                                                                        FILED
                                                            United States Court of Appeals
                                                                    Tenth Circuit
                    UNITED STATES COURT OF APPEALS
                                                                   May 22, 2015
                                   TENTH CIRCUIT
                                                                Elisabeth A. Shumaker
                                                                    Clerk of Court
UNITED STATES OF AMERICA,

           Plaintiff – Appellee,

v.                                                    No. 13-5084
                                            (D.C. No. 4:12-CR-00050-JHP-1)
VERNON JAMES HILL, a/k/a V,                           (N.D. Okla.)

         Defendant – Appellant.


                           ORDER AND JUDGMENT 


Before HARTZ, PHILLIPS, and McHUGH, Circuit Judges.


     Vernon Hill 1 was indicted, tried, and convicted of conspiring to rob and

robbing banks, credit unions, and pharmacies in Tulsa, Oklahoma. Vernon

appeals and argues that the district court erred by: (1) not concluding that his

indictment was constitutionally defective; (2) not severing his charges; (3) not



     
     This order and judgment is not binding precedent except under the doctrines
of law of the case, claim preclusion, and issue preclusion. It may be cited,
however, for its persuasive value consistent with Federal Rule of Appellate
Procedure 32.1 and Tenth Circuit Rule 32.1.
     1
     Throughout this opinion, we will refer to Vernon Hill, Dejuan Hill, Stanley
Hill, Deandre Hopkins, and Kenneth Hopkins by their first names because there
were other coconspirators indicted with the same last names.
severing his trial from his codefendants’ trials; 2 (4) not concluding there was a

fatal variance between the charged conspiracy and the individual conspiracies

underlying separate robberies; (5) admitting evidence of the robberies charged

against his codefendants as well as evidence of the uncharged CVS Pharmacy

robbery; (6) admitting gang-affiliation evidence; (7) admitting gang-certification

records; (8) admitting the underlying hearsay statements contained within the

gang-certification records; (9) admitting cell phone tower records; (10) admitting

lay testimony from police officers about cell phone records; and (11) admitting an

eyewitness identification in violation of due process. Vernon also argues that

cumulative error requires that we vacate his conviction.

   Exercising jurisdiction under 18 U.S.C. § 3742(a)(1) and 28 U.S.C. § 1291, we

affirm Vernon’s convictions for the reasons set forth below.


                  I. FACTS AND PROCEDURAL HISTORY

   While investigating a series of robberies in Tulsa, the local police began to

suspect that the robberies were connected. The police developed a list of

suspects, which included Vernon. Other suspects included Dontayne Tiger,




   2
    Of the eight men charged with the conspiracy, just three—Vernon, Dejuan,
and Deandre—were tried together, the remaining five having pleaded guilty
before trial.

                                       -2-
Deandre Hopkins, 3 James Miller, Christopher Lewis, Marquis Devers, Duncan

Herron, and Kenneth Hopkins. Initially, police did not suspect Dejuan Hill, but a

grand jury ultimately indicted him as a coconspirator. 4 Officer Maxwell Ryden

interviewed Herron, who believed that police would eventually charge him and

agreed to cooperate in the investigation.

   This appeal involves seven robberies that took place between August 2009 to

November 2011: (1) IBC Bank; (2) Dooley’s Pharmacy; (3) Barnes Pharmacy;

(4) Metro Pharmacy and Medical Supplies (“Metro Pharmacy”); (5) CVS

Pharmacy; (6) Tulsa Municipal Employees Federal Credit Union (“Tulsa Credit

Union”); and (7) Arvest Bank. The indictment charged that Vernon had

participated directly in the robberies of IBC Bank, Metro Pharmacy, and Arvest

Bank.

   A federal grand jury returned a ten-count indictment against eight men,

charging that they had conspired to commit six of the seven robberies, in

violation of 18 U.S.C. § 1951(a). 5 The indictment listed 26 overt acts committed


   3
    Deandre appeals his conviction in a related appeal. United States v. Hopkins,
No. 13-5072 (10th Cir. May 22, 2015) (unpublished).
   4
    Dejuan appeals his conviction in a related appeal. United States v. Hill, No.
13-5074 (10th Cir. May 22, 2015).
   5
     The indictment named eight defendants: Vernon, Lewis, Deandre, Devers,
Tiger, Miller, Kenneth, and Dejuan.

                                        -3-
in furtherance of the conspiracy, as well as describing the manner and means of

the conspiracy. Vernon filed multiple pretrial motions. Everyone charged in the

indictment pleaded guilty except for Vernon, Dejuan, and Deandre. At their joint

trial, the government introduced evidence as set forth below.


                                  A. IBC Bank

   In August 2009, a man wearing sunglasses but no mask robbed IBC Bank in

Tulsa. 6 At the counter, he spoke with the teller for a few minutes and then

demanded money. He told her that he had a gun. The robber left alone on foot.

   Tulsa Police Officer John Brown investigated this robbery. Officer Brown

showed Officer Amilee Floyd a bank photograph of the robber standing at the

teller window. Officer Floyd thought that the person in the photograph was

Vernon (Officer Floyd and Vernon had attended high school together). Officer

Brown obtained a picture of Vernon, and he showed it to a few witnesses present

at the robbery, but no one could identify him as the robber. Officer Brown then



   6
     Before the trial in this case, a state court jury acquitted Vernon of robbing
IBC Bank. The federal jury in this case, however, returned a guilty verdict on
Count Two, which charged Vernon with robbing IBC Bank. Count One listed
Vernon’s robbery of IBC Bank as an overt act done in furtherance of the
conspiracy. But we conclude that the government introduced insufficient
evidence to tie the IBC Bank robbery to any conspiracy. This conclusion does not
affect Vernon’s conviction on Count Two for the actual robbery of IBC Bank.


                                       -4-
showed the photograph from the robbery to the teller Vernon robbed, Ms.

DeLeon, and she identified the man in the photograph as the bank robber. He then

showed her a photo array of six similar looking men, and she positively identified

Vernon as the bank robber.

   At trial, Ms. DeLeon again identified Vernon as the robber. Two other

witnesses from the bank robbery also testified that Vernon was the bank robber.

Neither of these two witnesses had been able to identify Vernon from the

photograph before the trial.


                               B. Metro Pharmacy

   This robbery occurred in August 2011. Herron testified at trial that he

participated in the Metro Pharmacy robbery and described the involvement of

Vernon, Lewis, Devers, Tiger, and Deandre. Herron admitted to meeting with

these men to plan the Metro Pharmacy robbery. Later that day, they executed

their plan. Herron walked into the pharmacy to buy some medicine, texted Devers

as he was leaving, and held the door open for Vernon, Lewis, and Devers

(because customers had to be buzzed into the pharmacy). Once inside, those three

men robbed the pharmacy, and two of the robbers brandished guns, with the third

robber (Vernon) carrying a bag. Herron testified that both Tiger and Deandre

acted as lookouts during the robbery. After the robbery, the men, except Herron,



                                       -5-
got into a van parked outside of the pharmacy and drove away. As Tiger

instructed, Herron called 911 to report the robbery after they had left, attempting

to divert the police’s attention from his involvement.

   At trial, the government admitted cell phone records establishing that Devers’s

phone had called the Metro Pharmacy twice before the robbery, that Devers’s

phone and Herron’s phone had communicated by text message during the

robbery, and that Lewis’s phone and Vernon’s phone had contacted each other by

cell phone during the robbery.


                                  C. Arvest Bank

   This robbery occurred in November 2011, and before the trial in this case, a

federal jury had already convicted Vernon of committing it. 7 We affirmed his

conviction on appeal. United States v. Hill, 737 F.3d 683, 689 (10th Cir. 2013). In

the present case, the government charged Vernon with having also conspired to

commit this offense. 8



   7
     This robbery is discussed in depth in United States v. Hill, ___ F.3d ___
(10th Cir. 2015), our decision affirming the conviction of Dejuan, who robbed
Arvest Bank with Vernon.
   8
    To clarify, the Supreme Court has held that a substantive crime and a
conspiracy to commit that crime are not the same offense for double jeopardy
purposes. United States v. Felix, 503 U.S. 378, 391–92 (1992).


                                        -6-
   Two armed, masked men robbed Arvest Bank. Amidst the money the tellers

gave the bank robbers were previously concealed marked $50 bait bills and a

strap of $20 bills containing a GPS tracker. When bank employees pull the bait

money containing the GPS tracker, this alerts the security company, and the

security company calls the bank to check on the situation. Upon the GPS tracker’s

removal from its magnetic plate, it sent a signal to the police, alerting them of the

robbery. After the phones began to ring, Juantonio Baldwin, a bank teller, told the

robbers that the security company was calling and that they should leave. The

robbers then left the bank.

   Officers immediately began receiving location updates from the tracker. The

device was moving “pretty fast,” so they assumed that it was traveling in an

automobile. The tracker stopped moving near 1109 East Pine Street, which was

near Vernon’s known residence at 1107 East Pine Street. The officers obtained a

hand-held tracker, which allowed them to pinpoint exactly where the tracking

device was located. They confirmed that it was inside 1107 East Pine. The

officers obtained a search warrant for the house. Before they executed the search

warrant, Vernon and Stanley Hill (Vernon’s brother) emerged from the house, and

the officers arrested them. Upon executing the search warrant, the officers found

money stolen from the bank, the GPS tracker, a Glock pistol, a hooded black




                                        -7-
sweatshirt, a ski mask, gloves, and dark-colored pants, all of which they believed

had been used in the robbery.


                            D. The Larger Conspiracy

   The government’s theory of the case at trial was that all eight individuals

indicted had conspired, generally, to commit bank, credit union, and pharmacy

robberies in Tulsa. To prove this larger conspiracy, the government relied heavily

on each coconspirator’s relationship with the Hoover Crips street gang. The

government also highlighted the perceived similarities between the robberies. At

trial, the government introduced evidence of three robberies for which Vernon

was not charged—Dooley’s Pharmacy, Barnes Pharmacy, and Tulsa Credit Union.

No direct evidence linked Vernon to any of those robberies. The government also

introduced evidence of a robbery at CVS Pharmacy, a robbery not charged in the

indictment. The court admitted evidence tying Vernon to that robbery.


                                E. Procedural History

   At the conclusion of the government’s case, Vernon moved under Fed. R.

Crim. P. 29 for a judgment of acquittal on Count One, the global conspiracy

charge, arguing that the government had failed to prove interdependence. The

district court denied the motion. The jury convicted Vernon on all four charges




                                        -8-
against him: one count of conspiracy to commit robbery, two counts of robbery,

and one count of using a firearm during and in relation to a crime of violence.

   Two weeks after the verdict, Vernon filed another motion for a judgment of

acquittal on Count One, this time alleging a fatal variance between his indictment

and what the government ultimately proved at trial. Viewing the evidence in the

light most favorable to the government, the district court denied the motion,

concluding that the government had presented sufficient evidence to establish the

global conspiracy.

   On appeal, Vernon raises many issues, all of which we discuss in turn below.


