                                                                                  FILED
                                                                      United States Court of Appeals
                                        PUBLISH                               Tenth Circuit

                      UNITED STATES COURT OF APPEALS                         August 16, 2013

                                                                          Elisabeth A. Shumaker
                                    TENTH CIRCUIT                             Clerk of Court



 UNITED STATES OF AMERICA,

        Plaintiff - Appellee,

 v.                                                            No. 12-3010
 ALFRED ANAYA,

        Defendant - Appellant.



           APPEAL FROM THE UNITED STATES DISTRICT COURT
                    FOR THE DISTRICT OF KANSAS
                   (D.C. No. 2:09-CR-20119-JWL-JPO-10)


Branden A. Bell, Olathe, Kansas, appearing for Appellant.

Sheri McCracken, Assistant United States Attorney (Barry R. Grissom, United States
Attorney, with her on the brief), Office of the United States Attorney for the District of
Kansas, Kansas City, Kansas, appearing for Appellee.


Before TYMKOVICH, EBEL, and MATHESON, Circuit Judges.


MATHESON, Circuit Judge.


       Alfred Anaya was indicted on one count of conspiracy to distribute and possess

with intent to distribute cocaine, methamphetamine (“meth”), and marijuana; and on two
counts of intimidation of federal witnesses. A jury convicted him on the conspiracy

charges related to cocaine and meth and on both counts of intimidation. The district court

sentenced him to 292 months in prison for the conspiracy count and 240 months for the

intimidation counts, to run concurrently.

       Mr. Anaya argues on appeal (1) insufficiency of the evidence on conspiracy, (2)

prosecutorial misconduct, (3) an erroneous willful blindness instruction, and (4)

cumulative error. Exercising jurisdiction pursuant to 28 U.S.C. § 1291, we affirm.

                                  I. BACKGROUND1

       Count One of the indictment charged Mr. Anaya with conspiracy to distribute and

possess with intent to distribute more than 5 kilograms of cocaine, more than 50 grams of

meth, and marijuana, in violation of 21 U.S.C. §§ 841(a)(1), (b)(1)(A)(ii)(II),

(b)(1)(A)(viii) and (b)(1)(D). Count One also charged him with aiding and abetting the

conspiracy under 18 U.S.C. § 2. Counts Five and Six2 charged him with intimidation of

federal witnesses in violation of 18 U.S.C. § 1512(b)(1) and (3).

       Evidence at trial revealed an extensive drug trafficking organization (“DTO”) that

bought marijuana, cocaine, and meth in California and transported the drugs for sale in

Kansas. Californians Esteban Magallon-Maldanado and Cesar Bonilla-Montiel headed


       1
        Because Mr. Anaya challenges the sufficiency of the evidence for his conviction,
we recite the facts in the light most favorable to the Government. See United States v.
Baum, 555 F.3d 1129, 1131 (10th Cir. 2009).
       2
           Mr. Anaya was not charged in Counts Two through Four.

                                            -2-
the DTO, which included around twenty individuals. Curtis Crow ran the DTO

operations in Kansas. The evidence included intercepted calls and records of hotel,

airline, and car rental costs incurred by the DTO for drug transportation. The DTO used

several vehicles that had been modified to include hidden compartments to transport

drugs. Mr. Anaya built the hidden compartments. He lived in California during this

time.

                         A. Mr. Anaya’s Business with the DTO

        Mr. Bonilla-Montiel learned from a friend that Mr. Anaya installed compartments

in cars that were difficult for police to discover and open. The DTO employed Mr.

Anaya to build compartments in their vehicles. Mr. Bonilla-Montiel credited Mr. Anaya

with enabling the DTO’s drug loads to travel without detection from California to

Kansas.

        In late 2008, a secret compartment that Mr. Anaya had installed in the DTO’s Ford

F150 truck jammed after being stuffed with $800,000. Mr. Bonilla-Montiel and Mr.

Magallon-Maldanado testified that they took the vehicle to Mr. Anaya’s residence in

California, where he worked on cars. Mr. Bonilla-Montiel also brought the DTO’s

Honda Ridgeline truck to determine whether Mr. Anaya could install a compartment in it.

        Mr. Anaya could not open the compartment in the F150 using the series of buttons

that he had programmed to open it, so he took it apart. When the compartment opened

and Mr. Anaya could see large amounts of money inside, he said, “I don’t want to see

this; I don’t want any problems.” ROA, Vol. II at 682. He immediately got out of the
                                           -3-
car. He accepted $1,500 as payment for opening and repairing the F150 compartment.

He continued to build compartments for the DTO, including the compartment in the

Ridgeline.

       Mr. Bonilla-Montiel asked Mr. Anaya to install a compartment in the Ridgeline

that was large enough to hold “at least 10 kilos” and showed him a red brick to indicate

the approximate size of a kilo. Id. at 711. While Mr. Anaya was building the

compartment in the Ridgeline, the DTO used the compartment he installed in the F150 to

transport six kilos of cocaine and five pounds of meth. Police stopped the F150 during

this time as it was travelling with drugs from California to Kansas, but they could not

find or open Mr. Anaya’s compartment and released the F150 and its drivers. Mr. Crow

sold the drugs from the F150 to two of the DTO’s top distributors for approximately

$70,000-$80,000.

       In 2009, officers began surveillance of DTO operations, including a wiretap that

intercepted calls to and from Mr. Anaya between January 30, 2009, and November 29,

2009. During this time, the officers witnessed DTO members dropping off and picking

up many vehicles from Mr. Anaya’s residence and Mr. Anaya meeting with known drug

dealers.

       On February 19, 2009, officers saw a white Toyota Sequoia arrive at Mr. Anaya’s

home. Mr. Bonilla-Montiel testified that he and Mr. Magallon-Maldanado drove the

Sequoia to Mr. Anaya’s home to pick up the Ridgeline. After Mr. Anaya showed them

how to work the Ridgeline’s hidden compartment, they paid him $5,000 in $10 and $20
                                            -4-
bills and took the Ridgeline. Mr. Crow and other DTO members loaded the Ridgeline’s

compartment with 100 pounds of marijuana. Another DTO member, Jaime Rodriguez,

drove it from California to Kansas. Mr. Crow then left the Ridgeline, still loaded with

marijuana, at DTO member Noah Adams’s house in Kansas for safekeeping.

