01-1535-cr(L)
In re Terrorist Bombings of U.S. Embassies



                                 UNITED STATES COURT OF APPEALS
                                    FOR THE SECOND CIRCUIT

                                               August Term, 2007

(Argued: December 10, 2007                                             Decided: November 24, 2008)

                       Docket Nos. 01-1535-cr (L), 01-1550-cr (con), 01-1553-cr (con),
                            01-1571-cr (con), 05-6149-cr (con), 05-6704-cr (con)

In re TERRORIST BOMBINGS OF U.S. EMBASSIES IN EAST AFRICA ,

UNITED STATES OF AMERICA ,

                          Appellee,
                 v.

MOHAMED SADEEK ODEH , also known as Abu Moath, also known as Noureldine, also known as
Marwan, also known as Hydar, MOHAMED RASHED DAOUD AL -’OWHALI, also known as Khalid Salim
Saleh Bin Rashed, also known as Moath, also known as Abdul Jabbar-Ali Abel-Latif, WADIH EL HAGE
also known as Abdus Sabbur,

                          Defendants-Appellants,

KHALFAN KHAMIS MOHAMED , also known as Khalfan Khamis,

                          Defendant.


Before: FEINBERG , NEWMAN , and CABRANES, Circuit Judges.

        Defendants appeal from judgments of conviction entered by the United States District Court

for the Southern District of New York (Leonard B. Sand, Judge) following a jury trial in which

defendants were found guilty of offenses arising from their involvement in an international

conspiracy—led by Osama Bin Laden and organized through the al Qaeda terrorist network—to kill

American citizens and destroy American facilities across the globe. One defendant also appeals post-

conviction orders entered by the District Court (Kevin Thomas Duffy, Judge). One or more of the

                                                      1
defendants contend that (1) the indictment was not sufficient to support a conviction of a capital

offense; (2) insufficient evidence supported the convictions; (3) the District Court’s application of the

Classified Information Procedures Act violated the Constitution; (4) a severance motion should have

been granted; (5) statements attributed to co-defendants, co-conspirators, and other third parties should

not have been admitted; (6) the government withheld exculpatory evidence; (7) cumulative error

resulted in the deprivation of a fair trial; (8) certain sentencing enhancements were improper; and (9)

the mandatory application of the Sentencing Guidelines warrants a remand of one defendant’s case for

re-sentencing. We see no merit in any but the last of these contentions. For the reasons stated in this

opinion, as well as those set forth in In re Terrorist Bombings of U.S. Embassies in East Africa (Fourth

Amendment Challenges), __ F.3d __ (2d Cir. 2008), and In re Terrorist Bombings of U.S. Embassies in East

Africa (Fifth Amendment Challenges), __ F.3d __ (2d Cir. 2008), both filed today, the judgments are

affirmed in part and remanded with respect to El-Hage only for re-sentencing.

                                          DAVID RASKIN and LESLIE C. BROWN , Assistant United States
                                                Attorneys (Michael J. Garcia, United States Attorney, on
                                                the brief, Iris Lan, David O’Neil, Katherine Polk Failla,
                                                Celeste L. Koeleveld, Assistant United States Attorneys,
                                                of counsel), United States Attorney’s Office for the
                                                Southern District of New York, New York, NY, for
                                                Appellee United States of America.

                                          JAMES E. NEUMAN , New York, NY, for Defendant-Appellant
                                                 Mohamed Sadeek Odeh.

                                          FREDERICK H. COHN , New York, NY, for Defendant-Appellant
                                                Mohamed Rashed Daoud Al-’Owhali.

                                          JOSHUA L. DRATEL and SAM A. SCHMIDT (Erik B. Levin, Renita
                                                K. Thukral, Meredith S. Heller, of counsel), New York,
                                                NY, for Defendant-Appellant Wadih El Hage.




                                                       2
JOSÉ A. CABRANES, Circuit Judge:

                                                      TABLE OF CONTENTS

INTRODUCTION . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3

I.     BACKGROUND . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 6

II.     DISCUSSION . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 14

           A.         Al-’Owhali’s Challenge to the Sufficiency of the Indictment . . . . . . . . . . . . . . . . . . . . 14

           B.         El-Hage’s and Odeh’s Challenges to the Sufficiency of the Evidence . . . . . . . . . . . . . 20

           C.         El-Hage’s Challenge to the District Court’s Application of the
                      Classified Information Procedures Act . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 25

           D.         El-Hage’s Motion To Sever His Trial from That of His Co-Defendants . . . . . . . . . . . 49

           E.         The Admission of Certain Statements of El-Hage’s Co-Defendants,
                      Co-Conspirators, and Other Third Parties . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 56

           F.         El-Hage’s Motion for a New Trial Based on the Post-Conviction Disclosure of
                      Recorded Statements of a Government Witness . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 65

           G.         El-Hage’s Claim under the Cumulative Error Doctrine . . . . . . . . . . . . . . . . . . . . . . . . 74

           H.         El-Hage’s Challenge to the Sentence Imposed by the District Court . . . . . . . . . . . . . . 82

III.     CONCLUSION . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 90



                                                           INTRODUCTION

           On May 29, 2001, a jury of the United States District Court for the Southern District of New

York returned verdicts of guilt against defendants-appellants Mohamed Sadeek Odeh, Mohamed

Rashed Daoud Al-’Owhali, and Wadih El-Hage as to numerous charges arising from their involvement

in the August 7, 1998 bombings of the American Embassies in Nairobi, Kenya and Dar es Salaam,




                                                                          3
Tanzania (the “August 7 bombings”).1 The jury considered, but declined to impose, the death penalty

on defendant-appellant Al-’Owhali. Between October 22 and October 24, 2001, the District Court2

(Leonard B. Sand, Judge) entered judgments of conviction against all three defendants and sentenced

each of them to life imprisonment. Defendants are currently incarcerated and serving their sentences.

All three now appeal their convictions, and El-Hage also appeals (1) the sentence imposed upon him

by Judge Sand, (2) an order entered on November 2, 2005 by Judge Kevin Thomas Duffy, denying his

motion for a new trial pursuant to Federal Rule of Criminal Procedure 33, and (3) an order entered on

December 5, 2005 by Judge Duffy, denying El-Hage’s motion for reconsideration of the November 2

order.

         This criminal case presents issues of great importance, many of which are complex and novel;

consequently, this case has been in the federal courts for a decade. This case commenced in late 1998,

when defendants were indicted for their participation in the August 7, 1998 bombings of American

Embassies in Kenya and Tanzania—acts of terrorism that resulted in the deaths of over 200 people.

Jury selection began in early 2001, and trial commenced in February of that year. The trial lasted nearly

four months and concluded on May 29, 2001 when the jury reached unanimous verdicts of defendants’

guilt. In October 2001, the District Court imposed a sentence of life imprisonment on all defendants,

judgment was entered, and defendants then filed timely appeals.3 For the reasons described in greater


        1
          Also convicted was defendant Khalfan Khamis Mohamed, who initially appealed his conviction but later
withdrew that appeal. Also indicted, but not tried, were Osama Bin Laden, Fazul Abdullah Mohammed, Muhammad
Atef, Mustafa Mohamed Fadhil, Ahmed Khalfan Ghailani, Fahid Mohammed Msalam, Mamdouh Mahmud Salim, Ali
Mohamed, Ayman al Zawahiri, Khaled al Fawwaz, Ibrahim Eidarous, Adel Abdel Bary, Saif al Adel, Abdullah Ahmed
Abdullah, Muhsin Musa Matwalli Atwah, Anas al Liby, L’Houssiane Kherchtou, and Mohamed Suleiman al Nalfi.

         2
            Judge Sand presided over appellants’ pretrial proceedings, trial, and certain post-trial proceedings. On January
23, 2002, this matter was reassigned to United States District Judge Kevin Thomas Duffy, who presided over additional
post-trial proceedings.

         3
           The case also involved lengthy pretrial and post-trial proceedings. Defendants filed extensive pretrial
motions urging, inter alia, the severance of their trials, the dismissal of the indictments, the suppression of both physical
evidence seized overseas and certain inculpatory statements, and release on bail. The District Court denied most of
defendants’ pretrial motions, including the application for bail— a decision which was appealed by one of the defendants
                                                                4
detail below, as well as those set forth in In re Terrorist Bombings of U.S. Embassies in East Africa (Fourth

Amendment Challenges), __ F.3d __ (2d Cir. 2008), and In re Terrorist Bombings of U.S. Embassies in East

Africa (Fifth Amendment Challenges), __ F.3d __ (2d Cir. 2008), both filed today, we conclude that none of

the issues raised on appeal has merit, with the exception of El-Hage’s challenge to his sentence on the

basis of the District Court’s mandatory application of the United States Sentencing Guidelines based

on then-binding Circuit precedent. We therefore affirm the judgments of conviction entered by the

District Court against Al-’Owhali, El-Hage, and Odeh, and we remand the case to the District Court

solely for the purpose of resentencing El-Hage.

         In reaching this conclusion, we hold that (1) the indictment under which Al-’Owhali proceeded

to trial sufficiently alleged the “gateway considerations” rendering Al-’Owhali death-eligible pursuant to

Ring v. Arizona, 536 U.S. 584 (2002), and Apprendi v. New Jersey, 530 U.S. 466 (2000); (2) the evidence

presented at trial by the government was sufficient to support (a) El-Hage’s conspiracy convictions and

(b) Odeh’s convictions for the conspiracy and substantive offenses with which he was charged; (3)

pursuant to the Classified Information Procedures Act, 18 U.S.C. app. 3, the District Court was

authorized to restrict access to classified information only to those with a security clearance, and its

decision to do so here did not violate El-Hage’s Sixth Amendment right to counsel, his Fifth and Sixth

Amendment rights to present a defense, or his Fifth and Sixth Amendment rights to be present during

a crucial stage in his trial; (4) the District Court did not err in denying El-Hage’s motion to sever his



and affirmed by this Court in early 2000. See United States v. El-Hage, 213 F.3d 74 (2d Cir. 2000).

         In October 2003, the defendants moved, in the District Court, for a new trial based on newly disclosed
evidence. See United States v. Bin Laden, 397 F. Supp. 2d 465, 473 (S.D.N.Y. 2005). The District Court conducted
evidentiary hearings on this motion, and we held the appeals in abeyance pending the District Court’s resolution of the
motion. In November 2005, the District Court denied the motion for a new trial. Id.

          After granting requests by defendants to consolidate the appeals from the District Court’s post-conviction
rulings and for extensions of time to complete their briefs, we heard this case on December 10, 2007.

                                                               5
trial from that of his co-defendants; (5) the statements of defendants’ co-conspirators were properly

admitted at trial; (6) defendants were not prejudiced by the government’s post-trial disclosure of

transcripts of video-conferences with a key witness for the government; (7) because we perceive no

error at trial, there is no merit in El-Hage’s suggestion that “cumulative error” deprived him of a fair

trial; (8) the application of certain enhancements to El-Hage’s sentencing guidelines calculation was not

error; and (9) insofar as El-Hage’s sentence resulted from the mandatory application of the United

States Sentencing Guidelines, we remand his case for resentencing pursuant to United States v. Fagans,

406 F.3d 138 (2d Cir. 2005).

                                                  I.    BACKGROUND

         We provide an outline of the factual and procedural history of this case below. Insofar as our

evaluation of the claims raised by defendants requires additional detail from the record, we have

provided that information in the relevant section of this opinion and in In re Terrorist Bombings of U.S.

Embassies in East Africa (Fourth Amendment Challenges), __ F.3d __ (2d Cir. 2008), and In re Terrorist

Bombings of U.S. Embassies in East Africa (Fifth Amendment Challenges), __ F.3d __ (2d Cir. 2008).

A.       Factual Overview4

         In 1996, the United States Attorney for the Southern District of New York convened a grand

jury to investigate the involvement of Osama Bin Laden and the al Qaeda organization in international

terrorism directed at U.S. nationals, other “internationally protected persons,”5 and U.S. interests. See


         4
         On appeal from judgments of conviction, “we view the evidence in the light most favorable to the
[g]overnment.” United States v. Yousef, 327 F.3d 56, 78 (2d Cir. 2003) (citing Jackson v. Virginia, 443 U.S. 307, 319 (1979)).

         5
             Pursuant to 18 U.S.C. § 1116(b)(4), “Internationally protected persons” include:

             (A) a Chief of State or the political equivalent, head of government, or Foreign Minister whenever such
         person is in a country other than his own and any member of his family accompanying him; or

             (B) any other representative, officer, employee, or agent of the United States Government, a foreign
         government, or international organization who at the time and place concerned is entitled pursuant to
         international law to special protection against attack upon his person, freedom, or dignity, and any member of
                                                                6
United States v. Bin Laden, 126 F. Supp. 2d 264, 268-69 (S.D.N.Y. 2000). Bin Laden came to the

attention of the U.S. government as early as 1992 when the U.S. Department of State determined that

he had provided financing to Yemeni terrorists who were attempting to murder U.S. troops in Yemen.

See The National Commission on Terrorist Attacks Upon the United States, The 9/11 Commission Report

108-09 (2004). In 1993, the Central Intelligence Agency (“CIA”) determined that Bin Laden had “paid

for the training of some Egyptian terrorists in Sudan,” id. at 108, and the State Department added Bin

Laden to its list of known and suspected terrorists that same year, id. at 109, 83. By 1996, the CIA had

linked Bin Laden to the al Qaeda organization. Id. at 109. U.S. intelligence experienced a

“breakthrough” in the mid-1990s when a former aide to Bin Laden explained the “creation, character,

direction, and intentions” of al Qaeda. Id. Around that time, U.S. intelligence officials also became

aware that al Qaeda had a presence in Nairobi, Kenya; individuals associated with al Qaeda were using

particular phone numbers to communicate with Bin Laden and with each other; and defendant El-

Hage was one of those individuals. Bin Laden, 126 F. Supp. 2d at 269.

       El-Hage, a naturalized U.S. citizen, was a close associate of Bin Laden and served as the head of

the Nairobi al Qaeda cell during a period post-dating Bin Laden’s 1996 public declaration of holy war

against America through the time of the embassy bombings. Tr. 1210-11, 1251-52.6 He had financial

and personnel responsibilities for Bin Laden’s enterprises. Tr. 258-59, 908-12. In February 1997, he

conveyed a message from Bin Laden directing the Nairobi cell to prepare for military activity. Two

months later, the Attorney General of the United States authorized officials to collect intelligence

targeting El-Hage.




       his family then forming part of his household.

       6
           “Tr.” refers to the trial transcript.
                                                        7
         In September 1997, El-Hage flew to the United States from Nairobi. Shortly thereafter, he was

subpoenaed to testify before the grand jury investigating al Qaeda. After taking an oath to testify

truthfully, El-Hage made numerous false statements about the last time he had seen Bin Laden, the

nature of his contacts with various Bin Laden associates, and his awareness of Bin Laden’s plans to

target American interests. He was arrested shortly after testifying. See United States v. Bin Laden, 91 F.

Supp. 2d 600, 606 (S.D.N.Y. 2000).

         On August 7, 1998, at approximately 10:30 a.m., al Qaeda operatives detonated truck bombs

outside the American Embassies in Nairobi, Kenya and Dar es Salaam, Tanzania, killing 224

people—including twelve Americans—and wounding thousands more.

         The day before the explosions in Kenya and Tanzania, defendant Odeh—an al Qaeda member

based in Nairobi7—took a late night flight from Nairobi to Karachi, Pakistan. Tr. 1685-87. Early the

next morning, Pakistani officials arrested Odeh at the airport after determining that he lacked proper

travel documents. Tr. 3584-86, 3794. Forensic analysis revealed explosives residue on his clothing and

other items contained in his luggage. Tr. 3780-82. A search of Odeh’s Nairobi residence on or around

August 8, 1998 revealed sketches of the area surrounding the American Embassy and the bomb

placement site, and a budget sheet that included entries for “weapons and artilleries” as well as items

needed for “training . . . at the camp.” Supplemental App. 2284, 2286, 2291. On August 14, 1998,

Pakistani authorities transported Odeh back to Kenya, where he was taken into custody by Kenyan

officials. Tr. 3795. Between August 15 and August 27, Odeh was questioned in Kenya by American

and Kenyan officials. Tr. 1617-18. During these sessions, he admitted, inter alia, to his membership in

al Qaeda and his training in explosives. Tr. 1631, 1640, 1626-27. This evidence was produced at trial


         7
            Odeh joined al Qaeda in 1992 and received instruction in the use of explosives and small arms in a training
camp in Afghanistan. Tr. 1631, 1640, 1626-27. He worked for al Qaeda in Somalia in 1993 and then moved to Kenya
later that year, as al Qaeda was establishing its operations there. Tr. 1648-52. At the time of the bombings, Odeh
worked with the Nairobi cell of al Qaeda. Tr. 1657-58.
                                                             8
to establish that Odeh was the “technical adviser [for] the embassy bombings,” who instructed the

Nairobi cell “about how best to build and place the bomb so as to cause maximum American

fatalities.”

         Defendant Al-’Owhali, an al Qaeda operative who helped to place the bomb that exploded

outside the American Embassy in Nairobi, left the truck shortly before the bomb detonated and was

seen fleeing the scene by an eyewitness. Tr. 5137. On August 12, 1998, he was arrested in Kenya by

Kenyan authorities acting in concert with U.S. law enforcement agents. See United States v. Bin Laden,

132 F. Supp. 2d 168, 173 (S.D.N.Y. 2001). Between August 12 and August 25, 1998, Al-’Owhali

remained in Kenyan custody but was periodically interviewed by American agents. Id. at 174. On

August 26, 1998, he was transported to the United States for further interviews. Id. at 178.

B.       Procedural History

         In an indictment filed in the District Court on September 21, 1998, El-Hage was charged with

several counts of perjury and making false statements. See Bin Laden, 91 F. Supp. 2d at 606. On

October 7, 1998, the indictment charging him with these offenses was superseded by an indictment

that added charges directly related to the August 7, 1998 embassy bombings and included Odeh and

Al-’Owhali as additional defendants. Id. Several more superseding indictments were subsequently

filed, bringing the total number of named defendants to fifteen. Id. The indictment on which

defendants-appellants ultimately proceeded to trial (“the Indictment”) was filed on May 8, 2000. It

charged all of the defendants with 267 discrete criminal offenses, including participation in conspiracies

(1) to murder United States nationals, United States military personnel stationed in Somalia and Saudi

Arabia, United States nationals and other “internationally protected persons” employed at the United

States Embassies in Kenya and Tanzania; and (2) to conceal the activities of the conspiracy. See Bin

Laden, 91 F. Supp. 2d at 606; Bin Laden, 92 F. Supp. 2d at 228. Certain of the defendants were also


                                                    9
charged with murder and other substantive offenses, and El-Hage was also charged with perjury and

making false statements. Id.

         Pursuant to the procedures set forth in the United States Attorneys’ Manual §§ 9-10.020 to

9-10.080, the government provided notice on June 28, 2000 that it was planning to seek the imposition

of the death penalty against Al-’Owhali and another co-defendant. See United States v. Bin Laden, 109 F.

Supp. 2d 211, 213 (S.D.N.Y. 2000). El-Hage and two of his co-defendants then moved to sever their

trial from that of certain other co-defendants on the basis that (1) unlike the other co-defendants, they

were not charged with any substantive offenses arising from the August 7 bombings, and (2) unlike Al-

’Owhali, they were not on trial for capital crimes. See Bin Laden, 109 F. Supp. 2d at 217, 221. The

District Court denied this motion. Id. at 223. In October 2000, Al-’Owhali moved to challenge the

sufficiency of the indictment with respect to those charges carrying a capital penalty, and this motion

was also denied by the District Court. See United States v. Bin Laden, 126 F. Supp. 2d 290, 296 & n.6

(S.D.N.Y. 2001).

         In addition, all three defendants-appellants filed motions to suppress certain evidence. El-Hage

filed a motion to suppress evidence obtained from an August 1997 search of his residence in Nairobi,

as well as the surveillance, from August 1996 to August 1997, of four telephone lines in Nairobi. This

motion was denied by the District Court.8 See United States v. Bin Laden, 126 F. Supp. 2d 264, 288

(S.D.N.Y. 2001).

         Al-’Owhali filed a motion to suppress statements he made to U.S. agents during interviews

conducted in Kenya. The District Court, having initially granted this motion, subsequently reopened

the matter upon motion of the government. See United States v. Bin Laden, 132 F. Supp. 2d 168, 172

(S.D.N.Y. 2001). After permitting the government to further develop the record, the District Court


         8
           El-Hage’s challenge to the District Court’s denial of this motion is addressed in In re Terrorist Bombings of U.S.
Embassies in East Africa (Fourth Amendment Challenges), __ F.3d __ (2d Cir. 2008).
                                                                10
withdrew its previous decision and substituted an opinion granting Al-’Owhali’s motion as to

statements made before August 22, 1997, see id. at 192, 198, and denying the motion as to statements

made from August 22 onwards, see id. at 194.9

         In June 2000, Odeh’s attorneys submitted a motion to suppress statements that Odeh had made

to Pakistani authorities in Pakistan and to U.S. authorities in Kenya. See United States v. Bin Laden, 132

F. Supp. 2d 198, 201 (S.D.N.Y. 2001). Several days later, however, Odeh notified the District Court

that he wished to withdraw this motion on religious grounds.10 Id. at 201 & n.3. The District Court,

after holding an ex parte hearing with Odeh and his counsel, id. at 201, entered an order on August 1,

2000, deeming Odeh’s motion to have been withdrawn without prejudice. Id. Jury selection for the

trial began on January 3, 2001. Id. On January 9, 2001, the District Court issued its initial—and later

withdrawn—decision granting Al-’Owhali’s motion to suppress in full. Id. at 201 & n.5 Odeh’s

attorneys then filed motions to suppress the statements Odeh made to Pakistani authorities in Pakistan

and to U.S. authorities in Kenya. Id. The District Court denied the first motion (which renewed

Odeh’s withdrawn June 2000 motion) as untimely, id. at 215, and the second motion on the merits,

after an evidentiary hearing, see id. at 212-13.11




         9
          Al-’Owhali’s challenge to the District Court’s partial denial of this motion is addressed in In re Terrorist Bombings
of U.S. Embassies in East Africa (Fifth Amendment Challenges), __ F.3d __ (2d Cir. 2008).

          10
             Specifically, Odeh, in an undated letter, stated: “I refuse to submit a petition or a complaint as to what
occurred during that period of time [i.e., his detention in Pakistan and Kenya] for merely Sharia (religious) reasons . . . .
Therefore, I withdraw this form of mine [his affidavit].” Appellants’ App. 2738. In a letter dated July 20, 2000 and
signed by all four members of Odeh’s legal team, defense counsel took the position that “[t]he court should permit the
withdrawal of Mr. Odeh’s affidavit to accommodate his religious beliefs[ ] but conduct a hearing to ensure that Mr.
Odeh’s constitutional rights are protected and that justice is served.” Id. at 2734. The government and Odeh provide
differing accounts of the religious basis for Odeh’s decision to withdraw his affidavit. The government contends that
Odeh’s “hesitations stemmed in part from the falsity of the facts to which he was asked to swear ‘in the name of God.’”
Appellee’s Br. 366. Odeh asserts that “certain tenets of Islam prevented him from ‘complaining’ about the actions of
others, in a sworn statement, to a non-Islamic court.” Odeh Br. 46. We endorse neither view.