                             II. THE INDICTMENT

   “To pass constitutional muster, an indictment must contain all the essential

elements of the charged offense.” United States v. Kovach, 208 F.3d 1215, 1218

(10th Cir. 2000); see also United States v. Hathaway, 318 F.3d 1001, 1009 (10th

Cir. 2003). Appellate courts review de novo the sufficiency of an indictment.

Kovach, 208 F.3d at 1218. “An indictment is sufficient if it sets forth the

elements of the offense charged, puts the defendant on fair notice of the charges

against which he must defend, and enables the defendant to assert a double

jeopardy defense.” United States v. Bedford, 536 F.3d 1148, 1156 (10th Cir.

2008) (reviewing for plain error) (quoting Hathaway, 318 F.3d at 1009).



                                       -9-
   On appeal, Vernon argues that his indictment was constitutionally defective

because, while the indictment alleged that all of the coconspirators were members

or affiliates 9 of the Hoover Crips street gang, “there is no allegation that the

Hoover Crips street gang was involved in the conspiracy, or that any Defendant

planned any robberies in the capacity of a Hoover Crips leader, member, or

associate.” Appellant’s Br. at 30.

   The government argues that the indictment was constitutionally sufficient

because it alleged interdependent conduct, even if it did not use the word

“interdependent.” “Specifically, the indictment alleged that the conspirators were

members or affiliates of the Hoover Crips street gang, and described the different

roles the conspirators played in the ongoing conspiracy, including meeting to plan

the robberies, stealing the vehicles that would be used, acting as lookouts, using

cell phones to communicate about the robberies, brandishing and discharging

firearms, and demanding money and controlled substances.” Appellee’s Br. at 36.

   Interdependence “exists where coconspirators ‘inten[d] to act together for

their shared mutual benefit within the scope of the conspiracy charged.’” United

States v. Caldwell, 589 F.3d 1323, 1329 (10th Cir. 2009) (alteration in original)


   9
      The actual gang-certification records use the word “associate,” but the
parties use the word “affiliate” to describe someone who has a relationship with
the Hoover Crips but is not a member. We will use the word “affiliate”
throughout this opinion for consistency with the parties’ usage.

                                      - 10 -
(quoting United States v. Evans, 970 F.2d 663, 671 (10th Cir. 1992)). In Bedford,

we evaluated whether the indictment in that case sufficiently alleged

interdependence. 536 F.3d at 1156–57. We held that “while not using the label

interdependent, the indictment described the interdependent behavior of the

coconspirators in the sections entitled ‘Manner and Means of the Conspiracy’ and

‘Overt Acts.’ Thus, the indictment sufficiently charged [the] Defendant with the

elements of conspiracy.” Id. at 1157 (citation omitted).

   Here, the indictment alleged that “[i]t was part of the conspiracy that the

conspirators were and are members or affiliates with the Hoover Crips street

gang.” It went on to list the specific actions each defendant completed in

furtherance of the conspiracy. For example, the indictment alleged that the

members met to plan the robberies, stole vehicles to commit the robberies, and

met to divide the stolen goods from the robberies. While it did not use the word

“interdependent,” the indictment alleged specific interdependent behavior

throughout the “Overt Acts” section.

   We think that Vernon’s indictment was constitutionally sufficient. Our

conclusion here is best demonstrated by comparing United States v. Prentiss, 273

F.3d 1277, 1283–84 (10th Cir. 2001), where we vacated the defendant’s

conviction for arson, with Bedford, 536 F.3d at 1156–57 (affirming the

sufficiency of the defendant’s conspiracy indictment). In Prentiss, the uncharged


                                       - 11 -
element was that either the victim or the defendant was a Native American, which

was not mentioned in the indictment, 273 F.3d at 1278; in Bedford, by contrast,

the indictment listed specific behavior establishing interdependence for the

conspiracy but did not mention the element expressly, 536 F.3d at 1156–57. We

nonetheless concluded that the indictment in Bedford was constitutionally

sufficient. 536 F.3d at 1157. The indictment in Prentiss, conversely, was

constitutionally defective. 273 F.3d at 1283–84.

   We think that Vernon’s indictment is akin to Bedford, not Prentiss. The

indictment described the coconspirators’ alleged interdependent actions. 10 It put

Vernon on notice of the charges against which he had to defend and enabled him

to assert a double-jeopardy defense. Vernon’s indictment was constitutionally

sufficient. We affirm the district court.


                            III. MOTIONS TO SEVER

   We next consider Vernon’s argument regarding his unsuccessful motion to

sever. We review the denial of a motion to sever for an abuse of discretion.

Evans, 970 F.2d at 675. We will not reverse absent a strong showing of prejudice.
   10
      Whether the indictment sufficiently alleged interdependence is a distinct
question from whether there was sufficient evidence to prove it. For instance, the
indictment alleged that the coconspirators had operated together as members of
the Hoover Crips street gang. At the indictment stage, this adequately alleged
interdependence. But as we conclude below, the gang evidence introduced at trial
was insufficient to establish interdependence for the global conspiracy.

                                        - 12 -
Id. “Neither a mere allegation that [the] defendant would have a better chance of

acquittal in a separate trial, nor a complaint of the ‘spillover effect’ [of damaging

evidence] is sufficient to warrant severance.” United States v. Edwards, 69 F.3d

419, 434 (10th Cir. 1995) (second alteration in original) (quoting United States v.

Levine, 983 F.2d 165, 167 (10th Cir. 1992)). In a conspiracy trial, we presume

that persons charged together should be tried together. United States v. Stiger,

413 F.3d 1185, 1197 (10th Cir. 2005); Edwards, 69 F.3d at 434. Further, joinder

of a conspiracy count in the same indictment and trial as the underlying

substantive offenses is proper under Fed R. Crim. P. 8(a). United States v.

Thompson, 286 F.3d 950, 968 (7th Cir. 2002).

   Under Fed. R. Crim. P. 14, Vernon filed a pretrial motion to sever his charged

offenses into two trials and to sever his trial from the other defendants. 11 Vernon

attempted to show the necessary prejudice under Rule 14 by identifying certain

coconspirator statements that, if introduced at trial, would prejudice him. Taking

its cue from Rule 14(b), 12 the district court required the government to deliver to



   11
      Specifically, Vernon asked the district court to sever and try separately
Count Two, which related to the IBC robbery. Vernon also requested the district
court to sever Counts Five and Six, which involved the robbery committed by
Vernon, Lewis, Deandre, Devers, and Tiger.
   12
     This rule requires that “[b]efore ruling on a defendant’s motion to sever, the
court may order a government attorney to deliver to the court for in camera

                                       - 13 -
the court for in camera inspection any coconspirator statements it intended to use

at trial. After reviewing that evidence, the district court excluded one of Vernon’s

coconspirator’s statements, concluding it was inadmissible under Fed. R. Evid.

801(d)(2)(E) because it was not uttered during and in furtherance of the

conspiracy. The district court denied the severance motions. 13



inspection any defendant’s statement that the government intends to use as
evidence.” Fed. R. Crim. P. 14(b).
   13
        The court explained:

        Based upon the evidence presented by the government, this court
        finds that the government did not present independent admissible
        evidence of a conspiracy. During said hearing numerous statements
        were identified as having been made by one or more of the
        defendants. According to the government’s summation of the
        evidence, however, the only statements which the government will
        seek to admit as co-conspirators statements were made by Defendant
        Devers to Duncan Herron. Since the government’s evidence failed to
        prove a conspiracy, this court finds said statements are not
        admissible under Fed. R. Evid. 801(d)(2)(E).

R. vol. 1, at 448. Vernon points to this statement in support of his argument that
the trials and charges should have been severed because the government failed to
properly indict or prove a conspiracy. In equating a preliminary finding of
conspiracy enabling the government to introduce coconspirator statements under
Rule 801(d)(2)(E) with the sufficiency of a conspiracy charge in an indictment,
Vernon errs. See generally United States v. Urena, 27 F.3d 1487, 1490 (10th Cir.
1994) (noting that the defendant’s contention that the district court erred in
denying his motion for judgment of acquittal “amount[ed] to a simple hearsay
objection”) (“The strongly preferred order of proof in determining the
admissibility of an alleged coconspirator statement is first to hold a [hearing] . . .
outside the presence of the jury to determine by a preponderance of the evidence
the existence of a predicate conspiracy.”).

                                        - 14 -
   To this court, Vernon makes a slightly different argument under Fed. R. Crim.

P. 8(b), asserting that the claims against Vernon had to be severed from unrelated

charges against codefendants. He confuses the issues: Rule 8 is a permissive rule

that allows courts to join defendants and charges under certain circumstances;

Rule 14 provides relief from prejudicial joinder. Vernon admits that if the

indictment had properly alleged a global conspiracy, then the district court could

properly join the counts under Rule 8.

   Fed. R. Crim. P. 8(a) governs the joinder of offenses: the indictment may

charge a defendant “with [two] or more offenses if the offenses charged . . . are

of the same or similar character, or are based on the same act or transaction, or

are connected with or constitute parts of a common scheme or plan.” Fed. R.

Crim. P. 8(b) governs the joinder of defendants: the indictment “may charge

[two] or more defendants if they are alleged to have participated in the same act

or transaction, or in the same series of acts or transactions, constituting an

offense or offenses.” We construe Rule 8 broadly to “allow liberal joinder to

enhance the efficiency of the judicial system.” United States v. Jones, 530 F.3d

1292, 1298 (10th Cir. 2008) (quoting United States v. Johnson, 130 F.3d 1420,

1427 (10th Cir. 1997)).




                                         - 15 -
   We do not think that the trial court erred in denying either severance motion.

First, joinder of offenses was proper under Fed. R. Crim. P. 8(a) because the

individual robberies were alleged as the overt acts establishing the conspiracy.

Second, the district court properly joined the defendants’ trials under Fed. R.

Crim. P. 8(b) because the defendants were charged together as coconspirators. 14

   Finally, Vernon makes no argument regarding any resulting prejudice. At

most, he argues that he “was forced to defend himself in a trial that involved

presentation of gang evidence and evidence regarding three robberies the

government concedes he did not commit.” Appellant’s Br. at 32. Under Edwards,

this is insufficient to establish prejudice. See 69 F.3d at 434. While Vernon

broadly alleges prejudice, he does not point to any specific instances in his trial

where prejudice occurred. This broad contention is insufficient. 15 See United

States v. Pursley, 474 F.3d 757, 766 (10th Cir. 2007) (“To establish prejudice, a

defendant must point to a ‘specific trial right’ that was compromised or show the

jury was ‘prevent[ed] . . . from making a reliable judgment about guilt or



   14
      We note that our conclusion here does not change because we later conclude
that the government failed to prove the global conspiracy. At the time of the
district court’s order, the district court had properly joined the charges and trials.
   15
      For example, if two defendants intend to present antagonistic defenses, a
district court can conclude that the joinder of their trials would prejudice the
defendants. See, e.g., United States v. Pursley, 474 F.3d 757, 765–66 (10th Cir.
2007).

                                        - 16 -
innocence.’”) (alterations in original) (quoting Zafiro v. United States, 506 U.S.

534, 539 (1993)).

