                         Revised December 28, 1998

               IN THE UNITED STATES COURT OF APPEALS

                           FOR THE FIFTH CIRCUIT
                              _______________

                                   No. 96-11224
                                 _______________


                         UNITED STATES OF AMERICA,

                                                     Plaintiff-Appellee,

                                     VERSUS

                          BRUCE CARNEIL WEBSTER,
                               a/k/a B-Love,

                                                     Defendant-Appellant.

                         _________________________

           Appeal from the United States District Court
                for the Northern District of Texas
                     _________________________

                             December 3, 1998

Before SMITH, DUHÉ, and WIENER, Circuit Judges.

JERRY E. SMITH, Circuit Judge:



     Bruce Webster challenges his conviction of, and sentence for,

kidnaping resulting in death, conspiring to kidnap, and using and

carrying a firearm during a crime of violence.               We affirm.

                                          I.

     The   facts   are     the     same    as   in    the   case   of   Webster’s

co-conspirator, Orlando Hall.         See United States v. Hall, 152 F.3d

381 (5th Cir. 1998).        Webster, Hall, and Marvin Holloway ran a
marihuana trafficking enterprise in Pine Bluff, Arkansas.               They

purchased marihuana in varying amounts in the Dallas/Fort Worth

area with the assistance of Steven Beckley, who lived in Irving,

Texas.     The marihuana was transported, typically by Beckley, to

Arkansas and stored in Holloway's house.

     On September 21, 1994, Holloway drove Hall from Pine Bluff to

the airport in Little Rock, and Hall took a flight to Dallas to

engage    in    a   drug   transaction.   Beckley   and   Hall's    brother,

Demetrius Hall (D. Hall), picked up Hall at the airport.               Later

that day, Hall and Beckley met two local drug dealers, Stanfield

Vitalis and Neil Rene (N. Rene), at a car wash and gave them $4700

for the purchase of marihuana.       Later that day, Beckley and D. Hall

returned to the car wash to pick up the marihuana, but Vitalis and

N. Rene never appeared.

     When Hall got in touch with Vitalis and N. Rene by telephone,

they claimed they had been robbed of the $4700.                    Using the

telephone number that Beckley had dialed to contact Vitalis and

N. Rene, Hall procured an address at the Polo Run Apartments in

Arlington, Texas, from a friend who worked for the telephone

company.       Hall, D. Hall, and Beckley began conducting surveillance

at the address and saw Vitalis and N. Rene exit an apartment and

approach the same car they had driven to the car wash, which they

claimed was stolen from them along with the $4700.         Hall therefore

deduced that Vitalis and N. Rene had lied to him about having been

robbed.

                                      2
     On September 24, Hall contacted Holloway and had him drive

Webster to the Little Rock airport.    From there, Webster flew to

Dallas. That evening, Hall, D. Hall, Beckley, and Webster returned

to the Polo Run Apartments in a Cadillac owned by Cassandra Ross,

Hall's sister.   Hall and Webster were armed with handguns, D. Hall

carried a small souvenir baseball bat, and Beckley had duct tape

and a jug of gasoline.    They approached the apartment from which

they had previously seen Vitalis and N. Rene leave.

     Webster and D. Hall went to the front door and knocked.   The

occupant, Lisa Rene, N. Rene’s sixteen-year-old sister, refused to

let them in and called her sister and the police emergency phone

number.   After Webster unsuccessfully attempted to kick in the

door, he and D. Hall looked through a sliding glass door on the

patio and saw that Lisa Rene was on the telephone.         D. Hall

shattered the door with the bat; Webster entered the apartment,

tackled Lisa Rene, and dragged her to the car.

     Hall and Beckley had returned to the car when they heard the

sound of breaking glass.       Webster forced Lisa Rene onto the

floorboard of the car, and the group drove to Ross’s apartment in

Irving.   Once there, they exited the Cadillac and forced Lisa Rene

into the back seat of Beckley’s car; Hall climbed into the back

seat as well.    With Beckley at the wheel and Webster in the front

passenger seat, they drove around looking for a secluded spot.

During the drive, Hall raped Lisa Rene and forced her to perform

fellatio on him.

                                  3
     Unable   to   find   a   spot   to    their   liking,   they   eventually

returned to Ross’s apartment.         From there, Beckley, D. Hall, and

Webster drove Lisa Rene to Pine Bluff.         Hall remained in Irving and

flew back to Arkansas the next day.                En route to Pine Bluff,

Webster and D. Hall took turns raping Lisa Rene.               Once Beckley,

D. Hall and Webster reached Pine Bluff, they obtained money from

Holloway to get a motel room.        In the room, they tied Lisa Rene to

a chair and raped her repeatedly.

     Hall and Holloway arrived at the motel room on the morning of

September 25.      They went into the bathroom with Lisa Rene for

approximately fifteen to twenty minutes.             When Hall and Holloway

came out of the bathroom, Hall told Beckley, "She know too much."

Hall, Holloway, and Webster then left the motel.

     Later that afternoon, Webster and Hall went to Byrd Lake Park

and dug a grave.     That same evening, Webster, Hall, and Beckley

took Lisa Rene to the park but could not find the grave site in the

dark, so they returned to the motel room.           In the early morning of

September 26, Beckley and D. Hall moved Lisa Rene to another motel

because they believed the security guard at the first motel was

growing suspicious.

     The same morning, Webster, Hall, and Beckley again drove Lisa

Rene to Byrd Lake Park.       They covered her eyes with a mask.         Hall

and Webster led the way to the grave site, with Beckley guiding

Lisa Rene by the shoulders.          At the grave site, Hall turned Lisa

Rene’s back toward the grave, placed a sheet over her head, and hit

                                       4
her in the head with a shovel.       Lisa Rene screamed and started

running.   Beckley grabbed her, and they both fell down.    Beckley

hit her in the head twice with the shovel and handed it to Hall.