      On another occasion, Mr. Rodriguez transported cocaine and meth in the

Ridgeline’s compartment from California to Kansas. On that trip, Mr. Rodriguez was

pulled over and given a speeding ticket, but no drugs were detected. After the trip, Mr.

Crow kept the Ridgeline at his house in Kansas and used it as a safe for drugs and money.

Mr. Rodriguez also made later trips in the Ridgeline to transport marijuana.

      Mr. Bonilla-Montiel, Mr. Magallon-Maldanado, and Mr. Crow arranged for Mr.

Anaya to install a hidden compartment between the back seats of the Toyota Sequoia for

“4 kilos or to store money.” ROA, Vol. II at 711. Mr. Anaya charged them $4,500 for

the work on the Sequoia. Mr. Anaya warned Mr. Crow not to show anyone how to open

the compartment or where it was located because the police had apprehended previous

cars with his compartments. Mr. Crow later unloaded cocaine from the compartment in

the Sequoia. Mr. Bonilla-Montiel and other DTO members transported cocaine and

proceeds from marijuana sales between California and Kansas in the Sequoia.

      On March 30, 2009, Mr. Bonilla-Montiel went to Mr. Anaya’s house to pick up

the Sequoia and drop off a Toyota Camry so that Mr. Anaya could figure out where to put

a compartment. Mr. Bonilla-Montiel testified that the compartment in the Camry was to

hold drugs or money, and that it was Mr. Crow’s car at the time.
                                            -5-
       On April 5, 2009, police officers stopped several DTO members during a return

trip to California. Officers found $106,000 in heat-sealed packets in the Sequoia’s

hidden compartment and noted that someone had insulated the “sophisticated”

compartment to mask the smell of drugs. ROA, Vol. II at 899.

       On April 4-6, 2009, officers intercepted calls between Mr. Bonilla-Montiel and

Mr. Anaya, during which Mr. Anaya said that he could put “three speakers” in the Camry

for $2,500. Id. at 1046-47. Mr. Bonilla-Montiel testified “three speakers” was their code

term for three kilos or three pounds of meth. Id. at 752-53. Once Mr. Anaya completed

the compartment in the Camry, DTO members used the car to transport two pounds of

meth from California to Kansas in the hidden compartment.

       On April 24, 2009, officers stopped the Camry and found the two pounds of meth

concealed in the compartment. Mr. Crow and Mr. Bonilla-Montiel then began to fear

that Mr. Anaya was involved with the police. They traded the Ridgeline for an Altima

and did no further business with Mr. Anaya.

       On November 18, 2009, police executed a search warrant at Mr. Anaya’s home

and shop. Officers found more than 15 removed airbags, insulation, electrical devices

required to build the hidden compartments, rifles, shotguns, pistols, bulletproof vests, and

various ammunition. They found stereo wires but no speakers. Mr. Anaya confessed that

he had built hidden compartments in cars for more than ten years.




                                            -6-
                                 B. Witness Intimidation

       Mr. Bonilla-Montiel testified that, while they were both held in Community

Corrections of America (“CCA”), a private detention center, Mr. Anaya asked him to

sign a letter that relieved Mr. Anaya of responsibility in the case. Mr. Anaya asked him

to sign in the presence of another prisoner who was known for fighting with prisoners

who did not go along. He testified that he “knew if [he] didn’t sign it, there was going to

be trouble” and that he felt like he did not have a choice. Id. at 875. After he signed the

letter, “there was not any more trouble . . . everything was calm and quiet.” Id. at 880.

       DTO member Jose Villanueva-Coyaso testified that Mr. Anaya asked him and

another DTO member when all three were in CCA to sign papers saying they did not

know Mr. Anaya. When Mr. Villanueva-Coyaso said he wanted to show the letter to his

lawyer, Mr. Anaya became “very aggressive” and insulted him. Id. at 2596-97. Mr.

Villanueva-Coyaso testified that Mr. Anaya said, “If you guys fall down the stairs, don’t

ask me for anything. I’m dead to you guys.” Id. at 2597. No one in the pod would talk

to them after they refused to sign. Id. at 2597-98. After Mr. Villanueva-Coyaso signed

the letters, “[e]verything went back to normal.” Id. at 2608.


                              C. Conviction and Sentencing

       After the Government presented its case, Mr. Anaya moved for a judgment of

acquittal under Rule 29. The district court denied the motion, finding there was sufficient

evidence for a reasonable jury to find him guilty. The jury found Mr. Anaya guilty of the


                                            -7-
single count of conspiracy and the two counts of witness intimidation. But using a

special verdict form, the jury found him responsible for conspiring to distribute and

possess with intent to distribute only cocaine and meth and not marijuana. Mr. Anaya

then moved again for acquittal and for a new trial. The district court denied those

motions. The court sentenced him to 292 months of imprisonment for the conspiracy

count and 240 months for the intimidation counts, to run concurrently. Mr. Anaya filed a

timely appeal.

       Further background facts will be presented as part of the following discussion

section.

                                     II. DISCUSSION

       Mr. Anaya appeals his conviction on four grounds. He argues (A) the evidence

was insufficient for the jury to convict him of conspiracy; (B) prosecutorial misconduct

precluded a fair trial; (C) the district court erred by instructing the jury on willful

blindness, and (D) the “total weight of the errors” created a cumulative error that affected

the outcome of his trial. We address each of his arguments in turn.

                      A. Sufficiency of the Evidence on Conspiracy

1. Standard of Review

       “We review . . . the sufficiency of the evidence to support a conviction . . . de

novo.” United States v. Apperson, 441 F.3d 1162, 1209 (10th Cir. 2006) (quotations

omitted). We “tak[e] the evidence—both direct and circumstantial,” and reasonable

inferences drawn from that evidence—“in the light most favorable to the government”
                                              -8-
and ask “only whether . . . a reasonable jury could find [the defendant] guilty beyond a

reasonable doubt.” United States v. Kaufman, 546 F.3d 1242, 1263 (10th Cir. 2008)

(quotations omitted); see also United States v. Dobbs, 629 F.3d 1199, 1203 (10th Cir.