   We affirm the district court’s denial of the severance motions.


                                IV. VARIANCE

   Next, Vernon argues that the government failed to prove the global conspiracy

charged in Count One. To prove a conspiracy, the government must prove four

elements: (1) that two or more people agreed to violate the law; (2) that the

defendant knew at least the conspiracy’s essential objectives; (3) that the

defendant knowingly became a part of the conspiracy; and (4) that the

coconspirators were interdependent. United States v. Sells, 477 F.3d 1226, 1235

(10th Cir. 2007). Vernon disputes only whether the government introduced

enough evidence to establish the fourth element, interdependence—and if it did

not, whether its failure to introduce sufficient evidence constitutes a fatal

variance.

   “We treat a conspiracy variance claim as an attack on the sufficiency of the

evidence supporting the jury’s finding that each defendant was a member of the

same conspiracy.” United States v. Carnagie, 533 F.3d 1231, 1237 (10th Cir.

2008) (quoting United States v. Griffin, 493 F.3d 856, 862 (7th Cir. 2007)). We

review de novo challenges to the sufficiency of the evidence. United States v.



                                      - 17 -
Wells, 739 F.3d 511, 525 (10th Cir. 2014). We must take the evidence and draw

all reasonable inferences in favor of the government. Id. “Distinguishing between

a single, large conspiracy and several smaller conspiracies is often difficult; we

will generally defer to the jury’s determination of the matter.” Caldwell, 589 F.3d

at 1329. The existence of a variance that would support acquittal is a legal

question also reviewed de novo. Id. at 1328, 1333.

   Interdependence is the focal point for determining whether a single conspiracy

existed, and it “exists where coconspirators ‘inten[d] to act together for their

shared mutual benefit within the scope of the conspiracy charged.’” Id. at 1329

(alteration in original) (quoting Evans, 970 F.2d at 671). “[I]nterdependence

exists where each [coconspirator’s] activities constituted essential and integral

steps toward the realization of a common, illicit goal.” Edwards, 69 F.3d at 431

(quoting United States v. Fox, 902 F.2d 1508, 1514 (10th Cir. 1990)) (internal

quotations omitted). It requires that all coconspirators have a single criminal

objective, not just similar or parallel objectives between similarly situated people.

Evans, 970 F.2d at 670. We must evaluate “what kind of agreement or

understanding existed as to each defendant.” United States v. Record, 873 F.2d

1363, 1368 (10th Cir. 1989) (quoting United States v. Borelli, 336 F.2d 376, 384

(2d Cir. 1964)). Circumstantial evidence can often prove this. United States v.

Hutchinson, 573 F.3d 1011, 1035 (10th Cir. 2009).


                                       - 18 -
   A “variance arises when an indictment charges a single conspiracy but the

evidence presented at trial proves only the existence of multiple conspiracies.”

Carnagie, 533 F.3d at 1237 (citing United States v. Ailsworth, 138 F.3d 843, 848

(10th Cir. 1998)). The prohibition against variances is intended to protect the

fairness of the defendant’s trial. See generally Wayne R. LaFave et al., 5 Crim.

Proc. § 19.6(b) (3d ed. 2014) (discussing the origin of the prohibition against

variances from Berger v. United States, 295 U.S. 78 (1935), and the policy

justifications for the rule). A variance constitutes reversible error only if it affects

the substantial rights of the defendant. Edwards, 69 F.3d at 433; see also

Caldwell, 589 F.3d at 1333.

   We explained in United States v. Harrison that “[a] defendant’s substantial

rights are not prejudiced merely because the ‘defendant is convicted upon

evidence which tends to show a narrower scheme than that contained in the

indictment, provided that the narrower scheme is fully included within the

indictment.’” 942 F.2d 751, 758 (10th Cir. 1991) (quoting United States v. Mobile

Materials, 881 F.2d 866, 874 (10th Cir. 1989)); see also Carnagie, 533 F.3d at

1241 (“When a narrower scheme than the one alleged is fully included within the

indictment and proved, we have repeatedly held that a defendant’s substantial

rights are not prejudiced.”). A variance can be prejudicial by either failing to put

the defendant on sufficient notice of the charges against him, United States v.


                                         - 19 -
Windrix, 405 F.3d 1146, 1154 (10th Cir. 2005), or by causing the jury to

determine the defendant’s guilt by relying on evidence presented against other

defendants who were involved in separate conspiracies (the so-called “spillover

effect”), Edwards, 69 F.3d at 433. When deciding whether a prejudicial guilt-

spillover occurred, we consider (1) whether the separate conspiracies affected the

jury’s ability to evaluate each defendant’s individual actions, (2) whether the

variance caused the jury to misuse evidence, and (3) the strength of the evidence

underlying the conviction. Carnagie, 533 F.3d at 1241.

   In this case, in Count One, the government charged the defendants, including

Vernon, with conspiring to rob banks, credit unions, and pharmacies throughout

Tulsa as members or affiliates of the Hoover Crips. The government listed the

following manner and means of the conspiracy: (1) “[T]he conspirators were and

are members or affiliates with the Hoover Crips street gang”; (2) “[T]he

conspirators   would   and   did   commit      robberies of   businesses,   including

pharmacies, banks and a credit union”; (3) “[T]he conspirators would and did use

firearms during the robberies”; (4) “[T]he conspirators would and did use cellular

phones to communicate before, during and after robberies”; and (5) “[T]he

conspirators would and did threaten persons who were potential witnesses to

robberies.” Count One listed 26 overt acts that various conspirators allegedly




                                      - 20 -
took in furtherance of the conspiracy. These overt acts included six robberies

charged directly against various combinations of the charged conspirators.

   In Vernon’s pretrial motion to dismiss Count One of the indictment, he argued

that there was a fatal variance between the indictment and the evidence proved at

trial. He argued that the indictment alleged a global conspiracy, but that the

evidence would show only multiple, smaller conspiracies. The district court

denied this motion, but it advised Vernon that he could “reurge this motion after

all of the evidence has been presented at trial.” The government’s theory at trial

was that Vernon and his coconspirators were members of the Hoover Crips, and

through this association, they had conspired to commit multiple robberies.

Vernon argues that this evidence was insufficient to prove interdependence for

the global conspiracy.

   We agree with Vernon that the record shows insufficient evidence that the

charged coconspirators shared a single, shared unlawful goal or purpose of

robbing banks, credit unions, and pharmacies as the indictment charged. 16 See

United States v. Daily, 921 F.2d 994, 1007 (10th Cir. 1990) (“[T]he focal point of

the [interdependence] analysis is whether the alleged co-conspirators were united

   16
     We think that the indictment properly alleged a single, shared unlawful goal
or purpose for the global conspiracy, but the evidence at trial instead only
established multiple, separate conspiracies. Accordingly, we do not need to
address Vernon’s argument that if the indictment alleged multiple conspiracies, it
was duplicitous.

                                      - 21 -
in a common unlawful goal or purpose.”), overruled on other grounds by United

States v. Gaudin, 515 U.S. 506 (1995). As we explained in Carnagie, “[a]

common goal, however, is not by itself enough to establish interdependence:

[w]hat is required is a shared, single criminal objective, not just similar or

parallel objectives between similarly situated people.” 533 F.3d at 1239

(emphasis in original) (internal quotations omitted) (quoting Evans, 970 F.2d at

671). Conspiring to commit one of the individual robberies, without more, does

not amount to conspiring to commit all of the robberies. Even though the general

objective between the individual robberies was the same—the robbery of banks,

credit unions, or pharmacies for drugs or money—that does not necessarily mean

that the separate groups were interdependent. See id. at 1238–40.

   For the global conspiracy, the jury had to infer that because all of the

conspirators were members or affiliates of the Hoover Crips, they must have had

a shared, criminal objective sufficient to establish interdependence. We do not

think that is enough. In United States v. Robinson, 978 F.2d 1554, 1563 (10th Cir.

1992),   we   explained   that,   while    gang-affiliation   evidence   is   probative

circumstantial evidence tending to show agreement, purpose, and knowledge for a




                                          - 22 -
conspiracy, gang-affiliation evidence “alone could not support a conviction.” 17

The defendants in Robinson stood trial for conspiring to distribute, possess, and

manufacture cocaine base. Id. at 1558. In that case, unlike here, the government

admitted evidence beyond gang membership to prove the drug conspiracy. Id. at

1563. For instance, there was “uncontroverted testimony that the main purpose of

the [gang] was to sell cocaine” and “ample evidence of drug trafficking in

addition   to   the   gang    related    items   discovered    at   the   apartment

. . . .” Id. at 1561–63. For the conspirators in this case, we see no evidence, other

than gang membership, that shows or provides a sufficient inference of a shared

criminal goal to rob banks and pharmacies.

   For instance, there was no evidence showing that the individual robbers

“benefitted from or depended upon the success of the” other robbers or robberies.

See Carnagie, 533 F.3d at 1240 (citing United States v. Yehling, 456 F.3d 1236,

1241 (10th Cir. 2006) (“[E]ach coconspirator’s actions must facilitate the

endeavors of other alleged coconspirators or facilitate the venture as a whole.”)).

There must be at least some evidence of “mutual dependence.” Id.; see also

Kotteakos v. United States, 328 U.S. 750, 754–55 (1946). The conspirators’

affiliations with the Hoover Crips, by itself, are not enough to establish

   17
     We note that the gang-certification evidence introduced at trial only showed
that Vernon was a known affiliate of the Hoover Crips, not necessarily a full-
fledged member.

                                        - 23 -
interdependence. Lacking from the government’s proof was any showing that for

any particular robbery, anyone but the robbers committing it benefitted in any

way—that is, we see no evidence that nonparticipating gang members or affiliates

shared in any stolen drugs or money. In one very real sense, each individual bank,

credit union, or pharmacy robbery harmed—not benefitted—the nonparticipating

bank robbers. After each robbery, police became more alert to future related

robberies and began to see that Hoover Crips members or affiliates were

involved.

   The government argues that the commonalities between the robberies and the

gang evidence should be enough. We disagree. While commonalities might be

enough if the means and method were unique in some way, that simply was not

the case here. Cf., e.g., United States v. Carroll, 207 F.3d 465, 469–70 (8th Cir.

2000) (finding the means and methods used in two bank robberies too generic to

permit an inference of identity under Fed. R. Evid. 404(b)). The government tried

to rely on the gang-affiliation evidence to link all of these facts together and paint

a picture of a gang-based robbery conspiracy. It also cited the discharge of

firearms and the demand of money and controlled substances during the robberies

in an attempt to prove interdependence. The use of cell phones, facemasks, guns,

bags, threats, and a stolen getaway car does not elevate this string of robberies




                                        - 24 -
into one where we can infer that the same group committed all of them. We do

not see any uniqueness in method that would support interdependence.

   Therefore, we conclude that the government introduced insufficient evidence

of interdependence to prove the global conspiracy as Count One charged. But this

does not end our inquiry. In this situation, if the government showed that Vernon

conspired to commit one or more of the individual robberies, we can still affirm

his conspiracy conviction under our circuit’s variance doctrine. See, e.g.,

Caldwell, 589 F.3d at 1332–33. This requires us to analyze (1) whether the

government proved that Vernon had conspired to commit one or more of the

individual robberies, and (2) whether this discrepancy constitutes a prejudicial

variance.