Webster and Hall began taking turns hitting her with the shovel.

Webster then gagged her and dragged her into the grave.          He

stripped her, covered her with gasoline, and shoveled dirt back

into the grave.    When buried, Lisa Rene, although unconscious,

likely was still breathing.      Hall, Beckley, and Webster then

returned to the motel and picked up D. Hall.

     Based on information from the victim’s brothers, D. Hall was

arrested; Hall and Beckley subsequently surrendered to the police.

On September 29, just after turning himself in, Beckley gave a

confession to a police detective and an FBI agent in which he

admitted to the kidnaping of Lisa Rene and implicated himself,

Hall, and an individual known as “B-Love.”   Beckley stated that he

had last seen Lisa Rene at the Pine Bluff Motel with B-Love.      A

security guard at the motel informed the agents and officers that

Webster went by the name B-Love, and provided a description of

Webster and his vehicle.     When Webster pulled into the motel

parking lot during the early morning of September 30, he was

detained and subsequently arrested.



                               II.

     In November 1994, a six-count superseding indictment charged

Webster, Hall, D. Hall, Beckley, and Holloway with various offenses

                                 5
related to the kidnaping and murder of Lisa Rene.              Specifically,

the indictment charged Webster with kidnaping in which a death

occurred   in   violation    of   18   U.S.C.   §   1201(a)(1)   (count    1),

conspiracy to commit kidnaping in violation of 18 U.S.C. § 1201(c)

(count 2), traveling in interstate commerce with intent to promote

extortion in violation of 18 U.S.C. § 1952 (count 5), and using and

carrying a firearm during a crime of violence in violation of

18 U.S.C. § 924(c) (count 6).          In February 1995, the government

filed its notice of intent to seek the death penalty against

Webster pursuant to § 3593(a) of the Federal Death Penalty Act of

1994 (“FDPA”), 18 U.S.C. §§ 3591-3598.

      Webster’s trial was severed from that of his co-defendants.

The jury returned a verdict of guilty on counts 1, 2 and 6, and

count five was dismissed on the government’s motion.               The court

conducted a separate sentencing hearing before the same jury.              See

§ 3593.      After the penalty phase, the jury returned special

findings that Webster satisfied the requisite elements of intent,

see § 3591(a), and that three statutory and two non-statutory

aggravating factors existed.1          See § 3592.      Varying numbers of

      1
        The jury unanimously found all but the first of the following statutory
aggravating factors:

      II(A).      The defendant, Bruce Carneil Webster, caused the death
      of Lisa Rene, or injury resulting in death of Lisa Rene, which
      occurred during the commission of the offense of kidnapping.

      II(B).      The defendant . . . committed the offense in an
      especially heinous, cruel, or depraved manner in that it involved
      torture or serious physical abuse of Lisa Rene.
                                                             (continued...)

                                       6
jurors found nine mitigating factors.2             See § 3592.      The court


      1
       (...continued)
      II(C).      The defendant . . ., after substantial planning and
      premeditation, committed the offense of kidnapping in which the
      death of Lisa Rene resulted.

      II(D).      The victim, Lisa Rene, was particularly vulnerable due
      to her age.

In addition, the jury unanimously found both of the proposed non-statutory
aggravating factors:

      III(A).     The defendant . . . constitutes a future danger to the
      lives and safety of other persons.

      III(B).     The effect of the instant offense on Lisa Rene’s family.
      2
        Webster proposed the following statutory mitigating factors (with the
number of jurors finding each mitigating factor shown in brackets):

      1.    The defendant’s capacity to appreciate the wrongfulness of his
            conduct or to conform his conduct to the requirements of the
            law was significantly impaired. [0]

      2.    The defendant was under unusual and substantial duress. [0]

      3.    Another defendant or defendants, equally culpable in the
            crime, will not be punished by death. [4]

      4.    The defendant does not have a significant prior history of
            other criminal conduct. [0]

      5.    The defendant committed the offense under severe mental or
            emotional disturbance. [0]

      Webster proposed the following non-statutory mitigating factors (with the
number of jurors finding each mitigating factor shown in brackets):

      1.    The defendant is or may be mentally retarded. [4]

      2.    The defendant has low intellectual functioning. [4]

      3.    The defendant suffered from physical abuse, from emotional
            abuse, and/or from parental neglect during his upbringing.
            [12]

      4.    The defendant, as a result of a personality disorder, a mental
            illness, and/or low intellectual functioning, has a lesser
            capability to appreciate the wrongfulness of his conduct or to
            conform his conduct to the requirements of the law than that
            of a normal person. [0]

      5.    The defendant was youthful at the time of the commission of
                                                                (continued...)

                                       7
sentenced   Webster    to   death   on     count   one   of   the   superseding

indictment; life imprisonment on count two; and sixty months'

imprisonment on count six to run consecutively to the sentence in

count 2.



                                     III.