2011).

2. Conspiracy Law and Mr. Anaya’s Arguments

         To prove a conspiracy, the Government must show “(1) that two or more persons

agreed to violate the law, (2) that the defendant knew at least the essential objects of the

conspiracy, (3) that the defendant knowingly and voluntarily became a part of it, and (4)

that the alleged coconspirators were interdependent.” United States v. Caldwell, 589 F.3d

1323, 1329 (10th Cir. 2009). In a drug conspiracy case, the Government is not required

to prove that the defendant possessed the drugs, United States v. Slater, 971 F.2d 626,

631 (10th Cir. 1992), or played a major role in the conspiracy, United States v.

Zimmerman, 943 F.2d 1204, 1209 (10th Cir. 1991).

         Mr. Anaya’s sufficiency of the evidence arguments contest only whether the

Government proved his knowledge of “the essential objects of the conspiracy” (second

element) and knowledge that he “became a part of it” (third element). He does not deny

that he voluntarily joined the conspiracy. Instead, he argues that he did not knowingly

join the conspiracy because he did not know its scope and objectives. Although he

concedes knowing that the DTO used his compartments for illegal activity, he contends

the Government failed to prove that he knew the DTO used his compartments for drug

trafficking and what types of drugs the DTO trafficked. Mr. Anaya’s arguments combine
                                             -9-
the second and third elements of conspiracy and overstate what the Government was

required to show.

       The Government needed to prove that Mr. Anaya had “a general awareness of

both the scope and the objectives of the conspiracy.” United States v. Acosta-Gallardo,

656 F.3d 1109, 1123 (10th Cir. 2011). Evidence that he knew all of the details of the

DTO’s operations was not necessary, only that he “shared a common purpose or design

with his alleged coconspirators.” United States v. Evans, 970 F.2d 663, 669 (10th Cir.

1992) (quotations omitted).

       The government did not need to prove that Mr. Anaya knew of every type or

amount of drug trafficked by the conspiracy. In United States v. De La Torre, 599 F.3d

1198 (10th Cir. 2010), we explained that 21 U.S.C. § 841(a)(1) “does not require the

Government to prove a defendant knew the precise nature of the controlled substance he

possessed, so long as he knew he did in fact possess a controlled substance.” Id. at

1204.3 Although Mr. De La Torre was charged with possessing controlled substances

and not with conspiracy, the same reasoning applies to defendants charged with

conspiracy. The knowledge element of conspiracy was satisfied if the Government




       3
        Mr. Anaya’s indictment also listed 21 U.S.C. § 841(b)(1)(A)(ii)(II),
(b)(1)(A)(viii) and (b)(1)(D). Those subsections address the penalties for violations of
§ 841(a)(1). Mr. Anaya challenges sufficiency of the evidence for his conviction. He
does not challenge his sentencing.

                                           -10-
proved that Mr. Anaya knew that conspiracy members “knowingly or intentionally”

possessed a “controlled substance” with the intent to distribute it. 21 U.S.C. § 841(a).4

       “[K]nowledge [of illegal activity] and presence [at the crime scene] coupled with

knowing participation in the illegal drug activities are sufficient to sustain a drug

conspiracy.” United States v. Coyote, 963 F.2d 1328, 1331 (10th Cir. 1992). Evidence

of a defendant’s actions can be used to establish the defendant’s knowledge “in the

context of a conspiracy prosecution.” United States v. Wacker, 72 F.3d 1453, 1469 (10th

Cir. 1995).

3. Sufficient Evidence of Knowledge

       At trial, the Government presented evidence that Mr. Anaya

    built multiple hidden compartments in vehicles for the DTO that were insulated to
     mask the smell of drugs;
    witnessed $800,000 in one of his compartments in a DTO vehicle;
    used “kilos” as a unit of measurement for building compartments;
    communicated by phone with the DTO through a secret code to discuss
     compartment sizes; and
    warned Mr. Crow not to discuss the compartments or how they worked with
     anyone to avoid police detection.




       4
         See also United States v. Garcia, 580 F.3d 528, 535 (7th Cir. 2009) (explaining
that “drug type and quantity are not elements of conspiracy; to sustain a conviction, [the
defendant] need not have known the specific drug as long as she was aware that a
controlled substance was involved”); United States v. Villarce, 323 F.3d 435, 439 & n.1
(6th Cir. 2003) (“[T]he government need not prove mens rea as to the type and quantity
of the drugs” to establish sufficient evidence for a drug conspiracy conviction because
“the mens rea element of § 841(a) . . . requires nothing more specific than an intent to
distribute a controlled substance.” (quotations omitted)).

                                             -11-
       Evidence of Mr. Anaya’s actions—installing secure, hidden compartments, which

furthered the conspiracy’s goals—pointed to his knowing participation in the conspiracy.

Wacker, 72 F.3d at 1469. A reasonable jury could infer from the evidence that Mr.

Anaya knew the conspiracy’s general drug-trafficking goals and knew that he helped the

DTO to transport drugs without detection. The conspiracy’s objective was to transport

drugs, and the compartments that Mr. Anaya custom made for the conspiracy were

instrumental to fulfilling that goal. The evidence was therefore sufficient to establish the

second and third elements of conspiracy.

       Mr. Anaya relies on United States v. Lovern, 590 F.3d 1095 (10th Cir. 2009), in

which we reversed the conspiracy conviction of a computer technician at an Internet

pharmacy. Although evidence showed it was likely he “knew something was wrong,” the

evidence was insufficient that he knew he was helping fill prescriptions “outside the

usual course of professional medical practice or without a legitimate medical purpose.”

Id. at 1100, 1109 (quotations omitted). Unlike Mr. Lovern, who performed routine tasks

and never had contact with the prescribing doctors, Mr. Anaya performed a specialized

task that was integral to the DTO’s goals, and he interacted directly with the conspiracy’s

leaders.