   In fact, Vernon concedes the first inquiry by admitting that multiple, smaller

conspiracies were established: 18

        At most, a juror could have inferred Vernon robbed a bank by
        himself, agreed to participate in a conspiracy to rob the Metro (with
        one group of people), and then engaged in a second conspiracy to rob
        the Arvest Bank (with his brother or brothers, who were not involved
        in the other robberies). However, no evidence links those robberies
        to each other or to some common endeavor.

   18
      Even had Vernon not conceded this argument, we think sufficient evidence
establishes two individual conspiracies. We agree with Vernon that there was
insufficient evidence introduced at trial to establish that he conspired to rob IBC
Bank. But even excluding the IBC Bank robbery, the evidence at trial still
showed two narrower conspiracies—a conspiracy to rob the Metro Pharmacy and
a conspiracy to rob the Arvest Bank.

                                        - 25 -
Appellant’s Br. at 36. In his Reply Brief, he goes even further: “Vernon does not

dispute that each robbery (excluding the IBC robbery) had more than one

participant and was planned by its robbers, whoever they were.” Appellant’s

Reply Br. at 7, 9 (“At most, the evidence shows that different people on different

dates and locations got together to plan unrelated robberies.”). Vernon rests his

appeal on the alleged prejudice that resulted from this variance. To determine if

Vernon suffered prejudice, we look at whether he received adequate notice of the

smaller conspiracies and whether there was prejudicial guilt spillover.




                 A. Did Vernon Receive Adequate Notice of the
                     Smaller Conspiracies Actually Proven?

   We conclude that the indictment adequately notified Vernon of the smaller

conspiracies ultimately presented at trial. See, e.g., Caldwell, 589 F.3d at 1333

(“When an indictment charges a conspiracy among multiple individuals, it

generally provides sufficient notice to a defendant that she must defend against

the smaller conspiracies.”). The indictment fully contemplated the smaller

conspiracies. Based on the indictment, Vernon knew that the government had

charged him with committing two robberies (not including his earlier conviction




                                       - 26 -
for the Arvest Bank robbery). By reading the indictment, Vernon could fully

anticipate evidence about the Hoover Crips and his conduct in committing the

IBC Bank, Metro Pharmacy, and Arvest Bank robberies. This adequately notified

him of his need to defend against the smaller conspiracies ultimately proved.


                    B. Was There Prejudicial Guilt Spillover?

   Second, “[a] defendant’s substantial rights are affected in the context of a

variance when the jury determines a defendant’s guilt by relying on evidence

adduced against coconspirators who were involved in separate conspiracies.”

Edwards, 69 F.3d at 433. To evaluate whether a prejudicial spillover occurred,

reviewing courts look to three factors: (1) whether the separate conspiracies

affected the jury’s ability to evaluate each defendant’s individual actions;

(2) whether the variance caused the jury to misuse evidence; and (3) the strength

of the evidence underlying the conviction. Carnagie, 533 F.3d at 1241. Applying

these factors, we conclude that there was no spillover-guilt effect in this case.


         i. Did the Separate Conspiracies Affect the Jury’s Ability to
                Evaluate Each Defendant’s Individual Actions?

   Evaluating the first Carnagie factor, we conclude that the evidence of separate

conspiracies did not impair the jury’s ability to segregate each conspirator’s

actions. As the Supreme Court explained in Kotteakos, the greater number of



                                        - 27 -
defendants tried and conspiracies established, the more likely it is that prejudice

will result. 328 U.S. at 772–73. In that case, more than thirty people were

indicted, with nineteen tried together, and at least eight separate conspiracies

established. See id at 766.

   The Court created no fixed rule based on the numbers for determining when

prejudice occurs. Id. at 773–74 (expressing no opinion on what “marks the limit,”

but making clear that it exists somewhere between Berger and Kotteakos).

Reviewing courts must look to the facts of each case to determine whether a

defendant has suffered substantial prejudice. See generally Carnagie, 533 F.3d at

1242 (holding that trying three defendants together for three separate

conspiracies, given other factors, did not constitute prejudice). In this case, there

were only three defendants tried together (Vernon, Dejuan, and Deandre) and five

conspiracies proven (Dooley Pharmacy, Barnes Pharmacy, Metro Pharmacy,

Tulsa Credit Union, and Arvest Bank). As in Carnagie, “the number of

defendants tried and conspiracies proven do not reach the magnitude of

Kotteakos, and thus the risk of prejudice is not as great.” Id. (citing Kotteakos,

328 U.S. at 774).

   In support of his argument that he suffered prejudice from evidentiary

spillover, Vernon makes three arguments: (1) “the government admitted and

highlighted a great deal of evidence about crimes Vernon clearly did not


                                       - 28 -
commit”; (2) “[t]he government also used the Global Conspiracy theory as a

justification to present gang evidence at trial”; and (3) “the jury’s special

interrogatory answers in connection with the verdict against Vernon contained

adverse findings about the Dooley Pharmacy, the T. Roy Barnes [Pharmacy], and

Tulsa Municipal Employees Credit Union robberies, absent any evidence linking

Vernon to those crimes.” Appellant’s Reply Br. at 16.

   Vernon’s first argument is unpersuasive. There were very clear distinctions

between the evidence that was relevant to each defendant. As in Carnagie, the

evidence here was not so intricate as to render the jury unable to separate the

evidence associated with each defendant’s individual actions. See 533 F.3d at

1242. Moreover, the evidence from the other robberies was “of the exact same

character” as the evidence from the three robberies involving Vernon. See id.

“We have held that such a similarity between different transactions cuts against a

finding of substantial prejudice.” Id.; cf. United States v. Bertolotti, 529 F.2d 149,

157 (2d Cir. 1975) (finding a prejudicial variance based in part on the fact that

“the crimes of the various appellants . . . scarcely resembled one another”).

   Nor does Vernon’s second argument persuade us. As we explain below, we

conclude that the district court properly admitted gang-affiliation evidence

against Vernon under Fed. R. Evid. 403. Its probative value, even in light of the

danger of unfair prejudice, would have existed even if Vernon had stood trial for


                                        - 29 -
conspiring to commit the three smaller robberies. The evidence still would have

tended to show purpose, knowledge, and intent to commit the three robberies,

especially for the Metro Pharmacy robbery, which involved a wider, more diverse

group of coconspirators (than the Arvest Bank robbery), who shared ties with

each other through the Hoover Crips. Because we conclude that this evidence was

admissible under Fed. R. Evid. 403, we also conclude that its admission does not

constitute substantial prejudice for the purpose of the variance analysis. Vernon

makes no particularized argument regarding why the gang evidence caused him

substantial prejudice; he simply asserts that it did.

   Evaluating his final argument, we fail to see what “adverse findings” the

jury’s special interrogatory answers contain. In our view, the special

interrogatories show that the jury understood that it could hold each defendant

accountable only for the evidence introduced against him.


           ii. Did the Variance Cause the Jury to Misuse Evidence?

   Under Carnagie’s second prong, we must examine whether a variance caused

juror confusion about the legal limitations on the use of certain evidence. 533

F.3d at 1243. Vernon does not allege this type of prejudice. In fact, the district

court excluded all coconspirator statements that the government had sought to




                                        - 30 -
introduce under Fed. R. Evid. 801(d)(2)(E). After reviewing the record, we

conclude that there was no prejudice from jury confusion.


                  iii. Was there Sufficiently Strong Evidence
                        Underlying the Jury’s Decision?

   Under Carnagie’s final prong, we must consider the strength of the evidence

underlying the jury’s conviction on Count One, the global conspiracy. To do so,

we examine the evidence supporting the “smaller, separate conspiracies.”

Carnagie, 533 F.3d at 1243. As first noted earlier, we conclude that the

government presented sufficient evidence to prove that Vernon conspired with

others to rob Metro Pharmacy and Arvest Bank.

   For the Metro Pharmacy robbery, Herron testified that Vernon had planned

and participated in the robbery. Herron walked into the pharmacy to buy some

medicine, texted Devers as he was leaving, and held open the door for Vernon,

Lewis, and Devers because customers had to be buzzed into the pharmacy. Once

inside, those three men robbed the pharmacy, and two of the robbers displayed

guns, with the third robber (Vernon) carrying a bag. After the robbery, the men,

except Herron, got into a van parked outside of the pharmacy and drove away.

   For Arvest Bank, the government presented evidence that two armed, masked

men robbed it. The tellers gave the robbers previously concealed and marked $50

bait bills and a strap of $20 bills containing a GPS tracker. Officers immediately

                                      - 31 -
began receiving location updates from the tracker. The device stopped moving

near 1109 East Pine Street, which was near Vernon’s known residence at 1107

East Pine Street. The officers obtained a search warrant for Vernon’s house.

Before they executed the search warrant, the officers arrested Vernon and Stanley

after they emerged from the house. Upon executing the search warrant, the

officers found money stolen from the bank, the GPS tracker, a Glock pistol, a

hooded black sweatshirt, a ski mask, gloves, and dark-colored pants, all of which

they believed had been used in the robbery. This is enough evidence to prove that

Vernon was involved in the conspiracy to rob Arvest Bank. That being so, we

conclude that Vernon did not suffer prejudice from any guilt transference.

   In sum, we conclude that Vernon did not suffer substantial prejudice from the

variance. We affirm his conviction on Count One.


                          V. INTRINSIC EVIDENCE

   Vernon argues next that some evidence the district court admitted as intrinsic

to the charged crimes was instead extrinsic. At trial, the government introduced

evidence establishing all six charged robberies, including the three involving

Vernon (IBC, Metro Pharmacy, and Arvest Bank), and one robbery not charged to

anyone (CVS Pharmacy). Under Fed. R. Evid. 404(b), Vernon objected to the

court’s admitting evidence of any robbery not charged to Vernon as improper



                                      - 32 -
because there was no global conspiracy. The trial court admitted all of the

evidence, finding that it was intrinsic evidence, outside the scope of Fed. R. Evid.

404(b), because it was “closely related to the conspiracy charged and [fell] within

the relevant time frame.”

   Vernon argues on appeal that the government presented three extra trials

relating to robberies Vernon certainly did not commit. The government responds

that the challenged evidence was intrinsic evidence, not subject to Fed. R. Evid.

404(b), because it all was either charged to one of the coconspirators or it took

place during the same timeframe as the conspiracy.

   Fed. R. Evid. 404(b) applies only to evidence of acts extrinsic to the charged

crime. Record, 873 F.2d at 1372 n.5. An uncharged act may not be considered

extrinsic if it was part of the scheme for which a defendant is being prosecuted,

id., or inextricably intertwined with the charged crime such that a witness’s

testimony would have been confusing and incomplete without mention of the

prior act, United States v. Johnson, 42 F.3d 1312, 1316 (10th Cir. 1994). To be

considered intrinsic evidence, rather than extrinsic, “the government’s use of

evidence of wrongful, uncharged acts [must be] necessary to contextualize” the

evidence introduced at trial. United States v. Hood, 774 F.3d. 638, 644 (10th Cir.