         11
             Odeh’s challenge to the District Court’s denial of these motions is addressed in In re Terrorist Bombings of U.S.
Embassies in East Africa (Fifth Amendment Challenges), __ F.3d __ (2d Cir. 2008).
                                                               11
         The jury trial began on February 5, 2001. After the close of the government’s case, defendants

moved pursuant to Rule 29(a) of the Federal Rules of Criminal Procedure to dismiss the charges

against them on the basis of the insufficiency of the evidence. On April 12, 2001, the District Court

granted in part the Rule 29(a) motions of Odeh and Al-’Owhali with respect to the charged substantive

offenses arising from the American Embassy bombing in Tanzania (Counts 6 and 8). On May 29,

2001, the jury convicted defendants of all remaining counts.

         All three defendants-appellants were convicted of: conspiracy to murder United States nationals

in violation of 18 U.S.C. § 2332(b) (Count 1); conspiracy to murder internationally protected persons,

United States officers, and employees engaging in official duties in violation of 18 U.S.C. § 1117 (Count

2); and conspiracy to destroy buildings and property of the United States in violation of 18 U.S.C.

§ 844(n) (Count 4). In addition, Odeh and Al-’Owhali were convicted of conspiracy to use weapons of

mass destruction against United States nationals and property overseas in violation of 18 U.S.C.

§ 2332a(a)(1) & (3) (Count 3).12

         Odeh and Al-’Owhali were also convicted of the following substantive capital offenses: causing

death by bombing the American Embassy in Nairobi in violation of 18 U.S.C. §§ 844(f)(3) (Count 5);

use of a weapon of mass destruction for bombing the American Embassy in Nairobi in violation of 18



         12
              For the purposes of this provision, a “weapon of mass destruction” is defined as follows:

                     (A) any destructive device as defined in section 921 of this title [listing “explosive, incendiary, or
                     poison gas” devices and weapons, other than shotguns, “which ha[ve] . . . barrel[s] with a bore of
                     more than one-half inch in diameter”];

                     (B) any weapon that is designed or intended to cause death or serious bodily injury through the
                     release, dissemination, or impact of toxic or poisonous chemicals, or their precursors;

                     (C) any weapon involving a biological agent, toxin, or vector (as those terms are defined in section 178
                     of this title); or

                     (D) any weapon that is designed to release radiation or radioactivity at a level dangerous to human life.

18 U.S.C. § 2332a(c)(2).
                                                                 12
U.S.C. § 2332a(a)(1) & (3) with death resulting (Count 7); murder of 133 individuals in the course of an

attack on a U.S. facility in Nairobi, in violation of 18 U.S.C. § 930(c) (Counts 9-221); murder of U.S.

officers and employees in Nairobi in violation of 18 U.S.C. § 1114 (Counts 233-73); and murder of

internationally protected persons in violation of 18 U.S.C. § 1116 (Counts 278-79). In addition, they

were convicted of the following non-capital offenses: attempted murder of officers and employees of

the American Embassy in Nairobi in violation of 18 U.S.C. §§ 1114 (Count 274); attempted murder of

internationally protected persons in violation of 18 U.S.C. § 1116 (Count 280); using and carrying an

explosive during commission of a felony in violation of 18 U.S.C. §§ 844(h) (Count 282); and using and

carrying an explosive device during a crime of violence, in violation of 18 U.S.C. § 924(c) (Count 283).

       El-Hage was also convicted of multiple counts of perjury before a grand jury in violation of 18

U.S.C. § 1623 (Counts 285-302).

       The death-penalty phase of the trial then commenced. On June 12, 2001, the jury reported to

the District Court that it declined to impose a sentence of death on Al-’Owhali, the only defendant-

appellant against whom the death penalty was sought.

       Following the trial, El-Hage and Al-’Owhali moved for a judgment of acquittal pursuant to

Rule 29 of the Federal Rules of Criminal Procedure or, in the alternative, a new trial pursuant to Rule

33. The motions were denied. See United States v. Bin Laden, No. 98 Cr. 1023, 2001 WL 1160604

(S.D.N.Y. Oct. 2, 2001).

       In October 2001, the District Court imposed, inter alia, imprisonment for a term of life on all

three defendants. Judgments of conviction were entered against El-Hage, Al-’Owhali, and Odeh on

October 22, 2001; October 23, 2001; and October 24, 2001, respectively.

       Two years later, in October 2003, El-Hage moved again for a new trial pursuant to Rule 33

based, in part, on the government’s post-trial disclosure of videotapes depicting pretrial interviews with


                                                    13
one of the government’s main witnesses. See United States v. Bin Laden, No. 98 Cr. 1023, 2005 WL

287404, at *8-9 (S.D.N.Y. Feb. 7, 2005). Al-’Owhali and Odeh joined in El-Hage’s motion. Id. at *1

n.2. The District Court, after holding a series of evidentiary hearings on this matter, denied El-Hage’s

motion in an opinion and order of November 2, 2005. United States v. Bin Laden, 397 F. Supp. 2d 465

(S.D.N.Y. 2005). El-Hage moved for reconsideration on November 16. The District Court denied this

motion in an order entered on December 5, 2005.

        Defendants-appellants now appeal from the judgments of conviction and the post-trial orders.

                                           II.   DISCUSSION

        In this opinion we consider defendants’ arguments that their convictions should be vacated

because (1) the indictment was not sufficient to support a conviction of a capital offense; (2)

insufficient evidence supported the convictions; (3) the District Court’s application of the Classified

Information Procedures Act violated one defendant’s constitutional rights; (4) a severance motion

should have been granted; (5) statements attributed to other members of the conspiracy should not

have been admitted; (6) the government withheld exculpatory evidence; (7) cumulative error resulted in

the deprivation of a fair trial; (8) certain sentencing enhancements were improper; and (9) the

mandatory application of the Sentencing Guidelines warrants a remand of one defendant’s case for

resentencing.

        For the reasons described below, we perceive no basis to disturb the judgments of conviction

entered against each of the defendants. With respect to El-Hage, however, resentencing pursuant to

United States v. Fagans, 406 F.3d 138 (2d Cir. 2005), is warranted.

A.      Al-’Owhali’s Challenge to the Sufficiency of the Indictment

        Al-’Owhali argues for the reversal of his capital convictions because the government sought the

death penalty against him for capital offenses based on an indictment that, Al-’Owhali contends, did


                                                     14
not adequately allege the circumstances that rendered him eligible for the death penalty. Relying on the

Fifth Amendment’s guarantee that “[n]o person shall be held to answer for a capital, or otherwise

infamous crime, unless on a presentment or indictment of a Grand Jury,” Al-’Owhali argues that he

was “denied his right to be tried only on charges presented in the indictment returned by the grand

jury, mandating reversal, regardless of prejudice,” see Al-’Owhali Br. 47, 51. The government, in

response, contends that the Indictment sufficiently alleged the “gateway factors”13 rendering Al-

’Owhali death-eligible. Appellee Br. 468. In the alternative, the government contends that, even if the

Indictment was defective, Al-’Owhali’s conviction was free from prejudicial error because the jury

declined to impose a sentence of death. Id. at 483.

         Nearly two months after the superseding indictment was filed, the government filed a “Notice

of Intent” declaring its intention to seek the death penalty against Al-’Owhali. Al-’Owhali then moved

to dismiss the government’s “Notice of Intent” on October 2, 2000, contending, inter alia, that the May

8 indictment did not adequately charge “the intent factors and statutory aggravating factors” rendering

him death-eligible, as required under Apprendi v. New Jersey, 530 U.S. 466 (2000), and Jones v. United

States, 526 U.S. 227 (1999). The District Court, in an opinion issued on January 2, 2001, rejected this

claim upon concluding that “in federal capital cases, gateway mental states and aggravators are not

required to be contained in the indictment.” United States v. Bin Laden, 126 F. Supp. 2d 290, 296 n.6

(S.D.N.Y. 2001).

         At the conclusion of Al-’Owhali’s trial, the jury found that the government had proved beyond

a reasonable doubt the factors necessary to render Al-’Owhali “death-eligible.” However, the jury

         13
            “Gateway factors” are statutorily defined aggravating factors, such as the commission of multiple killings or
the selection of particularly vulnerable victims, one of which must be found unanimously by a jury before that jury can
consider imposing a sentence of death. See United States v. Fell, 360 F.3d 135, 140 (2d Cir. 2004) (“During this separate
hearing, referred to as the sentencing or penalty phase, the jury first considers whether the government has sustained its
burden of proving the existence of one or more statutorily defined aggravating factors beyond a reasonable doubt.”
(citing 18 U.S.C. § 3593(c))).


                                                              15
declined to impose the death penalty upon him in favor of “life imprisonment without the possibility of

release.” The District Court entered a judgment of conviction sentencing Al-’Owhali principally to life

imprisonment on October 24, 2001.

        On June 24, 2002, the Supreme Court held, in Ring v. Arizona, that an aggravating factor

rendering a defendant death-eligible is “the functional equivalent of an element of a greater offense.”

536 U.S. 584, 609 (2002) (quoting Apprendi, 530 U.S. at 494 n.19 (concluding that such elements must

be found by a jury)). In light of the Supreme Court’s previous determination that “any fact . . .

increas[ing] the maximum penalty for a crime must be charged in an indictment,” Apprendi, 530 U.S. at

476 (quoting Jones, 526 U.S. at 243 n.6), Ring establishes that, when the government seeks a sentence of

death, the gateway mental factors and statutory aggravating factors rendering the defendant death-

eligible must “be alleged in the indictment and found by a jury,” United States v. Quinones, 313 F.3d 49,

53 n.1 (2d Cir. 2002).

        Because Ring was decided while Al-’Owhali was awaiting direct review of his conviction, the

rule set forth in Ring applies equally to Al-’Owhali’s case. See, e.g., Griffith v. Kentucky, 479 U.S. 314, 322-

23 (1987) (noting that, when the Supreme Court decides a new constitutional rule, “the integrity of

judicial review requires that . . . [this] rule [be applied] to all similar cases pending on direct review”).

Accordingly, we turn to the question of whether the indictment by which Al-’Owhali was charged with

capital offenses adequately set forth the requisite intent and the statutory aggravating factors rendering

him death-eligible.

        To establish Al-’Owhali’s death-eligibility, the government was required to charge that Al-

’Owhali had acted with the requisite intent under circumstances establishing the existence of one or

more statutory aggravating factors. See 18 U.S.C. § 3591(a)(2); id. § 3593(e); see also Jones, 527 U.S. at

376-77. The Federal Death Penalty Act, codified at 18 U.S.C. §§ 3591-3598, provides that a defendant


                                                       16
charged with a homicide offense possessed the requisite mens rea for imposition of the death penalty if

he:

         (A)      intentionally killed the victim;

         (B)      intentionally inflicted serious bodily injury that resulted in the death of the victim;

         (C)      intentionally participated in an act, contemplating that the life of a person would be
                  taken or intending that lethal force would be used in connection with a person, other
                  than one of the participants in the offense, and the victim died as a direct result of the
                  act; or

         (D)      intentionally and specifically engaged in an act of violence, knowing that the act created
                  a grave risk of death to a person, other than one of the participants in the offense, such
                  that participation in the act constituted a reckless disregard for human life and the
                  victim died as a direct result of the act.

18 U.S.C. § 3591(a)(2). The statutory aggravating factors for a homicide offense include: causing death

during the commission of a qualifying crime,14 id. § 3592(c)(1); “knowingly creat[ing] a grave risk of

death to [one] or more persons in addition to the victim of the offense,” id. § 3592(c)(5); “committ[ing]

the offense after substantial planning and premeditation to cause the death of a person or commit an

act of terrorism,” id. § 3592(c)(9); and “intentionally kill[ing] or attempt[ing] to kill more than one

person in a single criminal episode,” id. § 3592(c)(16).

         The government sought the death penalty against Al-’Owhali for the following offenses:

causing death by bombing the American Embassy in Nairobi, in violation of 18 U.S.C. § 844(f) (Count

5); use of weapons of mass destruction against U.S. nationals overseas, in violation of 18 U.S.C.

§ 2332a(a)(1) & (3) (Count 7); murder in the course of an attack on a U.S. facility, in violation of 18

U.S.C. § 930(c) (Counts 9-221); murder of U.S. officers and employees, in violation of 18 U.S.C. § 1114




         14
               The qualifying crimes set forth in 18 U.S.C. § 3592(c)(1) include “commission or attempted commission of,
or during the immediate flight from the commission of, an offense under . . . section 844(f) (destruction of government
property by explosives), . . . section 1116 (killing or attempted killing of [foreign] diplomats), section 1203 (hostage
taking), . . . [and] section 2332a (use of weapons of mass destruction).”
                                                             17
(Counts 233-73); and murder of internationally protected persons, in violation of 18 U.S.C. § 1116

(Counts 278-79).

        Count Five of the indictment charged Al-’Owhali with having “wilfully[ ] and knowingly . . .

detonated an explosive device that damaged and destroyed the United States Embassy in Nairobi,

Kenya, and as a result of such conduct directly and proximately caused the deaths of at least 213

persons.” Count Seven of the indictment charged that he

        unlawfully, wilfully, [and] knowingly . . . use[d] a weapon of mass destruction against nationals
        of the United States . . . and against property that was owned, leased and used by the United
        States[;] . . . to wit . . . attacked the American [E]mbassy in Nairobi, Kenya, and employees of
        the American Government stationed at this [E]mbassy with a bomb, which use of such weapon
        of mass destruction resulted in death.

These statements plainly allege the existence of at least two statutory aggravating factors: causing death

during the commission of a qualifying crime, 18 U.S.C. § 3592(c)(1), and intentionally killing more than

one person in a single criminal episode, id. § 3592(c)(16). They also clearly allege that Al-’Owhali

committed the charged crimes with the requisite intent—namely, that he knowingly engaged in an act

of violence with the knowledge that the act created a risk of death, id. § 3591(a)(2)(D). Cf. United States

v. Temple, 447 F.3d 130, 137 (2d Cir. 2006) (noting that “‘[w]illful’ repeatedly has been defined in the

criminal context as intentional, purposeful, and voluntary, as distinguished from accidental or

negligent”). Accordingly, we conclude that the indictment adequately set forth the factors that the

government was required to prove as to Counts Five and Seven.

        The principal allegations supporting Counts Nine through 221 read as follows:

        [Al-’Owhali and certain co-defendants] wilfully, deliberately, and maliciously, . . . with malice
        aforethought and with premeditation, did kill . . . persons . . . during the course of an attack on
        a federal facility involving the use of a dangerous weapon, to wit, the defendants detonated an
        explosive device that damaged and destroyed the United States Embassy in Nairobi, Kenya,
        and as a result of such conduct directly and proximately caused the deaths of [213 named
        persons.]



                                                    18
Counts 233 through 273 charge that Al-’Owhali and certain co-defendants “wilfully, deliberately, and

maliciously, . . . with malice aforethought and with premeditation, did murder officers and employees

of the United States Government[;] . . . [n]amely, the defendants caused the deaths of [41 named

persons] by bombing the United States Embassy in Nairobi, Kenya.” Finally, Counts 278 and 279

allege that Al-’Owhali and certain other co-defendants “wilfully, deliberately, and maliciously, . . . with

malice aforethought and with premeditation, did murder representatives, officers, employees and

agents of the United States Government[;] . . . namely[,] . . . caused the deaths of [2 named] persons by

bombing the United States Embassy in Nairobi, Kenya.”

         Each of these allegations clearly sets forth the existence of at least three statutory aggravating

factors—causing death during the commission of a qualifying crime, 18 U.S.C. § 3592(c)(1),

committing an offense after substantial planning and premeditation to cause the death of a person or

commit an act of terrorism, id. § 3592(c)(9), and intentionally killing more than one person in a single

criminal episode, id. § 3592(c)(16). Each also clearly alleges that Al-’Owhali committed the charged

crime with the requisite intent. See also Black’s Law Dictionary 977 (8th ed. 2004) (noting that the

concept of malice aforethought “encompass[es] . . . (1) the intent to kill[ ] [and] (2) the intent to inflict

grievous bodily harm”); 18 U.S.C. § 3591(a)(2)(A) (intent to kill) & (B) (intent to inflict bodily harm).

We reject Al-’Owhali’s contention that the indictment must specifically cite the statutory provisions for

the “gateway” factors, especially where, as here, the allegations set forth in the indictment were

sufficient to satisfy the rule of Ring and Apprendi. Accordingly, we conclude that, with respect to the

capital charges, the indictment adequately set forth the factors that the government was required to

prove.15


         15
             Because we conclude that the indictment under which Al-’Owhali proceeded to trial sufficiently alleged the
gateway considerations that rendered Al-’Owhali death-eligible, we need not consider the government’s argument in the
alternative that “the failure of a pre-Ring indictment to allege mens rea and statutory aggravating factors constitutes
harmless error,” Appellee’s Br. 481-83, or Al-’Owhali’s contention that no prejudice need be shown when the indictment
                                                            19
B.       El-Hage’s and Odeh’s Challenges to the Sufficiency of the Evidence

         El-Hage and Odeh challenge the sufficiency of the government’s evidence against them. El-

Hage contends that the government did not present sufficient evidence to support his conspiracy

convictions. Odeh challenges the sufficiency of the evidence with respect to all of his crimes of

conviction.

         A defendant challenging the sufficiency of the evidence supporting his criminal conviction

bears “‘a heavy burden.’” United States v. Tran, 519 F.3d 98, 105 (2d Cir. 2008) (quoting United States v.

Gaskin, 364 F.3d 438, 459 (2d Cir. 2004)). When presented with a sufficiency-of-the-evidence

challenge, we must determine “whether, after viewing the evidence in the light most favorable to the

prosecution, any rational trier of fact could have found the essential elements of the crime beyond a

reasonable doubt.” Jackson v. Virginia, 443 U.S. 307, 319 (1979); see also United States v. Carlo, 507 F.3d

799, 801 (2d Cir. 2007) (“On an appeal challenging the sufficiency of the evidence to support a

conviction, we view the evidence in the light most favorable to the government, drawing all reasonable

inferences in its favor.”); Yousef, 327 F.3d at 134 (noting that we “will not disturb [a jury] verdict if there

is substantial evidence to support it”). Accordingly,

         [a] conviction may be sustained on the basis of the testimony of a single [witness], so long as
         that testimony is not incredible on its face and is capable of establishing guilt beyond a
         reasonable doubt. Any lack of corroboration goes to the weight of the evidence, not to its
         sufficiency, and a challenge to the weight of the evidence is a matter for argument to the jury,
         not a ground for reversal on appeal.

United States v. Gordon, 987 F.2d 902, 906 (2d Cir. 1993) (internal citations omitted). We now review

each defendant’s challenge in turn.




does not contain charges on which he was convicted, Al-’Owhali Br. 51.
                                                           20
         1.       El-Hage

         Following trial, El-Hage moved for a judgment of acquittal on all counts on which he was

convicted, pursuant to Rule 29(c) of the Federal Rules of Criminal Procedure.16 The District Court

rejected El-Hage’s motion in all respects. See United States v. Bin Laden, No. 98 Cr. 1023, 2001 WL

1160604, at *1 (S.D.N.Y. Oct. 2, 2001). On appeal, El-Hage limits his sufficiency challenges to the

conspiracy convictions,17 alleging that the government failed to present any evidence establishing that

he knew about these conspiracies, much less intended to participate in them. Specifically, he argues

that his alleged perjury cannot establish that he was a member of the charged conspiracies.

         We review the District Court’s denial of a Rule 29(c) motion de novo. See, e.g., United States v.

Ebbers, 458 F.3d 110, 125 (2d Cir. 2006). To establish the existence of a criminal conspiracy, the

government must prove that the conspirators agreed “on the ‘essence of the underlying illegal

objective[s],’ and the ‘kind of criminal conduct . . . in fact contemplated.’” United States v. Salameh, 152

F.3d 88, 151 (2d Cir. 1998) (quoting United States v. Stavroulakis, 952 F.2d 686, 690 (2d Cir. 1992)

(citations omitted)). “[T]he government need not present evidence of an explicit agreement; proof of a

tacit understanding will suffice.” Gordon, 987 F.2d at 906 (internal quotation marks omitted). “[T]he

evidence necessary to link a particular defendant to [a criminal] scheme . . . may be circumstantial in

nature.” Gaskin, 364 F.3d at 460. “A defendant’s knowing and willing participation in a conspiracy

may be inferred from . . . her presence at critical stages of the conspiracy that could not be explained by

happenstance, or a lack of surprise when discussing the conspiracy with others.” United States v.



         16
            Rule 29(c) permits a defendant to “move for a judgment of acquittal, or renew such a motion, within seven
days after a guilty verdict or after the court discharges the jury, whichever is later.” Fed. R. Cr. P. 29(c)(1).

         17
           As noted above, the jury found El-Hage guilty of: conspiracy to kill United States nationals in violation of 18
U.S.C. § 2332(b) (Count 1); conspiracy to murder internationally protected persons, United States officers, and
employees engaging in official duties, in violation of 18 U.S.C. § 1117 (Count 2); and conspiracy to destroy buildings and
property of the United States, in violation of 18 U.S.C. § 844(n) (Count 4). El-Hage was also convicted of multiple
counts of perjury before a grand jury (Counts 285-302).
                                                             21
Aleskerova, 300 F.3d 286, 293 (2d Cir. 2002) (internal citations omitted). It may also be established by

“evidence that the defendant participated in conversations directly related to the substance of the

conspiracy[,] possessed items important to the conspiracy,” id., or engaged in acts “exhibit[ing] a

consciousness of guilt, such as [making] false exculpatory statements,” Gordon, 987 F.2d at 907

(citations omitted). We have observed that “[w]here conspirators are charged with pursuing multiple

criminal objectives, the government is not required to prove that the defendant agreed to all of the

objectives. Rather, the government must show that the defendant shared ‘some knowledge of the

conspiracy’s unlawful aims and objectives.’” Salameh, 152 F.3d at 151 (quoting United States v.

Heinemann, 801 F.2d 86, 93 (2d Cir. 1986)) (internal brackets and citation omitted); accord Stavroulakis,

952 F.2d at 690 (“The policies underlying conspiratorial liability could easily be thwarted by the careful

compartmentalization of information, and ‘conspirators would go free by their very ingenuity,’ if it

were required that they agree on all details of the scheme.” (quoting Blumenthal v. United States, 332 U.S.

539, 557 (1947))).

        At trial, the government offered evidence—including physical documents and testimony from

other al Qaeda members—to establish that El-Hage: (1) had been present at private meetings where

Bin Laden and other al Qaeda officials discussed their program of attacks against the United States, Tr.

259-70, 280-81, 517-18, 960-62; (2) served as a financial controller or “paymaster” of sorts for Bin

Laden’s enterprises—a position that involved reviewing al Qaeda personnel files to ascertain which Bin

Laden employees were to receive extra pay for their work pursuing activities on al Qaeda’s behalf, Tr.