       Based on the foregoing, Mr. Anaya’s challenge to the sufficiency of the evidence

on his conspiracy conviction fails.




                                            -12-
                                 B. Prosecutorial Misconduct

       Mr. Anaya alleges that six instances of prosecutorial misconduct rendered his trial

so unfair as to make his conviction a violation of due process. See Donnelly v.

DeChristoforo, 416 U.S. 637, 647-48 (1974). Prosecutorial misconduct violates a

defendant’s due process if it “infect[s] the trial with unfairness” and “deni[es] the

defendant’s right to a fair trial.” Greer v. Miller, 483 U.S. 756, 765 (1987) (quotations

omitted). “The ultimate question is whether the jury was able to fairly judge the evidence

in light of the prosecutors’ conduct.” Wilson v. Sirmons, 536 F.3d 1064, 1117 (10th Cir.

2008) (quotations omitted). In addition to this due process fairness standard, our cases

have addressed the appellate standard of review for prosecutorial misconduct based on

four trial scenarios.

       First, when the defendant objects at trial based on prosecutorial misconduct and

the district court overrules the objection, we conduct a de novo review for error. United

States v. Pulido-Jacobo, 377 F.3d 1124, 1134 (10th Cir. 2004). “In conducting that

review, we first decide whether the conduct was improper and then, if so, whether the

Government has demonstrated that error was harmless beyond a reasonable doubt.”

United States v. Sierra-Ledesma, 645 F.3d 1213, 1227 (10th Cir. 2011).

       Second, when the defendant objects at trial based on prosecutorial misconduct, the

district court sustains the objection and takes curative action such as giving a jury

instruction, and the defendant objects to the adequacy of the curative action or asks for a

mistrial, we review for abuse of discretion. United States v. Gabaldon, 91 F.3d 91, 94
                                            -13-
(10th Cir. 1996); see also United States v. Taylor, 514 F.3d 1092, 1095-96 (10th Cir.

2008); United States v. Caballero, 277 F.3d 1235, 1242 (10th Cir. 2002); United States v.

Villa-Chaparro, 115 F.3d 797, 803 (10th Cir. 1997).

       Third, when the defendant objects at trial based on prosecutorial misconduct, the

district court sustains the objection and takes curative action such as giving a jury

instruction, and the defendant fails to object to the adequacy of the curative action or ask

for a mistrial, we review for plain error. United States v. Taylor, 514 F.3d 1092, 1096

(10th Cir. 2008). In such cases, the defendant has given the district court “no reason to

believe any further issue or concern remain[s],” and the court therefore could not

“exercise its judgment in the first instance.” Id. The primary focus of our review in this

scenario is “whether the district court’s failure sua sponte to grant a mistrial or issue

some further curative instructions was plain error.” Id. at 1099.

       Fourth, when the defendant does not object at trial based on prosecutorial

misconduct but makes that allegation on appeal, we review for plain error. See United

States v. Dazey, 403 F.3d 1147, 1170 (10th Cir. 2005); United States v. Caballero, 277

F.3d 1235, 1244 (10th Cir. 2002); United States v. Gonzalez-Montoya, 161 F.3d 643, 650

(10th Cir. 1998); United States v. May, 52 F.3d 885, 887 (10th Cir. 1995).5 Under plain

error review, “reversal is warranted only when: the prosecutor’s statement is plainly

       5
        Similarly, when the district court overrules an objection on other grounds, but the
defendant does not object to the prosecutorial misconduct as alleged on appeal, and the
defendant makes no further objection or request for mistrial, we review for plain error.
United States v. Baldridge, 559 F.3d 1126, 1134-35 (10th Cir. 2009).

                                             -14-
improper and (2) the defendant demonstrates that the improper statement affected his or

her substantial rights.” United States v. Fleming, 667 F.3d 1098, 1103 (10th Cir. 2011).6

       As the parties agree, all of Mr. Anaya’s six allegations of prosecutorial misconduct

are subject to plain error review. Allegation 6 and part of allegation 4 fall into the third

scenario described above. The rest fall into the fourth.

1. Vouching

       In the redirect examination of DEA Case Agent Perry Williams, the prosecutor

engaged in the following exchanges:

       Q: [C]ase agents have the right to terminate a proffer for lack of
       truthfulness, correct?
       A: Yes, they do.
       Q: And . . . in this case, you’ve had to terminate interviews or I’ve
       terminated them for lack of truthfulness, correct?
       A: That is correct.
       Q: And we will walk away from that person and not use them as a witness,
       is that right?
       A: Yes, ma’am.
       ...
       Q: There were several cooperating witnesses in this case; right?
       A: Yes, there are.
       Q: We didn’t use all of them, did we?
       A: No, we did not.
       ...
       Q: Now, there were proffers where we confirmed that they just simply were
       contradictory, right?
       A: Yes.
       Q: Those witnesses weren’t called by the government, were they?

       6
         Mr. Anaya alleges six instances of prosecutorial misconduct. All but one
involved statements during witness examination, an objection to a defense counsel
question, or closing argument. As discussed below, Mr. Anaya’s remaining allegation
that the Government misstated facts in a pretrial motion is factually incorrect.

                                             -15-
       A: No, they were not.

ROA, Vol. II at 387-88, 3194-95.

       Mr. Anaya argues that these exchanges led the jury to believe that the prosecutor

had verified the truthfulness of her witnesses with evidence that was not before the jury.

Because Mr. Anaya did not object to these exchanges, we review for plain error. Dazey,

403 F.3d at 1170.

       Vouching requires “either . . . explicit personal assurances of the witness’s

veracity or . . . implicit[] indicat[ions] that information not presented to the jury supports

the witness’s testimony.” United States v. Orr, 692 F.3d 1079, 1097 (10th Cir. 2012)

cert. denied, 133 S. Ct. 1300 (2013) (quotations omitted). An attorney’s comment of

personal belief in a witness’s credibility is improper. See United States v. Magallanez,

408 F.3d 672, 677 (10th Cir. 2005). “Argument or evidence is impermissible vouching

only if the jury could reasonably believe that the prosecutor is indicating a personal belief

in the witness’ credibility, either through explicit personal assurances of the witness’

veracity or by implicitly indicating that information not presented to the jury supports the

witness’ testimony.” United States v. Bowie, 892 F.2d 1494, 1498 (10th Cir. 1990).