2014) (concluding that evidence establishing why the police officers were at a

particular location qualified as intrinsic evidence, not subject to Fed. R. Evid.


                                       - 33 -
404(b)). We review the trial court’s decision to admit evidence for an abuse of

discretion. United States v. Neal, 718 F.2d 1505, 1509–10 (10th Cir. 1983).


                         A. Evidence of the Traffic Stop

   First, Vernon appeals the district court’s decision to admit evidence of a

traffic stop involving Lewis, Eddie Brown, and Patrick Crisp. In an attempt to

prove a substantive charge against Deandre for the Credit Union robbery, the

government introduced evidence of the traffic stop, which occurred almost a

month after that robbery. The evidence showed that during a search of the car, the

officers found marijuana, two bottles of codeine cough syrup, and a large amount

of cash. The government argued, and the district court agreed, that this evidence

helped prove the Credit Union robbery.

   We decline to decide whether the district court properly admitted this evidence

as intrinsic evidence for the Credit Union robbery because any error was

harmless. The admission of this evidence constitutes a nonconstitutional error, so

we only decide whether the evidence, in light of the entire record,

(1) substantially influenced the outcome of the trial or (2) leaves us in grave

doubt as to whether it had such an effect. Kotteakos, 328 U.S. at 764–65

(establishing the harmless error rule); United States v. Tome, 61 F.3d 1446, 1455

(10th Cir. 1995). The traffic stop did not even involve Vernon, and he makes no



                                      - 34 -
particularized argument as to how this evidence substantially influenced the

outcome of his trial. Accordingly, error here, if any, was harmless.


                   B. Evidence of the CVS Pharmacy Robbery

   Vernon complains that the district court allowed evidence of the uncharged

CVS Pharmacy robbery just because it occurred within the timeframe of the

conspiracy and was similar to the charged robberies. Separate from his concern

over whether this evidence was intrinsic, Vernon argues that the district court

erred in admitting this evidence because there was no proof that Vernon was

involved in the CVS robbery.

   In response, the government contends that this evidence helped establish

interdependence by demonstrating the individual robbers’ specific roles over the

course of multiple robberies. Accordingly, the government argues, the district

court did not abuse its discretion in admitting evidence of the CVS robbery as

direct evidence of the charged conspiracy.

   We disagree with the government. Herron told Officer Ryden that Vernon

participated in the Metro Pharmacy robbery. Based on this information from

Herron, Officer Ryden compared the video from the Metro Pharmacy robbery to

the CVS Pharmacy robbery, attempting to ascertain whether any one person

participated in both robberies. Based on the video footage, Officer Ryden thought



                                       - 35 -
that Lewis participated in both because of his physical appearance, his left-

handedness, and his use of a firearm in both robberies. He also concluded that

Devers participated in both because of his physical appearance and clothing worn

in both robberies. Finally, Officer Ryden thought that the third person in both

robberies was Vernon because he looked similar in the videos and he carried a

bag, not a gun.

   During its closing argument, the government discussed the CVS Pharmacy

robbery, saying, “Following [the Metro Pharmacy robbery], the CVS store was

robbed. And exactly what happens then? They have now learned, thanks to the

Metro robbery, you steal a vehicle, you don’t leave anything in it.” The

government then went on to compare the CVS robbery to the other robberies,

arguing that Vernon was one of the men in the tape from the CVS robbery.

   To admit evidence as intrinsic—and to avoid having to comply with Fed. R.

Evid. 404(b)’s requirements—the evidence must provide context for other

admissible evidence or witness testimony. The district court explained that “such

evidence can be considered intrinsic evidence falling outside of Rule 404(b)

usually—and this is where I’m hanging my hat on this—usually when that

evidence is closely related to the conspiracy charged and falls within the relevant

time frame.” The court went on, “I think that describes the evidence that I

anticipate the government intends to introduce. . . . I [find] that it is intrinsically


                                        - 36 -
connected to the evidence that’s been put on of the other robberies so it comes

into evidence under that theory.” As such, the court concluded that this evidence

fell outside Fed. R. Evid. 404(b)’s scope.

   This is not enough. The CVS Pharmacy robbery evidence needed to provide

context to other admissible evidence, or more relevant here, it needed to

contextualize a witness’s testimony. In Hood, for example, the only way the

officer could explain being at the apartment complex where he encountered

Hood was by referring to the burglary investigation. 774 F.3d at 644. If the

officer had not mentioned that investigation and background, his testimony about

being at the apartment complex would have confused the jury. Id. So had Officer

Ryden’s investigation of the CVS Pharmacy robbery led him to suspect Vernon’s

involvement in the Metro Pharmacy robbery, or something similar, the CVS

Pharmacy robbery evidence would provide context for evidence of the charged

crime. But that was not the case here. The CVS Pharmacy robbery was merely

evidence of a robbery occurring around the same time, nothing more. Minimizing

jury confusion is the most important consideration in determining whether

something is intrinsic evidence, not simply when the alleged bad act took place.

   We therefore conclude that the district court abused its discretion in admitting

the evidence of the CVS Pharmacy robbery. However, we also conclude that this

error was harmless. Because the admission of the CVS Pharmacy evidence


                                       - 37 -
constitutes a nonconstitutional error, we review only for whether the evidence, in

light of the entire record, (1) substantially influenced the outcome of the trial, or

(2) leaves us in grave doubt as to whether it had such an effect. Kotteakos, 328

U.S. at 764–65; Tome, 61 F.3d at 1455.

   In this case, given the breadth and depth of admissible evidence establishing

the charged robberies, we cannot say that the admission of the CVS Pharmacy

robbery evidence substantially influenced the outcome of the trial. Certainly, the

government used the evidence to attempt to establish Vernon’s guilt for the

global conspiracy count by showing the commonalities between the CVS

Pharmacy robbery and the other robberies. But as we have already held above, the

government failed to prove the global conspiracy. As such, the CVS Pharmacy

evidence had little bearing on the trial’s outcome. Further, the admission of the

evidence does not leave us in grave doubt as to whether it had such an effect. We

are therefore confident that the error was harmless, and we affirm the district

court.


                    VI. GANG-AFFILIATION EVIDENCE

   Vernon also appeals the district court’s decision to admit the gang-affiliation

evidence, arguing it was irrelevant and unfairly prejudicial. Evidence is relevant

if it has any tendency to make a fact of consequence more or less probable. Fed.



                                       - 38 -
R. Evid. 401. Under Rule 403, a trial court may exclude otherwise “relevant

evidence if its probative value is substantially outweighed by a danger of . . .

unfair prejudice . . . .” We “afford[] the district court considerable discretion in

performing the Rule 403 balancing test because district court judges have

front-row seats during trial and extensive experience ruling on evidentiary

issues.” United States v. Archuleta, 737 F.3d 1287, 1292 (10th Cir. 2013)

(quoting United States v. MacKay, 715 F.3d 807, 839 (10th Cir. 2013)). We

review a district court’s evidentiary determinations for an abuse of discretion.

United States v. Flanagan, 34 F.3d 949, 952–53 (10th Cir. 1994).

   Vernon filed a motion in limine to exclude all evidence of his alleged

gang-affiliation and any mention that the crimes were gang-related. He argued

that the evidence was irrelevant and alternatively that Rule 403 precluded

admission of the evidence. The district court denied the motion, concluding that

the gang evidence was relevant and that the probative value of the evidence

outweighed the danger of unfair prejudice.

   At trial, the government introduced evidence that Vernon and some of his

other alleged coconspirators were members or affiliates of the Hoover Crips

street gang. For instance, Anthony Campbell testified regarding his experience as

a member of the Hoover Crips from 1993 to 2003. As discussed already, this was

the government’s theory of interdependence for the global conspiracy. The Tulsa


                                       - 39 -
Police Department has a system for “certifying” individuals as gang members or

affiliates based on a point system. Officer Steven Sanders testified that Vernon

had some points, but he did not have enough to be a certified gang member; the

Tulsa Police Department considered him only an affiliate of the Hoover Crips.

Even so, Herron testified that Vernon was an actual member of the Hoover Crips,

specifically the 27 sect. The government used the gang evidence as circumstantial

evidence of interdependence between the coconspirators for all of the charged

robberies.

   On appeal, Vernon makes only the bare assertion that “the government

presented irrelevant, prejudicial evidence regarding the Hoover Crips street gang

. . . .” Appellant’s Br. at 38. The government responds that the gang affiliation

evidence was probative to establish an agreement among the defendants, the

purpose of the conspiracy, and knowledge by the defendants.

   We first conclude that the evidence was relevant. To prove guilt under Count

One—that Vernon had conspired with others to rob banks, credit unions, and

pharmacies—the government had to show that he agreed with at least one other

person to do so. See Caldwell, 589 F.3d at 1329. We have previously held that

“where conspiracy is charged[,] gang-affiliation testimony may be relevant.”

Archuleta, 737 F.3d at 1293–94 (citing multiple cases where this court has

allowed gang-related evidence to prove conspiracy); see also, e.g., United States


                                      - 40 -
v. Brown, 200 F.3d 700, 708 (10th Cir. 1999) (same). Gang evidence is often

relevant to the formation of the conspiracy, the agreement of the coconspirators,

the purpose of the conspiracy, and the knowledge attributable to the conspirators.

Robinson, 978 F.2d at 1562–63. But gang evidence alone cannot support a

conviction. Id. at 1563. Here, we conclude that the gang evidence was properly

admitted because it provided circumstantial evidence that Vernon was involved in

forming and agreeing to participate in the global conspiracy and knew its

purpose. See id. at 1562–63.

   Certainly, we concluded above that the evidence at trial established

interdependence only for the smaller conspiracies to rob the individual banks or

pharmacies. But we must remember that at the time of the district court’s ruling,

the district court had properly joined the alleged coconspirators’ trials, and we

review the district court’s decision based on the facts then available to it. The

probative value of the gang evidence was considerable, given that Vernon

disputed interdependence by arguing that the codefendants did not know each

other and did not have a joint motive. Therefore, it was probative circumstantial

evidence to disprove Vernon’s claim. See, e.g., id. at 1562 (“Circumstantial

evidence is often the strongest evidence of conspiracy.”). Even for the individual

conspiracies that the government actually proved at trial, this evidence had

probative value, just on a smaller scale.


                                        - 41 -
   Finally, the danger of unfair prejudice was limited, given that the

gang-affiliation evidence was only a small part of the evidence against Vernon.

Other direct and circumstantial evidence proved that Vernon helped commit the

robberies. For instance, Herron testified that Vernon met with others to plan the

Metro Pharmacy robbery, including going into the pharmacy with two others and

demanding money and drugs. For the Arvest Bank robbery, the police discovered

Vernon emerging from his house shortly after the robbery. The police later found

the marked bait bills and the GPS tracker from Arvest Bank inside his house. The

evidence showed that Vernon robbed Arvest Bank with two of his brothers,

meaning that the jury did not need to rely on the gang-affiliation evidence to find

knowledge, purpose, or agreement among the coconspirators. In sum, Vernon’s

common gang membership with his coconspirators was a small part of the

evidence.

