBES, Circuit Judge, concurring in part and concurring in the judgment.

       I join the court’s opinion except the portion of Section II that holds that aiding
and abetting second-degree burglary in Minnesota is an ACCA predicate. I agree
with the result, but I do not agree it is compelled by United States v. Salean, 583 F.3d
1059 (8th Cir. 2009). In my view, Gonzales v. Duenas-Alvarez, 549 U.S. 183 (2007)
requires us to analyze whether there is “something special” about Minnesota aiding
and abetting that makes it broader than generic aiding and abetting. Because I do not
believe Minnesota strays from the generic definition, I join the judgment of the court.

       In Salean we held that it was irrelevant, under the ACCA, that the defendant
was convicted in Minnesota for aiding and abetting fourth-degree assault rather than
for fourth-degree assault as a principal because modern criminal law has abrogated
the distinction between principal and accomplice liability. Id. at 1060 n.2. We
reached that conclusion in response to a very different argument than is presented
here. Salean argued that his conviction should not have counted as a violent felony
because, in contrast to committing assault as a principal, it was not necessary for him
to use physical force in aiding and abetting assault. See Appellant Br. at 3, 10–11,
Salean, 583 F.3d 1059 (No. 08-3315). Gammell, on the other hand, argues that
Minnesota aiding and abetting liability is categorically broader than the generic
aiding and abetting liability that Congress intended to include within all predicate
offenses under the ACCA. “[W]e are generally not bound by a prior panel’s implicit
resolution of an issue that was neither raised by the parties nor discussed by the




                                          -11-
panel.” Streu v. Dormire, 557 F.3d 960, 964 (8th Cir. 2009). As a result, although
Salean’s language sweeps broadly, it does not control our decision here.2

       Both Supreme Court and Eighth Circuit precedent require us to evaluate
Gammell’s claim about the scope of Minnesota aiding and abetting. In Gonzales v.
Duenas-Alvarez, 549 U.S. 183, 191 (2007), when confronted with a similar argument
about the scope of California’s definition of aiding and abetting, the Supreme Court
said that a conviction potentially based on an aiding and abetting theory would not
qualify as a predicate offense under the Immigration and Nationality Act if a
defendant could show that there was “something special about [his state’s] version
of [aiding and abetting]—for example, that [his state] in applying it criminalizes
conduct that most other states would not.” We recently recognized the same
possibility in the ACCA context when evaluating the aiding and abetting statute in
Iowa. We reasoned that “[a]s aiding and abetting liability is inherent in every
conviction under [the Iowa statute at issue], it is consistent with the categorical
approach to look to Iowa’s aiding and abetting statute in determining whether the
prior offense of conviction is overbroad.” United States v. Boleyn, --- F.3d ----, 2019
WL 2909307, at *3 n.3 (8th Cir. July 8, 2019). Gammell was convicted of aiding and
abetting second-degree burglary and has made the same type of argument as the
appellants in Boleyn and Duenas-Alvarez. We are therefore required to analyze
Minnesota’s aiding and abetting law.

      Gammell claims that two features of Minnesota’s aiding and abetting doctrine
criminalize conduct that other jurisdictions do not. First, he argues that Minnesota
ascribes accomplice liability to those who are merely present at the scene of a crime.

      2
        The argument was presented in Douglas v. United States, 759 Fed. App’x 554
(8th Cir. 2019) (per curiam), but that opinion is unpublished and has no precedential
value. See Eighth Circuit Rule 32.1A. Douglas is also not persuasive because it did
not address the issue Gammell raises except to cite Salean for the same proposition
as the majority in this case.
                                         -12-
He points us chiefly to State v. Ostrem, 535 N.W.2d 916 (Minn. 1995) and State v.
Parker, 164 N.W.2d 633 (Minn. 1969). Both cases contain language that arguably
supports his position. See Ostrem, 535 N.W.2d at 925–26 (“There is convincing
evidence indicating not only that Ostrem was at the farmhouse while the crime was
being committed, but also that he did nothing to ‘thwart its completion’ and in fact,
when confronted . . . Ostrem passively condoned [the principal’s] efforts to cover up
the crime.”); Parker, 164 N.W.2d at 641–42 (“[T]he defendant’s close association
with the other men who appeared in the stolen car . . . and the fact that the three of
them were apprehended fleeing from the convertible stolen from the victim, all tend
reasonably to justify the conclusion that defendant joined with the other two . . . .”).
However, I read both cases as in line with the federal definition of aiding and
abetting.

       Although federal aiding and abetting requires “some conduct of an affirmative
nature and mere negative acquiescence is not sufficient,” Johnson v. United States,
195 F.2d 673, 675–76 (8th Cir. 1952), “[i]n proscribing aiding and abetting, Congress
used language that ‘comprehends all assistance rendered by words, acts,
encouragement, support, or presence,’” Rosemond v. United States, 572 U.S. 65, 73
(2014) (emphasis added). Although Ostrem and Parker turn on an individual’s
presence at the scene of the crime, both cases explain that presence must be intended
to aid a principal in order to rise to the level of aiding and abetting.3 In Ostrem, for
example, the court held that “presence can be sufficient to impose liability if it


      3
        To the extent that Ostrem or Parker might suggest that the intent to aid could
be inferred from presence, I take the Minnesota Supreme Court at its word that more
is required to sustain a conviction. See State v. Mahkuk, 736 N.W.2d 675, 682 (Minn.
2007) (“[T]o prove that Mahkuk aided and abetted the shooting and killing of the two
victims, the state was required to prove more than Mahkuk’s intentional presence at
the scene of the crime. The state had to prove, beyond a reasonable doubt, that
Mahkuk . . . intended his presence or actions to further the commission of that
crime.”)
                                         -13-
somehow aids the commission of the crime.” 535 N.W.2d at 925 (emphasis added).
And although the Parker court noted that “inaction is often the distinguishing
characteristic of the aider and abettor and is encompassed within the statute,” it went
on to explain that, “[i]n this regard the ‘lookout’ is a classic example.” 164 N.W.2d
at 641. These statements are in line with federal law. See, e.g., United States v. Ruiz-
Zarate, 678 F.3d 683, 690–91 (8th Cir. 2012).

       Second, Gammell argues that Minnesota conflates conspiracy liability and
aiding and abetting liability because the Minnesota aiding and abetting statute
extends liability to one who “conspires with” another to commit a crime. See Minn.
Stat. § 609.05. Conspiracy and aiding and abetting are not coterminous, see Nye &
Nissen v. United States, 336 U.S. 613, 620 (1949), and if Minnesota used this
language in its aiding and abetting statute to prove conspiracy against an individual
and then convict him as an accomplice, its aiding and abetting doctrine would likely
be broader than the generic version. However, the statute’s use of the word
“conspires” to describe a potential method of aiding and abetting, on its own, does
not persuade me that it conflates conspiracy liability, for which Minnesota has a
separate statute, with aiding and abetting liability. See Minn. Stat. § 609.175.
Gammell cites no case in which Minnesota has applied its aiding and abetting statute
in this way and we require more than a theoretical possibility that a statute applies
broadly before we determine that it is overbroad under the ACCA. United States v.
Swopes, 886 F.3d 668, 671 (8th Cir. 2018) (en banc).

       Because I do not find anything “special” about Minnesota’s aiding and abetting
doctrine, I concur in the court’s judgment that Gammell’s conviction for aiding and
abetting second-degree burglary qualifies as an ACCA predicate.
                       _______________________________




                                         -14-