       Prosecutors may respond when “unfair innuendoes [are] cast into the mix by

defense counsel;” otherwise, jurors could conclude that the accusations were true. United

States v. Shelton, 736 F.2d 1397, 1407 (10th Cir. 1984).

       The prosecutor’s exchanges with Agent Williams occurred after the defense

vigorously attacked the Government’s first cooperating witness, suggesting that
                                             -16-
Government witnesses improperly rehearsed their testimony and that the Government

made promises and warnings during proffer interviews to secure cooperation. The

prosecutor was allowed to respond under Shelton. In addition, the prosecutor never

suggested that she verified every witness’s testimony, only that some witnesses were

excluded for lying. Her statements were therefore not plainly improper.

2. Evidence Outside of the Record

       Mr. Anaya argues that the prosecutor used evidence that had not been admitted at

trial to prove Mr. Anaya’s guilt. He points to the prosecutor’s asking during closing

argument, “Could we have played more and more calls? Absolutely. Could we have sat

you through hours and hours and hours of recorded conversations? Sure. Was it

necessary? No.” Suppl. ROA at 237. Full transcripts of all of the tapes referenced by

the prosecutor were admitted into evidence at trial and available to the jury. The

prosecutor did not refer to evidence outside of the record. Mr. Anaya did not object, and

his argument completely lacks merit.

3. Assertion About the Government’s and Defense Counsel’s Roles

       Mr. Anaya alleges that three prosecutor statements suggested to the jury that the

Government only presents the truth at trial and the defense counsel’s job is to mislead.

       The first statement came in the prosecutor’s objection to defense counsel’s cross-

examination of a Government witness who had pled guilty to charges of his own and had

yet to be sentenced. Defense counsel questioned the witness about his understanding of

the “safety valve” provision, by which the prosecutor can recommend a lower sentencing
                                           -17-
range for “truthfully provid[ing] to the Government all information and evidence the

defendant has concerning the offense or offenses that were part of the same course of

conduct or of a common scheme or plan.” 18 U.S.C. § 3553(f)(5).

       Defense Counsel: And so, for example, you understand well enough in the
          process that, if [the prosecutor] wants to argue to the judge that you
          should not be safety valve eligible, that she could do that?
       Prosecutor: Your Honor, objection. The government can only make
          objections at sentencing based on the truth. We don’t make objections
          to any other witnesses around or shade the truth. This is completely
          improper.
       Court: I disagree. The question is a proper question. The government may
          make an argument at sentencing that it did not believe what the witness
          said. The government may be right, the government may be wrong.
          The judge will ultimately decide that. The question is proper. The
          objection is overruled.

ROA, Vol. II at 2674-75.

       Second, Mr. Anaya notes another exchange involving the prosecutor:

       Prosecutor: Mr. Villanueva, do you understand that I don’t have a client?
       Witness: I do understand.
       Prosecutor: I don’t represent a defendant, do you know that?
       Witness: Yes.
       Prosecutor: All right. The only thing I’m required to do is argue the truth
          and the facts, do you know that?
       Witness: Yes.
       Prosecutor: So do you understand that I can’t come in here and shade the
          facts because I don’t like you or I didn’t want you to get the safety
          valve?
       Defense Counsel: Judge, I object to that as leading.
       Court: The objection leading is overruled.

ROA, Vol. II at 2676-77.

       Third, Mr. Anaya points to another statement in the beginning of the prosecutor’s

closing rebuttal:
                                          -18-
       You know, I always find it interesting when defense attorneys talk about
       why the government does the things that we do. It reminds me of how very
       different our jobs are and what we do. I don’t have a client. They serve the
       defendant. Mr. Williams and I don’t put cooperators on the stand with the
       hope they will make us happy. There’s only one thing that makes the
       government happy, and it’s if you tell the truth.

Suppl. ROA at 218.

       Mr. Anaya argues that the prosecutor’s statements distracted the jurors from the

evidence by focusing their attention on her credibility and suggesting his counsel’s job

was to trick them. At trial, Mr. Anaya did not object to the statement made in closing

argument and only objected to the prosecutor’s questioning of the witness as leading.

The district court overruled that objection. The issue of prosecutorial misconduct alleged

on appeal was not presented to the district court to decide in the first instance. We

therefore review for plain error. United States v. Baldridge, 559 F.3d 1126, 1134-35

(10th Cir. 2009).

       In Berger v. United States, 295 U.S. 78 (1935), the Supreme Court deemed a

prosecutor’s statement about defense counsel to be misconduct and reversed the

defendant’s conviction because the cumulative effect of this and other misconduct unduly

influenced the jury. Id. at 89. The prosecutor stated that defense counsel could “twist the

questions” and “devise ways to pass counterfeit money.” Id. at 88. Among other things,

the prosecutor also misstated facts, bullied witnesses, and “conduct[ed] himself in a

thoroughly indecorous and improper manner.” Id. at 84. The Supreme Court determined

that the prosecutor’s behavior was so prejudicial that a new trial was required. Id. at 89.

                                            -19-
       Here, the prosecutor’s three statements did not approach in substance the

statements found objectionable in Berger. Indeed, they were less concerning than

statements we have determined were not plain error. See United States v. May, 52 F.3d

885, 887-89 (10th Cir. 1995) (holding that prosecutor’s suggestion that the defendant

provided false testimony on the advice of his counsel was not reversible plain error).

       As to the first two statements—the prosecutor’s objection and subsequent

questioning of a witness—she said nothing about the truthfulness of defense counsel.

Instead, the prosecutor defended the Government against the defense counsel’s

accusation that, unless witnesses testify as the Government wants, the Government will

not recommend them for safety valve sentencing reductions.