258-59, 908-12; (3) played a key role in procuring fraudulent travel documents for al Qaeda members

and associates, Tr. 214-15; Supplemental App. 2255, 2260, 2261, 2262, 2268; (4) was a member of the

Nairobi al Qaeda cell during a time when al Qaeda members were traveling to Nairobi to conduct

surveillance of the American Embassy, train in al Qaeda-run military camps, and plan the attack on the


                                                     22
Embassy, Tr. 1258-63, 1193-1212; (5) served as the head of the Nairobi al Qaeda cell during a period

post-dating Bin Laden’s 1996 public declaration of holy war against the United States, Tr. 1210, 1251-

52; (6) traveled to Afghanistan in February 1997 to meet with Bin Laden and Mohamed Atef, al

Qaeda’s military commander, and returned to Nairobi with a message from Bin Laden directing the

Nairobi cell to prepare for military activity, Supplemental App. 1997-2005; and (7) appeared before a

federal grand jury in September 1997, one month after he met again with Bin Laden and Atef,

Supplemental App. 1974, and testified falsely as to al Qaeda’s agenda as well as to the nature and extent

of his contacts with Bin Laden and Atef, Tr. 807-10.18

         Based on the government’s evidence, it is clear that a rational fact-finder could have concluded

that El-Hage (1) knew about the aims and objectives of the charged criminal conspiracies, (2) agreed to

the essence of these objectives, and (3) performed acts, including committing perjury, intended to

further these objectives. Accordingly, we see no basis to question, much less overturn, El-Hage’s

convictions for the criminal conspiracies charged in Counts One, Two, and Four of the Indictment.

         2.       Odeh

         Like El-Hage, Odeh was convicted of the criminal conspiracies charged in Counts One, Two,

and Four of the Indictment as well as ten other crimes.19 On appeal, Odeh contends that the

government failed to present any evidence supporting his involvement in any of these offenses.


         18
          Specifically, El-Hage was asked: “When did you hear [that al Qaeda began to target the United States]?” Tr.
808. El-Hage responded: “In the latest interview with[O]sama Bin Laden [on] CNN.” Id.

          19
             As noted in the Background section, Odeh was also convicted of conspiracy to use weapons of mass
destruction against U.S. nationals overseas in violation of 18 U.S.C. § 2332a(a)(1) & (3) (Count 3); bombing the American
Embassy in Nairobi in violation of 18 U.S.C. § 844(f) (Count 5); use of weapons of mass destruction against U.S.
nationals overseas in violation of 18 U.S.C. § 2332a(a)(1) & (3) (Count 7); murder of 213 individuals in the course of an
attack on a U.S. facility, in violation of 18 U.S.C. § 930(c) (Counts 9-221); murder of U.S. officers and employees in
violation of 18 U.S.C. § 1114 (Counts 233-73); attempted murder of officers and employees of the American Embassy in
Nairobi in violation of 18 U.S.C. § 1114 (Count 274); murder of internationally protected persons in violation of 18
U.S.C. § 1116 (Counts 278-79); attempted murder of internationally protected persons in violation of 18 U.S.C. § 1116
(Count 280); using and carrying an explosive during commission of a felony, in violation of 18 U.S.C. § 844(h) (Count
282); and using and carrying an explosive device during a crime of violence, in violation of 18 U.S.C. § 924(c) (Count
283).
                                                            23
        At trial, the government offered evidence that, prior to joining al Qaeda in 1992, Odeh

attended an Afghani training camp where he was taught to use weapons and small explosives. Tr.

1626-32. Odeh’s proficiency with these devices was such that al Qaeda subsequently paid him to train

al Qaeda members and allies of the organization in their violent campaign against the United States.

Tr. 1136-37, 1644-45. Odeh was also a member of the Nairobi cell throughout the period that

members of the cell were planning the attack on the American Embassy in Nairobi. Tr. 1182-83, 1643-

45, 1656-60. The heart of the government’s case against Odeh, however, consisted of sketches

discovered during a search of Odeh’s apartment the day after the August 7, 1998 bombings.

Supplemental App. 1975-76. The government argued to the jury that these sketches represented the

area surrounding the American Embassy, including a depiction of an exploding truck bomb at the

detonation site. Tr. 5495-5501. The government also introduced Odeh’s post-arrest statement, Tr.

5497, as well as evidence that the explosive residue found on his clothing at the time of his arrest

matched the materials used to make the Nairobi bomb, Tr. 5488-92. On appeal, Odeh contends that

the sketches are at best “ambiguous.” Odeh Br. 36. He also contends that, “even if those items were

related to the bombing,” their presence in his apartment “do[es] not prove that he actually aided or

abetted the bombing.” Id. at 36-37.

        When evaluating whether the government’s evidence is sufficient to support a conviction, we

“review the separate pieces of evidence not in isolation but in conjunction,” United States v. Rigas,

490 F.3d 208, 230 (2d Cir. 2007) (internal quotation marks, brackets, and ellipses omitted), drawing “all

reasonable inferences in the light most favorable to . . . the jury’s verdict,” id. Viewed in this light, the

record reveals substantial evidence supporting the government’s theory that Odeh was guilty of the

offenses charged in the indictment by virtue of his role as a “technical advisor . . . in the operation to

bomb the American Embassy.” Tr. 5501.


                                                      24
        Odeh’s argument that the sketches are too ambiguous to support the jury’s verdict does not

withstand scrutiny. At trial, the government displayed both sketches in side-by-side comparisons to

diagrams of areas surrounding the American Embassy. Supplemental App. 1975-76; Tr. 5495-5501.

The jury was thereby permitted to determine for itself whether the sketches depicted those areas, did

not depict those areas, or were too ambiguous to reach a conclusion one way or another. We see

nothing unreasonable in the jury’s implicit determination that the sketches did, indeed, depict the area

surrounding the American Embassy, and we therefore perceive no basis in the record to disturb the

jury’s determination. Similarly, Odeh’s claims that the government did not adequately connect him

with the sketches are unpersuasive in light of the government’s introduction of post-arrest statements

in which he expressed “anger and disappoint[ment]” that the truck bomb that blew up the American

Embassy in Nairobi had been placed incorrectly—that is, not in the manner depicted in the

sketch—resulting in diversion of the blast force away from the Embassy. Tr. 5498; Supplemental App.

1823.

        For these reasons, we conclude that the evidence was sufficient to support El-Hage’s

conspiracy convictions and Odeh’s convictions for the conspiracy and substantive offenses with which

he was charged.

C.      El-Hage’s Challenge to the District Court’s Application of the Classified Information
        Procedures Act

        El-Hage contends that the protective order entered by the District Court pursuant to the

Classified Information Procedures Act (“CIPA”), Pub. L. No. 96-456, 94 Stat. 2025 (1980), codified at 18

U.S.C. app. 3, violated his (1) Sixth Amendment right to counsel, (2) Sixth Amendment right to

confront the witnesses and evidence against him, (3) Fifth Amendment right to testify at trial, and (4)

Fifth Amendment and Sixth Amendment rights to present a defense. El-Hage also contends that his

exclusion from hearings at which classified material would be discussed violated his (5) Fifth

                                                   25
Amendment and Sixth Amendment rights to be present at a crucial stage in his trial. As described in

greater detail below, each of these contentions is without merit.

         1.        An Overview of CIPA

         CIPA establishes rules for the management of criminal cases involving classified

information.20 Its animating purpose is “to harmonize a [criminal] defendant’s right to obtain and

present exculpatory material,” United States v. Pappas, 94 F.3d 795, 799 (2d Cir. 1996) (internal quotation

marks omitted), with the government’s need “‘to withhold information from discovery when disclosure

would be inimical to national security,’” United States v. Aref, 533 F.3d 72, 79 (2d Cir. 2008) (quoting

Zuckerbraun v. Gen. Dynamics Corp., 935 F.2d 544, 546 (2d Cir. 1991)); see also id. at 78 (explaining that the

government’s ability to withhold classified information “most likely” derives from “the common-law

privilege against disclosure of state secrets”).

         Section three of CIPA requires district courts to enter, “[u]pon motion of the United States,” a

protective order prohibiting “the disclosure of any classified information disclosed by the United

States” to a criminal defendant, 18 U.S.C. app. 3, § 3. Section four provides that, if the discovery to be

provided to the defense pursuant to the Federal Rules of Criminal Procedure includes classified

information, the district court may, “upon a sufficient showing, . . . authorize the United States to

delete specified items of classified information[,] . . . to substitute a summary of the information[,] . . .

or to substitute a statement admitting relevant facts that the classified information would tend to

prove.” Id. § 4. Section five requires a defendant to give pretrial notice to the government and the

court if he “reasonably expects to disclose or to cause the disclosure of classified information . . . in

connection with any trial or pretrial proceeding involving [his] criminal prosecution.” Id. § 5(a).


         20
            “CIPA defines ‘classified information’ as ‘information or material that has been determined by the United
States Government pursuant to an Executive order, statute, or regulation, to require protection against unauthorized
disclosure for reasons of national security.’” United States v. Aref, 533 F.3d 72, 78 n.2 (2d Cir. 2008) (quoting 18 U.S.C.
app. 3 § 1(a)).
                                                               26
        Section six requires district courts “to make all determinations concerning the use, relevance, or

admissibility of classified information that would otherwise be made during the trial or pretrial

proceeding” by means of a hearing that “shall be held in camera if the Attorney General certifies to the

court in such petition that a public proceeding may result in the disclosure of classified information.”

Id. § 6(a). Section six also provides that, before the district court holds such a hearing, the government

must give the defendant “notice of the classified information that is at issue,” id. § 6(b)(1), as well as

“such details as to the portion of the indictment or information at issue in the hearing as are needed to

give the defendant fair notice to prepare for the hearing,” id. § 6(b)(2). If a district court authorizes

“the disclosure of specific classified information,” the government may move to substitute “for such

classified information . . . a statement admitting relevant facts that the specific classified information

would tend to prove . . . or a summary of the specific classified information.” Id. § 6(c)(1). A district

court must grant the government’s motion for a protective order “if it finds that the statement or

summary will provide the defendant with substantially the same ability to make his defense as would

disclosure of the specific classified information.” Id.

        2.         The District Court’s Application of CIPA to Confidential Information at Issue in the
                   Prosecution of El-Hage and His Co-Defendants

        In the spring of 1999, the government moved in the District Court for the entry of a protective

order under CIPA to restrict access to classified information to individuals who qualified for a security

clearance under regulations promulgated by the U.S. Department of Justice (“DOJ”).21 Defendants


        21
             Pursuant to the applicable regulations,

        [e]ligibility for access to classified information is limited to United States citizens for whom an appropriate
        investigation of their personal and professional history affirmatively indicated loyalty to the United States,
        strength of character, trustworthiness, honesty, reliability, discretion, and sound judgment, as well as freedom
        from conflicting allegiances and potential for coercion, and willingness and ability to abide by regulations
        governing the use, handling, and protection of classified information. . . . Eligibility shall be granted only where
        facts and circumstances indicate access to classified information is clearly consistent with the national security
        interests of the United States and any doubt shall be resolved in favor of the national security.

                                                              27
filed a motion challenging the District Court’s authority to impose a mandatory clearance requirement

and objecting to the order that the government proposed. See United States v. Bin Laden, 58 F. Supp. 2d

113, 115-16 (S.D.N.Y. 1999).

         The District Court denied defendants’ motion in an opinion of June 30, 1999. Id. at 124. As an

initial matter, the District Court observed that “CIPA and the accompanying Security Procedures

[promulgated by Chief Justice Burger] create a system by which the trial court has wide latitude to

impose reasonable restrictions likely to prevent the unauthorized disclosure of classified information,”

id. at 117, such as the imposition of a mandatory clearance requirement, see id. (noting that “the

legislative history of CIPA . . . indicates that although neither Congress nor the Chief Justice sought to

impose a mandatory clearance requirement in all cases involving classified information, they did not

attempt to foreclose resort to such a requirement in all circumstances”). The District Court then

determined that it was appropriate to require “every person who comes into contact with classified

information in this litigation [to] undergo some objective evaluation” of their ability to avoid

unauthorized disclosure of such information. The District Court based this decision on (1) “the

exceptional facts alleged in the indictment,” id. at 121; (2) the fact that “the [g]overnment’s

investigation is ongoing, which increases the possibility that unauthorized disclosures might place

additional lives in danger,” id.; and (3) the existence of other “special circumstances warranting

particular control over the flow of classified information,” id. (noting the government’s allegation “that

the [d]efendants are part of a conspiracy whose members have previously gained access to unfiled court

documents and forwarded those documents to other members of the conspiracy”).22


28 C.F.R. § 17.41(b).

         22
           In the memorandum of law explaining why the government believed a mandatory clearance requirement to
be necessary, the government noted that

         [T]he investigation has discovered that al Qaeda members submit “security reports” to al Qaeda’s headquarters
         reporting on concerns about the efforts of Western intelligence and law enforcement agencies to arrest or
                                                            28
         On July 29, 1999, the District Court entered a protective order providing, in relevant part, that

“[n]o defendant, counsel for a defendant, employee of a counsel for a defendant, defense witness, or

Courtroom personnel . . . shall have access to any classified information involved in this case unless

that person shall first have . . . received the necessary security clearance” pursuant to the regulations set

forth by the DOJ. United States v. Bin Laden, No. 98 CR 1023, dkt. no. 78 at ¶ 5 (S.D.N.Y. July 29,

1999). El-Hage’s defense counsel received security clearances in due course. El-Hage himself did not.

“The practical result of [the July 29, 1999] order” was, therefore, that El-Hage’s defense attorneys were

able to “review a category of classified documents that they [could] not share with their client[ ].” See

United States v. Bin Laden, No. 98 CR 1023, 2001 WL 66393, at *2 (S.D.N.Y. Jan. 25 2001).

         On July 14, 2000, El-Hage’s attorneys notified the District Court, pursuant to section five of

CIPA, that they anticipated a need to disclose—to their client or to the jury—certain aspects of the

classified material provided to them by the government. Also on July 14, 2000, El-Hage’s counsel filed,

under seal, a motion asking the District Court to declare CIPA “unconstitutional as applied in this

case” because, inter alia, the construction of the statute adopted by the District Court in its protective

order of July 29, 1999 prevented El-Hage from reviewing any classified material provided by the




         capture al Qaeda members. In one report, found in Nairobi, Kenya in August 1997, an al Qaeda member
         believed to be [one of the defendants in the instant case] discussed the fact that a top Bin Laden operative had
         been arrested and was believed to be cooperating with Saudi, British, and American authorities. . . .

                   Al Qaeda also monitors court papers related to trials of al Qaeda associates. For example, . . . Ali
         Mohamed [(a defendant in the instant case)] sent a document concerning the trial of Sheikh Omar Abdel
         Rahman, which took place in the Southern District of New York, from California, where he then lived, to the
         defendant Wadih El Hage in Kenya for further delivery to [O]sama Bin Laden. Upon information and belief,
         the document sent by Mohamed (who was not a defendant in that case) was provided to the defense in that
         case, but was not publicly filed.

Gov’t Mem. in Resp. to Def.’s Mot. Opposing Security Clearances, United States v. Bin Laden, No. 98 CR 1023 (LBS), dkt.
no. 65 at 4-6 (S.D.N.Y. June 8, 1999); see also id. (including, as an exhibit, a copy of the security report found in Nairobi,
Kenya in August 1997).
                                                               29
government to his counsel.23 Appellants’ App. 957. The government objected to the disclosure of any

classified information to El-Hage and opposed El-Hage’s challenge to the constitutionality of CIPA.

In doing so, the government noted that much of the material originally provided to El-Hage’s counsel

in classified form had already been declassified, allowing El-Hage’s counsel to share those items with

El-Hage.24 The government agreed that the treatment of the remaining classified items should be

resolved at a pretrial hearing held by the District Court pursuant to CIPA section six.

         The District Court held five in camera CIPA hearings in February 2001. Portions of the

February 6, 2001 hearing were conducted ex parte; the others were attended by counsel for both sides.

El-Hage’s defense attorneys, in the presence of the government, described in detail the classified

material that they anticipated disclosing. The District Court then excused El-Hage’s counsel in order

to inquire into the government’s reasons for refusing to declassify these items. After the government

completed its presentation and was excused, the District Court recalled El-Hage’s attorneys, inquiring,

in the absence of government counsel, into the use that El-Hage’s counsel planned to make of the

classified information at issue. Having established that El-Hage’s attorneys wished to use the classified

material for cross-examination of a government witness, the District Court suggested that the parties

could work together to produce a paraphrased version of the relevant portions. The District Court

then recalled the government in order to discuss the merits of this proposal with counsel on both sides.

On February 8, 2001, the District Court held a second in camera hearing to explore the parties’ progress

            23
               Specifically, El-Hage contended that his inability to review the classified material produced by the
government or to attend any hearings involving discussion of classified information— a consequence of his inability to
obtain a security clearance under the criteria set forth by the DOJ— violated his Sixth Amendment right to counsel, Sixth
Amendment right to cross-examine the witnesses against him, Sixth Amendment right to be present at a crucial stage in
his trial, Fifth Amendment right to testify at trial, and Fifth Amendment and Sixth Amendment rights to present a
defense. El-Hage also contended that CIPA’s pretrial notice requirement, see 18 U.S.C. app. 3 at § 5, violated his Fifth
Amendment right to remain silent. See Bin Laden, 2001 WL 66393, at *1 (summarizing El-Hage’s claims).

         24
            The material that the government declassified included two items specifically identified by El-Hage’s counsel
in the sealed motion of July 14, 2000— namely, three facsimiles allegedly sent by El-Hage and tapes of conversations
conducted over four telephone lines in Kenya. See Gov’t Mem. of Sept. 18, 2000, at 3-4; El-Hage Mem. of July 14, 2000,
at 9-10.
                                                             30
in resolving the disclosure issue raised by El-Hage’s counsel. At that hearing, the District Court

considered the arguments of the parties and then concluded that the stipulation being offered by the

government would serve El-Hage’s needs better than the classified information to which he sought

access because (1) effective use of the classified information by El-Hage’s counsel “[did] not turn on

the nuances or the specific language of [the classified document]” and (2) the stipulation—unlike the

classified document—would definitively resolve the factual matters at issue. Hearing Tr. of Feb. 8,

2001, at 28, 18.

        On February 13, 2001, the District Court held an in camera hearing on issues relating to a second

item of classified information. El-Hage’s counsel explained that they wished to use the classified

information to elicit witness testimony that would establish El-Hage’s state of mind at the time of a

particular transaction; upon questioning by the District Court, however, counsel for El-Hage conceded

that El-Hage was never actually aware of the facts that counsel was seeking to elicit from the witness.

The government, meanwhile, offered to stipulate to the facts in question, thereby obviating the need

for the witness testimony. The District Court found that (1) El-Hage’s counsel was unable to establish

how the testimony that counsel was trying to elicit through the use of the classified information was

relevant to the defense’s case and (2) even assuming that the testimony conveyed facts relevant to the

defense, the stipulation being offered by the government was stronger evidence of the facts than the

testimony that El-Hage’s counsel was trying to elicit. Hearing Tr. of Feb. 13, 2001, at 22, 24.

Accordingly, at an in camera hearing held the following day, the District Court denied El-Hage’s request

for disclosure to him of the classified information that the government had already provided to his

counsel. Hearing Tr. of Feb. 14, 2001, at 9.

        The District Court held two further in camera hearings on February 21, 2001. At the first

hearing, the District Court established—to the satisfaction of El-Hage’s counsel—that El-Hage’s need


                                                   31
for a third item of classified material could be adequately met by the government’s agreement to

stipulate to the facts for which the defense planned to use the material. 1 Hearing Tr. of Feb. 21, 2001,

at 7. At the second hearing, the District Court considered El-Hage’s request for discovery of a fourth

item of classified information. After giving El-Hage’s counsel the opportunity to set forth their theory

on the relevance of this information, the District Court explained that—based upon its review of an ex

parte submission made by the government—it could represent with confidence that the classified

information did not have the significance claimed by counsel. 2 Hearing Tr. of Feb. 21, 2001, at 5, 7.

Accordingly, the District Court declined to provide El-Hage’s counsel with access to the classified

information at issue.

         The District Court denied El-Hage’s “as applied” challenge to the constitutionality of CIPA in

an opinion issued on January 25, 2001. See Bin Laden, 2001 WL 66393, at *9. First, the District Court

found that El-Hage had not identified any concrete harms arising from the entry of the protective

order. As the District Court noted, one of the items El-Hage sought to review had been declassified

already, while another was an item that neither party sought to introduce into evidence.25 See id. at *4.

The District Court also observed that, because El-Hage’s attorneys had “seen the classified information

at issue, it [was] not clear why” the provisions of the protective order should have a detrimental effect

on El-Hage’s ability to present a defense. Id. at *8. Second, the District Court concluded that El-

Hage’s own exclusion from any hearings where classified information was discussed did not violate El-



         25
              The District Court explained:

         [T]he [g]overnment has indicated that it does not plan to use the [item] at trial and [the defense] does not seem
         to suggest any intention to use the evidence as part of the defense case. If this situation changes, the Court will
         revisit the question of the need for disclosure . . . to the [d]efendant . . . [but, in the meanwhile,] [d]efendant[’s]
         suggest[ions] that disclosure might enable him to assist counsel in making decisions about his representation . . .
         [constitute a] hypothetical benefit . . . insufficient to warrant a finding that the application of CIPA in this case
         is unconstitutional.

Bin Laden, 2001 WL 66393, at *4 (internal citation omitted).
                                                                32
Hage’s Sixth Amendment right to be present because “questions . . . regarding the protection of

classified information are questions of law which may be resolved outside the presence of the

defendant.” Id. at *7; see also id. at *5 (“The suggestion that the [d]efendant ‘might’ contribute to the

predominantly legal process of designating relevant evidence is not sufficient to warrant a finding that

CIPA is being applied to deprive the Defendant of his constitutional right to confront witnesses.”).

Finally, the District Court rejected El-Hage’s invitation to invalidate section five of CIPA, concluding

instead that CIPA’s pretrial notice provision was no different from the requirement to provide pretrial

disclosure of “the intention to offer an alibi defense, an insanity defense, a public authority defense, or

certain medical tests or tangible objects.” Bin Laden, 2001 WL 66393 at *8.

        On appeal, El-Hage renews his constitutional challenges to the disclosure limitations imposed

by the District Court pursuant to sections three and six of CIPA. El-Hage Br. 261, 264. He does not

renew his challenge to the constitutionality of the pretrial notice requirement set forth in section five of

CIPA. Id. at 235-52.

        3.      CIPA Authorized the District Court to Permit Only Individuals with Security
                Clearances to View Classified Information

        El-Hage challenges the District Court’s conclusion that the most appropriate way “to minimize

the risk of the unauthorized disclosure of classified information,” Bin Laden, 58 F. Supp. 2d at 121, was

to limit access to classified material to individuals who could obtain security clearance—namely, United

States citizens whose “personal and professional history affirmatively indicate[ ] loyalty to the United

States, strength of character, trustworthiness, honesty, reliability, discretion, and sound judgment, as

well as freedom from conflicting allegiances and potential for coercion, and willingness and ability to abide by

regulations governing the use, handling, and protection of classified information.” 28 C.F.R. § 17.41(b)

(emphasis added). By conditioning access to classified information on a security clearance requirement

that El-Hage could not meet, the protective order entered by the District Court on July 29, 1999

                                                       33
effectively barred El-Hage from personally reviewing the classified material produced by the

government. El-Hage claims that these limitations deprived him of access to discoverable information

to which he was entitled.