   We conclude that the district court did not abuse its discretion in admitting the

evidence.


                  VII. GANG-CERTIFICATION RECORDS

   Vernon further argues that the district court’s decision to admit his

gang-certification record and its underlying hearsay violated the Confrontation

Clause. In Crawford v. Washington, the Supreme Court held that testimonial



                                       - 42 -
hearsay is barred from admission in a criminal trial unless the witness is

unavailable and the opposing party has had an opportunity for cross-examination.

541 U.S. 36, 68 (2004). This court reviews de novo the legal question of whether

evidence at trial violates the Confrontation Clause. United States v. Summers, 414

F.3d 1287, 1298 (10th Cir. 2005). We review a decision to admit evidence that

does not implicate the Constitution for abuse of discretion. United States v.

Dowlin, 408 F.3d 647, 659 (10th Cir. 2005).

   In Crawford, the Court left the definition of testimonial “for another day.” 541

U.S. at 68. The court did explain:

      Various formulations of this core class of “testimonial” statements
      exist: “ex parte in-court testimony or its functional equivalent—that
      is, material such as affidavits, custodial examinations, prior
      testimony that the defendant was unable to cross-examine, or similar
      pretrial statements that declarants would reasonably expect to be
      used prosecutorially,” . . . “extrajudicial statements . . . contained in
      formalized testimonial materials, such as affidavits, depositions,
      prior testimony, or confessions” . . . “statements that were made
      under circumstances which would lead an objective witness
      reasonably to believe that the statement would be available for use at
      a later trial,” . . . These formulations all share a common nucleus and
      then define the Clause’s coverage at various levels of abstraction
      around it. Regardless of the precise articulation, some statements
      qualify under any definition—for example, ex parte testimony at a
      preliminary hearing.

Id. at 51–52 (citations omitted).

   Since Crawford, the Court has still not articulated a clear definition of

testimonial statements. Instead, courts have adopted an ad hoc approach for


                                       - 43 -
determining whether evidence is testimonial, and the Supreme Court has

specifically carved out numerous exceptions and limitations. See, e.g., Michigan

v. Bryant, 131 S. Ct. 1143, 1150 (2011) (holding that statements made to police

concerning an ongoing emergency are not testimonial); Davis v. Washington, 547

U.S. 813, 822 (2006) (“Statements are nontestimonial when made in the course of

police interrogation under circumstances objectively indicating that the primary

purpose of interrogation is to enable police assistance to meet an ongoing

emergency. They are testimonial when the circumstances objectively indicate that

there is no such ongoing emergency, and that the primary purpose of the

interrogation is to establish or prove past events potentially relevant to later

criminal prosecution.”). We have previously explained that testimonial hearsay

“at a minimum, [includes] prior testimony at a preliminary hearing, before a

grand jury, at a former trial, and statements made during police interrogations.”

United States v. Mendez, 514 F.3d 1035, 1043 (10th Cir. 2008) (citing Crawford,

541 U.S. at 68).

   Before trial, the district court found that Officer Sanders was not an expert in

gang membership, but it allowed him to testify as a fact witness regarding “the

gang culture within the Tulsa area, including the operation, structure and

terminology of the gang, based upon his working knowledge of the same. His

testimony will, however, be governed by Fed. R. Evid. 701.” By the district


                                      - 44 -
court’s direction, Officer Sanders could not “give his own personal opinion as to

the gang affiliation of any particular person especially where that opinion differs

from the official business records maintained by the Gang Task Force.” The court

also found that Officer Sanders’s personal opinions would be substantially more

prejudicial than probative under Fed. R. Evid. 403.

   At trial, Officer Sanders testified about the Tulsa Police Department’s gang-

certification system and records. He testified that the police department has a

group called the “Tulsa Area Response Gang Enforcement Team,” also known as

“TARGET.” The Tulsa Police Department keeps records to track the membership

of various gangs. The gang-certification records indicate whether someone is an

affiliate or a member, depending on the number of points allocated based on a

predetermined scale. The records also reference other criminal investigations by

the police department. Officer Sanders, as a member of TARGET, testified that

Vernon’s record showed Vernon as an affiliate, not a member, of the Hoover

Crips.

   The district court admitted Vernon’s gang-certification record from the Tulsa

Police Department under Fed. R. Evid. 803(6). On appeal, Vernon first argues

that the record did not qualify as a business record under Fed. R. Evid. 803(6)




                                       - 45 -
and that it is testimonial hearsay in violation of the Confrontation Clause. 19 He

argues second that the admission of the underlying hearsay (i.e., the “points”

allocated to a suspected gang member based on the Tulsa Police Department’s

classification system and the other references in the record) contained within the

records violated the Confrontation Clause. Stated differently, Vernon argues for

two separate Confrontation Clause violations: (1) the gang-certification record

itself; and (2) the references within the record to other police reports discussing

the gang activity of Vernon. We discuss each basis for appeal separately below.


                         A. Business Records Exception

   Vernon waived his argument that the gang-certification record was not

admissible as an ordinary business record. At trial, Vernon conceded that the

record was an ordinary business record that the police kept, and he did not object

to its admission on grounds that it did not qualify for admission under the

business records exception. At trial, Vernon’s attorney conceded that “[t]he
   19
      Vernon also argues to us that the actual gang-certification records were
“irrelevant pursuant to Fed. R. Evid. 401–404, given that there was no proof the
supposed global conspiracy involved the Hoover Crips gang.” Appellant’s Br. at
42. Earlier in Section VI, we concluded that the gang-affiliation evidence was
relevant and probative under Rules 401 and 403. For the same reasons we
affirmed the district court in Section VI, we affirm the district court here under
Rules 401 and 403. As such, at this juncture, we are considering only whether the
gang-certification records that the Tulsa Police Department maintained were
incorrectly admitted into evidence under Fed. R. Evid. 803(6) and the
Confrontation Clause.

                                       - 46 -
document itself is an ordinary business record that’s kept by the gang task force.”

R. vol. 3, at 1827. Accordingly, to the extent that Vernon now argues that these

did not qualify under Fed. R. Evid. 803(6), we deem that argument waived.

   Vernon responds that his admissions to the district court “did not invite any

error or waive the hearsay objection” because “[s]trictly speaking, the Gang

Certification records are a type of business record.” Appellant’s Reply Br. at 23.

This argument is unpersuasive. This case differs from those in which a defendant

generally objects on hearsay grounds and later appeals. At the district court,

Vernon agreed with the government that the gang-certification record was a

business record. The closest Vernon came to objecting to admission of the gang-

certification record was when he objected that the gang points allocated to

Vernon violated the Confrontation Clause. See R. vol. 3, at 1828 (“The points

that are attributed by those field interviews are also hearsay and violate[] the

confrontation clause.”).

   Further, Vernon did not ask for plain error review. We have held that an

appellant waives an argument if he or she fails to raise it in the district court and

later on appeal fails to argue for plain error. See, e.g., United States v. Burke, 633




                                        - 47 -
F.3d 984, 987–91 (10th Cir. 2011). We therefore do not consider the merits of

Vernon’s Fed. R. Evid. 803(6) argument. 20


                           B. The Confrontation Clause

   Because Vernon objected generally on Confrontation Clause grounds, we will

consider whether the admission of the gang-certification record and its underlying

hearsay violated Vernon’s Confrontation Clause rights. 21 Two levels of hearsay

are at play: (1) the gang-certification record itself; and (2) the hearsay statements

within the gang-certification record. Vernon argues only that “[t]he records go to

a key element of the government’s proof. Admitting the records was harmful and

prejudicial as a matter of law.”


   20
      But even if we did consider the merits, any error would be harmless because
this evidence was cumulative in light of Herron’s testimony that Vernon was a
member of the Hoover Crips. We explain this more in depth below.
   21
      Vernon did object to the admission of the gang-certification records on the
ground that they contained a second level of inadmissible hearsay in violation of
the Confrontation Clause, specifically the gang-points allocated and the
references to other police reports. R. vol. 3, at 1827–28 (“And under the
confrontation clause, those officers that have produced those documents aren’t
here to be cross-examined, it’s completely subjective as to what they saw, what
they experienced. That goes into a report that is then referenced by this gang
sheet and that’s how the points are attributed. The document itself is a business
record; however, the field interviews and the reports that are referenced within
there are hearsay. The points that are attributed by those filed interviews are also
hearsay and violates the confrontation clause.”). The government admits that the
information underlying the gang-certification records was inadmissible and that
the admission of that evidence violated the Confrontation Clause.

                                       - 48 -
   The admission of evidence in violation of the Confrontation Clause does not

automatically cause prejudice that requires reversal. See, e.g., Summers, 414 F.3d

at 1303 (concluding that substantial evidence of guilt renders a Crawford

violation harmless beyond a reasonable doubt). Instead, we must consider

(1) whether the challenged evidence is hearsay, (2) whether it is testimonial, and

if so, (3) whether its introduction was harmless error beyond a reasonable doubt.

United States v. Chavez, 481 F.3d 1274, 1277 (10th Cir. 2007) (“Violations of the

Confrontation Clause are subject to harmless error analysis . . . under which ‘the

beneficiary of a constitutional error must prove beyond a reasonable doubt [that]

the error complained of did not contribute to the guilty verdict.’”) (quoting

United States v. Burson, 952 F.2d 1196, 1201 (10th Cir. 1991)); Mendez, 514

F.3d at 1043.

      In assessing harmless error, we look to “the context in which the
      statement was admitted, how it was used at trial, and how it
      compares to the properly admitted evidence.” Several factors are
      helpful in determining whether a Confrontation Clause violation
      amounts to harmless error, among them (1) the importance of the
      witness's testimony in the prosecution's case, (2) the cumulative
      nature of the testimony, (3) the presence or absence of corroborating
      or contradictory testimony, (4) the extent of cross-examination
      otherwise permitted, and (5) the overall strength of the prosecution's
      case.

Chavez, 481 F.3d at 1277 (internal citations omitted).




                                       - 49 -
   First, we assume, without deciding, that the gang-certification record itself

was testimonial hearsay. Second, we also assume, without deciding, that the

underlying hearsay statements in the gang-certification record were testimonial.

The government conceded as much for the underlying hearsay statements.

Appellee Br. at 66 (“Vernon’s gang certification record contained three

references to field interview reports, all of which appear to have been offered for

their truth, and were likely to fall into this Court’s definition of testimonial

hearsay. . . . [T]he information underlying those records was arguably

inadmissible hearsay and violated the Confrontation Clause. However, any error

in admitting the information underlying Vernon’s gang certification was harmless

beyond a reasonable doubt.”). This leaves us to decide whether introduction of

the gang-certification record and the hearsay within it was harmless beyond a

reasonable doubt. See Chavez, 481 F.3d at 1277; see also United States v. Torrez-

Ortega, 184 F.3d 1128, 1135 (10th Cir. 1999).