     Webster raises several grounds for reversing his conviction

     2
      (...continued)
            the crime, although not under the age of eighteen. [0]

     6.     The defendant has talents, capabilities, or qualities which
            are of some value to society (such as musical talent,
            religious devotion, etc.). [0]

     7.     The defendant is unduly susceptible to influence by others. [0]

     8.     The defendant’s level of participation in the commission of
            this offense was attributable, at least in part, to the
            influence of one or more of the other participants involved in
            the commission of this crime. [4]

     9.     The defendant grew up in an atmosphere of violence and fear,
            which has misshaped his perception as to the acceptability or
            necessity of violent conduct. [6]

     10.    The defendant can be controlled in a prison setting. [2]

     11.    The defendant can be of some productive value in a prison
            setting. [0]

     12.    The defendant has the love and support of other members of his
            family. [11]

     13.    The defendant does not have a significant prior history of
            violent crime. [0]

     14.    The defendant is the product of an impoverished background
            which virtually precluded his integration into the social and
            economic mainstream of the community. [0]

     15.    The defendant has responded well to structured environments
            and would likely adapt to prison life if he were sentenced to
            life imprisonment. [2]

     16.    Any other factor or factors in the defendant’s background,
            record, or character or any other circumstance of the offense
            that mitigates against imposition of the death sentence. [0]

                                       8
and/or sentence that we already have ruled on in Hall:

      1.   The district court violated Webster’s Fifth and
      Eighth Amendment rights by conditioning the admission of
      psychiatric testimony in mitigation of punishment upon
      Webster’s submission to a government psychiatric
      examination.3

      2. The district court abused its discretion by admitting
      certain unfairly prejudicial materials into evidence,
      namely photographs and a videotape.4

      3.  The admission of evidence regarding unadjudicated
      offenses5 during the penalty phase and a lack of a jury


      3
        Webster raises an additional Fifth Amendment argument relating to his
compelled examination, not addressed in Hall, with which we deal infra.
      4
         Webster attempts to parlay his evidentiary objection into a
constitutional claim; having upheld the evidence’s admissibility as an
evidentiary matter, we cannot conclude that its admission nonetheless violated
his constitutional rights.

      5
          Webster specifically complains about the following evidence:

      •       the oral statement “If I was out now, I’d kill the bitch” that
              gave him a venereal disease.

      •       the oral statement that killing Lisa Rene wasn’t personal, “it
              was strictly business.”

      •       an escape attempt where he entered an unauthorized area (the
              women’s shower) of the Mansfield jail.

      •       the sexual rendezvous with female inmates planned with fellow
              inmate John Clay.

      •       the alleged shooting at a store owner after an attempted
              theft.

      •       the assault of Sheila Henry, a girlfriend.

      •       a shoving match over a piece of candy.

Webster also argues these should have been excluded because of the need for
sufficient reliability of evidence in capital proceedings. See Caldwell v.
Mississippi, 472 U.S. 320, 340 (1985).

      We find ample support in the record of the evidence’s reliability, which
justifies putting it before the jury. First, it was testimony based on first-
hand observations; Webster had the opportunity to confront and challenge each of
                                                                (continued...)

                                         9
      instruction requiring the jury to apply some burden of
      proof to this evidence rendered the death sentence
      unreliable.

      4.    The admission of nontestimonial victim impact
      statements violated due process and the Eighth Amendment,
      Webster’s Sixth Amendment right of confrontation, and the
      FDPA’s evidentiary standards.

We addressed and rejected each of these arguments in Hall, which
                                 6
controls the outcome here.



                                      IV.

      Webster appeals his judgment of conviction and death sentence

on the following grounds that we must address, as we did not

consider them in Hall:

      1.   The court erroneously instructed and materially
      misdirected the jury in numerous ways at the penalty
      phase.

      2.   The court failed to instruct the jury accurately
      regarding on which non-monetary benefit(s) of the
      kidnapping the government relied and regarding the need
      for the jury to agree on such a benefit unanimously in
      order to convict in the guilt-innocence phase.

      3. The court admitted the fruits of a search pursuant
      to, and statements given after, an arrest contravening


      5
       (...continued)
the witnesses.    Second, because Webster was given advance notice that the
government would be introducing evidence of unadjudicated offenses, he had the
opportunity independently to investigate and respond to the evidence. Third, the
government introduced corroborating evidence for several of the incidents.
Fourth, the statements of which Webster complains were not related to
unadjudicated offenses; rather, they were statements made to law enforcement
officers after his arrest. Finally, Webster provides no reason why we should be
reticent to believe any of the testimony or that the incidents occurred.
      6
        See Hall, 152 F.3d at 398 (compelled psychiatric exam), id. at 400-03
(evidentiary rulings on photographs and videotape), id. at 403-04 (unadjudicated
offenses), id. at 404-06 (nontestimonial victim impact statements).

                                      10
the Fourth Amendment.

4.    The court erred by refusing to dismiss the
government’s notice to seek the death penalty based on
allegations of racial discrimination in death penalty
charging decisions and by refusing Webster’s request for
discovery on that claim.

5. The court abused its discretion by refusing Webster’s
motion for post-trial discovery on a claim that the
government had provided sexual favors to a prisoner-
witness.

6.   The court lacked authority to order Webster to
undergo a government psychiatric exam as a condition to
admitting psychiatric testimony in mitigation of
punishment.

7.   The court abused its discretion in granting the
government’s Witt challenge to a venireman.

8. The court’s rejection of defense challenges for cause
to impaired and biased veniremen denied Webster an
impartial jury and his statutory right to free exercise
of peremptory challenges.

9. The court erred in excusing a venireman whose juror
questionnaire contained false information.

10. The court clearly erred in denying Webster’s Batson
claims.

11. The court erred by impaneling an alternate juror
during the penalty phase who did not deliberate during
the guilt-innocence phase.

12. The court violated Webster’s constitutional rights
and abused its discretion by limiting surrebuttal.

13.   The court plainly erred and violated Webster’s
constitutional rights by entering a factual finding that
he is not mentally retarded.

14.   There is insufficient evidence to support the
sentence of death.

15. Certain provisions of the FDPA are unconstitutional.



                          11
      16.   The court sua sponte should have suppressed the
      testimony of Webster’s co-conspirators, who testified in
      exchange for leniency.