        CIPA imposes upon district courts a mandatory duty to guard against the unauthorized

“disclosure of any classified material disclosed by the United States to any defendant in any criminal

case.” 18 U.S.C. appendix 3 at § 3; see id. (stating that “[u]pon motion of the United States, the court

shall issue an order to protect against the disclosure of any classified information disclosed by the

United States to any defendant in any criminal case” (emphasis added)); id. § 6(a) (providing that “if the

Attorney General certifies to the court” that a public hearing on disputes about the “use, relevance, or

admissibility of classified information . . . may result in the disclosure of classified information,” the

district court “shall” hold the hearing in camera (emphasis added)); id. § 6(c) (providing that when a

district court authorizes “the disclosure of specific classified information” and the government moves

to substitute for the classified information a “[stipulation] or summary that would provide the

defendant with substantially the same ability to make his defense as would disclosure of the specific

classified information,” the district court “shall grant” the government’s motion (emphasis added)); id.

§ 6(d) (“If at the close of an in camera hearing[,] . . . the court determines that the classified information

at issue may not be disclosed or elicited at the trial or pretrial proceeding, the record of such in camera

hearing shall be sealed . . . .” (emphasis added)).

        CIPA’s provisions on discovery, which complement those of Rule 16(d) of the Federal Rules of

Criminal Procedure, seek to “give trial judges adequate guidance to protect against the unauthorized

disclosure of classified information in the custody of the federal courts.” See Background Material for

Chairman Boland and Chairman Rodino on the Security Procedures for the Protection of Classified

Information in the Custody of the Federal Courts, at 5, appended to Letter from Chief Justice Warren E.


                                                      34
Burger to Rep. Peter W. Rodino (July 10, 1981) (“Chief Justice’s Letter”).26 According to the report on

CIPA by the Senate Judiciary Committee, Congress perceived such guidance to be “necessary because

some judges [were] reluctant to use their authority [to restrict discovery pursuant to Rule 16(d)(1)]”

even though the advisory notes to Rule 16(d)(1) clearly state that “in deciding . . . whether to permit

discovery to be ‘denied, restricted, or deferred,’” a district court should take into account, inter alia, the

need to “‘protect[ ] . . . information vital to the national security.’” S. Rep. 96-823, at 6 (1980), reprinted

in 1980 U.S.C.C.A.N. 4294, 4329-30 (quoting Fed. R. Crim. P. 16 advisory committee’s note to 1966

amendment).

         Like Rule 16(d), however, CIPA leaves the precise conditions under which the defense may

obtain access to discoverable information to the informed discretion of the district court. Compare Fed.

R. Crim. P. 16(d)(1) (stating that “[a]t any time the court may, for good cause, deny, restrict, or defer

discovery or inspection . . . ”(emphasis added)) with 18 U.S.C. app. 3 at § 4 (“[U]pon a sufficient

showing, [the district court] may authorize the United States to delete specified items of classified

information from documents to be made available to the defendant through discovery under the

Federal Rules of Criminal Procedure, to substitute a summary of the information for such classified



         26
            The Chief Justice’s Letter responds to a query by Congressman Boland and Congressman Rodino
“concerning the security procedures for handling classified information in federal courts,” which, pursuant to section
nine of CIPA, Chief Justice Burger helped to draft.

         Section nine of CIPA states that:

         Within one hundred and twenty days of the date of the enactment of this Act, the Chief Justice of the United
         States, in consultation with the Attorney General, the Director of National Intelligence, and the Secretary of
         Defense, shall prescribe rules establishing procedures for the protection against unauthorized disclosure of any
         classified information in the custody of the United States district courts, courts of appeal, or Supreme Court.
         Such rules, and any changes in such rules, shall be submitted to the appropriate committees of Congress and
         shall become effective forty-five days after such submission.

18 U.S.C. app. 3 at § 9.




                                                             35
documents, or to substitute a statement admitting relevant facts that the classified information would

tend to prove.” (emphasis added)); cf. United States v. Delia, 944 F.2d 1010, 1018 (2d Cir. 1991) (noting

that because the language of Rule 16(d)(1) “is . . . permissive,” the district court may “limit or otherwise

regulate discovery had pursuant to the Rule”); see also Chief Justice’s Letter, at 2 (“The trial judge, and

the trial judge alone . . . decides what classified information the defendant is entitled to receive from the

government and what provisions are to be included in a protective order”); id. at 5 (“[T]he trial court

judge [remains] free to make whatever decision he wishes to make with regard to defense access to

classified information, [and] . . . [CIPA] in no way interfere[s] with the judge’s discretion in this

regard.”).

        We have recently held that the discretion conferred upon district courts by CIPA encompasses

entry of an order permitting the government to withhold altogether “classified information that might

otherwise have been discoverable,” Aref, 533 F.3d at 76, as long as this information is neither “helpful

[n]or material to the defense,” id. at 80. We now hold that CIPA authorizes district courts to limit

access to classified information to persons with a security clearance as long as the application of this

requirement does not deprive the defense of evidence that would be “useful to counter the

government’s case or to bolster a defense.” Id. (internal quotation marks omitted). The requirement

that individuals seeking access to classified material establish their trustworthiness by obtaining a

security clearance is consistent with CIPA’s imposition on the district courts of a mandatory duty to

prevent the unauthorized disclosure of classified information “in the custody of the United States . . .

courts,” 18 U.S.C. app. 3 at § 9. It is also consistent with CIPA’s security procedures, which authorize

the government to “obtain information by any lawful means concerning the trustworthiness of persons

associated with the defense and [to] bring such information to the attention of the court for the court’s

consideration in framing an appropriate protective order . . . .” See Security Procedures Established


                                                     36
Pursuant to Public Law 96-456, 18 U.S.C. app. 3 § 9 note at ¶ 5; see also Chief Justice’s Letter at 2 (“The

aim of Section five [of the security procedures] is to assist the court in framing an appropriate

protective order by making . . . clear what kind of information may be properly considered by the court

in determining what constraints, if any, should be placed on persons acting on behalf of the defense

who are given access to classified information.”).

        Having concluded that the District Court possessed the authority to limit access to classified

information to persons with a security clearance, we now consider whether the District Court’s

decision to impose a clearance requirement in the instant case rested on any error that would render its

decision questionable or unsound. Cf. Delia, 944 F.2d at 1018 (noting that where the language

“authoriz[ing] the district court to limit or otherwise regulate discovery . . . is not mandatory, but

permissive[,] . . . a denial of disclosure . . . will be set aside only if such denial constituted an abuse of

discretion”); United States v. Tsekhanovich, 507 F.3d 127, 129 (2d Cir. 2007) (“A district court ‘abuses’ or

‘exceeds’ the discretion accorded to it when . . . its decision rests on an error of law . . . or a clearly

erroneous factual finding, or [leaves a reviewing court with the definite impression that a mistake has

been made, for example because] its decision—though not necessarily the product of a legal error or a

clearly erroneous factual finding—cannot be located within the range of permissible decisions.”

(quoting Zervos v. Verizon N.Y., Inc., 252 F.3d 163, 169 (2d Cir. 2001))).

        Here, the District Court found that, based on “the exceptional facts alleged in the indictment”

and the “ongoing” nature of the government’s investigation, unauthorized disclosure of classified

information relating to the instant case could result in “a particularly disastrous security breach”—one

that “might place additional lives in danger.” Bin Laden, 58 F. Supp. 2d at 121. El-Hage does not

identify any error in these findings, nor does our review of the record reveal any. Accordingly, we




                                                       37
conclude that the District Court’s decision to impose a mandatory clearance requirement for access to

classified information, pursuant to CIPA, was well within its informed discretion.

         4.       El-Hage’s Fifth and Sixth Amendment Challenges to the Mandatory Clearance
                  Requirement

         According to El-Hage, the District Court’s mandatory clearance requirement placed off-limits

to him “important evidence which could not adequately be interpreted by counsel alone,” El-Hage Br.

267, thereby violating (1) his right to present a defense as guaranteed by the Fifth Amendment and

Sixth Amendment, id. at 273-75, and (2) his Sixth Amendment right to counsel, id. at 262.27 In their

submissions to the District Court, El-Hage’s attorneys described several items of classified material

that, they contended, “must be discussed with Mr. El-Hage prior to his testimony if his right to counsel

(as well as his right to testify[)] . . . is to have any meaning.” El-Hage Mem. of July 14, 2000 (“El-Hage

Mem.”), at 9. El-Hage’s counsel also made the general argument that, in the absence of any knowledge

about which government witnesses would be testifying at trial, they required El-Hage’s assistance to

determine what portions of the classified material provided by the government to El-Hage’s counsel

were relevant to El-Hage’s defense. Id. at 15. El-Hage’s submissions to this Court do not identify the

items of classified information that, in retrospect, El-Hage could have helped his counsel interpret. El-

Hage’s counsel stated an intention to describe these items in “a classified Brief to be filed separately,”

El-Hage Br. 253, but filed no such brief. We therefore proceed on the assumption that the “important




         27
            El-Hage also contends that this requirement violated his Sixth Amendment right to confront the witnesses
and evidence against him, El-Hage Br. at 267, and his Fifth Amendment right to testify at trial, id. at 274. Because the
government’s evidence against El-Hage did not include testimony by a witness whom El-Hage did not have the
opportunity to cross-examine, and because El-Hage was not prevented from taking the stand on his own behalf, we
proceed on the understanding that El-Hage’s claims that he was denied his Sixth Amendment right of confrontation and
Fifth Amendment right to testify at trial represent a reframing of El-Hage’s claim that he was deprived of his right to
present a defense as guaranteed by the Fifth Amendment and Sixth Amendment of the U.S. Constitution. See El-Hage
Br. 269 (claiming that the security clearance requirement “precluded Mr. El-Hage from making any contribution . . . to
the cross-examination of government witnesses”); id. at 275 (claiming that El-Hage’s inability to discuss classified
material with his counsel left El-Hage unable to “prepare adequately for his projected testimony”).
                                                            38
evidence” to which El-Hage refers, id. at 267, consists of the classified material discussed at the in

camera hearings held by the District Court on February 6, 8, 13, 14, and 21 of 2001.28

         Where the government seeks to restrict a criminal defendant’s “discovery of

evidence in the interest of national security,” Aref, 533 F.3d at 78, a district court must determine

whether the criminal defendant’s interest in the information at issue outweighs the government’s

interest in withholding it. As we recently explained,

         [T]he district court must first decide whether the classified information the [g]overnment
         possesses is discoverable. If it is, the district court must then determine whether the
         state-secrets privilege applies because . . . there is a reasonable danger that compulsion of the
         evidence will expose matters which, in the interest of national security, should not be divulged .
         ...

                If the evidence is discoverable but the information is privileged, the court must next
         decide whether the information is helpful or material to the defense, i.e., useful to counter the
         government’s case or to bolster a defense. . . .

Id. at 80 (internal alteration and quotation marks omitted). If the information in question is “useful ‘to

counter the government’s case or to bolster a defense,’” id. (quoting the interpretation of the

“materiality standard under Federal Rule of Criminal Procedure 16(a)(1)” set forth in United States v.

Stevens, 985 F.2d 1175, 1180 (2d Cir. 1993)), the government’s privilege “must give way . . . to [the]

criminal defendant’s right to present a meaningful defense,” id. at 79. If, however, the information in

question is not material under the standards set forth in Rule 16(a), the government may properly

withhold it from the defendant. Id. at 80 (noting that, to meet the standards for materiality set forth in

Rule 16, “evidence need not rise to the level that would trigger the [g]overnment’s [constitutional]

obligation . . . to disclose exculpatory information”).



         28
             As noted above, see note 24, ante, the government declassified certain items after El-Hage submitted his sealed
memorandum of July 14, 2000. The material discussed at the in camera hearings consisted of items that were both (1)
identified by El-Hage in his sealed memorandum and/or reply memorandum and (2) still classified at the time of the
first in camera hearing.

                                                              39
                            a.        The Classified Information Was Not Subject to Discovery under the
                                      Federal Rules of Criminal Procedure

         To determine whether the classified material sought by El-Hage was discoverable, we look to

Rule 16 of the Federal Rules of Criminal Procedure, which establishes base-line requirements for

pretrial discovery in a criminal case. See, e.g., United States v. Nobles, 422 U.S. 225, 235 (1975); Premises

Known as 225, 1468 and 1470 Statler Towers v. United States, 787 F.2d 796, 798 (2d Cir. 1986). Rule

16(a)(1)(E) provides that items such as the material at issue here—namely, “documents and objects” in

the government’s control—are discoverable if, inter alia, they are “material to preparing the defense.”29

         “An appellate court, in assessing the materiality of withheld information, considers not only the

logical relationship between the information and the issues in the case, but also the importance of the

information in light of the evidence as a whole.” Stevens, 985 F.2d at 1180. In the instant case, the

government stipulated to all of the facts that El-Hage was seeking to establish through use of the

classified information. In the case of two items, the District Court reasonably concluded that the

stipulation offered by the government left El-Hage with better evidence than he would have obtained

from the classified material. See Hearing Tr. of Feb. 8, 2001, at 18 (noting that the stipulation put El-

Hage’s counsel “so much more ahead of the game than if [El-Hage] had the document,” because “the

witness could say that he doesn’t recall seeing [the document] . . .”); Hearing Tr. of Feb. 13, 2001, at 22

(“[T]he stipulation gives you more than the inference you’re going to ask the jury to draw from a very

complex set of facts . . . . It seems to me [that] you’re better off having the stipulation than facts on

which you will ask the jury to draw an inference”). Regarding the third item, El-Hage’s counsel agreed

with the District Court that the stipulation offered by the government was “adequate for [El-Hage’s

stated] purposes,” and the classified material requested in the sealed submissions was not needed to


         29
             Rule 16(a)(1)(E)(ii) also provides that evidence is discoverable if “the government intends to use the item in
its case-in-chief at trial” or “the item was obtained from or belongs to the defendant.” It is undisputed that the classified
material at issue does not meet either of these two criteria.
                                                               40
establish the points El-Hage’s counsel was seeking to make. 1 Hearing Tr. of Feb. 21, 2001, at 7.

Regarding the final item, the District Court accurately represented to El-Hage’s counsel that the

classified information in question was not relevant to the defense case.

        Based on our independent review of the classified information in question, we agree with the

District Court that none of the items discussed at the February 2001 in camera hearings meets the

criteria for discoverability set forth in Rule 16(a)(1)(E). Accordingly, we conclude that the District

Court did not deny El-Hage access to any evidence that El-Hage was entitled to consult under the rules

of criminal discovery. Indeed, we commend the District Court on its diligent examination of the

evidence and careful consideration of El-Hage’s claims.

                        b.      Even if the Classified Information Was Subject to Discovery, El-Hage
                                Would Not Have Been Entitled to Inspect It Personally

        Even if we assume for the argument that the material sought by El-Hage did meet the

threshold condition of discoverability, it is clear that any interest El-Hage had in personally inspecting

the material was insufficient to outweigh the government’s interest in avoiding unauthorized

disclosures of classified information. Our review of the record indicates that unauthorized disclosure

of any of the four items of classified information discussed by the parties at the CIPA hearing would,

most certainly, “‘expose matters which, in the interest of national security, should not be divulged.’”

Aref, 533 F.3d at 80 (quoting Reynolds v. United States, 345 U.S. 1, 10 (1953) (alteration omitted)). El-

Hage’s countervailing interest, in comparison, appears slight at best. For the reasons set forth above,

we detect no error—let alone abuse of discretion, see id. (“Whether evidence is ‘helpful’ or ‘material to

the defense’” is a matter “within the district court’s discretion.”)—in the District Court’s conclusion

that it is “difficult to envision a circumstance in which [El-Hage’s counsel] would ask any of the




                                                     41
[questions that counsel proposed to ask] and get a reply . . . which would require resort to the specific

language of [any classified] documents.”30 Hearing Tr. of Feb. 8, 2001, at 28-29.

         In addition, we note that all of the classified material containing information worthy of

disclosure by stipulation of the parties—that is, three out of the four items to which El-Hage sought

access—were made available for the preparation of El-Hage’s defense through the production of

classified documents to El-Hage’s attorneys, who possessed the security clearances necessary to review

and inspect such material. See Gov’t Mem. of Sept. 18, 2000, at 6 (noting that, “[i]n a case of this

magnitude, the [g]overnment has chosen to provide more, rather than less, discovery to cleared defense

counsel”); id. (noting the government’s position “that production of certain classified discovery to

cleared defense counsel [does not] mean[ ] that the [g]overnment concedes the relevance of that

material”); 2 Hearing Tr. of Feb. 21, 2001, at 6 (observing that the classified discovery on which El-

Hage’s counsel based their disclosure requests consisted in large part of “material which the

government very readily can get an order from the court saying [that it] need not be furnished”).

         Our understanding that production of materials to a party’s attorney alone falls within the

common meaning of “discovery”31 further strengthens our conviction that the discovery restrictions

imposed by the District Court were perfectly appropriate and valid in light of the standard by which

our Court determines when the government’s privilege “must give way . . . to a criminal defendant’s

right to present a meaningful defense.” Aref, 533 F.3d at 79; see also id. at 79-80 (adopting the standard

set forth in Roviaro v. United States, 353 U.S. 53 (1957), for determining “when the [g]overnment’s

privilege must give way in a CIPA case”); Roviaro, 353 U.S. at 59-61 (observing that fundamental

        30
           While the District Court made this observation with respect to the classified items discussed at the hearings
of February 6 and February 8, 2001, we find it equally applicable to the items discussed at the other CIPA hearings.

         31
             See, e.g., King v. PA Consulting Group, Inc,. 485 F.3d 577, 584 (10th Cir. 2007) (finding no abuse of discretion by
the district court in a case where, “[b]ecause the evidence included a number of confidential, proprietary documents,
discovery was conducted under a Consent Protective Order” under which “[t]he most sensitive documents were
designated ‘Attorneys’ Eyes Only,’ prohibiting the parties from viewing them”).
                                                                 42
fairness requires “the [g]overnment’s privilege to withhold from disclosure the identity of persons who

furnish information of violations of law to officers charged with enforcement of that law” to give way

“[w]here the disclosure of an informer’s identity, or of the contents of his communication, is relevant and

helpful to the defense of an accused, or is essential to a fair determination of a cause” (emphasis added)).

                           c.       El-Hage’s Right to Present a Defense Was Not Violated by the
                                    Mandatory Clearance Requirement

         As we have recently re-affirmed, “[w]hile a defendant has the right to present a complete

defense, that right is not without limits.” Hawkins v. Costello, 460 F.3d 238, 243 (2d Cir. 2006). For

example, a criminal defendant’s right to cross-examine the witnesses in his case “is not absolute and

may, in appropriate cases, bow to accommodate other legitimate interests in the criminal trial process.”

Chambers v. Mississippi, 410 U.S. 284, 295 (1973). When putting his case to the jury, for example, a

defendant “must comply with established rules of procedure and evidence.” Id. at 302. Even a

defendant’s “right to introduce relevant evidence can be curtailed if there is a good reason for doing

that.” Clark v. Arizona, 548 U.S. 735, 770 (2006).

         In evaluating El-Hage’s claim that his inability to consult classified material “violated [his] right

to present a complete defense, we start with the propriety of the [District Court’s] evidentiary

ruling[s].” Hawkins, 460 F.3d at 244 (internal quotation marks omitted). As noted above, the terms of

the protective order entered by the District Court gave El-Hage’s counsel access to all classified

material arguably relevant to El-Hage’s defense, and provided El-Hage himself with access to all of the

relevant facts set forth in that material. In light of the government’s willingness to stipulate to the

information El-Hage’s counsel was seeking to adduce from the classified material, the District Court

did not err in concluding that there was nothing to be gained—and much to be lost—by providing El-

Hage himself with access to the original material. Cf. Fed. R. Evid. 403 (noting that even relevant

evidence “may be excluded if its probative value is substantially outweighed by the danger of . . .

                                                            43
needless presentation of cumulative evidence”). In sum, we hold that the combined effects of the

protective order and the District Court’s evidentiary decisions—both carefully made pursuant to the

authority explicitly conferred upon the District Court by CIPA and its implementing procedures and

regulations—did not violate El-Hage’s Fifth Amendment and Sixth Amendment rights to present a

defense.32

                           d.       El-Hage’s Right to Counsel Was Not Violated by the Mandatory
                                    Clearance Requirement

         For similar reasons, we also conclude that the District Court’s efforts to execute the duties

imposed upon it by CIPA did not violate El-Hage’s Sixth Amendment right to counsel. Following the

Supreme Court’s decision in Perry v. Leeke, 488 U.S. 272 (1989), we have recognized on more than one

occasion that “[n]ot all restrictions on communication between a defendant and his counsel are

constitutionally prohibited.” United States v. Triumph Capital Group, Inc., 487 F.3d 124, 129 (2d Cir.

2007). More specifically, we have concluded that “[i]n certain contexts there can be an ‘important need

to protect a countervailing interest,’ which may justify a restriction on the defendant’s ability to consult

with his attorney if the restriction is ‘carefully tailored’ and ‘limited.’” Id. (quoting Morgan v. Bennett, 204

F.3d 360, 367 (2d Cir. 2000)). Ascertaining the permissibility of a particular restriction requires “‘an

intensely context-specific inquiry.’” Id. at 131 (quoting Serrano v. Fischer, 412 F.3d 292, 300 (2d Cir.

2005)); see also id. (noting that our Circuit’s understanding of the Supreme Court’s decisions in Geders v.

United States, 425 U.S. 80 (1976), and Perry v. Leeke, ante, “provides no ‘bright-line rule’ for determining

when, and what kind of, restrictions on the communication between a defendant and his counsel are




         32
            Nor did the protective order violate El-Hage’s Sixth Amendment right to cross-examine the witnesses against
him, or his Fifth Amendment right to testify at trial. See note 27, ante (explaining why El-Hage’s claims that he was
denied his Sixth Amendment right of confrontation and Fifth Amendment right to testify at trial amount to a reframing
of his claim that he was deprived of his constitutional rights to present a defense).
                                                            44
permissible”). In essence, “[t]he types of restrictions that are justifiable will depend on the interests

that the restrictions are aiming to protect.” Id. at 131 n.4.

        In the instant case, the District Court found that the unauthorized disclosure of classified

information relating to the government’s investigation of El-Hage might constitute “a particularly

disastrous security breach”—one that, perhaps, “might place . . . lives in danger.” Bin Laden, 58 F.

Supp. 2d at 121. To minimize the likelihood of such an occurrence, it required, pursuant to applicable

regulations, that all persons who sought access to classified material demonstrate their “willingness and

ability to abide by regulations governing the use, handling, and protection of classified information.”

28 C.F.R. § 17.41(b). At the same time, it sought to satisfy any need that El-Hage’s defense team may

have had for the contents of the classified material by permitting El-Hage’s attorneys to review the

material. Moreover, El-Hage’s attorneys were allowed to share the relevant facts with El-Hage.