       The prosecutor’s statement in her rebuttal responded to defense counsel’s closing

argument, in which he stated that the Government witnesses had “everything to lose and

everything to gain” depending on whether they “please the Government” and the

prosecutor. Suppl. ROA at 208. The prosecutor responded that she did not “put

cooperators on the stand with the hope they will make us happy. There’s only one thing

that makes the government happy, and it’s if you tell the truth.” Suppl. ROA at 218.

       We generally give prosecutors latitude in making closing arguments when defense

counsel “invites” the argument. United States v. Janus Indus., 48 F.3d 1548, 1558 (10th

Cir. 1995). Defense counsel’s closing argument here invited the prosecutor to address

the truthfulness of the Government’s witnesses. The prosecutor’s statement in her


                                           -20-
rebuttal did just that, without making any overt statement about defense counsel’s

truthfulness.7

       The prosecutor’s three statements were not plainly improper.

4. Testifying Against a Witness

       Mr. Anaya argues that prosecutorial misconduct occurred during the following

questioning of Ricardo Limon, a defense witness:

       Q: You are currently facing an enhancement for intimidating witnesses of
          your own, aren’t you?
       A: No.
       Q: You’re not aware of that?
       A: No.
       Q: You’re facing two additional levels for intimidating witnesses. This is
          news to you?
       A: I was facing them, but since I plead, you said you were not going to do
          that.
       Q: No, I did not say that.
       A: Oh, okay.
       Q: Not ever.      Now, Mr. Limon, you’re facing enhancements for
          intimidating witnesses of your own, aren’t you?
       A: I guess I am.



       7
         In addition to our precedent from Janus Industries, other circuits have held that a
prosecutor’s closing argument focusing on defense counsel’s comments, not character, is
acceptable. See United States v. Lore, 430 F.3d 190, 213 (3d Cir. 2005); United States v.
Millar, 79 F.3d 338, 343-44 (2d Cir. 1996) (holding that prosecution’s reference to
defense counsel’s arguments as “hog wash” and a “smoke screen” did not warrant new
trial); United States v. Santiago, 46 F.3d 885, 892 (9th Cir. 1995) (holding there was no
error in permitting prosecution comments that defense counsel’s arguments were
devaluing the victim and “dirtying up” witnesses); United States v. Hartmann, 958 F.2d
774, 785 (7th Cir. 1992) (holding there was no error in allowing prosecution to remark
that defense told a “whopper” and tried to mislead the jury). The prosecutor’s comments
here fall into this category.

                                            -21-
ROA, Vol. II at 3153-54. Mr. Anaya argues that the prosecutor impermissibly

discredited the witness with her own testimony.

       He alleges this happened again on re-cross examination:

       Q: You had no plea agreement, did you, Mr. Limon?
       A: I don’t know if it was a plea agreement or not, but I just pled guilty.
          ...
       Q: No. There’s no plea agreement. There’s no agreement signed by the
          government. There’s no two-point enhancement that we didn’t agree to.
          Mr. Limon, the only way to get out of that is to prove that you didn’t
          intimidate witnesses, just like you’re trying to help Mr. Anaya do.
       Defense counsel: Judge, I’m sorry. Is counsel testifying?
       Q: Isn’t that correct?
       A: I’m not trying to help him. I’m just—
       Q: Isn’t that correct? Yes or no?
       Court: Do you want to restate the question as a question and not as a
          declaration?

Id. at 3165.

       Finally, Mr. Anaya alleges that the prosecutor suggested in her rebuttal closing

argument that defense counsel downplayed this witness’s testimony because he was

untruthful:

       I wonder if you’re asking yourselves, hmm, I really didn’t hear a lot of talk
       about that Limon guy they stuck on the stand. I’m sure you can figure out
       why. Mr. Limon’s testimony was laughable. Mr. Limon doesn’t know the
       truth if it hit him in the face.

Suppl. ROA at 220.

       Mr. Anaya argues that, through these statements, the prosecutor impermissibly

used outside evidence and her own testimony to discredit this defense witness.




                                           -22-
       In the first exchange, the prosecutor made two declarative statements. The first

one—“You’re facing two additional levels for intimidating a witness”—was followed by

a question—“This is news to you?” ROA, Vol. II at 3153-54. This is close to a

permissible leading question and does not give us much pause. In response to the Mr.

Limon’s answer—“I was facing them, but since I plead, you said you were not going to

do that”—the prosecutor made her second declarative statement—“No, I did not say

that.” Id. at 3154. The prosecutor followed with another declaration—“Not ever.” Mr.

Anaya’s counsel did not object. Id. at 3154.

       In the second exchange, the prosecutor delivered a four-sentence, almost 50-word,

statement contesting the witness’s testimony. This time defense counsel objected, and

the court asked the prosecutor to restate her declaration as a question. Mr. Anaya’s

counsel did not contest the adequacy of the court’s curative action or ask for a mistrial.

       The prosecutor’s closing argument challenging Mr. Limon’s credibility was, on its

face, within the bounds of closing argument advocacy. See United States v. Hernandez-

Muniz, 170 F.3d 1007, 1012 (10th Cir. 1999) (concluding that a prosecutor’s statements

about a witness’s credibility made during closing argument was not improper). But it

was based in part on the prosecutor’s examination of the witness that contained her

declarative statements. Mr. Anaya’s counsel did not object to the closing argument




                                            -23-
statements.8

       We review Mr. Anaya’s challenge to these statements for plain error.9 Mr. Anaya

cannot succeed on this issue because he has not shown that they affected his substantial

rights. First, the statements impeached the witness’s credibility but did not address Mr.

Anaya’s alleged crimes. Second, Mr. Anaya has not shown that any of the statements

were false. Third, and most important, the evidence against Mr. Anaya was too strong

for these statements to have made a difference.10

       Mr. Anaya falls short on this part of his appeal.