   First, the gang-certification record itself was cumulative. See Chavez, 481

F.3d at 1277 (reasoning that the cumulative nature and presence of corroborating

testimony both weigh in favor of concluding that the error did not affect the

guilty verdict). Even if the district court erred in admitting the gang-certification

record itself, other admissible evidence in the record established Vernon’s gang

affiliation for the jury. See id. at 1278. As a fellow member of the gang, Herron


                                       - 50 -
testified that Vernon was a member of a particular sect of the Hoover Crips in

Tulsa. Thus, any error in admitting the gang-certification record was harmless

beyond a reasonable doubt.

   Second, the hearsay contained within the gang-certification records was a

small part of the government’s evidence. The certification record contained three

hearsay statements from field interview reports where the police noted that

officers had seen Vernon with other members of the Hoover Crips. This record

also allocated points to Vernon based on the police’s determination of Vernon’s

purported gang activity. Finally, the report recommended that Vernon be

considered a gang affiliate. Given the breadth and depth of the admissible

evidence introduced against Vernon, we do not believe that the underlying

hearsay contained within the gang-certification record affected the jury’s verdict.

Instead, considering the totality of evidence against Vernon, we conclude that it

was harmless beyond a reasonable doubt.

   We accordingly affirm the district court in part and conclude that any error

here was harmless beyond a reasonable doubt.


                        VIII. CELL PHONE RECORDS

   Vernon next appeals the district court’s decision to admit cell phone records

and police testimony interpreting those records. We review evidentiary



                                       - 51 -
determinations for an abuse of discretion. United States v. Blechman, 657 F.3d

1052, 1063 (10th Cir. 2011).

   At trial, the government introduced cell phone tower evidence under the

business records exception to the hearsay rule. See Fed. R. Evid. 803(6). Matthew

Kase, who provides legal compliance services to Cricket Communication,

testified at trial and authenticated various phone records. He authenticated

records for cell phones belonging to Whitney Landrum, Stanley’s girlfriend, for

November 4 through November 6, 2011. He also testified about cell phone

records for a number subscribed in Vernon’s name. He testified about Vernon’s

phone’s activity from August 12 through August 14, 2011; September 3 through

September 5, 2011; September 8 through September 17, 2011; and November 4

through November 6, 2011. 22 Kase also testified about records for Duncan

Herron’s cell phone number for those same periods. Kase further testified about a

cell phone number belonging to Lewis, which included activity for July 26

through 27, 2011; August 12 through August 14, 2011; September 3 through

September 5, 2011; September 8 through September 17, 2011; November 4




   22
     These periods generally corresponded with the Metro Pharmacy robbery and
the Arvest Bank robbery.



                                      - 52 -
through November 6, 2011; and December 7 through December 11, 2011.23 In

response to a police subpoena, Kase produced all of these records to the police as

part of their investigation. Vernon objected at trial that the records were

testimonial hearsay, but the district court disagreed and admitted the cell phone

records. 24

   For each relevant phone number, Special Agent Andy Kerstetter obtained the

“historical call detail records” for that number. 25 According to Agent Kerstetter,

those cell phone records identify the number of the calling phone (i.e., incoming

or outgoing), the date and time of the call, and the cell tower and cell tower

   23
       These periods generally corresponded with the Metro Pharmacy robbery, the
Tulsa Credit Union robbery, and the Arvest Bank robbery.
    24
       Vernon argues that the cell phone tower records (which included the phone
numbers called, the time of the call, and the cell tower used to place the call)
were testimonial, but he admits that he only makes the argument to preserve this
issue for further appeal. This court has previously held that cell phone tower data
is admissible under the business records exception and that it is nontestimonial.
United States v. Yeley-Davis, 632 F.3d 673, 678–81 (10th Cir. 2011). Because
Vernon has only raised this argument to preserve the issue and makes no effort to
argue the merits, we do not reconsider the issues that we already addressed in
Yeley-Davis.

    25 Vernon claims that Agent Kerstetter could not testify regarding these
matters as a fact witness because he lacked personal knowledge. Vernon does not
cite to any point in the record where he raised this argument to the district court,
and we will not do an exhaustive search of the record to identify whether Vernon
properly preserved this argument. He merely points us to the point in the record
where the district court allowed Agent Kerstetter to testify as a fact witness. Even
if Vernon properly preserved this argument, it would be unavailing because
Agent Kerstetter properly relied on these cell phone records during the course of
his investigation.

                                       - 53 -
sector used. For each of the phone numbers, including Vernon’s, Agent Kerstetter

examined the relevant data. He turned this data into a map that depicted the

information collected from the cell phone company.

   During a Daubert hearing, the district court concluded that Agent Kerstetter

could not testify as an expert regarding the cell phone data, but that he could

testify as a fact witness about certain findings of his investigation. For instance,

the court allowed Agent Kerstetter to present diagrams he had created, depicting

the locations of the cell towers and sectors listed in the cell phone records and the

locations of the charged robberies. In those diagrams, he chose a relevant

timeframe (such as during a robbery), listed a particular phone number, and

showed aerial views of each individual location based on the sectors and towers

in use. The district court disallowed Agent Kerstetter from providing any opinion

about the range of cell towers, the exact location of any particular phone, and

who was using the phones at the dates and times listed.

   Vernon argues that the district court impermissibly allowed Agent Kerstetter

to testify about where certain of the Defendants’ phones were located when

certain calls were placed. 26 Based on our reading of the record, the district court



   26
      Vernon also argues that the court did not allow complete cross-examination
of Agent Kerstetter, in violation of the Sixth Amendment. He points to no place
in the record where he preserved this argument and does not ask for plain error on

                                       - 54 -
allowed Agent Kerstetter to testify only about what tower was in use for a

particular call, and he was prohibited from opining about the exact location of a

particular phone.

   Because Agent Kerstetter testified only about the facts contained within these

records, we conclude that his testimony did not run afoul of Fed. R. Evid. 702.

We also conclude that his use of diagrams and maps was appropriate under Fed.

R. Evid. 1006. Under Rule 1006, witnesses “may use a summary, chart, or

calculation to prove the content of voluminous writings, recordings, or

photographs . . . .” See also, e.g., United States v. Samaniego, 187 F.3d 1222,

1223–24 (10th Cir. 1999) (requiring admissibility under Fed. R. Evid. 803(6) of

telephone records before admitting summary charts of the records under Fed. R.

Evid. 1006). 27

   Unlike with Agent Kerstetter, the district court allowed Special Agent Charlie

Jones to testify about the location of phones at given times based on the same cell


appeal. As such, we do not consider the merits of this argument. See Burke, 633
F.3d at 987–91.
   27
      Vernon argues that only an expert could create these maps and diagrams.
Vernon submits that the “arcs and angles” represented a judgment call and an
expert opinion regarding the coverage of each tower. We disagree. After
reviewing the maps, we conclude that they were proper summary diagrams from
the cell phone records available to Agent Kerstetter. The government cites to
multiple places in the record where Agent Kerstetter explained that the coverage
areas were “angled at whatever angle is depicted by [the cell phone company] as
the cellular provider’s tower location and angle of that sector.”

                                       - 55 -
phone records. Agent Jones provided his opinion as to where a particular cell

phone was located, sometimes even down to the particular street. Vernon argues

that Agent Jones’s testimony regarding the street location of particular cell

phones was expert testimony under Fed. R. Evid. 702 and that because Agent

Jones was not qualified as an expert, it was improper opinion testimony. The

government responds that Vernon failed to object properly to Agent Jones’s

testimony at trial, and it argues for plain error review. We conclude that Vernon

objected when Agent Jones offered an opinion regarding the cell phone locations,

and as such, he properly preserved this issue.

   Because the government makes no effort to argue that Agent Jones’s testimony

was not improper expert testimony, we will assume, without deciding, that the

district court should not have permitted him to testify as he did. The government

argues only that any error was harmless. “A non-constitutional error is harmless

unless it had a ‘substantial influence’ on the outcome or leaves one in ‘grave

doubt’ as to whether it had such effect.” United States v. Rivera, 900 F.2d 1462,

1469 (10th Cir. 1990) (en banc) (quoting Kotteakos, 328 U.S. at 765). We do not

think that Agent Jones’s testimony regarding the location of the cell phones had a

substantial influence on the outcome of the jury’s verdicts against Vernon.




                                       - 56 -
   The trial record reveals abundant evidence establishing Vernon’s guilt on each

charge. 28 Vernon even admits that “[t]he government used the phone records to

corroborate Duncan Herron’s account of the Metro Pharmacy robbery,”

Appellant’s Reply Br. at 21, which makes any inadmissible evidence cumulative

because the jury had already heard similar evidence. Further, the district court

properly admitted some of the cell phone data, including Agent Kerstetter’s

testimony regarding the numbers called and the cell phone towers used to place

those calls, making some of Agent Jones’s testimony cumulative.

   The jury heard admissible evidence establishing that Devers’s phone had

called the Metro Pharmacy twice before the robbery, that Devers’s phone and

Herron’s phone had communicated by text message during the robbery, and that

Lewis’s phone and Vernon’s phone had contacted each other by cell phone during

the robbery. All of this evidence was relevant and admissible. Herron also

testified extensively about Vernon’s involvement in planning and executing the

Metro Pharmacy robbery. Also, based on the dates and times from the cell phone

records during the Arvest Bank robbery (not the location of the phones), the jury

could infer that Vernon and Stanley were communicating before the Arvest Bank

robbery. The jury also heard the police testify that they followed the GPS tracker,

   28
     The government did not rely on cell phone evidence to prove the IBC Bank
robbery. The government did use cell phone evidence for the Metro Pharmacy
robbery and the Arvest Bank robbery.

                                       - 57 -
which led them to Vernon, who had in his home the stolen money from the

robbery, the GPS tracker, and one set of the clothes used in the robbery. In light

of all of this evidence, the cell phone evidence’s importance is minimal for

Vernon’s convictions.

   We affirm the district court in part and conclude that any error from Agent

Jones’s testimony was harmless.


                      IX. EYEWITNESS IDENTIFICATIONS

   Vernon appeals the district court’s decision to allow the government to

introduce eyewitness-identification testimony from the IBC Bank robbery. On the

day of the IBC Bank robbery, Ms. DeLeon was working as a teller. A person

entered the bank and engaged her with two minutes of face-to-face small talk. He

then told her that he had a gun and demanded money. She gave him money from

her teller drawer. The robber saw another teller counting money and demanded

that money as well.

   Two years later, a police officer showed Ms. DeLeon a bank security

photograph, which showed the robber standing at her teller window. Not

surprisingly, she confirmed that the picture showed the suspect as she

remembered him from the day of the robbery. After putting the photograph from

the robbery away, the officer then showed Ms. DeLeon a six-person photo-lineup.



                                      - 58 -
Even after he told her that the suspect was not necessarily included in the lineup,

she identified Vernon by circling his picture. At trial, Ms. DeLeon identified

Vernon in-person as the robber she had encountered at IBC Bank. During the

trial, two other witnesses from IBC Bank also identified Vernon in-person as the

robber.