Considering the interests at stake in the instant case and the accommodations devised by the District

Court, we conclude that “not only were the restrictions carefully tailored to the problem at hand, but

also that the evil they intended to prevent was ‘far more troubling than the possibility of witness coaching

involved in Geders and Perry.’” Triumph Capital, 487 F.3d at 131 n.4 (quoting Morgan, 204 F.3d at 367)).

We therefore reject El-Hage’s claim that the discovery limitations imposed by the District Court

violated his Sixth Amendment right to counsel.

        5.      El-Hage’s Exclusion from the CIPA Hearings

        El-Hage also contends that, by preventing him from attending hearings where classified

material would be discussed, the protective measure selected by the District Court violated his right to

be present at a crucial stage in his trial as guaranteed by the Fifth Amendment and Sixth Amendment.

El-Hage Br. 271. Because no witnesses testified at the hearings in question, we proceed on the

understanding that El-Hage is claiming a violation of the rights guaranteed to him by the Due Process


                                                     45
Clause of the Fifth Amendment. Cf. United States v. Peterson, 385 F.3d 127, 137 (2d Cir. 2004) (“A

criminal defendant’s constitutional right to be present at various stages of his trial is rooted in the

Confrontation Clause of the Sixth Amendment and, when confrontation is not at issue, the Due

Process Clause of the Fifth Amendment.”).

        The Due Process Clause entitles a criminal defendant “to be present at all stages of the trial

where his absence might frustrate the fairness of the proceedings.” Faretta v. California, 422 U.S. 806,

819 n.15 (1975); accord Cohen v. Senkowski, 290 F.3d 485, 489 (2d Cir. 2002). As the Supreme Court has

explained, however, “‘[t]he presence of a defendant is a condition of due process to the extent that a

fair and just hearing would be thwarted by his absence, and to that extent only.’” United States v. Gagnon,

470 U.S. 522, 526 (1985) (emphasis added) (quoting Snyder v. Massachusetts, 291 U.S. 97, 105-06, 108

(1934)). The Court has also observed that “the exclusion of a defendant from a trial proceeding should

be considered in light of the whole record.” Id. at 526-27.

        In Gagnon, the Supreme Court upheld the exclusion of criminal defendants from an in camera

conference at which the judge, a juror, and the lawyer for one defendant were present. Observing that,

based on the issues discussed at the conference, the defendants’ presence would have been unhelpful

for the cause of the defense and “counterproductive” for the purposes of the proceeding, the Court

concluded that “the conference was not the sort of event which . . . [the] defendant[s] had a right

personally to attend under the Fifth Amendment.” Id. at 527; see also id. (noting that the

the defendants “could have done nothing had they been at the conference, nor would they have gained

anything by attending”). Applying the teaching of Gagnon, our Court, in United States v. Peterson, upheld

a district court’s exclusion of criminal defendants from two in camera conferences held in their

case—one between the judge and a juror, the other between the judge and defendants’ trial counsel.

385 F.3d at 138. We explained that, because the conferences in question involved an issue of trial


                                                     46
management—rather than any factual development of the record—the defendants’ presence was

unnecessary. See id. (noting that “[h]ad defendants been present, they could not have assisted” because

“[t]hese meetings were more akin to hearings on an issue of law to which a defendant has little to

contribute than to stages of trial at which a defendant has a due process or statutory right to be

present.”). We also observed that because the issue of trial management arose within the context of a

potentially sensitive situation—namely, a possible incident of juror misconduct—the defendants’

absence may have helped the district court to conduct “a fair and just” inquiry into the situation. Id.

(observing that “[the defendants’] presence may have prevented juror number three from speaking

openly”). On this basis, we concluded that the district court’s decision to exclude the defendants from

the conferences “was neither a due process violation nor a violation of Federal Rule of Criminal

Procedure 43.”33 Id.

         A generation earlier, in United States v. Bell, we determined that a district court had properly

excluded a criminal defendant from an in camera hearing at which a witness discussed information that

was sensitive for public safety reasons and fell outside the personal knowledge of the defendant. 464

F.2d 667, 672 (2d Cir. 1972). In upholding this restriction on the defendant’s right to be present, we

noted that (1) the “justification” for barring the defendant was “compelling”—namely, the need to

guard “the confidentiality of the profile which has been devised as a method to reduce the threat of

[airline] hijacking,” id. at 669, and thereby to “protect[ ] . . . the air travelling public,” id. at 670; (2) the

defendant’s exclusion was necessary because the defendant’s personal history did not “inspire[ ]

confidence in his selection as a safe repository of the hijacking profile,” id. at 672, and disclosure of the

details of the profile would make it “not only . . . possible but relatively simple for a prospective



         33
             Pursuant to Rule 43, “the defendant must be present at: (1) the initial appearance, the initial arraignment, and
the plea; (2) every trial stage, including jury impanelment and the return of the verdict; and (3) sentencing,” unless
another rule provides otherwise. Fed. R. Crim. P. 43.
                                                               47
hijacker to avoid the initial designation,” id. at 670; (3) the restriction on the defendant’s presence was

carefully limited because defendant’s counsel was permitted to participate on defendant’s behalf, id. at

669; see also United States v. Clark, 475 F.2d 240, 245 (2d Cir. 1973) (discussing Bell with approval and

describing the restriction imposed as “carefully limited”); and (4) the substance of the matters discussed

at the hearing “bore no relationship at all to the question of [the defendant’s] guilt or innocence of the

crime charged,” Bell, 464 F2d at 671.

        In the instant case, the District Court’s decision to exclude El-Hage from hearings at which

classified information was discussed finds support in all four of the factors that we identified in Bell and

discussed approvingly in Clark. First, the District Court’s justification for limiting attendance at the

CIPA hearings, like the justification we identified in Bell, consisted of the need to avoid jeopardizing

lives through the unauthorized disclosure of sensitive information. Second, based on El-Hage’s

undisputed connection to Osama Bin Laden and suspected involvement in the transmission of non-

public court papers to Bin Laden, see note 22, ante, El-Hage’s ability to keep the classified information

at issue confidential was highly suspect—rendering it necessary to exclude him from proceedings where

classified information would be discussed. Third, as in Bell, El-Hage’s attorneys were permitted to

attend the hearing and participate on his behalf. Fourth, like the matters discussed at the hearing in

Bell, the matters discussed at the February 2001 CIPA hearings “bore no relationship at all to the

question of [El-Hage’s] guilt or innocence of the crime[s] charged,” Bell, 464 F2d at 671. In that sense,

“[El-Hage] could have done nothing had [he] been at the [hearing], nor would [he] have gained

anything [to which he was entitled] by attending” Gagnon, 470 U.S. at 527. Accordingly, because “a fair

and just [CIPA] hearing would [not] be thwarted by [El-Hage’s] absence” from such a hearing, id. at

526, we conclude that the District Court’s exclusion of El-Hage from hearings at which classified




                                                     48
material was discussed did not violate El-Hage’s due process right to be present at a crucial stage in his

trial.

         In sum, we conclude that: (1) the District Court possessed the authority to limit access to

classified information to individuals with a security clearance; (2) the District Court’s decision to

impose a clearance requirement did not rest on any factual error; (3) the clearance requirement was not

legally erroneous because it did not deprive El-Hage of access to any evidence that he was entitled to

consult under the rules of criminal discovery, nor did it violate El-Hage’s constitutional rights to

consult with counsel or present a complete defense; and (4) the exclusion of El-Hage from hearings at

which classified information was discussed—a consequence of the clearance requirement permitted by

CIPA and applicable regulations, and imposed by the District Court—did not violate El-Hage’s due

process right to be present at a crucial stage in his trial.

D.       El-Hage’s Motion to Sever His Trial from That of His Co-Defendants

         On appeal, El-Hage renews his claim that he should be granted a new trial based on the District

Court’s denial of his motion to sever his trial from the trial of his co-defendants. El-Hage Br. 233; see

United States v. Bin Laden, 109 F. Supp. 2d 211 (S.D.N.Y. 2000) (discussing in detail the pretrial

severance motion); United States v. Bin Laden, No. 98 Cr. 1023, 2001 WL 1160604, at *6-7 (S.D.N.Y.

Oct. 2, 2001) (considering El-Hage’s post-trial arguments that he was prejudiced by the joint trial).

Specifically, he contends that being jointly tried with death-eligible co-defendants prejudiced him

“incurably,” El-Hage Br. 236, and that “he was denied his Sixth Amendment confrontation trial rights

by the admission of a co-defendant’s testimonial statement against him,” id. at 235.

         Rule 14 of the Federal Rules of Criminal Procedure provides that, if a joint trial “appears to

prejudice a defendant[,]. . . the court may . . . sever the defendants’ trials, or provide any other relief that

justice requires.” Fed. R. Crim. P. 14(a) (emphasis added). As the Supreme Court has noted, “Rule 14


                                                       49
does not require severance even if prejudice is shown; rather, it leaves the tailoring of the relief to be

granted, if any, to the district court’s sound discretion.” Zafiro v. United States, 506 U.S. 534, 538-39

(1993). Accordingly, we review a district court’s decision to deny a motion for severance for abuse of

discretion. United States v. Feyrer, 333 F.3d 110, 114 (2d Cir. 2003).

        In light of the “preference in the federal system for joint trials of defendants who are indicted

together,” Zafiro, 506 U.S. at 537, “[w]e rarely overturn the denial of a motion to sever,” Feyrer, 333

F.3d at 114-15. See also Zafiro, 506 U.S. at 537 (noting that joint trials “promote efficiency and ‘serve

the interests of justice by avoiding the scandal and inequity of inconsistent verdicts’” (quoting

Richardson v. Marsh, 481 U.S. 200, 210 (1987))); Feyrer, 333 F.3d at 114 (“For reasons of economy,

convenience and avoidance of delay, there is a preference in the federal system for providing

defendants who are indicted together with joint trials.”). Indeed, we have observed that “a district

court order denying a Rule 14 motion . . . will be overturned ‘only if a defendant can show prejudice so

severe that his conviction constituted a miscarriage of justice and that the denial of his motion

constituted an abuse of discretion.’” United States v. Yousef, 327 F.3d 56, 150 (2d Cir. 2003) (quoting

United States v. Diaz, 176 F.3d 52, 102 (2d Cir. 1999)).

        1.      El-Hage’s Objections to Being Tried with Death-eligible Co-defendants

        El-Hage claims that the prejudice he experienced as a result of being tried together with his

death-eligible co-defendants “manifested itself in two forms.” El-Hage Br. 236. First, “jurors who

would have been eligible to serve in a non-death case . . . [but for] their categorical opposition to (or

support for) the death penalty . . . were excused for cause.” Id. Second, “the strategy of [his] death-

eligible [co-]defendants was . . . in irreconcilable conflict with the aims of the non-capital defendants.”

Id.




                                                     50
        El-Hage’s claim that he was prejudiced by the “death qualification” of the jury—i.e., the

exclusion of jurors with categorical opposition to or support for the death penalty—is foreclosed by

the holding of the Supreme Court in Buchanan v. Kentucky, 483 U.S. 402 (1987). In Buchanan, the Court

rejected the claims of a criminal defendant that he “was deprived of his right to an impartial jury . . .

because the [government] was permitted to ‘death-qualify’ the jury in his joint trial where the death

penalty was sought against his codefendant.” Id. at 404, 416. The “death-qualification” process, in the

Court’s view, did not produce a jury that was unable to “‘conscientiously apply the law and find the

facts’” in a criminal case. Id. at 417 (quoting Lockhart v. McCree, 476 U.S. 162, 178 (1986)). Because

“jury impartiality requires only jurors who will conscientiously apply the law and find the facts,” id.

(internal quotation marks omitted), the Court concluded that there was no basis to question a jury’s

impartiality simply because it had been death qualified, id. at 420. El-Hage provides no persuasive

distinction between his challenge to the death-qualification process in his case and the one at issue in

Buchanan. Accordingly, we hold that El-Hage’s argument is without merit.

        Regarding El-Hage’s claim of irreconcilable defense strategies, we note that even if El-Hage’s

death-eligible co-defendants had pursued a trial strategy that was mutually antagonistic with El-Hage’s

trial strategy, that factor alone would be insufficient to establish that the District Court had erred—let

alone abused its discretion—in denying El-Hage’s motion for a separate trial. We have previously

explained that “[d]efenses are mutually antagonistic when accepting one defense requires that ‘the jury

must of necessity convict a second defendant.’” Yousef, 327 F.3d at 151 (quoting United States v.

Cardascia, 951 F.2d 474, 484 (2d Cir. 1991)); cf. Zafiro, 506 U.S. at 542 (Stevens, J., concurring) (noting

that a situation of “‘mutually antagonistic’ defenses” arises when “acceptance of one defense . . .

necessarily preclude[s] acceptance of the other and acquittal of the codefendant”). As the Supreme

Court has noted, “[m]utually antagonistic defenses are not prejudicial per se.” Zafiro, 506 U.S. at 538; see


                                                     51
also Yousef, 327 F.3d at 151. Rather, “a district court should grant a severance under Rule 14 only if

there is a serious risk that a joint trial would compromise a specific trial right of one of the defendants,

or prevent the jury from making a reliable judgment about guilt or innocence.” Zafiro, 506 U.S. at 539.

        El-Hage identifies several instances in which, he claims, his death-eligible co-defendants

attempted to rationalize the targeting of the American Embassies, El-Hage Br. 241-42, and elicited

evidence about the violent nature of al Qaeda’s aims in an effort to emphasize their lesser culpability in

comparison with the government’s cooperating witnesses and within the al Qaeda organization as a

whole, id. at 243-44. According to El-Hage, this evidence prejudiced him because it (1) represented an

attempt to “offer a justification for an act that Mr. El-Hage has always deemed unjustifiable on any

ground,” id. at 241 (emphasis omitted), and (2) undermined his position that he had “associate[d] with

al Qaeda members” without being aware of al Qaeda’s “violent and/or anti-American agenda,” id. at

244.

        We perceive no conflict between El-Hage’s rejection of the embassy bombings and his co-

defendants’ attempts to justify the bombings, or between El-Hage’s claim of ignorance about al

Qaeda’s activities and his co-defendants’ emphasis that al Qaeda “did not hesitate to engage in conduct

that would kill the maximum number of victims, regardless of the civilian casualties suffered as a

result,” id. at 243. Indeed, we agree with the District Court that some of the testimony, such as an

“Imam’s testimony that a Muslim should opt for the least violent means of protest,” Bin Laden, 2001

WL 1160604, at *7 (citing Tr. 4661), could ultimately have weighed in El-Hage’s favor. So would, in

our view, the contrast between the positions taken by El-Hage and those attributed to his

co-defendants because they allowed El-Hage to seem relatively less culpable than his co-defendants.

        We see no error or abuse of discretion in the decision of the District Court to deny El-Hage’s

motion to sever his trial from the trial of his death-eligible co-defendants. Nor do we believe that El-


                                                     52
Hage suffered any prejudice, let alone prejudice sufficient to trigger the granting of a new trial, due to

his joint trial with these co-defendants.

        2.         Confrontation Clause Claim

        At trial, both the government and counsel for El-Hage’s co-defendant Odeh considered

introducing into evidence the report of the FBI agent who interviewed Odeh in Nairobi, Kenya. Tr.

1574, 1697. El-Hage’s attorneys contended that, in order to avoid any unfairness to El-Hage, the

portion of the agent’s report reading “Odeh stated that Wadih El Hage gave him an identification card

for NGO Africa Help [also called ‘Help Africa People’]” should be redacted to read “Odeh stated that

he was given [an] identification card for an NGO and Odeh used this card.” Id. at 1582-84. As El-

Hage’s counsel explained, because “Africa Help” was the name of El-Hage’s NGO and El-Hage’s

examination before the Grand Jury had included a question about whether he gave this identification

card to Odeh, a redaction that preserved the name of the NGO would “clearly indicate[ ]” that Odeh

was speaking about El-Hage. Id. at 1581-82. The government objected to the redaction of the NGO’s

name on the basis that (1) it was using the statement in part to prove that “Help Africa People was

involved in providing [false] identity cards,” id. at 1585, and (2) even though El-Hage had denied

providing the card in his grand jury testimony, he was not facing any perjury charges relating to his

statement, id. at 1584-85.34


        34
             The Grand Jury exchange was as follows:

        Government:         Did you not provide an identity document to the person depicted in Grand Jury Exhibit 5,
                            Mohamed O[ ]deh, from your organization Help Africa People, yes or no?”

        El-Hage:            Did I give him any help from the organization?

        Government:         Yes.

        El-Hage:            No.

        Government:         Did you give him an identity document to use with his name and that picture?

        El-Hage:            Never.
                                                            53
         The District Court agreed with the government, concluding that nothing on the face of the

redacted statement “Odeh stated that he was given                           an              identification card for

the NGO, Africa Help” was incriminating to El-Hage. See Appellants’ App. 756 (reproducing Odeh

statement) (underlined areas left blank in original). The District Court observed that the redacted

statement did not pose a situation “where the context makes clear that the only person who could have

been the reference is the defendant [El-Hage]” because “anybody could have given [Odeh] an

identification card for Africa Help.” Tr. 1585. This was so because the record did not establish

“whether any other people were involved in Africa Help or if it was a one-man operation,” and,

therefore, El-Hage’s involvement was not “a compelled inference.” Id. The following day, counsel for

Odeh introduced the redacted statement into evidence while cross-examining the government agent

who had interviewed Odeh in Nairobi. Tr. 1697.

         On appeal, El-Hage renews his claim that, in light of his Grand Jury testimony, the redaction

was insufficient to satisfy the requirements of Bruton v. United States, 391 U.S. 123, 137 (1968), and

therefore the only way to have avoided violating his Sixth Amendment right to confront the witnesses

against him would have been to sever his trial from that of Odeh. See El-Hage Br. 250.

         In Bruton, the Supreme Court held that “a defendant is deprived of his Sixth Amendment right

of confrontation when the facially incriminating confession of a nontestifying codefendant is

introduced at their joint trial, even if the jury is instructed to consider the confession only against the

codefendant.” Richardson v. Marsh, 481 U.S. 200, 207 (1987) (discussing and applying Bruton). Even a

redacted statement may run afoul of the rule set forth in Bruton if the redactions “simply replace [the




         Government:       Did you give him an identity document to use with any picture of him?

         El-Hage:          I don’t remember seeing this person before or this picture.

See Appellant’s App. 650 (reproducing colloquy).
                                                            54
defendant’s] name with an obvious blank space or a word such as ‘deleted’ or a symbol or other

similarly obvious indications of alteration,” such that the remaining text “closely resemble[s] . . . [the]

unredacted statement[ ].” Gray v. Maryland, 523 U.S. 185, 192 (1998). A confession “redacted to

eliminate not only the defendant’s name, but any reference to his or her existence” is, however,

acceptable if accompanied by a proper limiting instruction. Id. at 191 (quoting Richardson, 481 U.S. at

211); see also United States v. Lung Fong Chen, 393 F.3d 139, 148 (2d Cir. 2004).

        As the Supreme Court has explained, whether or not a redaction sufficiently protects a criminal

defendant’s rights “depend[s] in significant part upon the kind of . . . inference” that the jury may draw

in light of the redaction. Gray, 523 U.S. at 196 (emphasis omitted). Admission of “statements that [do]

not refer directly to the defendant himself and which [become] incriminating ‘only when linked with

evidence introduced later at trial’” does not violate the rule set forth in Bruton. Id. (quoting Richardson,

481 U.S. at 208). “[S]tatements that, despite redaction, obviously refer directly to someone, often

obviously the defendant, and which involve inferences that a jury ordinarily could make immediately,

even were the confession the very first item introduced at trial,” have the effect of “facially

incriminat[ing] the [confessing individual’s] co-defendant,” thereby rendering them unsuitable for

admission under Bruton. Id. (internal quotation marks and emphasis omitted).

        In the instant case, El-Hage does not contend that Odeh’s statement, standing alone,

incriminated him. Rather, he claims that “the combination of the redacted statement by Mr. Odeh and

Mr. El-Hage’s grand jury testimony telegraphed quite plainly to the jury that Mr. El-Hage was allegedly

the ‘someone in Nairobi’ who Mr. Odeh claims gave him an identity card.” El-Hage Br. 248 (emphasis

added). El-Hage also observes that “the close association of Mr. El-Hage with Help Africa People . . .

further revealed the identity of the ‘someone’ referred to in Mr. Odeh’s statement.” Id. El-Hage

argues, therefore, that the District Court’s admission of the redacted statement “[became] incriminating


                                                     55
‘only when linked with [other] evidence introduced . . . at trial.’” Gray, 523 U.S. at 196 (quoting

Richardson, 481 U.S. at 208). Based on the guidance set forth by the Supreme Court in Gray, it is clear

that the statement in question did not run afoul of the rule set forth in Bruton. Cf. Lung Fong Chen, 393

F.3d at 150 (concluding that the statements at issue in that case “[fell] safely outside of Bruton’s scope

because substantial evidence was necessary to link [the moving] defendants . . . with [their non-

testifying co-defendant’s] statements” and further noting that the moving defendants “implicitly

recognize this point in their brief” by observing that the statements incriminated them only when taken

in the context of other “testimony and argument”).

         Accordingly, because El-Hage did not suffer any prejudice from being tried jointly with his co-

defendants and because the admission of Odeh’s statement did not violate El-Hage’s rights under

Bruton, we conclude that the District Court did not err in denying El-Hage’s motion for a separate trial,

and we likewise deny El-Hage’s request for a new trial.

E.       The Admission of Certain Statements of El-Hage’s Co-Defendants, Co-Conspirators,
         and Other Third Parties

         El-Hage challenges the District Court’s decision to admit certain statements of his co-

defendants, his co-conspirators, and other third parties as evidence at trial. First, El-Hage argues that

the admission of the post-arrest, testimonial statements of his co-defendants violated his Sixth

Amendment right to confront the witnesses against him.35 Second, he contends that the District Court

erred by admitting certain third-party statements pursuant to the co-conspirator exception set forth in

Rule 801(d)(2)(E) of the Federal Rules of Evidence. Third, he claims that the District Court erred by

admitting scores of documents seized from several locations in the United Kingdom and from Mercy




         35
           Pursuant to the Sixth Amendment to the United States Constitution, “[i]n all criminal prosecutions, the
accused shall enjoy the right . . . to be confronted with the witnesses against him.”
                                                            56
International Relief Agency in Nairobi, Kenya, because those documents were not sufficiently

connected to the conspiracy.

        We review a district court’s “[c]onclusions of law, including those involving constitutional

questions, . . . de novo.” United States v. Fell, 531 F.3d 197, 209 (2d Cir. 2008). We review a district

court’s evidentiary rulings for abuse of discretion, reversing only when (1) the district court’s “‘decision

rests on an error of law (such as application of the wrong legal principle) or a clearly erroneous factual

finding, or (2) its decision—though not necessarily the product of a legal error or a clearly erroneous

factual finding—cannot be located within the range of permissible decisions.’” United States v.

Tsekhanovich, 507 F.3d 127, 129 (2d Cir. 2007) (quoting Zervos v. Verizon N.Y., Inc., 252 F.3d 163, 169

(2d Cir. 2001)); see also United States v. SKW Metals & Alloys, Inc., 195 F.3d 83, 87 (2d Cir. 1999) (noting

that we reverse “[e]videntiary rulings . . . only if they are manifestly erroneous,” and that, “[i]n general,

this court will not overturn a trial judge’s evidentiary rulings unless the judge acted arbitrarily or

irrationally” (internal quotation marks omitted)).