We address each of these issues in turn.




                                        A.

      Webster contends that the district court erroneously in-

structed and materially misdirected the jury at the penalty phase.

District courts enjoy substantial latitude in formulating a jury

charge, and hence we review all challenges to, and refusals to

give, jury instructions for abuse of discretion.7

      A conviction will not be reversed for an alleged error in the

instructions unless, when viewed in their entirety, they fail

correctly to state the law.         Jones, 132 F.3d at 243; United States

v. Flores, 63 F.3d 1342, 1374 (5th Cir. 1995).                 Technical errors

will be overlooked, and the court’s instructions will be affirmed,

if the charge in its entirety presents the jury with a reasonably

accurate picture of the law.         Jones, 132 F.3d at 243.        A refusal to

give a requested instruction constitutes reversible error only if

the proposed instruction (1) is substantially correct, (2) is not

substantively covered in the jury charge, and (3) pertains to an

important    issue    in   the   trial,    such   that    failure    to   give   it


      7
        United States v. Jones, 132 F.3d 232, 242-43 (5th Cir. 1998), cert. granted,
119 S. Ct. 39 (1998); United States v. Manges, 110 F.3d 1162, 1176 (5th Cir. 1997),
cert. denied, 118 S. Ct. 1675 (1998).

                                        12
seriously impairs the presentation of an effective defense. United

States v. Garcia Abrego, 141 F.3d 142, 153 (5th Cir.), cert.

denied, 119 S. Ct. 182 (1998); Jones, 132 F.3d at 242.



                                    1.

     Webster argues that the court erred in refusing to instruct

the jury that, in assessing the aggravating factors, it could

consider only his intent and conduct and not the words or acts of

any other codefendant or participant in the crime. The argument is

without merit.



                                    a.

     Webster’s reasoning hinges on Enmund v. Florida, 458 U.S. 782

(1982), and Tison v. Arizona, 481 U.S. 137 (1987).             He contends

that these cases require a two-pronged focus in the decision-making

process to impose a death sentence: the defendant’s participation

(conduct) and his intent (state of mind).             It follows, Webster

believes,   that   the   court   should   have   instructed   the   jury    to

consider only his conduct in assessing the aggravating factors.



                                    b.

     Webster misreads Enmund and Tison.          In those cases, the Court

addressed the degree of culpability required of a defendant to

impose a death sentence under the felony-murder doctrine.                  The


                                    13
Court did require a certain level of culpable conduct and state of

mind.     See Enmund, 458 U.S. at 801; Tison, 481 U.S. at 158.    But

Webster takes the requirement too far.

     The point of Tison and Enmund is that a death sentence may not

be imposed unless the sentencer has examined the defendant’s “own

personal involvement in the crimes.”         Tison, 481 U.S. at 158.

Enmund escaped capital punishment because he “did not kill or

attempt to kill,” nor did he have “any intention of participating

in or facilitating a murder.”          Enmund, 458 U.S. at 798.   The

Tisons, on the other hand, failed to obtain a reversal, because

they were sufficiently involved in the crimes.     See Tison, 481 U.S.

at 158.

     The gist of these cases is that before a death sentence may be

recommended, the Eighth Amendment requires that the defendant, for

example, killed, inflicted serious bodily injury resulting in

death, or participated in a felony with reckless disregard for

human life resulting in death.   The FDPA meets this requirement in

§ 3591, by limiting even the possibility of a death sentence to

those defendants with sufficient culpability.         The jury found

Webster guilty of “engaging in conduct intending death to result or

that lethal force would be used” and of “engaging in conduct

knowing that it created grave risk of death.”

     Once the constitutionally-required minimum level of culpabil-

ity is found, however, there is no reason why the jury cannot take


                                  14
a broader look at the crime in assessing the aggravating factors;

it need not limit itself exclusively to the defendant’s conduct or

intent.     Indeed, an aggravating factor properly may focus on the

defendant,     on    the   circumstances      of   the   crime     itself,   or   on

characteristics of the victim.8




                                        c.

       Furthermore, one of the FDPA’s aggravating factors requires a

jury to examine a factor that has nothing to do with the defen-

dant’s     conduct    or   intentSSthe       victim’s    vulnerability.           See

§ 3592(c)(11); cf. Tuilaepa, 512 U.S. at 977.                      The government

alleged that Lisa Rene’s young age rendered her particularly

vulnerable, hence constituting an aggravating factor.                 Because the

factor has nothing to do with Webster’s conduct or intent, his

proffered general instruction would have incorrectly stated the

law.

       In addition, the charge as a whole substantially covered the

proffered     instruction     and    sufficiently        pointed    the   jury     to

Webster’s conduct and intent.            The court instructed that “[i]n

considering the question of intent, as it related to aggravating



       8
        See Tuilaepa v. California, 512 U.S. 967, 976 (1994) (holding that “[t]he
circumstances of the crime are a traditional subject for consideration by the
sentencer,” and may include factors such as the defendant's age); Roberts v.
Louisiana, 431 U.S. 633, 636 (1997) (holding that a murder victim’s status as peace
officer performing regular duties constitutes permissible aggravating factor).

                                        15
factors, you may consider only the intent of the defendant, Bruce

Carneil Webster.”      The aggravating factors, other than the victim

vulnerability factor, all pointed to Webster’s conduct.                      The

instructions     explaining     the    factors    repeatedly     referred     to

Webster's conduct and intent.9          The non-statutory factor Webster

specifically attacks, “the effect of the offense on Lisa Rene and

her family,” focuses on the harm caused by Webster’s “commission of

the offense.”     The court did not abuse its discretion in refusing

this instruction; including it would have misstated the law.