       8
         During Mr. Limon’s testimony, the prosecutor did not call him a liar; she
attempted to correct an inaccuracy in his testimony. Even so, “it is not per se
prosecutorial misconduct to refer to testimony as a lie.” United States v. Kravchuk, 335
F.3d 1147, 1154 (10th Cir. 2003); see also Bland v. Sirmons, 459 F.3d 999, 1025 (10th
Cir. 2006) (holding that the prosecutor’s characterization of a habeas petitioner as a liar
may have been excessive but was permissible in light of the petitioner’s testimony and
did not constitute a violation of due process); United States v. Robinson, 978 F.2d 1554,
1567 (10th Cir. 1992) (“[A] prosecutor would be well advised to avoid directly accusing
a defendant of lying [but] we are confident that the statements in this case would have
been perceived only as commentary on the implausibility of the defendant’s story.”
(quotations omitted)).
       9
         The statements in the first exchange with the witness and during closing
argument are subject to plain error review under the fourth trial scenario described above
because Mr. Anaya’s counsel did not object. He did object to the statement in the second
exchange, but after the objection was sustained and the prosecutor was admonished to ask
a question, he did not ask for further curative relief or for a mistrial. Plain error review is
thus appropriate based on the third trial scenario described above.
       10
          Although Mr. Anaya’s counsel objected to the second exchange, he did not
object after the district court asked the prosecutor to rephrase the question. The district
court did not plainly err by failing to grant a mistrial sua sponte based on the prosecutor’s
conduct because it was far from “clear or obvious” that it needed to do so. Taylor, 514
F.3d at 1100.

                                             -24-
5. 404(b) Motion

       Before trial, the Government asked to introduce evidence about cars seized from

known drug dealers who were not connected to the DTO and who had visited Mr.

Anaya’s home. The cars were seized during traffic stops and contained compartments

like those built by Mr. Anaya for the DTO. The compartments contained guns or drugs.

       Mr. Anaya contends that, in its motion to present rule 404(b) evidence, the

prosecution misstated its factual basis to introduce evidence of these traffic stops, which

were unrelated to the alleged conspiracy in this case.

       In its 404(b) motion, the Government argued that this other acts evidence was

“intertwined with the conspiracy.” ROA, Vol. I at 280. The district court admitted the

evidence over Mr. Anaya’s objection. At the pretrial limine conference, the court

instructed Mr. Anaya that he could object again at trial if Mr. Crow’s testimony did not

support the evidence as proffered. At trial, there was no objection. On appeal, Mr.

Anaya raises this issue only as a prosecutorial misconduct claim. He does not challenge

the actual admission of the evidence. Because his objection was not based on

prosecutorial misconduct, we review only for plain error. Baldridge, 559 F.3d at 1134-

35.

       Mr. Anaya alleges that the Government sought to enter this evidence to support

Mr. Crow’s testimony that Mr. Anaya warned him about other cars containing his

compartments that the police had stopped. He contends this was disingenuous because

the evidence at issue concerned vehicle stops that only occurred after the conversation
                                            -25-
between Mr. Crow and Mr. Anaya and therefore could not have been the subject of Mr.

Anaya’s alleged warning.

      The Government never argued, however, that the cars in the 404(b) evidence were

the same cars Mr. Anaya was discussing when he warned Mr. Crow. In the “Factual

Summary and Introduction” section of its 404(b) notice, the Government’s timeline

shows that Mr. Crow was arrested in September 2009 (ROA, Vol. I at 265), while the

vehicles of Mr. Anaya’s non-DTO clients were seized in September 2009, November

2009, and February 2010 (ROA, Vol. I at 281-82). The Government could not have

argued that Mr. Anaya was referring to those seizures when he warned Mr. Crow because

they occurred after Mr. Crow was arrested and his contact with Mr. Anaya had ended.

Mr. Anaya’s argument lacks any factual foundation, and we therefore find no plainly

improper conduct.

6. Encouraging Anger from the Jury

      Mr. Anaya argues that the prosecutor impermissibly encouraged the jury during

her closing argument to feel anger toward Mr. Anaya: “[T]hat should make you angry,

that a witness was intimidated [by Mr. Anaya] in this matter. It should make everybody

angry.” Suppl. ROA at 157. Mr. Anaya objected to the statement as “improper

argument.” Id.

      “Prosecutors are not permitted to incite the passions of the jury by suggesting they

can act as the ‘community conscience’ to society’s problems.” United States v. Rogers,

556 F.3d 1130, 1143 (10th Cir. 2009) (quoting United States v. Solivan, 937 F.2d 1146,
                                          -26-
1151 (6th Cir. 1991)). The Government concedes that the prosecutor should not have

told the jurors that they should be angry with Mr. Anaya.

        In Rogers, we held that statements no more inflammatory than in this case

constituted harmless error because the Government’s case against the defendant was

already strong and the jury was properly instructed that closing arguments are not

evidence. 556 F.3d at 1142-43 (finding that a closing argument calling on the jury to

“cr[y] out” to law enforcement for help with a social problem constituted harmless error).

       Although the prosecutor should not have made these statements, the district court

properly instructed the jury before closing argument that “statements and arguments of

counsel are not evidence in the case unless made as admissions or stipulations of fact.”

ROA, Vol. I at 377. We assume that jurors follow the court’s instructions. United States

v. Castillo, 140 F.3d 874, 884 (10th Cir. 1998). In addition, the court sustained Mr.

Anaya’s objection.

        Mr. Anaya made no further objection and did not request a mistrial. We therefore

review the district court’s failure to grant a mistrial sua sponte based on prosecutorial

misconduct for plain error. Taylor, 514 F.3d at 1099. Whatever improper conduct may

have occurred, the district court did not plainly err by failing to grant a mistrial. In light

of the jury instruction that closing argument is not evidence, the court’s sustaining Mr.

Anaya’s objection, and especially the strength of the evidence against him, the district

court was not clearly obligated to grant a mistrial sua sponte. Id. at 1100-01; United

States v. Devous, 764 F.2d 1349, 1356 (10th Cir. 1985).
                                             -27-
                                       *      *      *

         In sum, none of the conduct Mr. Anaya asks us to review constitutes plain error.

                              C. Willful Blindness Instruction

         At trial, the Government proposed a jury instruction on willful blindness. Mr.