        1.      The Post-Arrest, Testimonial Statements by El-Hage’s Co-Defendants

        At the time of El-Hage’s trial, this Circuit permitted district courts to admit testimonial

statements of a co-defendant in order to establish “the existence of a conspiracy and conduct in

furtherance thereof,” even when that co-defendant was unavailable for cross-examination. United States

v. Snype, 441 F.3d 119, 128 (2d Cir. 2006) (citing, as examples, United States v. Dolah, 245 F.3d 98, 104-05

(2d Cir. 2001), and United States v. Moskowitz, 215 F.3d 265, 269 (2d Cir. 2000)). Subsequently, however,

the Supreme Court ruled, in Crawford v. Washington, 541 U.S. 36 (2004), “that the Confrontation Clause

did not permit [testimonial] out-of-court statements to be received in evidence.” Snype, 441 F.3d at

128; see also id. (noting that “Crawford specifically criticized our decisions in Dolah and Moskowitz, as well

as similar rulings by our sister circuits and state courts”).


                                                      57
         El-Hage contends that, in violation of the Confrontation Clause, the District Court admitted

the statements of El-Hage’s co-defendants against him for the purpose of “establishing the charged

conspiracies.” El-Hage Br. 33. This assertion is flatly contradicted by the record, which reveals that

the District Court admitted each testimonial statement at issue only against the defendant who made

the statement, and not against the other defendants. See Tr. 2161 (rejecting the government’s request to

admit co-conspirator admissions against all defendants for purposes of establishing “the existence of

the conspiracy” and resolving instead to instruct the jury that “the evidence of one defendant’s

statements to the authorities after his arrest about his own conduct may not be considered or discussed

. . . in any way with respect to any defendant on trial other than the defendant who made the

statement”); id. at 4696 (instruction of the District Court to the jury during trial, stating that “I have

previously told you, and I will repeat it again in a written instruction, that . . . once an alleged

conspirator is arrested, statements made after the arrest may be considered only with respect to the

speaker . . . [t]herefore, the testimony which is now being elicited with respect to statements made by

the defendant Odeh to the agent following [Odeh’s] arrest may be considered only with respect to

Odeh and may not be considered with respect to the other defendants”); Appellants’ App. 294 (jury

charge, stating that “[y]ou are cautioned that, unless I explicitly instruct you otherwise, the evidence of

one defendant’s statement to the authorities after his arrest may not be considered or discussed by you

in any way with respect to any defendant on trial other than the defendant who made the statement”).36


            36
               El-Hage acknowledges that the statements of defendant Khalfan Mohammed and defendant-appellant
Mohamed Rashed Daoud al-’Owhali “were admitted against them only, with a limiting instruction.” El-Hage Br. 34; see
also id. at 291 (same). He insists, however, that “Odeh’s statement was admitted not only against [Odeh], but against the
other defendants as well for purposes of establishing the charged conspiracies.” Id. at 33; see also id. at 101 (“Consistent
with Second Circuit law at the time, Mr. Odeh’s statement— a 34-page catalog of his life with al Qaeda—was admitted
against all defendants, including Mr. El-Hage, for the purposes of establishing the existence of the charged
conspiracies.”); id. at 291 (same).

        As discussed above, however, the record clearly belies El-Hage’s claims as to the District Court’s treatment of
Odeh’s custodial statements.

                                                               58
        We have held that we will “presume that juries follow limiting instructions” unless “‘there is an

overwhelming probability that the jury will be unable to follow the court’s instructions and the

evidence is devastating to the defense.’” United States v. Becker, 502 F.3d 122, 130 (2d Cir. 2007)

(quoting United States v. Jones, 16 F.3d 487, 493 (2d Cir. 1994)); see also Richardson v. Marsh, 481 U.S. 200,

206 (1987) (recognizing “the almost invariable assumption of the law that jurors follow their

instructions” and discussing the “many varying contexts” in which the Supreme Court has applied this

assumption). In the instant case, the record contains no indication that the jury was unable to follow

the limiting instruction set forth by the District Court. Nor, in light of the substantial other evidence

against El-Hage, were statements from these co-defendants “devastating” to El-Hage’s defense. Cf.

United States v. Bin Laden, 397 F. Supp. 2d 465, 515-18 (S.D.N.Y. 2005) (summarizing “the substantial

evidence establishing El-Hage’s participation in the charged conspiracies after Bin Laden openly

declared war on the United States in 1996”). Accordingly, we conclude that, in light of the limiting

instructions of the District Court, El-Hage has failed to establish a Sixth Amendment violation arising

from the District Court’s decision to admit the testimonial statements of El-Hage’s co-defendants for

use only against each of them.

        2.      The Application of the Hearsay Rule to the Statements of El-Hage’s Co-Conspirators

        El-Hage also contends that the District Court erred by admitting the statements of his co-

conspirators pursuant to Rule 801(d)(2)(E) of the Federal Rules of Evidence, which exempts the

statements of co-conspirators from the hearsay rule. Specifically, he challenges the District Court’s

admission of (1) third-party statements through the testimony of Jamal al-Fadl, a government witness,

El-Hage Br. 94; and (2) phone conversations recorded from a landline and cellular telephone used in

Nairobi by El-Hage and other individuals, id. at 95, 97.




                                                      59
        Rule 801(d)(2)(E) provides that “[a] statement is not hearsay if [t]he statement is offered against

a party and is . . . [made] by a coconspirator of a party during the course and in furtherance of the

conspiracy.” It also limits the extent to which a conspiracy can be proven with this type of evidence:

“The contents of the statement shall be considered but are not alone sufficient to establish . . . the

existence of the conspiracy and the participation therein of the declarant and the party against whom

the statement is offered.” Fed. R. Evid. 801(d)(2)(E).

        El-Hage claims that the District Court’s evidentiary rulings were erroneous because “the

government never presented sufficient proof that many of the declarants were . . . members of the

conspiracies in which . . . Mr. El-Hage is alleged to have participated.” El-Hage Br. 90; see also id.

(asserting that “the statements were inadmissible because either (or both) the declarants were not

proven to be members of any conspiracy to violate United States law, and/or because the

conversations during which they were uttered were not in furtherance of any such conspiracy”).

        Because factual predicates for evidentiary rulings must be determined by the district court, see

Fed. R. Evid. 104(a), “the existence of a conspiracy and [an individual’s] involvement in it,” as

“preliminary questions of fact[,] . . . must be resolved by the [district] court.” Bourjaily v. United States,

483 U.S. 171, 175 (1987). A preponderance-of-the-evidence standard governs the district court’s

preliminary factual determination. Id. Accordingly, “[w]e review . . . for clear error” a district court’s

findings as to whether “‘there was a conspiracy involving the declarant and the nonoffering party, and

[whether] the statement was made during the course and in furtherance of the conspiracy.’” United

States v. Orena, 32 F.3d 704, 711 (2d Cir. 1994) (quoting Bourjaily, 483 U.S. at 175-76).

                a.       The District Court’s Conclusion that the Declarants Were Members of the
                         Conspiracy

        El-Hage contends that the evidence was insufficient to establish that the following declarants

were members of a conspiracy “factually intertwined with the offenses being tried,” United States v.

                                                       60
Stratton, 779 F.2d 820, 829 (2d Cir. 1985) (internal quotation marks omitted): (1) Abu Talal al Masry

(a.k.a. Saleh), (2) Abu Fadl al Makee (a.k.a. Madani al Tayyib), (3) Mohamed Suleiman al Nalfi, and (4)

Abu Rida al Suri (a.k.a. Mohamed Loay Bayazid). See El-Hage Br. 94-95. We disagree.

        A fact-finder may properly find the existence of a criminal conspiracy where the evidence is

sufficient to establish, by a preponderance of the evidence, that “the . . . alleged coconspirators entered

into a joint enterprise with consciousness of its general nature and extent.” United States v. Beech-Nut

Nutrition Corp., 871 F.2d 1181, 1191 (2d Cir. 1989); see also United States v. Salameh, 152 F.3d 88, 151 (2d

Cir. 1998) (observing that conspiracy requires, inter alia, “agree[ment] on the essential nature of the

plan” and “some knowledge of the conspiracy’s unlawful aims and objectives” (alterations and internal

quotation marks omitted)). Based on the evidence summarized below, we conclude that the District

Court did not err in determining that the declarants identified by El-Hage were members of a factually-

relevant conspiracy.

                        i.      Abu Talal al Masry (a.k.a. Saleh)

        L’Houssaine Kherchtou, a cooperating witness and former member of the Nairobi al Qaeda

cell, testified at trial that Saleh was a member of “the military committee of al Qaeda.” Tr. 1126. In

addition, FBI Agent Stephen Gaudin, who interviewed Al-’Owhali in Kenya, stated that “[A]l-’Owhali

explained to [him] that Saleh was the planner of . . . the bombing in Nairobi and the bombing in Dar es

Salaam” and the “leader of the cell that was going to carry out both of these attacks.” Id. at 1971, 1976,

2013. John Michael Anticev, the FBI agent who interviewed Odeh in Kenya, testified that, according

to Odeh, it was Saleh who, in the days before the embassy bombings, conveyed “word from Bin

Laden” that al Qaeda members should “start getting [their] affairs in order and start getting

documents” so that they could “[get] out of Kenya,” id. at 1616, 1667-68; and Saleh who provided




                                                     61
Odeh with the money and false documents that Odeh used to leave the country the day before the

bombings, id. at 1675-78, 1686.

                        ii.     Abu Fadl al Makee (a.k.a. Madani al Tayyib)

        Jamal al-Fadl, a cooperating witness for the government, testified that al Tayyib was a member

of al Qaeda’s committee on “money and business,” which supplied the funds for al Qaeda members to

obtain plane tickets and false passports. Id. at 161, 209, 214. Al Tayyib’s role in al Qaeda’s activities

was confirmed in a report on al Qaeda’s security prepared by al Qaeda member Fazul Mohammed

(“Harun”). See Supplemental App. 1978-79 (co-conspirator expressing concern that al Tayyib was the

cooperating witness described in news sources as “the distributor of [O]sama bin [L]aden’s money

which is used against the USA”).

                        iii.    Mohamed Suleiman al Nalfi

        In his trial testimony, al-Fadl identified al Nalfi as a member of al Qaeda, and stated that he had

accompanied al Nalfi to the home of an al Qaeda military commander (Mohammed Atef, a.k.a. Abu

Hafs el Masry) to hear a report about the status of al Qaeda’s activities in Somalia. Tr. 283. Al Nalfi

himself was later apprehended and, in February 2003, was convicted of violating 18 U.S.C. § 2155(b)

(conspiracy to destroy national defense materials, premises, or utilities) following his plea of guilty

before the District Court.

                        iv.     Abu Rida al Suri (a.k.a. Mohamed Loay Bayazid)

        Al-Fadl testified that Bayazid was a member of the delegation that Bin Laden sent overseas to

investigate whether al Qaeda should consider relocating from Afghanistan and Pakistan to the Sudan,

id. at 216-17. He also testified that, after al Qaeda relocated, Bayazid was involved in planning the

transportation of Stinger missiles and anti-tank rockets from Afghanistan to Sudan. Id. at 272-73.

                b.      The Admission into Evidence of Statements by El-Hage’s Co-Conspirators


                                                     62
        In addition to challenging the District Court’s admission, through al-Fadl’s testimony, of

statements made by the above declarants, El-Hage also challenges the District Court’s admission of

statements from intercepted phone calls involving, inter alia, the following individuals: April Ray El-

Hage, Ahmed Tawhil (a.k.a. Ahmed Sheikh Adam), Ahmed Hassan, Abu Khadija, Ahmed Mohamed

Hamed Ali (a.k.a. Ahmed the Egyptian), Fazul Mohammed (a.k.a. Harun), and an individual called

“Saad.” See El-Hage Br. 94-100 (identifying statements in question).

        We have previously recognized that a statement is made “in furtherance” of the conspiracy if it

“‘provide[s] reassurance, [or] serve[s] to maintain trust and cohesiveness among [the conspirators], . . .

[or] inform[s] [other conspirators] of the current status of the conspiracy.’” United States v. Simmons, 923

F.2d 934, 945 (2d Cir. 1991) (quoting United States v. Rahme, 813 F.2d 31, 35-36 (2d Cir. 1987)). We

have recognized also that “statements designed to induce a listener’s assistance [also] satisfy the

requirements of [Rule] 801(d)(2)(E).” Id. “Though the Rule requires that both the declarant and the

party against whom the statement is offered be members of the conspiracy, there is no requirement

that the person to whom the statement is made also be a member.” Beech-Nut Nutrition Corp., 871 F.2d

at 1199 (citation omitted). “Because what constitutes a statement that is ‘in furtherance’ of a

conspiracy is essentially a question of fact, we will reverse a decision to admit co-conspirator statements

only if it is clearly erroneous,” Simmons, 923 F.2d at 945, and “‘[w]here there are two permissible views

of the evidence, the factfinder’s choice between them cannot be clearly erroneous,’” Beech-Nut Nutrition

Corp., 871 F.2d at 1199 (quoting Anderson v. City of Bessemer, 470 U.S. 564, 574 (1985)).

        The co-conspirator statements identified by El-Hage include: the advice Saleh gave to al-Fadl

on how al-Fadl should conceal his identity when “traveling on behalf of al Qaeda outside the

Afghanistan-Pakistan area,” Tr. 212-14; a statement by Abu Fadl al Makee and Abu Rida al Suri

declaring that they were seeking to transport Stinger missiles and Milan anti-tank rockets from


                                                    63
Afghanistan to Sudan, id. at 272-73; and a statement by al Nalfi about al Qaeda’s intention to establish a

cell in London, id. at 305-307.37

         The intercepted phone calls identified by El-Hage include conversations in which: April Ray

El-Hage informs her husband that other al Qaeda conspirators have left messages for him,

Supplemental App. 1878-79 (message from Abu Khadija); id. at 1953 (message from Mohammed Atef);

El-Hage speaks to April Ray El-Hage in code and reveals his concern that his phone calls may be

monitored, id. at 1917; al Qaeda members Harun and Ahmad Hassan discuss al Qaeda business, id. at

1860 (discussing the preparation of a letter for travel); al Qaeda members Saad and Harun discuss al

Qaeda business, id. at 1859; Harun and Ahmad Tawhil, an al Qaeda associate, discuss al Qaeda

business, Appellant’s App. 2519-20; El-Hage discusses the possibility of supplying false travel

documents, in code, with an unidentified individual, Supplemental App. 1940; Appellants’ App. 2505-

06; El-Hage and Saad discuss transmittal of false documents, Supplemental App. 1876; an unidentified

male asks Harun about using the al Qaeda satellite phone in El-Hage’s possession, and is informed by

Harun that the phone is reserved for “special phone calls from [Bin Laden],” id. at 1948; El-Hage

discusses the delivery of documents to Ahmad Tawhil, an al Qaeda associate, id. at 1922; Harun and

Abu Khadija discuss the need to investigate whether al Tayyib was cooperating with U.S. authorities, id.

at 1961-62; Mohammed Atef conveys flight details to an unidentified male, Appellants’ App. 2480; al

Qaeda member Abu Islam al Sirir and an unidentified female discuss the travel plans of Saleh and Bin

Laden, id. at 2500; El-Hage discusses al Qaeda financial matters with Tawfik, an al Qaeda associate, id.




         37
             El-Hage also claims that the District Court incorrectly admitted two statements by Saleh. See El-Hage Br. 94
(identifying transcript pages 282 and 284 as containing the statements in question). Pages 282 through 284 contain
statements by one individual with a name similar to Abu Talal al Masry— namely, Abu Hafs el Masry— and a statement
about an individual with another similar sounding name: namely, Saif al Islam al Masry. Abu Hafs el Masry (a.k.a.
Mohammed Atef) was an al Qaeda military commander, and the statement in question consisted of a report about the
status of al Qaeda’s activities in Somalia. Tr. 283. Accordingly, insofar as El-Hage challenges the admission of Atef’s
statement to al-Fadl, we conclude that this statement was properly admitted by the District Court.
                                                             64
at 2549, 2554; and Tawfik, Ahmad Tawhil, and Harun discuss financial matters, Gov’t Trial Ex. 220B-

T.

       Upon our review of the record, we see no basis to disturb the determination of the District

Court that the statements identified by El-Hage were made (1) by members of a factually-relevant

conspiracy (2) in furtherance of that conspiracy. Accordingly, we see no error in the District Court’s

decision to admit these statements into evidence pursuant to Rule 801(d)(2)(E).

       3.      The Admission of Certain Documents Offered by the Government

        El-Hage contends that the District Court should not have admitted “scores of documents

seized from MIRA [(Mercy International Relief Agency)] in Nairobi, Kenya, and from several locations

in . . . the U.K.,” because there was insufficient evidence “connecting most of those documents with

any conspiracy to violate United States law.” El-Hage Br. 96. El-Hage does not identify with any

specificity the documents he believes were admitted in error; nor does he provide any indication of the

significance of these documents to the government’s case against him. Because El-Hage provides no

basis for this Court to evaluate his challenge to the admissibility of these documents—and, upon our

own review of the record, we perceive none—we conclude that there was no error in their admission.

       In sum, we conclude that the District Court did not err or abuse its discretion by admitting the

statements of El-Hage’s co-defendants, co-conspirators, and other third parties. Accordingly, we reject

El-Hage’s challenges to these decisions.

F.     El-Hage’s Motion for a New Trial Based on the Post-Conviction Disclosure of
       Recorded Statements of a Government Witness

       We now turn to El-Hage’s argument that he was entitled to a new trial based on the

government’s alleged failure to make a timely disclosure of videotapes documenting pretrial

conversations between prosecutors and a former al Qaeda member who testified for the prosecution

“about the history, structure and operation of al Qaeda” as well as “about some of El-Hage’s al Qaeda

                                                   65
activities.” United States v. Bin Laden, 397 F. Supp. 2d 465, 474 (S.D.N.Y. 2005). As explained in greater

detail below, we see no merit in El-Hage’s argument.

         1.       The Post-Conviction Discovery of Videotaped Interviews and El-Hage’s Motion for a
                  New Trial

         In or around January 2002—eight months after the jury returned a verdict of guilt against El-

Hage and three months after the District Court entered a judgment of conviction against him—U.S.

Attorney Patrick J. Fitzgerald38 discovered that twelve of the government’s pretrial conferences with

Jamal al-Fadl, a former al Qaeda member who testified for the prosecution, had been videotaped by al-

Fadl’s liaison to the U.S. Marshals Service Witness Security Program (“WitSec”), and the tapes were

being kept by the U.S. Marshals Service (“USMS”) at their headquarters in Washington, D.C. Bin

Laden, 397 F. Supp. 2d at 475, 476. “Almost immediately after learning of the taping,” Fitzgerald and

AUSA Kenneth M. Karas contacted the Department of Justice Office of Enforcement Operations

(“OEO”) to explain “the importance of maintaining the tapes” and the need to convey the tapes to

AUSA Karas “as soon as possible.” Id. at 477. AUSA Karas continued to place follow-up phone calls

to OEO throughout February and March of 2002. Id. at 477-78. He finally received copies of the

tapes, edited for security reasons by the USMS, on or about March 21, 2002. Id. at 478. He never

obtained the original tapes or a complete copy thereof. Id.

         Upon receiving the tapes, AUSA Karas and other Southern District AUSAs had them
         transcribed. They reviewed those transcriptions and redacted various portions to protect the
         identities of certain individuals and to protect operational information that they believed was
         not subject to discovery. The prosecutors then provided these redacted transcripts to counsel
         for El-Hage and his codefendants.

Id. at 478.



         38
           Patrick J. Fitzgerald and Kenneth M. Karas were two of the “primary Assistant United States Attorneys . . .
responsible for [Jamal] al-Fadl and for the prosecution of El-Hage and his codefendants.” 397 F. Supp. 2d at 476-77 nn.
8-9. At the time of the events described in the District Court’s opinion, Fitzgerald was serving as the United States
Attorney for the Northern District of Illinois. Id. at 476 n.8.
                                                            66
         On January 15, 2003, while his appeal was pending before our Court,39 El-Hage filed a motion

for a limited remand to the District Court in order to file a motion pursuant to Rule 33 of the Federal

Rules of Criminal Procedure for a new trial based on the government’s failure to effect timely

disclosure of the tapes.40 We denied the motion for remand but granted El-Hage an extension of time

within which to file his appellate brief.

         On October 24, 2003, El-Hage filed a motion in the District Court seeking a new trial based on

the government’s failure to make a timely disclosure of the tapes as required by Brady v. Maryland, 373

U.S. 83 (1963), Giglio v. United States, 405 U.S. 150 (1972), and the Jencks Act, 18 U.S.C. § 3500. Judge

Kevin Thomas Duffy41 noted the government’s representations that it first learned about these

recordings in early 2002—well after El-Hage had been tried and sentenced—and held hearings to

explore the circumstances surrounding the creation of the tapes and the government’s discovery of

their existence. Bin Laden, 397 F. Supp. 2d at 479-80.

         On May 12, 2005, El-Hage filed a motion in the Court of Appeals to hold his appeal in

abeyance until Judge Duffy resolved his motion for a new trial. El-Hage noted that this Court had

given him until May 23, 2005 to file his appellate brief, but the District Court was still conducting

evidentiary hearings on matters related to his Rule 33 motion for a new trial. He further noted that the

government consented to his application to suspend the appeal. We granted El-Hage’s motion on May

25, 2005.




         39
              El-Hage had filed a notice of appeal on October 25, 2001.

         40
              Rule 33 provides that “[u]pon the defendant’s motion, the court may vacate any judgment and grant a new
trial if the interest of justice so requires” and that “[a] motion for a new trial grounded on newly discovered evidence” is
timely if “filed within 3 years after the verdict or finding of guilty.” Fed. R. Crim. P. 33.

         41
          On January 23, 2002, this case was reassigned within the Southern District of New York, from Judge
Leonard B. Sand to Judge Kevin Thomas Duffy.
                                                              67
        Judge Duffy held additional evidentiary hearings on June 6, 2005 and June 7, 2005. Id. at 474.

On November 2, 2005, Judge Duffy filed an opinion making the following factual findings, none of

which is challenged on appeal:

        “On July 16, 1997, pursuant to a cooperation agreement, al-Fadl pleaded guilty” to various

charges involving his activities on behalf of al Qaeda. Id. “Following his guilty plea, al-Fadl . . .

continued cooperating with FBI agents and AUSAs.” Id. “In late 1998, [he] was accepted into the

Witness Security Program administered by the United States Marshals Service,” assigned a WitSec

liaison, and relocated to a new, remote, location. Id. at 474-75. “Following his relocation, and

throughout 1999, al-Fadl continued to meet with FBI agents and prosecutors via telephone and in

person via ‘neutral site’ visits.” Id. at 475.

                 In late December 1999, the Southern District of New York Assistant United States
        Attorneys who had been interviewing al-Fadl . . . requested that WitSec install
        videoconferencing equipment in al-Fadl’s relocation area to facilitate their contact with al-Fadl.
        . . . WitSec complied with the request and, by the end of 1999, purchased and installed video
        conferencing equipment . . . in WitSec offices in al-Fadl’s relocation area and [in] New York
        ....