                                       2.

      Webster    objects   to   the   instruction     on   the   “elements    of

intent.”    He argues that the court failed to require the jury to

select a single element of intent, and to do so unanimously.                This

failure allegedly allowed the jury impermissibly to “double-weigh”

a single factorSSintentSSin imposing the death penalty, skewing the

process toward capital punishment.

      Although Webster rightly points out the risk of unconstitu-

tionally arbitrary application of the death penalty if the jury is

permitted to double-count aggravating factors, see Jones, 132 F.3d

at 250-51, the court did not err in this regard.             The instructions



      9
        The court's examples included the following: “'Cruel' means that the
defendant intended to inflict a high degree of pain . . .,” “'[d]epraved' means
that the defendant relished the killing or showed indifference . . .,” and “[t]he
government must prove beyond a reasonable doubt that the defendant committed the
offense after substantial planning and premeditation.”

                                       16
on    the   elements   of   intent    properly    followed      the    language    of

§ 3591(a)(2).        They stated that the jury’s findings as to the

“elements of intent” had to be unanimous.10                If any doubt remained,

the special findings form that the jury filled out prominently

displayed the word “unanimously” before the “yes” and “no” lines to

be checked for each of the four elements.

       In addition, the instructions accurately charged that the jury

was not to weigh the elements of intent in deciding whether to

impose the death penalty.           At least one of the elements of intent

needs to be found only as a threshold, or gateway, matter; and only

once at least one is found does the weighing of aggravating factors

and mitigating factors take placeSSwith no further consideration of

the “elements of intent.”

       The instructions walked the jury through this sequential

process.     The court instructed the jury first to determine whether

one    of   the    requisite   elements   of    intent      existed.      Then    the

instructions set forth the aggravating and mitigating factors.

       The instructions nowhere indicated that the jury was to

consider     the    elements   of    intent    once   it    began   to   weigh    the

aggravating and mitigating factors. In fact, the jury specifically

was instructed to weigh aggravating and mitigating factors with no



       10
          The court instructed that “you must as a preliminary matter unanimously
agree that the government has proven beyond a reasonable doubt that the defendant
. . . either . . .,” followed by a list of the four possible intents, and “if you
unanimously find . . .” one or more of the elements of intent, the jury was to
consider aggravating factors.

                                        17
mention of the elements of intent.             The special jury form also

segregated the elements of intent from the lists of aggravating and

mitigating factors, and made clear the sequential nature of the

process.

     Finally,      the   court    specifically    instructed    the    jury    to

consider and weigh only the aggravating and mitigating factors

outlined in the instructions, which did not include the elements of

intent.    Assuming, as we must, that the jury followed its instruc-

tions, it did not weigh the elements of intent even once.                     The

court did    not    abuse   its   discretion     in   denying   the   proffered

instruction.



                                       3.

                                       a.

     In a similar vein, Webster argues that two of the aggravating

factors overlapped, allowing the jury to weigh the same factor

twice.     Specifically, one statutory factor read: “the defendant

committed the offense in an especially heinous, cruel and depraved

manner in that it involved torture and serious physical abuse to

the victim, Lisa Rene.”          One non-statutory factor addressed “the

effect of the offense on Lisa Rene and her family, namely, that the

commission of the offense caused emotional injury and anguish to

Lisa Rene, and emotional injury, anguish, sorrow, and loss to her

family.”     Webster contends that these aggravating factors are

duplicative because “there is no effective distinction between

                                       18
infliction of 'severe mental and physical pain or suffering upon

the victim' (authorized by the court’s instructions for a finding

on the statutory aggravating factor) and the 'emotional injury and

anguish to Lisa Rene' focused upon in the 'non-statutory' aggravat-

ing factor.”

     Webster points out that the charge allowed the jury to find

that the statutory factor existed based on a finding of “torture,”

defined to include “mental as well as physical abuse” and the

intent to “inflict severe mental or physical pain or suffering upon

the victim,” of which the victim must be conscious.        Webster

alleges that there is no distinction between the statutory factor’s

“severe mental or physical pain or suffering” and the non-statutory

factor’s “emotional injury and anguish.”



                                b.

     Webster failed to object to these instructions, so we review

for plain error.   See Jones, 132 F.3d at 243.   The court did not

err in instructing on both factors because, although they may rely

on similar underlying facts, they focus on different aspects of the

crime and its results.

     The statutory factor directs the jury to consider whether

Webster committed the offense in an especially heinous, cruel, and

depraved manner, hence focusing attention on his actions and

intent. The non-statutory victim impact factor, on the other hand,



                                19
directs the jury’s attention to the harm caused by Webster to the

victim and her family.        This factor looks not to his actions but to

their result.        Because one factor addresses directly Webster's

conduct and intent (the “manner” of commission), and the other the

impact   of   that    conduct   and    intent,   the   two   factors    are   not

duplicative.

       Webster’s reliance on Jones proves unavailing.             In Jones, we

found two non-statutory aggravating factors duplicative.                      One

addressed     the    victim’s   “young    age,   her   slight    stature,     her

background, and her unfamiliarity with [the locale where the crime

took   place],”      and   another    dealt   with   the   victim’s    “personal

characteristics” and the impact of the crime.              We held the factors

duplicative because “'personal characteristics' . . . necessarily

includes 'young age, slight stature, background, and unfamiliar-

ity.'”    Id. at 250.

       But the difference between the challenged factors in the case

sub judice proves to be more than semantic.                The “heinous, cruel

and depraved” manner in which a crime is carried out, even though

the instructions require that the victim is conscious of the

emotional abuse, does not necessarily include, nor even overlap

with, consideration of the effects of the crime on the victim and

her family.         The court did not plainly err in providing both

instructions.