Anaya objected but conceded that case law does not support his position. The district

court overruled his objection. The court did, however, amend the instruction at Mr.

Anaya’s request to remove a portion that he claimed impermissibly shifted the burden of

proof.

         The jury was given the following instruction:

                                  INSTRUCTION NO. 20

                 When the word “knowingly” is used in these instructions, it means
         that the act was done voluntarily and intentionally, and not because of
         mistake or accident. Although knowledge on the part of the defendant
         cannot be established merely by demonstrating that the defendant was
         negligent, careless, or foolish, knowledge can be inferred if the defendant
         deliberately blinded himself to the existence of a fact. Thus, in this case,
         knowledge could be inferred if defendant Alfred Anaya was aware of a
         high probability that concealed compartments that he built in vehicles
         would be used to transport illegal narcotics and the proceeds derived from
         their sale.

ROA, Vol. I at 363. Mr. Anaya argues that the evidence at trial did not support giving

this instruction.

1. Standard of Review

         We review the jury instructions as a whole de novo to determine if “they

accurately state the governing law and provide the jury with an accurate understanding of

                                             -28-
the relevant legal standards and factual issues in the case.” United States v. Crockett, 435

F.3d 1305, 1314 (10th Cir. 2006); see also United States v. Park, 421 U.S. 658, 674

(1975). When a defendant challenges a particular jury instruction on the ground that the

evidence did not support it, we generally review the district court’s decision to give the

instruction for abuse of discretion. See, e.g., United States v. Berry, 717 F.3d 823, 828-

29 (10th Cir. 2013). Nonetheless, since United States v. de Francisco-Lopez, 939 F.2d

1405, 1409 (10th Cir. 1991), we have reviewed such challenges to willful blindness

instructions de novo, considering the underlying evidence in the light most favorable to

the Government. United States v. Delreal-Ordones, 213 F.3d 1263, 1264 & n.1 (10th

Cir. 2000).

       Even if a willful blindness instruction is given in error, “we may . . . allow the

conviction to stand if we find beyond a reasonable doubt that the error was harmless.”

Francisco-Lopez, 939 F.2d 1405, 1412 (10th Cir. 1991); see also Chapman v.

California, 386 U.S. 18, 24 (1967). Because we find that any potential error was

harmless, Mr. Anaya’s challenge to the jury instruction fails under either abuse of

discretion or the less deferential de novo standard.

2. Analysis

       The basis for the instruction appears to be the evidence that Mr. Anaya opened a

jammed compartment in a DTO car, saw $800,000, and commented that he did not want

to see the cash or have any problems. This incident occurred in the context of his

knowing and active facilitation of the DTO’s drug trafficking over several months.
                                            -29-
       The substantial evidence of Mr. Anaya’s knowing and voluntary assistance of the

DTO’s drug dealing supported a guilty verdict. Mr. Anaya routinely built compartments

for DTO vehicles, enabled the conspiracy to transport drugs without detection, saw that

the DTO sometimes transported large amounts of cash in the compartments, designed

compartment sizes in measurements of kilos, used a secret code when discussing

compartments by phone, and warned Mr. Crow about the possibility of police detection.

We conclude that any error in giving the willful blindness instruction was harmless

beyond a reasonable doubt.

                                   D. Cumulative Error

       Finally, Mr. Anaya argues that the errors he alleges, taken together, deprived him

of a fair trial and led to his conviction. To analyze cumulative error, we aggregate all the

errors that we have found to be harmless and determine “whether their cumulative effect

on the outcome of the trial” mandates reversal. United States v. Rivera, 900 F.2d 1462,

1470 (10th Cir. 1990).

       Cumulative error analysis applies only if true errors occurred. See United States v.

Barrett, 496 F.3d 1079, 1121 (10th Cir. 2007); Moore v. Gibson, 195 F.3d 1152, 1175

(10th Cir. 1999). We have not held that any errors occurred. Even so, we have

determined that the willful blindness instruction was harmless and the prosecutor’s

statements on witness credibility did not affect Mr. Anaya’s substantial rights. We did

not determine whether those alleged errors constituted actual errors but instead concluded

that any potential errors did not merit reversal because they did not affect the outcome of
                                            -30-
Mr. Anaya’s case. For the purposes of cumulative error analysis, we assume without

deciding that these alleged errors were errors and proceed accordingly.

       “[W]hen there are both preserved and unpreserved errors, cumulative-error

analysis should proceed as follows: First, the preserved errors should be considered as a

group under harmless-error review. If, cumulatively, they are not harmless, reversal is

required.” United States v. Caraway, 534 F.3d 1290, 1302 (10th Cir. 2008). The only

potential preserved error is the willful blindness instruction. Without other errors to

aggregate, there can be no cumulative harm. See United States v. Rosario Fuentez, 231

F.3d 700, 709 (10th Cir. 2000).

       “If the preserved errors are cumulatively harmless, then ‘the court should consider

whether those preserved errors, when considered in conjunction with the unpreserved

errors, are sufficient to overcome the hurdles necessary to establish plain error.’” Rogers,

556 F.3d at 1144 (citing Caraway, 534 F.3dat 1302). That is, we look to whether the

combination of the willful blindness instruction and the prosecutor’s statements regarding

witness credibility affected Mr. Anaya’s substantial rights or “seriously affect[ed] the

fairness, integrity, or public reputation of judicial proceedings.” United States v. Goode,

483 F.3d 676, 681 (10th Cir. 2007) (quotations omitted) (recognizing the third and fourth

elements of the reversible plain error test after plain error is established). Any

conceivable error that resulted did not affect Mr. Anaya’s substantial rights because the

evidence of his guilt was overwhelming. Consequently, even if we aggregate these

alleged errors, there is no cumulative error.
                                             -31-
                                  III. CONCLUSION

       The evidence at trial was sufficient for a reasonable jury to convict Mr. Anaya of

conspiracy. None of the alleged prosecutorial misconduct constitutes reversible plain

error. If the willful blindness instruction was given in error, it was harmless. There was

no cumulative error. We therefore affirm Mr. Anaya’s conviction.




                                           -32-