                 Around the time Marshals Service employees were installing the videoconference
        equipment, [al-Fadl’s WitSec liaison] spoke with [a branch chief inspector] . . . stationed at
        USMS Headquarters in Washington, D.C.[ ], regarding . . . the al-Fadl teleconferences. [He]
        was told that the Marshals Service computer system in the relocation area was unable to handle
        classified information and that he should therefore videotape the teleconferences rather than
        preparing detailed written reports. Finding this order odd, [the WitSec liaison,] Inspector
        Doe[,] sought confirmation from his direct supervisor, Supervisory Inspector Mike.[42]
        Supervisory Inspector Mike conferred with the Chief Inspector for the relocation area . . . who
        confirmed that USMS Headquarters had ordered the videotaping of the video-teleconferences
        ....

                Eighteen video-teleconferences were conducted between January 21, 2000 and January
        14, 2002. Thirteen of the conferences occurred before the conclusion of El-Hage’s trial; twelve
        of these were videotaped. . . . In all, Inspector Doe recorded approximately twenty-eight hours
        of video-teleconference on six videotapes. . . .



        42
            “Inspector Doe” and “Supervisory Inspector Mike” are pseudonyms adopted by the District Court “[i]n
deference to the security concerns of the WitSec program.” Bin Laden, 397 F. Supp. 2d at 475 n.3.
                                                          68
Id. at 475-76. “After each conference Inspector Doe prepared a USMS Field Report (‘USM 210’) with

the date of the video-teleconference,” a brief statement that al-Fadl had been interviewed on closed-

circuit television by an AUSA, and a reference to “the number of the videotape on which he had

recorded the session.” Id. at 476. “Inspector Doe then presented the printed report to Supervisory

Inspector Mike who reviewed it, signed it and forwarded it to USMS headquarters in Washington. At

headquarters, the report was to be reviewed by the case manager on al-Fadl’s case and placed in

al-Fadl’s [USMS] file.” Id. at 476.

                After creating the videotapes and reporting them to his superiors, Inspector Doe
        secured the tapes in his office safe. At no point prior to or during El-Hage’s 2001 trial did
        Inspector Doe, Supervisory Inspector Mike, [the branch chief inspector from USMS
        headquarters in Washington], [the Chief Inspector for the relocation area], or any of the five
        case managers from al-Fadl’s case contact the United States Attorney’s Office to discuss turning
        over the tapes to the prosecutors for possible disclosure to the defendants.

Id. The District Court further found that

        [i]n late 2001, George Dapra, the WitSec Inspector in the New York area who had acted as the
        prosecutors’ liaison with Inspector Doe, . . . called Inspector Doe to make arrangements for the
        transition to a new Inspector in the New York area. During that call, Inspector Doe asked
        Inspector Dapra what he should do with the videotapes of the al-Fadl conferences. Inspector
        Dapra responded that he had not known of any tapes, and he subsequently called United States
        Attorney Patrick Fitzgerald to inform him of the tapes’ existence.

Id. “[U.S. Attorney] Fitzgerald was . . . shocked and angered to learn of the taping,” id.; “[AUSA] Karas

. . . was equally surprised and upset.” Id.

        Although Judge Duffy concluded that WitSec personnel were members of the prosecution

team, he nevertheless ruled, “[b]ased on the evidence adduced at th[e] [post-trial] hearings, . . . review

of the . . . videotapes, the trial record and exhibits, the pre-trial discovery . . . originally produced, and

the parties’ submissions,” id. at 474, that a new trial was not warranted, id. at 518. El-Hage moved for

reconsideration of the District Court’s denial of his Rule 33 motion, and, in an order entered on

December 5, 2005, Judge Duffy denied El-Hage’s motion for reconsideration of the November 2


                                                       69
opinion and order. El-Hage now appeals Judge Duffy’s orders of November 2, 2005 and December 5,

2005. On appeal, he contends that the videotapes contained “evidence which relates directly to . . . the

substantive charges against [him]” as well as information that his attorneys could have used to impeach

“the motives, bias, and credibility of Mr. al[-]Fadl.” El-Hage Br. 105.

        2.      El-Hage’s Motion for a New Trial Was Properly Denied by the District Court.

        Judge Duffy ruled, based on consideration of the totality of the circumstances, that it was

“entirely appropriate to consider the WitSec personnel as part of the prosecution team.” Bin Laden, 397

F. Supp. 2d at 485. We need not decide whether we agree with that assessment because we fully agree

with Judge Duffy’s ultimate conclusion, based on his meticulous analysis of each item of undisclosed

information, that “none of the undisclosed material in the video-teleconferences is sufficient to

undermine confidence in the verdict.” Id. at 518.

        As a preliminary matter, we observe that Inspector Doe and his colleagues did not “intentionally

violate[ ]” any duty of disclosure they owed to El-Hage in light of the fact that “they had no idea they

were obliged to produce [the tapes]” in discovery. Bin Laden, 397 F. Supp. 2d at 488-89; see also id. at

486 (finding that “[i]t is clear . . . that Inspector Doe then had, and likely still has, no idea that

videotapes like the ones he created are extremely likely to contain material discoverable pursuant to

Brady, Giglio, Jencks or similar authority”); id. at 487 (noting that neither Inspector Doe nor Supervisory

Inspector Mike had “receiv[ed] any training within the last nine to ten years regarding government

disclosure obligations”; that Supervisory Inspector Mike appeared never to have received such training

at any point during his twenty-three years of service with the USMS; and that neither Doe and Mike’s

supervising officers nor “the four to five [c]ase [m]anagers on al-Fadl’s case were any better informed

of their obligations”).




                                                       70
         Insofar as the videotapes did contain some Jencks Act material, these statements did not “[

]either individually, [ ]or as a whole, . . . rise to the level of ‘evidence of such high value that it could not

have escaped [the prosecutors’] attention.’” Id. at 509 (quoting Hilton, 521 F.2d at 166); see also id. at 490-

506 (specific factual findings supporting this conclusion); cf. Hilton, 521 F.2d at 166 (holding that if the

government has not “deliberately suppresse[d] evidence or . . . ignore[d] evidence of such high value

that it could not have escaped [the government’s] attention, . . . a new trial is required only if there is a

significant chance that this added item, developed by skilled counsel, could have induced a reasonable

doubt in the minds of enough jurors to avoid a conviction”).

         In addition, pursuant to our evaluation of “the undisclosed [Jencks Act] [m]aterial and the

potential Brady/Giglio material in light of all the evidence presented against El-Hage,” we agree with the

District Court that “there is no ‘reasonable probability that had the evidence been disclosed, the result

[of the proceeding] would have been different.’” Bin Laden, 397 F. Supp. 2d at 518 (quoting Gonzalez,

110 F.3d at 943); see also id. at 514-18 (specific factual findings supporting this conclusion).

         Accordingly, because we agree with the District Court’s determination that “none of the

undisclosed material in the video-teleconference[ ] [tapes] is sufficient to undermine confidence in the

verdict,” id. at 518 (internal quotation marks omitted), we conclude that the District Court did not

err—let alone abuse its discretion—in declining to grant El-Hage’s motion for a new trial. United States

v. Douglas, 525 F.3d 225, 245 (2d Cir. 2008) (“Where a defendant’s ‘Brady claim was raised in a motion

for a new trial pursuant to Rule 33 of the Federal Rules of Criminal Procedure, we review the denial of

the motion for abuse of discretion.’” (quoting United States v. Gil, 297 F.3d 93, 101 (2d Cir. 2002));43 cf.


         43
            El-Hage contends that we should not review the District Court’s denial of his Rule 33 motion under a
deferential standard because the “[judge] that decided Mr. El-Hage’s Rule 33 motion . . . was not in a position superior to
this Court, since it did not preside over [El-Hage’s] trial.” El-Hage Reply Br. 32-33. It is true that, when a criminal
defendant brings a motion for a new trial based on newly discovered evidence, and the district judge who rules on the
defendant’s motion for a new trial is the same district judge who presided over the defendant’s original trial, we accord
“great deference” to that court’s weighing of the evidence because, having “‘presided over the trial[,] . . . [it] is better able
to determine the effect the new materials would have had.’” Gonzales, 110 F.3d at 943 (quoting United States v. Petrillo, 821
                                                                71
Strickler v. Greene, 527 U.S. 263, 281 (1999) (noting that even where the prosecution has “breach[ed] [its]

broad obligation to disclose exculpatory evidence[,] . . . there is never a real ‘Brady violation’ unless the

nondisclosure was so serious that there is a reasonable probability that the suppressed evidence would have produced a

different verdict”) (emphasis added); United States v. Jackson, 345 F.3d 59, 77 (2003) (“‘Where the

government’s Jencks Act violation is inadvertent . . . the failure to disclose may be disregarded if there is

no reasonable probability that had the evidence been disclosed, the result would have been different.’” (quoting Gonzalez,

110 F.3d at 943) (alteration omitted) (emphasis added)). Accordingly, even if we were to conclude that

El-Hage was entitled to receive the videotapes at issue, he would not be entitled to a new trial because

the videotapes do not undermine his conviction.

          On appeal, El-Hage renews his claims that (1) “[al-Fadl] was the foundation of the

government’s case,” see El-Hage Reply Br. 24, and (2) the videotapes contained information that would

have critically undercut al-Fadl’s testimony, see, e.g., El-Hage Br. 133 (“[B]ecause the content of the

videoconferences was not disclosed at trial . . . Mr. al[-]Fadl was free to lie to the jury, and conceal

important aspects of his cooperation and the benefits accruing to him as a result, with impunity.”); id.

at 141 (“[T]he videoconference transcripts provide repeated evidence that Mr. al[-]Fadl, in his trial

testimony, vastly overstated his knowledge, and fudged the time period over which it spanned.”), so

that (3) the lack of timely disclosure deprived El-Hage of the opportunity to challenge effectively the

government’s case, El-Hage Reply Br. 23-24 (expressing the view that “the government’s case [with]



F.2d 85, 88 (2d Cir. 1987)). This is not, however, the core reason why we defer to the district court. Rather, our core
reason stems from the text of Rule 33 of the Federal Rules of Criminal Procedure, which entrusts decisions as to
whether a new trial should be granted to the discretion of the district court. See Fed. R. Crim. P. 33 (providing that
“[u]pon the defendant’s motion, the court may vacate any judgment and grant a new trial if the interest of justice so
requires”) (emphasis added); cf. Wilton v. Seven Falls Co., 515 U.S. 277, 286-87 (1995) (noting that, by “provid[ing] that a
court ‘may’” exercise particular authority, a statute “[o]n its face, . . . . [contains] [a] textual commitment to discretion, and
the breadth of leeway we have always understood [discretion] to suggest”); In re Application of Malev Hungarian Airlines, 964
F.2d 97, 104 (2d Cir. 1992) (noting that a “statute [that] uses the term ‘may,’ . . . in describing the court’s power to
respond to a request . . . clearly lodg[es] discretion in the district court. . . . confirm[ing] that abuse of discretion is the
applicable standard [of review]”).
                                                                 72
Mr. al[-]Fadl . . . neutralized entirely by a cross-examination augmented by the materials in the

videoconference transcripts[ ] would be so damaged that a new trial is required under any of the

applicable legal standards”). We reject these claims for the reasons stated in the District Court’s

opinion. See Bin Laden, 397 F. Supp. 2d at 515-18 (discussing the “independent evidence and testimony

corroborat[ing] al[-]Fadl’s testimony on . . . subjects relating to El-Hage”).

        El-Hage also contends that the videotapes contained “substantive evidence undermining an

important perjury charge against [him].” El-Hage Br. 134. Specifically, he claims that, in the course of

the videoconferences, al-Fadl relayed statements made by a third party that, El-Hage contends, would

have established that the al Qaeda member who went to Lake Victoria in 1996 to investigate the death

of one Abu Ubaidah al Banshiri was someone other than El-Hage. Id. at 139 n.49 (claiming that the

statements “establish that al Qaeda sent someone else—a member of the ‘Tirana’ group, aligned with

the Egyptians—and not Mr. El-Hage, to search for Mr. al Banshiri and confirm [al Banshiri’s] death in

the ferry accident”) (emphasis omitted); cf. Bin Laden, 397 F. Supp. 2d at 512 n.56 (noting that

“El-Hage’s alleged travel to Lake Victoria in order to investigate al-Banshiri’s drowning was relevant to

the [criminal] case [as a whole] as it provided one of the overt acts of the charged conspiracies” and

that “in the perjury counts against El-Hage, the [g]overnment alleged El-Hage lied to the Grand Jury

about conducting the investigation, and about knowing of al-Banshiri’s death”).

        We note our agreement with the observation of the District Court that “excerpts of the actual

conversation between al-Fadl and [the third party] . . . clearly show that” the third party never made the

allegedly exculpatory statements in question; rather, “al-Fadl simply misheard” what the third party was

saying. Bin Laden, 397 F. Supp. 2d at 513 n.58. We also agree with the District Court that, even if al-

Fadl had been reporting the third party’s statements accurately, “[n]othing in th[e] statement precludes




                                                     73
the possibility that El-Hage went to investigate al-Banshiri’s death.” Id. at 513. As the District Court

observed,

          El-Hage’s defense to the relevant charges was not that El-Hage did not travel to Lake Victoria
          to investigate the death of a passenger on a ferry. In fact, in his Grand Jury testimony, El-Hage
          admitted going to Lake Victoria to investigate the drowning death of a passenger in the ferry
          accident that killed al-Banshiri. El-Hage claimed, however, that he was investigating the death
          of “Adel Habib” and further claimed that he did not know that “Adel Habib” was also known
          as Abu Ubaidah al-Banshiri. Notably, at trial the [g]overnment presented the eyewitness
          testimony of Ashif Juma, al-Banshiri’s brother-in-law, who recounted how he saw El-Hage at
          Lake Victoria investigating al-Banshiri’s death.

Id. (alterations and internal quotation marks omitted); see also id. (“Essentially, [El-]Hage contended that

he just happened to have been at Lake Victoria investigating the death of somebody who just happened

to be on the same ferry as the military commander of al Qaeda.” (internal quotation marks omitted)).

Accordingly, we reject El-Hage’s claim that al-Fadl’s second-hand account of “the events surrounding

the death of [al Banshiri],” El-Hage Br. 134, was relevant to—let alone undermined—the perjury

charge of which the jury convicted him.

          Bearing in mind the liberty interests that El-Hage has at stake, we can state with confidence that

the material on the tapes, taken individually or as a whole, was not so helpful to El-Hage’s case that,

had it been disclosed to El-Hage before trial, there is a reasonable probability that the jury would not

have convicted him.

G.        El-Hage’s Claim under the Cumulative Error Doctrine

          El-Hage next contends that even if the errors44 he has alleged “do not individually warrant

reversal, their accumulation mandates relief under the ‘cumulative error’ doctrine.” El-Hage Br. 280.

In making this claim, he identifies three additional decisions of the District Court—pertaining to (1) the

           44
              These asserted errors consist of (1) El-Hage’s inability to personally review classified discovery, see Part II.C.4,
ante; (2) the government’s disclosure of certain documents to the District Court but not to El-Hage’s counsel, see In re
Terrorist Bombings of U.S. Embassies in East Africa (Fourth Amendment Challenges), __ F.3d __ (2d Cir. 2008); (3) El-Hage’s
failure to receive timely disclosure of the videotapes documenting the government’s conferences with Jamal al-Fadl, see
Part II.F.5, ante; (4) the admission of custodial statements made by El-Hage’s co-defendants, see Part II.E.1, ante; and (5)
the District Court’s refusal to sever his trial from the trials of his co-defendants, see Part II.D, ante. El-Hage Br. 280.
                                                                 74
government’s failure to preserve transcripts of certain intercepted conversations, (2) the jury’s

purported knowledge that defendants were shackled at trial, and (3) the denial, in part, of El-Hage’s

request for a bill of particulars—that, he claims, “augmented the prejudice and unfairness” of his trial

and thereby rendered it fundamentally unfair. Id. at 281.

        The cumulative error doctrine comes into play only where “the total effect of the errors . . .

found . . . cast[s] such a serious doubt on the fairness of the trial that the convictions must be

reversed.” United States v. Guglielmini, 384 F.2d 602, 607 (2d Cir. 1967). As discussed above, we

conclude that the principal “errors” upon which El-Hage relies, see note 44, ante, were not, in fact,

errors. Accordingly, the only remaining question is whether any of the three additional “errors” noted

above amount to trial errors that, when taken together, support a claim of cumulative error.

        1.      The Government’s Failure to Preserve Recordings of Intercepted Telephone
                Conversations

        During trial, counsel for El-Hage determined that the original tape recordings of some of the

phone conversations recorded from the cellphone and landline in Nairobi, see In re Terrorist Bombings of

U.S. Embassies in East Africa (Fourth Amendment Challenges), __ F.3d __ (2d Cir. 2008), had not been

preserved. Tr. 3944. Defense counsel argued that the loss of that material was potentially prejudicial

to El-Hage because such material was more likely to be exculpatory than inculpatory. Id. at 3946

(counsel for El-Hage, noting that “the agency taking down notes or translations of those telephone

calls obviously [would not] take very many notes of the calls that they think are not relevant to a

possible contact”). The District Court observed that this concern could be addressed by means of “a

stipulation that every telephone conversation made between [El-Hage and the al Qaeda members

under surveillance] did not contain inculpatory material,” id. at 3946, or a ruling, pursuant to Rule 1004




                                                     75
of the Federal Rules of Evidence,45 that the parties could introduce “substitute evidence,” such as

summaries prepared by the government, to establish the nature of the missing recordings, id. at 3947.

El-Hage’s attorneys, however, argued that because the government had failed to preserve the tapes, the

government should be barred from introducing any summaries “as a sanction” for its conduct. See id.

at 3948.

         The District Court denied this request, stating that it saw “no basis in anything . . . presented

. . . to conclude that there has been any bad faith on the part of the government or deliberate

destruction by the government or anything which would lead to the imposition of sanctions . . . .” Id.

at 3950; see also id. at 3958 (“Just so the record is clear, the application for the imposition of sanctions

against the government is denied because the Court finds the absence of any basis to assume that there

was bad faith on the part of the government.”). Instead, the District Court ruled that it would allow

both parties to benefit from the best evidence rule. See id. at 3957; see also Fed. R. Evid. 1004. As the

District Court explained, the government’s ability to introduce summaries would be “a function of

what it is that the defendant seeks to introduce,” Tr. 3957, such that if El-Hage wished to introduce a

statement “to show that he was engaged in a legitimate business activity, and the government has a

similar document which shows that [this was] code language or that it was really for some other

purposes,” the government could introduce its document in rebuttal, id. at 3958.

         On appeal, El-Hage contends that (1) the government’s failure to preserve the tapes amounted

to “spoliation” of evidence, El-Hage Br. 282, and (2) the District Court’s proposed remedy did not

adequately address the government’s conduct, id. at 283. We disagree.




         45
           Rule 1004 provides that “[t]he original is not required, and other evidence of the contents of a writing,
recording, or photograph is admissible if . . . [a]ll originals are lost or have been destroyed, unless the proponent lost or
destroyed them in bad faith.” Fed. R. Evid. 1004(1).
                                                                76
        “‘Spoliation is the destruction or significant alteration of evidence, or failure to preserve

property for another’s use as evidence in pending or reasonably foreseeable litigation.’” Allstate Ins. Co.

v. Hamilton Beach/Proctor Silex, Inc., 473 F.3d 450, 457 (2d Cir. 2007) (quoting West v. Goodyear Tire &

Rubber Co., 167 F.3d 776, 779 (2d Cir. 1999)). “The obligation to preserve evidence arises when the

party has notice that the evidence is relevant to litigation or when a party should have known that the

evidence may be relevant to future litigation.” Fujitsu Ltd. v. Fed. Express Corp., 247 F.3d 423, 436 (2d

Cir. 2001). In addition, “[o]nce a court has concluded that a party was under an obligation to preserve

the evidence that it destroyed, it must then consider whether the evidence was intentionally destroyed,

and the likely contents of that evidence.” Id.

        A review of the record reveals that the recordings at issue were made by intelligence agents

“not in connection with a view to criminal prosecution but for intelligence purposes.” Tr. 3958. Nor

is there any evidence that the intelligence agents who created the recordings knew or should have

known that they could be used in connection with a criminal inquiry. Accordingly, because the

custodians of the recordings were not on actual or constructive notice that this evidence might be

relevant to future litigation, the government had no obligation to preserve the recordings at the time

that they were destroyed.

        Even if the government had been under an obligation to preserve the tapes, El-Hage has

pointed to no evidence that the tapes were intentionally destroyed, and therefore the destruction of the

tapes could not have amounted to spoliation. See Fujitsu Ltd., 247 F.3d at 436.

        We can conclude with confidence that the recordings were not intentionally destroyed based on

the fact that the government was itself disadvantaged by the destruction of the tapes. As the

government explained to the District Court,

        there are great calls that are missing. I’ll give one example. Mr. El-Hage, in his legitimate
        enterprise efforts, passed license plate numbers to somebody else and when you take the license

                                                     77
        plate numbers and you put them together, you get the phone number of a terrorist overseas.
        We would love to have that telephone call. We don’t. . . . Whoever listened to the tapes did
        not know what we all know today, which is what some people had done, [and] what some
        phone numbers meant.

Tr. 3954. The District Court agreed, finding that, “as the government has indicated, it has not been

advantaged but [rather] disadvantaged by virtue of the failure to preserve this material.” Id. at 3958.

Our independent review of the record leads us to the same conclusion.

        Taking into account the background circumstances described by the government, no

prophylactic, punitive, or remedial purpose would have been served by imposing sanctions upon the

government. Cf. Goodyear Tire & Rubber Co., 167 F.3d at 779 (noting that “[a]lthough a district court

has broad discretion in crafting a proper sanction for spoliation, we have explained that the applicable

sanction should be molded to serve the prophylactic, punitive, and remedial rationales underlying the

spoliation doctrine”). Quite apart from the fact that the government was under no obligation to

preserve the tapes in question, there was no need to punish it for having failed to preserve the tapes, or

to otherwise deter it from undertaking any similar action in the future, because the government did not

intentionally destroy tapes. See id. (observing that, where spoliation occurs, “[t]he sanction should be

designed to: (1) deter parties from engaging in spoliation; (2) place the risk of an erroneous judgment

on the party who wrongfully created the risk; and (3) restore ‘the prejudiced party to the same position

he would have been in absent the wrongful destruction of evidence by the opposing party’” (quoting

Kronisch v. United States, 150 F.3d 112, 126 (2d Cir.1998))).

        The only question before the District Court here was how to mitigate any arguable prejudice to

El Hage. The District Court adequately addressed this question by “permitt[ing] . . . El-Hage to offer

in evidence transcripts of those [communications] which, because of the destruction of the originals,

will constitute the best evidence.” Tr. 3949. For this reason, we perceive no error or abuse of

discretion in the District Court’s refusal to impose any sanctions on the government. Cf. Fujitsu Ltd.,

                                                      78
247 F.3d at 436 (concluding that, in light of the trial court’s finding that the party moving for sanctions

“had failed to demonstrate that [the non-moving party’s] action was an intentional attempt to destroy

evidence[,] . . . the trial court did not abuse its discretion in refusing to sanction [the non-moving party]

for spoliation”).