                                        20
                                      4.

                                      a.

      Webster argues, and the government concedes, that, by allowing

the jury to consider premeditation with respect to the kidnaping

and not just the murder, the court improperly charged the jury on

the statutory aggravating factor of whether Webster engaged in

“substantial planning and premeditation” of the offense.11                  The

special    findings    form   also    contained    language    relating     the

premeditation to the kidnaping rather than to causing death.                The

statute requires a finding that “the defendant committed the

offense after substantial planning and premeditation to cause the

death of a person,” § 3592(c)(9), obviously directing the premedi-

tation to causing death and not to mere commission of the offense

when the two diverge. The parties disagree, however, as to whether

this constitutes reversible error.          We find it does not.



                                      b.

      The government argues that Webster invited the erroneous

instruction and now should not be heard to complain.               See United

States v. Baytank (Houston), Inc., 934 F.2d 599, 606 (5th Cir.

1991).    Although Webster’s requested jury instruction properly


      11
         The court charged that “[t]o establish the existence of the aggravating
factor of substantial planning and premeditation, the government must prove
beyond reasonable doubt that the defendant committed the offense after
substantial planning and premeditation . . . . The amount of time needed for
premeditation of a kidnapping in which a death occurs depends on the person and
the circumstance.” (Emphasis added.)

                                      21
focused on substantial planning and premeditation for the murder,

the government points to his proposed changes to the special

findings form in which Webster proposed the following language:

“Beyond a reasonable doubt and looking only to the conduct and

intentions of the defendant, Bruce Carneil Webster, he, Bruce

Carneil Webster, committed the killing of Lisa Rene after substan-

tial planning and premeditation to commit the kidnaping of Lisa

Rene.”   The   government   surmises   that   the   court   adopted   this

language in formulating the instructions and special issue.

     Although it is possible that Webster’s misstatement influenced

the instructions, Webster also proffered instructions correctly

applying the substantial planning and premeditation to the killing

rather than to the kidnaping.    Given the inconstant way in which

Webster addressed the issue, we cannot conclude he invited the

error.



                                 c.

     The error notwithstanding, we affirm the sentence.         The FDPA

provides that a “court of appeals shall not reverse or vacate a

sentence of death on account of any error which can be harmless,

including any erroneous special finding of an aggravating factor,

where the Government establishes beyond a reasonable doubt that the

error was harmless.”   § 3595(c)(2)(C).

     Our duty when the jury finds an invalid aggravating factor is

to strike the factor and either reweigh the remaining factors

                                 22
against the mitigating evidence or apply harmless error review.

See Jones, 132 F.3d at 251; see also Clemons v. Mississippi,

494 U.S. 738, 741 (1990).   If we choose to reweigh the evidence, we

must determine what the jury would have done absent the invalid

aggravator.   See Jones, 132 F.3d at 251.

     In conducting a harmless error review, on the other hand, we

may inquire into whether, beyond a reasonable doubt, either (1) the

death sentence would have been imposed had the invalid aggravating

factor been properly defined in the jury instructions or (2) the

death sentence would have been imposed absent the invalid aggravat-

ing factor.   See id. at 252.   If the government establishes that

the error is harmless beyond a reasonable doubt, we may not reverse

or vacate the death sentence unless such error denies constitu-

tional rights.   See § 3595.     We may decide which of the three

methods to apply, although “[i]t matters not which standard of

review an appellate court chooses to apply because all three

standards lead to the same conclusion.”     Jones, 132 F.3d at 252.

     The parties expend a great deal of effort arguing whether the

jury would have found the factor had it been accurately stated.

The effort is wasted, however, because the sentence may be affirmed

without that aggravating factor. We opt to apply the second method

of harmless error review, and inquire into whether the sentence




                                 23
would have been imposed absent the invalid aggravator.12

      After removing the offensive statutory aggravating factor, we

are left with two statutory factors (that Webster committed the

offense in an especially heinous, cruel, or depraved manner, and

that Lisa Rene was vulnerable), two non-statutory aggravating

factors (Webster’s future danger to others, and the effect of the

crime on Lisa Rene’s family), and nine mitigating factors found to

exist by varying numbers of jurors.          The government contends, and

we agree, that the facts supporting the “especially heinous, cruel

or   depraved”    factor   alone,    when   weighed    against    the   extant

mitigating factors, justify a finding that the jury still would

have imposed a death sentence.          The addition of the other three

factors merely buttresses the conclusion.13

      Furthermore, we fail to see why the jury would have placed

much emphasis on the invalid factor as it was improperly defined

and charged.     The import of substantial planning and premeditation

to commit the offense of kidnaping pales in comparison to the

brutal nature of Webster’s actions and the suffering Lisa Rene must

have felt as a result, so we do not think the jury would have

placed significant weight on the invalid factor relative to the


      12
         We also find that the government has established beyond a reasonable
doubt that the jury would have found the aggravating factor if the instructions
properly had charged the jury on it; thus we can affirm under the first harmless
error review, as well.
      13
        Webster asserts that we should give the aggravating factor dealing with
victim vulnerability little weight because the Hall jury did not find it. But
Webster’s jury did, and we refuse to question that determination.

                                      24
others.