   Before trial, Vernon filed a motion in limine to exclude all eyewitness-

identifications of Vernon from the IBC Bank robbery. Over Vernon’s objections,

the court admitted the results of the photo lineup and Ms. DeLeon’s eyewitness

identifications. He argues to us that the identification procedure was

unnecessarily suggestive and that the district court should have excluded the

photo-identification.

   Vernon also argues that the photo-lineup identification “violated F.R.E. 401–

03.” He asserts that “[i]t is of very limited relevance that Ms. DeLeon thinks that

out of six photographed persons selected by the government, Vernon Hill looks

the most like the person who is shown in the photo from the robbery itself. Ms.

DeLeon’s testimony also served to invade the province of the jury, [telling] the

jury what factual finding to make.” Appellant’s Br. at 52.

   We identify three distinct arguments from Vernon’s appeal on this issue:

(1) the photo-lineup identification was irrelevant because Ms. DeLeon was only

identifying the person from the photo lineup who best matched the photo from the


                                       - 59 -
day of the robbery; (2) the photo-lineup identification invaded the province of the

jury; and (3) the procedure used to obtain the photo-lineup identification was

unnecessarily suggestive. We find each unpersuasive.

   First, the photo-lineup identification was relevant. We review questions under

Fed. R. Evid. 401 for an abuse of discretion. Flanagan, 34 F.3d at 952–53. Under

Rule 401, something is relevant “if: (a) it has any tendency to make a fact more

or less probable than it would be without the evidence; and (b) the fact is of

consequence in determining the action.” Ms. DeLeon’s identification makes it

more probable that Vernon robbed the IBC Bank than it would be without her

identification. Ms. DeLeon was working the day of the robbery, and she

interacted with Vernon before and during the robbery. Her identification of

Vernon is relevant because that evidence makes it more likely that Vernon was

indeed the bank robber. Whether Ms. DeLeon’s identification from the photo

array is a good identification goes to weight rather than admissibility. Ms.

DeLeon’s eyewitness identification in the photo array satisfies Rule 401.

   Also, the probative value of this identification was not substantially

outweighed by the danger of unfair prejudice under Rule 403. We review a

district court’s admission of evidence under Rule 403 for an abuse of discretion.

United States v. Cerno, 529 F.3d 926, 935 (10th Cir. 2008). “In engaging in the

requisite balancing, we ‘give the evidence its maximum reasonable probative


                                       - 60 -
force and its minimum reasonable prejudicial value.’” Id. (quoting Deters v.

Equifax Credit Info. Servs., Inc., 202 F.3d 1262, 1274 (10th Cir. 2000)). To tip

against admitting the evidence, the risk of unfair prejudice must substantially

outweigh the evidence’s probative value. Id. (citing United States v. Tan, 254

F.3d 1204, 1212 (10th Cir. 2001), and SEC v. Peters, 978 F.2d 1162, 1171 (10th

Cir. 1992)).

   We start with the probative value. Police showed Ms. DeLeon a photo taken in

the IBC Bank on the day of the robbery and asked whether the person in the

picture at her teller window was the person she remembered robbing the bank. 29

This identification occurred nearly two years after the robbery. After looking at

the picture, she confirmed that the man in the photograph was the robber. Almost

immediately after this, she identified Vernon as the robber from a six-person

photo array. 30 Vernon’s only argument for unfair prejudice is that “[i]t is of very

limited relevance” whether Ms. DeLeon thinks the person from the photograph of

the robbery is in the photo array. Yet this is not unfair prejudice: whether Ms.

DeLeon’s identification from the photo array is a good identification goes to

weight rather than admissibility, and the weight of her identification is not at



   29
        This photo was given to the jury.
   30
        The photo-array was provided to the jury.

                                            - 61 -
issue here. We conclude that the district court properly admitted her identification

of Vernon under Rule 403.

   Second, the identification does not invade the province of the jury. Ms.

DeLeon made her identification, and the jury was free to look at the photo array

and discredit her testimony. Again, this goes to weight rather than admissibility.

We conclude that this did not invade the province of the jury.

   Third, Vernon argues that the district court violated his due process rights

when it admitted the photo-array identification from Ms. DeLeon. The

government argues that the process was not unnecessarily suggestive, that the

identification was reliable under the totality of the circumstances, and

alternatively, that any error was harmless.

   “[D]ue process concerns arise only when law enforcement officers use an

identification procedure that is both suggestive and unnecessary. . . . Even when

the police use such a procedure, . . . suppression of the resulting identification is

not the inevitable consequence.” Perry v. New Hampshire, 132 S. Ct. 716, 718

(2012) (internal citations omitted); see also Grubbs v. Hannigan, 982 F.2d 1483,

1489–90 (10th Cir. 1993). “[W]e then examine whether under the totality of the

circumstances the identification was reliable even though the confrontation

procedure was suggestive.” United States v. Bredy, 209 F.3d 1193, 1195 (10th

Cir. 2000) (internal quotations omitted) (quoting Neil v. Biggers, 409 U.S. 188,


                                       - 62 -
199 (1972)). If a reviewing court concludes that the identification procedure was

unnecessarily suggestive and that the identification was not reliable under the

totality of the circumstances, it evaluates the erroneous admission under harmless

error. See, e.g., Biggers v. Tennessee, 390 U.S. 404, 408–09 (1968). This is a

mixed question of law and fact that we review de novo. Archuleta v. Kerby, 864

F.2d 709, 710–11 (10th Cir. 1989).

   We conclude that the photo array shown to Ms. DeLeon was not unnecessarily

suggestive. First, contrary to Vernon’s argument that the individuals depicted do

not look alike, we conclude that the suspects in the photo array are sufficiently

similar. Second, the officer did not show Ms. DeLeon a picture of the suspect and

tell her to match it to the photo array, although the two identifications occurred

within minutes of each other. Instead, he asked her if the man in the photograph

from the robbery was the one she remembered coming into the bank. She said he

was. She then selected Vernon from the photo array. Even further, the

identification has other indicia of reliability. During the robbery, Ms. DeLeon

interacted with the robber for two minutes, in a friendly manner, before he

attempted to rob the bank.

   Finally, any error was harmless beyond a reasonable doubt. Ms. DeLeon

identified Vernon in court, based off her interactions with him during the

robbery. Any problem with the photo-array lineup is not so severe as to taint this


                                      - 63 -
in-court identification. And importantly, two other eyewitnesses from the IBC

Bank robbery identified Vernon at trial as the robber. Vernon does not challenge

these identifications on appeal. The in-court identifications are enough to ensure

that any error with Ms. DeLeon’s testimony was harmless beyond a reasonable

doubt.

   We affirm the district court.


                           X. CUMULATIVE ERROR

   Lastly, Vernon argues that he is entitled to a new trial because of cumulative

error. Cumulative-error analysis aggregates all actual errors and analyzes whether

the cumulative effect on the outcome of the trial was such that the defendant’s

substantial rights were affected. Rivera, 900 F.2d at 1470; see also United States

v. Toles, 297 F.3d 959, 972 (10th Cir. 2002). Only actual errors are considered.

Rivera, 900 F.2d at 1470. Errors are only those violations “of an established legal

standard defining a particular error,” not just incidents a reviewing court

considers troubling. Id. at 1471. There must be at least two errors. Id. at 1469. If

any of the errors aggregated are constitutional in nature, the cumulative error

must be harmless beyond a reasonable doubt in order to affirm. Toles, 297 F.3d at

972.

   This is a difficult inquiry, and we have explained:



                                       - 64 -
        [T]he constitutional guarantee of a fundamentally fair trial cannot be
        defined with reference to particularized legal elements, which would
        limit the discretion of courts to determine whether a trial was
        fundamentally unfair. Precisely because a fundamental-fairness
        analysis is not subject to clearly definable legal elements, however,
        we must approach such analysis with considerable self-restraint.
        “Courts should tread gingerly when faced with arguments”
        concerning “the ‘fundamental fairness’ component of the Fifth
        Amendment’s Due Process Clause,” which should be reserved for
        “the most serious cases, which truly shock the conscience as well as
        the mind.”

Rivera, 900 F.2d at 1477 (quoting United States v. Penn, 647 F.2d 876, 880 (9th

Cir. 1980) (en banc)).

   There are multiple errors in this case. Because the two assumed Confrontation

Clause errors are constitutional in nature, the cumulative error must be harmless

beyond a reasonable doubt. 31 Toles, 297 F.3d at 972. Given the extremely high

bar set for cumulative error, we conclude that the errors in this case do not rise to

the level such that they “truly shock the conscience as well as the mind.” Rivera,

900 F.2d at 1477 (quoting Penn, 647 F.2d at 880) (internal quotation mark

omitted). Even absent the errors, there was overwhelming evidence establishing

Vernon’s guilt in the commission of the three robberies and in the conspiracy to

rob the Metro Pharmacy and the conspiracy to rob Arvest Bank. Vernon does not

sufficiently argue that his is a “most serious case[]” that “truly shock[s] the


   31
     We assumed, without deciding, that there was error under the Confrontation
Clause as to the gang-certification records and the underlying hearsay.

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conscience as well as the mind.” See id. In a long and complex trial, the district

court erred in making some evidentiary determinations and in determining that

the evidence at trial did support the government’s allegation that there was a

global conspiracy to rob banks, credit unions, and pharmacies throughout Tulsa.

Yet these errors together do not rise to the level of a due process violation. We

conclude that there is not cumulative error.


                               XI. CONCLUSION

   We affirm Vernon’s convictions as to all counts.


                                      ENTERED FOR THE COURT



                                      Gregory A. Phillips
                                      Circuit Judge




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No. 13-5084, United States v Veronon Hill

McHUGH, Circuit Judge, concurring:

       I am pleased to join in the majority’s well-reasoned Order and Judgment affirming

Vernon’s convictions. I write separately to explain why I conclude the variance in this

case did not prejudice Vernon’s right to a fair trial. As I described in my concurring and

dissenting opinion in United States v. [Dejuan] Hill, __ F.3d __, No. 13-5074 (10th Cir.

May 22, 2015) (McHugh, J. concurring and dissenting), the government’s decision to

charge and try the defendants for participating in a global conspiracy for which there was

insufficient evidence carried with it the risk of prejudicial spillover. But in Vernon’s case,

the variance did not cause substantial prejudice. The government alleged Vernon

participated in four of the seven robberies (specifically, the IBC Bank, CVS Pharmacy

(uncharged), Metro Pharmacy, and Arvest Bank). As the majority explains, much of the

gang evidence admitted was directly relevant to Vernon’s involvement in the conspiracy

to rob the Metro Pharmacy. And even if the global conspiracy theory allowed the

government to offer some irrelevant and potentially inflammatory evidence related to the

Hoover Crips gang or other robberies in which Vernon played no role, the compelling

evidence of Vernon’s guilt with respect to the Metro Pharmacy and Arvest Bank

robberies makes it unlikely the admission of this evidence improperly influenced the

jury’s verdict. Therefore, I concur in the majority’s conclusion that the variance did not

interfere with Vernon’s right to a fair trial.

       I join all other parts of the majority’s Order and Judgment in full.