        2.       El-Hage’s Allegation that the Jury Was Aware that Defendants Were Shackled

        El-Hage also contends that, although “[t]he District Court went to great lengths to conceal

from the jury the fact that the defendants were shackled at all times in the courtroom during trial[,] . . . .

the effort was unavailing, as the jury became aware of the shackling.” El-Hage Br. 295. El-Hage

claims, without explanation, that “[he] was . . . undeniably prejudiced by the jury’s knowledge, however

inadvertent.” Id. at 297.

        The Supreme Court, in Holbrook v. Flynn, observed that shackling, although an “inherently

prejudicial practice . . . [is] permitted . . . where justified by an essential state interest specific to each

trial.” 475 U.S. 560, 568-69 (1986). In the instant case, the essential state interest—the need to protect

court personnel and the public from physical danger—was clear.

        At a pretrial hearing held on June 22, 1999, the District Court denied the request of El-Hage’s

counsel that a letter written by El-Hage be made public, on the grounds that the Court “didn’t know

whether there are codes in this letter,” Hearing Tr. 78, and the “concern[ ] that this Court not become

the medium by which the defendants seek a larger audience,” id. at 80. In response to this ruling, El-

Hage became belligerent and had to be restrained as he angrily raced toward the bench. See Benjamin

Weiser, Terrorism Suspect Charges Towards Judge, but is Tackled,” N.Y. Times, June 23, 1999, at B6

(describing how El-Hage “leaped out of his chair . . . and raced toward the judge, causing chaos before

he was tackled and subdued by a United States marshal” as well as how, once returned to the

courtroom “surrounded by marshals, [El-Hage] shouted out again, saying that he was angry that Judge


                                                        79
Sand had refused to read aloud a letter [El-Hage] had sent [the Court]”). On November 1, 2000, two

of El-Hage’s co-defendants, after meeting with their attorneys in the high-security wing of the

Metropolitan Correctional Center, stabbed a guard in the eye. See Benjamin Weiser, Reporter’s Notebook;

Quandary in Terror Case, N.Y. Times, Nov. 12, 2000, at A39 (describing the incident and reporting that

“[o]fficials have said that the stabbing may have been part of an escape attempt that may have involved

a plan to take hostages” and that “the assault on [the guard] was the second incident in which a

defendant awaiting trial in [this] case was accused of wrongdoing”); see also Letter of Sam A. Schmidt,

co-counsel for El-Hage, dated Nov. 14, 2000, dkt. no. 303 (referring to the “incident at the [MCC] on

November 1, 2000”).

        In light of these circumstances, we cannot say that it was arbitrary or, for that matter, incorrect

for the District Court to conclude that the physical restraints of which El-Hage complains were

“necessary to maintain [the] safety or security” of the other occupants of the courtroom. Hameed v.

Mann, 57 F.3d 217, 222 (2d Cir. 1995) (observing that “[t]he trial court has discretion to order physical

restraints if the court has found those restraints necessary to maintain safety or security,” and that when

the trial court has followed applicable law in making its underlying findings of fact,“its decision is

reviewable for abuse of discretion”).

        3.      The Partial Denial of Defendants’ Motion for a Bill of Particulars

        Before trial, El-Hage and his co-defendants moved the District Court to direct the filing of a

bill of particulars. As we have observed, “[a] bill of particulars ‘enables a defendant to prepare for trial,

to prevent surprise, and to interpose a plea of double jeopardy should he be prosecuted a second time

for the same offense.’” United States v. Rigas, 490 F.3d 208, 237 (2d Cir. 2007) (citation and alterations

omitted); cf. Hamling v. United States, 418 U.S. 87, 117 (1974) (explaining that “an indictment is sufficient

if it, first, contains the elements of the offense charged and fairly informs a defendant of the charge


                                                     80
against which he must defend, and, second, enables him to plead an acquittal or conviction in bar of

future prosecutions for the same offense”); United States v. Pirro, 212 F.3d 86, 91 (2d Cir. 2000) (citing

Hamling, 418 U.S. at 117).

        In the instant case, El-Hage and his co-defendants sought detailed information about “the

overt acts [allegedly undertaken] in furtherance of the charged conspiracies, . . . identification of

[unindicted] co-conspirators, [and] the formation of the conspiracies [alleged—namely,] when and how

each defendant joined the conspiracies, and the role played by each [d]efendant in the various

conspiracies.” United States v. Bin Laden, 92 F. Supp. 2d 225, 235 (S.D.N.Y. 2000). The District Court,

after careful review of the content of the indictment, granted El-Hage’s request for a bill of particulars

as to a number of points, see id. at 236, 239-42; and denied El-Hage’s request for a bill of particulars as

to several other points, see id. at 238 (concluding that the allegations set forth in the indictment

“provide sufficient detail to permit defense counsel reasonably to focus their investigation”), id. at 243

(noting that because “it is not the [g]overnment’s burden at trial to establish a precise chronology as to

when each defendant, as well as other unindicted co-conspirators, joined the conspiracies[,] . . . [that

information] is not necessary to the [d]efendants’ preparation”), id. (determining that, because the

“‘Background’ section [of the indictment] does not constitute a criminal charge which the [d]efendant

must answer . . . further detail as to the matters contained in the Background section [is not] necessary

to the [d]efendants’ preparations”).

        On appeal, El-Hage claims without elaboration that the indictment by which he was charged

was “too vague to permit an adequate defense in response,” El-Hage Br. 294, and that the bill of

particulars ordered by the District Court “was not sufficient to cure the underlying problem of the

Indictment’s overarching scope,” id. at 295. El-Hage does not, however, identify (1) any particular




                                                     81
charge on which further detail would have been helpful or (2) any specific errors by the District Court.

Nor, upon review of the record, can we.

         In sum, because none of the decisions identified by El-Hage amounted to trial error, we deny

El-Hage’s request for relief under the cumulative error doctrine.

H.       El-Hage’s Challenge to the Sentence Imposed by the District Court

         With respect to the sentence of life imprisonment imposed by the District Court, El-Hage

contends that (1) the underlying U.S. Sentencing Guidelines (“U.S.S.G.”) calculation contained four

errors that inflated his offense level and the corresponding sentencing range, and (2) the District Court

improperly sentenced him pursuant to the mandatory application of the Guidelines. For the reasons

explained below, we reject all of El-Hage’s challenges to the District Court’s calculation of his

Guidelines range. We nevertheless vacate El-Hage’s sentence because it resulted from the mandatory

application of the Guidelines, and we therefore remand his case for resentencing pursuant to United

States v. Fagans, 406 F.3d 138 (2d Cir. 2005).

         1.         The Guidelines Calculation

         As set forth in the Pre-Sentence Report (“PSR”) prepared by the United States Probation

Office for the Southern District of New York, El-Hage’s base offense level was 66, his criminal history

category was VI, and his corresponding sentence under the Guidelines was life imprisonment. The

offense level of 66 comprised a base offense level of 43—as determined by U.S.S.G. § 2A1.5(c)(1),46

which contains a cross-reference to § 2A1.1 in cases where a conspiracy to murder results in the death

of a victim—and 23 additional points arising from five enhancements.47 Those enhancements are as

follows: (1) a three-level enhancement pursuant to § 3A1.1(a) because El-Hage targeted his victims on


         46
            The 2001 Edition of the U.S. Sentencing Guidelines was used in the calculation of El-Hage’s sentencing
range. All references to the Sentencing Guidelines contained herein refer to that edition of the manual.

         47
              El-Hage’s convictions of three conspiracy counts were “grouped” pursuant to U.S.S.G. § 3D1.2.
                                                             82
the basis of their national origin (the “hate crime enhancement”); (2) a three-level enhancement

pursuant to § 3A1.2(a) because the intended victims included government officers and employees

whose status as such motivated the offenses (the “official victim enhancement”); (3) a three-level

enhancement pursuant to § 3B1.1(b) because El-Hage was a manager or supervisor of the conspiracy

(the “role-in-the-offense enhancement”); (4) a two-level enhancement pursuant to § 3C1.1 for

obstruction of the administration of justice; and (5) a twelve-level enhancement pursuant to § 3A1.4(a)

because the felonies involved were intended to promote a federal crime of terrorism (the “terrorism

enhancement”). Section 3A1.4 further mandated that El-Hage’s criminal history category should be set

at VI.

         2.     El-Hage’s Challenge to the Calculation of the Base Offense Level of 43

         El-Hage argues that his conspiracy convictions did not warrant a base offense level of 43—as

specified by U.S.S.G. § 2A1.5(c)(1) for cases where a murder conspiracy results in the death of a

victim—because he was not “in any way responsible for, or even aware of, any fatalities from the

embassy bombings.” El-Hage Br. 312. In support of his position, El-Hage maintains that no evidence

in the record shows that he was “involved in any discussions where the bombings were discussed.” Id.

at 313. Assuming arguendo the accuracy of El-Hage’s characterization of the record, we find no merit in

his challenge to the base offense level determined by the District Court. Pursuant to § 2A1.5, the

offense of conspiracy to commit murder entails a base offense level of 28 unless “the offense resulted

in the death of a victim,” in which case the offense level of 43 set forth in § 2A1.1 applies. Because the

jury convicted El-Hage of multiple counts of conspiracy to commit murder and also found that over

two hundred deaths resulted from these murder conspiracies, the jury’s findings show that El-Hage was

a member of a conspiracy that resulted in at least one death. The Guidelines require no additional




                                                   83
measure of responsibility or awareness. It is plain, therefore, that a base level of 43, which corresponds

to a murder conspiracy that results in at least one death, governs the conduct at issue here.

        3.       El-Hage’s Challenges to the Hate Crime and Government Victim Enhancements

        El-Hage challenges the application of the hate crime and government victim enhancements on

multiple grounds, including that they permit “duplicative punishment” for the same underlying offense,

El-Hage Br. 300.

        On the question of “double counting,” we observe at the outset that “a district court calculating

a Guidelines sentence may apply multiple Guidelines provisions based on the same underlying conduct

where that is the result clearly intended by Congress and the Sentencing Commission. While such

calculations may involve ‘double counting’ in a literal sense, they do not involve impermissible double

counting.” United States v. Maloney, 406 F.3d 149, 152 (2d Cir. 2005). El-Hage contends that the hate

crime and government victim enhancements are duplicative of the terrorism enhancement and the

underlying offenses of conviction. We disagree. Each of these enhancements “serves a distinct

purpose or represents a discrete harm,” id. at 153, and none of them is subsumed by El-Hage’s offenses

of conviction.

        The hate crime enhancement applies when “the defendant intentionally selected any victim or

any property as the object of the offense of conviction because of the actual or perceived race, color,

religion, national origin, ethnicity, gender, disability, or sexual orientation of any person.” U.S.S.G.

§ 3A1.1(a) (emphasis added). The government victim enhancement is applicable when “the victim was

a government officer or employee; a former government officer or employee; or a member of the

immediate family of any of the above, and the offense of conviction was motivated by such status.” Id.

§ 3A1.2(a). Finally, the terrorism enhancement is applicable “if the offense is a felony that involved, or

was intended to promote, a federal crime of terrorism.” Id. § 3A1.4(a).


                                                      84
         Each of these enhancements addresses a “discrete harm,” Maloney, 406 F.3d at 153, arising from

El-Hage’s underlying conduct: The hate crime enhancement covers the selection of victims based on

their national origin, while the government victim enhancement deals with the selection of victims

based on their status as government employees. The terrorism enhancement, as its name indicates,

addresses acts of terrorism. While it may be that some offenses, such as those committed by El-Hage,

trigger all three enhancements because they constitute (1) acts of terrorism that targeted victims based

on (2) their perceived national origin and (3) their status as government employees, it is equally plain

that a terrorist act need not necessarily target government victims or select its victims on the basis of

national origin; nor do all offenses that target victims based on their (a) national origin or (b) status as

government employees constitute acts of terrorism; and, almost needless to say, crimes targeting

victims on the basis of national origin need not entail any animus whatsoever toward government

employees and vice versa. Accordingly, we see no “double counting,” much less impermissible double

counting, arising from the application of these enhancements.48

         Equally devoid of merit is El-Hage’s contention that the hate crime and government employee

enhancements are “expressly accounted for in the statutory violation[s]” of which he stands convicted.

El-Hage Br. 301, 308. El-Hage argues that his conviction for conspiracy to murder nationals of the

United States obviates the need for the hate crime enhancement and his conviction for conspiracy to

murder officers or employees of the United States obviates the need for the government victim

enhancement. To the contrary, it is the very fact that he was convicted of these offenses that justifies

the application of the hate crime and government victim enhancements. As noted above, El-Hage’s

base offense level of 43 resulted from the application of U.S.S.G. § 2A1.5(c)(1) (conspiracy to commit


         48
             With respect to the application of the government victim enhancement, our conclusion is further supported
by the application notes for this provision, one of which instructs: “Do not apply this adjustment if the offense guideline
specifically incorporates this factor. . . . The only offense guideline in Chapter Two, Part A that specifically incorporates
this factor is § 2A2.4 (Obstructing or Impeding Officers).” U.S.S.G. § 3A1.2 cmt. n.3.
                                                               85
murder), which instructs a sentencing court to apply § 2A1.1 (first degree murder) in cases where a

conspiracy to murder results in the death of a victim. This provision is applicable to all murder

conspiracies and contains no additional punishment for conspiracies that target victims based on their

national origin or their status as government employees. In the absence of the hate crime and

government employee enhancements, therefore, El-Hage would incur no additional penalty for the

“discrete harms” of targeting victims based on their national origin and status as government

employees. Accordingly, there is no merit in El-Hage’s argument that the enhancements are “expressly

accounted for” in his offenses of convictions.

        El-Hage further challenges the application of the hate crimes enhancement on the grounds that

(1) “political beliefs,” not hatred, motivated his actions, Appellant’s Br. at 304, and (2) the victims of the

conspiracy were targeted for their U.S. citizenship, not their national origin.

        The line El-Hage draws between political activism and hate as the basis for the selection of his

victims is a false distinction. It may be that some who choose their victims on the basis of their “actual

or perceived race, color, religion, national origin, ethnicity, gender, disability, or sexual orientation,”

U.S.S.G. § 3A1.1(a), do so for reasons that could be construed in some fashion as “political” in nature,

and others do so for reasons more closely akin to blind, irrational hatred. Even assuming that a court

could classify some motives as essentially “political” and others as rooted in “hatred,” however, such a

classification would be utterly irrelevant to the applicability of the hate crime enhancement. This is so

because the enhancement does not turn on an evaluation of the considerations that motivated a

defendant’s decision to target victims based on their race, color, religion, or other enumerated

characteristic. The hate crime enhancement applies if the defendant “intentionally selected any victim”




                                                      86
on the basis of one of the factors listed above, § 3A1.1(a), and, because there can be no “good reasons”

for doing so, the underlying motivation is simply beside the point.49

         Even less persuasive is El-Hage’s assertion that the conspiracy targeted its victims based on

their U.S. citizenship rather than their national origin. El-Hage maintains that the record contains no

“evidence that al Qaeda distinguished between foreign-born or naturalized United States citizens, and

those born within the nation’s borders.” El-Hage Br. 306. Accordingly, it was citizenship, El-Hage

urges, and not national origin that was the basis for the conspiracy’s selection of its victims. This

argument runs counter to the jury’s verdict that El-Hage conspired to murder “nationals of the United

States,” in light of the fact that a U.S. national is not necessarily also a U.S. citizen, see 8 U.S.C. § 1408

(listing categories of people who “shall be nationals, but not citizens, of the United States at birth”),

while all citizens are nationals of the United States. In addition, the hate crime enhancement applies

when a defendant selects his victims based on their “actual or perceived” national origin, U.S.S.G.

§ 3A1.1(a), and therefore it was not necessary for al Qaeda to distinguish between nationals and

citizens, or naturalized and birthright U.S. citizens, so long as it perceived the victims as having a U.S.

national origin. Finally, the record is devoid of evidence, and El-Hage points to none, indicating that al

Qaeda distinguished between U.S. citizens—the so-called “real” targets of the conspiracy—on the one

hand, and, for instance, permanent U.S. residents, on the other. Accordingly, El-Hage’s argument that

the conspiracy selected its victims based on citizenship, and not national origin, is meritless.

         With respect to the government victim enhancement, El-Hage urges that it “should not apply

to United States military personnel engaged in combat on foreign soil . . . because it would expose all

soldiers who oppose United States military personnel on the battlefield abroad to criminal prosecution


         49
            On the irrelevance of a motive to the question of whether conduct is intentional, see, for example, United
States v. Washington, 705 F.2d 489, 493 (D.C. Cir. 1983) (“Proof of a good motive . . . is not probative on the issue of . . .
intent.”).

                                                                87
here for their action.” El-Hage Br. 308-09. This contention is absurd. El-Hage does not stand

convicted of being a soldier fighting against the U.S. military engaged in combat on the battlefield.

Quite the opposite: El-Hage was convicted of “conspiring to murder officers or employees of the

United States” in connection with the unprovoked bombings of the American Embassies in Kenya and

Tanzania—terrorist attacks that resulted, as the jury found, in the deaths of U.S. government

employees. The jury’s verdict alone is sufficient to trigger the government victim enhancement, and

El-Hage’s reference to counterfactual battlefields and soldiers engaged in combat does not lessen the

applicability of that enhancement.

        4.      The Role-in-the-Offense Enhancement Is Supported by the Record

        El-Hage also challenges the District Court’s determination that he was a manager or supervisor

of the conspiracy and thus subject to a three-level enhancement pursuant to U.S.S.G. § 3B1.1(b). We

review the findings of a district court on a defendant’s role in the conspiracy for clear error, see, e.g.,

United States v. Kilkenny, 493 F.3d 122, 130 (2d Cir. 2007), and perceive none here. At El-Hage’s

sentencing hearing, the District Court explained that “[El-Hage] was relied on as being the

representative of Bin Laden [and] was the person authorized to convey out to the field what it was that

Bin Laden did or did not wish to occur . . . [including] what the objectives [were] for the Kenyan cell.”

The record developed by the government at trial fully supports the District Court’s determination. As

set forth in detail above, there is record evidence that El-Hage (1) participated in private meetings with

Bin Laden, (2) was the “paymaster” for Bin Laden’s enterprises, (3) procured fake travel documents, (4)

served as the head of the Nairobi Al Qaeda cell, and (5) delivered messages directly from Bin Landen

directing the Nairobi cell to prepare for military activity. See Part II.B.1, ante. In light of this evidence,

we see no error, much less clear error, in the District Court’s finding that El-Hage was a manager or




                                                      88
supervisor of the conspiracy, and we therefore reject El-Hage’s challenge to the role-in-the-conspiracy

enhancement applied by the District Court.

        5.      El-Hage Is Entitled to Be Resentenced

        As the government acknowledges, El-Hage’s sentence, imposed pursuant to a mandatory

application of the Sentencing Guidelines, violated the teachings of United States v. Booker, 543 U.S. 220

(2005). Appellee’s Br. at 489-90. Because El-Hage made a timely objection to the District Court’s

mandatory application of the Sentencing Guidelines, we vacate his sentence and remand the case to the

District Court for resentencing pursuant to United States v. Fagans, 406 F.3d 138 (2d Cir. 2005).

Following the procedure set forth in United States v. Jacobson, 15 F.3d 19, 21-22 (2d Cir. 1994), any party

seeking appellate review of the sentencing decision on remand shall within ten days so inform the Clerk

of Court. Jurisdiction will then be automatically restored to this Court without the need for an

additional notice of appeal, and the matter will be referred to this panel for disposition.

                                                 *   *    *

        In pretrial proceedings stretching over a period of twenty-seven months and a trial of six

months, Judge Leonard B. Sand presided over a complex and broad-ranging case, and imposed

sentences, with commendable care, patience, and fairness. The post-conviction proceedings, including

extended evidentiary hearings, were conducted with equal thoroughness by Judge Kevin Thomas

Duffy. Our review of this complex and difficult case leaves us confident that defendants received a fair

trial, and we commend the two district judges who presided over these proceedings for their learned

and thorough rulings on the numerous issues—some of first impression—raised in this complicated

case. We also recognize their conscientious efforts to ensure that the rights of defendants and the

needs of national security were equally met during these proceedings.




                                                     89
                                         III.      CONCLUSION

        To summarize, we hold:

        (1) The indictment under which Al-’Owhali proceeded to trial sufficiently alleged the “gateway

factors” rendering Al-’Owhali death-eligible pursuant to Ring v. Arizona, 536 U.S. 584 (2002), and

Apprendi v. New Jersey, 530 U.S. 466 (2000);

        (2) The evidence presented at trial by the government was sufficient to support (a) El-Hage’s

conspiracy convictions and (b) Odeh’s convictions for the conspiracy and substantive offenses with

which he was charged;

        (3) Pursuant to the Classified Information Procedures Act, 18 U.S.C. app. 3, the District Court

was authorized to restrict access to classified information only to those with a security clearance, and its

decision to do so here did not violate El-Hage’s Sixth Amendment right to counsel, his Fifth and Sixth

Amendment rights to present a defense, or his Fifth and Sixth Amendment rights to be present during

a crucial stage in his trial;

        (4) The District Court did not err in denying El-Hage’s motion to sever his trial from that of his

co-defendants;

        (5) The statements of defendants’ co-defendants, co-conspirators, and certain third parties were

properly admitted at trial;

        (6) Defendants were not prejudiced by the government’s failure to produce, until after the trial,

transcripts of tapes produced and maintained by the U.S. Marshal Services Witness Protection Program

of pretrial video-conferences between a key witness for the government and members of the

prosecution team;

        (7) Because we perceive no error at trial, there is no merit in El-Hage’s suggestion that

“cumulative error” deprived him of a fair trial;


                                                     90
         (8) The application of certain enhancements to El-Hage’s sentencing guidelines calculation was

not in error; and

         (9) Insofar as El-Hage’s sentence resulted from the mandatory application of the U.S.

Sentencing Guidelines, he is entitled to be resentenced pursuant to United States v. Fagans, 406 F.3d 138

(2d Cir. 2005).

         In this opinion, as well as in In re Terrorist Bombings of U.S. Embassies in East Africa (Fourth

Amendment Challenges), __ F.3d __ (2d Cir. 2008), and In re Terrorist Bombings of U.S. Embassies in East

Africa (Fifth Amendment Challenges), __ F.3d __ (2d Cir. 2008), we have considered all of defendants’

claims on appeal and, apart from the matter of El-Hage’s resentencing, have found all of them without

merit.

         For these reasons, the judgments of conviction entered by the District Court against Al-’Owhali

and Odeh are AFFIRMED in all respects. The judgment of conviction entered against El-Hage is

AFFIRMED in all respects except that the sentence is VACATED, and the case is REMANDED to

the District Court for the sole purpose of resentencing El-Hage in conformity with Booker and Fagans.

From whatever final decision the District Court makes on this limited remand, the jurisdiction of this

Court to consider a subsequent appeal may be invoked by any party by notification to the Clerk within

ten days of the District Court’s decision, see United States v. Jacobson, 15 F.3d 19 (2d Cir. 1994), in which

event the renewed appeal will be assigned to this panel.




                                                        91