     Finally, the paltry mitigating factors that the jury found

fail to indicate that it placed much weight on countervailing

factors. No juror found that Webster had talents, capabilities, or

qualities of some value to society or that he could be of some

productive value in a prison setting.           Only two jurors believed

that he even could be controlled in a prison setting, and only two

found he likely would adapt to prison.           The jury found only one

factor unanimously:       Webster suffered from physical or emotional

abuse or parental neglect during his upbringing; and yet no juror

believed that this abuse caused significant impairment of Webster’s

ability to appreciate the wrongfulness of his conduct or to conform

his conduct to the requirements of the law.            The government has

proven beyond a reasonable doubt that the jury would have imposed

the death sentence absent the invalid aggravating factor, so its

inclusion was harmless error.14



                                      5.

     Webster contends that the court erred when it refused to

submit several nonstatutory mitigating factors.15           Just this past


     14
         We see no reason why the inclusion of the invalid factor rises to the
level of a denial of constitutional rights that would require vacating the
sentence.
     15
          The rejected factors are:

     8. The defendant . . . suffers from a mental disease, illness,
                                                             (continued...)

                                      25
Term, however, in Buchanan v. Angelone, 118 S. Ct. 757, 761 (1998),

the    Court squarely held that, although “the sentencer may not be

precluded from considering, and may not refuse to consider, any

constitutionally relevant mitigating evidence,” a death penalty

scheme       “may   shape    and   structure    the   jury’s   consideration   of

mitigation so long as it does not preclude the jury from giving

effect to any relevant mitigating evidence.”                   The Court further

explained that its “decisions suggest complete jury discretion is

constitutionally permissible.”            Id.

       The standard for reviewing jury instructions on mitigation is

“whether there is a reasonable likelihood that the jury has applied

the challenged instruction in a way that prevents the consideration

of    constitutionally        relevant   evidence.”       Id.    (quotation    and

citation omitted).           Indeed, in Buchanan, refusing to submit four

statutory mitigating factors             during the penalty phase of the

capital trial fell short of constitutional error.

       Many of the mitigating factors presented to the jury touched

on the ones Webster complains were omitted.                To ensure that the


       15
            (...continued)
       defect, or personality disorder; . . .

       13. The defendant . . . has personal qualities which are worth
       saving; . . .

       14. The defendant . . ., due to circumstances of intellectual
       impairment, and dysfunctional family background, and upbringing,
       should be extended mercy; . . .

       21. The defendant . . ., if not sentenced to death, will be
       sentenced to life in prison without any possibility of parole or
       release[.]

                                         26
jury considered all potentially mitigating evidence, the special

findings form included a catch-all mitigation factor.              The charge

specifically instructed the jury that it “must consider” any other

mitigating factors it found, “whether or not specifically argued by

defense counsel.”

      The instructions left no room for the jury to ignore constitu-

tionally relevant evidence.          The court neither committed constitu-

tional error nor abused its discretion in rejecting the mitigating

factors.



                                        6.

      Webster avers that the instructions misstated the law by not

requiring, once one or more jurors had found a mitigating factor to

exist by a preponderance of the evidence, that all jurors             consider

a   mitigating      factor   in     weighing   aggravating   and   mitigating

factors.16 Webster misreads the statute; although any one juror may

find and weigh a mitigating factor, the others may make their own

determinations with respect to each mitigator.


      16
           The court charged that

      [a] finding with respect to a mitigating factor may be made by any
      one or more of the members of the jury, and any member who finds the
      existence of a mitigating factor may consider such factor
      established regardless of whether any other jurors agree that such
      mitigating factor has been established. . . .        In determining
      whether a sentence of death is appropriate, each of you must weigh
      in your own mind, any aggravating factor or factors that the jury
      unanimously finds to exist beyond a reasonable doubt—whether
      statutory or non-statutory—against any mitigating factor or factors
      that you individually find to exist by a preponderance of the
      evidence.

                                        27
       Webster relies on § 3593(e), which reads, in part, “the jury

. . . shall consider whether all the aggravating factor or factors

found to exist sufficiently outweigh all the mitigating factor or

factors found to exist to justify a sentence of death.”              Webster

reads this provision to say that once any juror finds a mitigating

factor, all jurors must weigh the factor.         But the quoted language

does   not   require   Webster’s   reading;     the    provision   lacks   any

modifier indicating who must find or weigh the mitigating fac-

tor(s).

       Reading the section as a whole, we conclude that Congress did

not intend Webster’s reading.         The prior subpart states that “[a]

finding with respect to a mitigating factor may be made by 1 or

more members of the jury, and any member of the jury who finds the

existence of a mitigating factor may consider such factor estab-

lished for the purposes of this section regardless of the number of

jurors    who   concur   that   the    factor    has    been   established.”

§ 3593(d).      Reading the two sections in pari materia, we reason

that the language does not contemplate forcing all jurors to

consider a mitigator when any one or more finds it to exist.

Rather, each juror may consider a factor regardless of whether

others concur.     In addition, it would be nonsensical for Congress

to require a juror to weigh a factor that he or she does not

believe the evidence warrants.

       Webster, in an apparent attempt to avoid this last problem,


                                      28
argues that “[o]nce a mitigating factor has been established, then

the sentencer must consider it, even though it may be assigned

whatever weight it is deemed to deserve.”    But, naturally, those

jurors who did not find the mitigating factor to exist would assign

it no weight, which does not differ from the result Webster hopes

to avoid, i.e., not requiring them to consider it at all.   Because

the plain language of the statute does not compel every juror to

weigh each mitigating factor found by at least one juror, the

court did not abuse its discretion in denying the instruction that

would have required it.



                                B.

                                1.

     The indictment alleged, inter alia, that Webster and others

violated 18 U.S.C. § 1201(a), proscribing kidnaping.   Pursuant to

that indictment, the court charged the jury that to convict, it had

to find beyond a reasonable doubt the element “[t]hat the defendant

held such person for ransom, reward, or some other benefit that the

defendant intended to derive from the kidnapping.”       The court

further charged that “a benefit is any legal or illegal object of

the kidnaping which a perpetrator might consider sufficient motive

to induce him to undertake the kidnaping.   The government has the

burden of proving whatever benefit alleged by proof beyond a

reasonable doubt.”


                                29
     Webster objects to this instruction on the ground that,

because the indictment failed to allege any specific benefit other

than ransom or reward, the jury should not be able to consider any

other   benefit,   and    because   the    instruction    fails   to   require

unanimity on the benefit found.           The government responds that the

benefit is not a specific element of the crime, so it need not

allege one in the indictment, nor does one need to be specified in

the jury instructions; furthermore, unanimity is not required.



                                     2.

     We review alleged errors in jury instructions for abuse of

discretion; a conviction will not be reversed for an alleged error

in the instructions unless, when viewed in their entirety, they

failed to state the law correctly.          Jones, 132 F.3d at 243.      These

instructions did not fail to state the law correctly.



                                     a.

     The parties agree that the kidnaping statute protects those

who have been kidnaped and held for any reason.            Before 1934, the

Federal Kidnaping Act applied only if the captive was held for

ransom or reward.        See United States v. Healy, 376 U.S. 75, 81

(1964). Congress amended the Act in 1934 to encompass persons held

“for ransom or reward or otherwise.”             Id.     In Gooch v. United

States, 297 U.S. 124, 128 (1936), the Court interpreted the “or


                                     30
otherwise” amendment to encompass any benefit a captor might

attempt to receive. Subsequently, in Healy, the Court held the Act

is not limited to kidnapings for an ultimately illegal purpose.17

      Consistent with the Court’s pronouncements, this court held in

Clinton v. United States, 260 F.2d 824, 825 (5th Cir. 1958), that

an indictment need not include the words “for ransom, reward or

otherwise.”     The panel reasoned that the phrase would add nothing

“because obviously 'otherwise' comprehends any purpose at all.”

Id.

      Webster asserts that we overruled Clinton in United States v.

Osborne, 68 F.3d 94 (5th Cir. 1995).           In Osborne, we held that the

government must prove four elements of the kidnaping offense:

“1) the transportation in interstate commerce; 2) of an uncon-

senting person who is 3) held for ransom, reward, or otherwise; and

4) the acts were done knowingly and willingly.”                    Id. at 100.

According to Webster, the third element requires the government to

plead in the indictment and prove up at trial, and the court to

instruct the jury on, some specific purpose(s) for the kidnaping.

      Osborne does not compel this conclusion. We certainly did not

purport to overrule Clinton’s holding that the indictment need not

include a benefit; the issue was not before us in Osborne.                     And

nothing in Osborne contravenes Clinton.                 More accurately, the


      17
         See Healy, 376 U.S. at 82 (stating that “we find no compelling correlation
between the propriety of the ultimate purpose sought to be furthered by a kidnaping
and the undesirability of the act of kidnaping itself”).

                                        31
gravamen of the third element is the act of holding, not the

benefit.   If “otherwise” can include any purpose, adding it to the

indictmentSSirrespective of whether it specifies the “otherwise”

benefitSSadds nothing.      This view consists with that of our sister

circuits.18




      18
         See United States v. Adams, 83 F.3d 1371, 1372-74 (11th Cir. 1996)
(indictment sufficient that alleged only that the victim was “held”); United
States v. Martell, 335 F.2d 764, 766 (4th Cir. 1964 (same); Hayes v. United
States, 296 F.2d 657, 665-67 (8th Cir. 1961) (same); United States v. Atchison,
524 F.2d 367, 369-71 (7th Cir. 1975) (indictment sufficient that merely alleged
victim was held for “ransom, reward, or otherwise”); United States v. Bentley,
310 F.2d 685, 685 (6th Cir. 1962) (same); Hall v. United States, 410 F.2d 653,
659-60 (4th Cir. 1969) (same); Loux v. United States, 389 F.2d 911, 914-16 (9th
Cir. 1968) (same).


                                      32
                                        b.

      Webster points out that in many of the above-mentioned cases,

including Clinton, one reason the court gave for finding the lack

of specificity unproblematic is that the defendant can request a

bill of particulars to clarify on what benefit the government will

rely.      Webster made such a request, which the court denied; he

complains that this prevented him from presenting an effective

defense.     We fail to see how.

      Although    the    government     must   plead       and   prove    that   the

defendant held the victim for some purpose, the exact nature of

that purpose is inconsequential.             Indeed, as noted, any purpose

will do.      In arguments to the jury, the government mentioned

several possible        benefits,    including      retribution     and   revenge,

sexual gratification, greed, and that Lisa Rene knew too much; all

are valid benefits. In light of this breadth, Webster’s claim that

the   failure    to   specify   a   benefit    in    the    indictment     or    jury

instructions denied him a defense is vapid.

      If any benefit will do, the only possible defense is that the

defendant obtained absolutely no benefit at allSSand no pleading or

jury instruction is needed to prepare the defendant for this

defense.     Accordingly, we decline to require specificity in the

factual basis of the benefit.19




      19
        Cf. United States v. Barnhart, 889 F.2d 1374, 1378 (5th Cir. 1989) (holding
factual basis for falsity in perjury indictment not required).

                                        33
                                       c.

     The only circumstance under which a jury might need to be

instructed on specific potential benefits is if the jurors must

agree unanimously on what benefit the defendant derived; if that is

the case, failure to instruct on particular benefits (as well as

the failure to instruct on the required unanimity, of course) might

constitute reversible error.          On the other hand, if unanimity is

not required, an instruction on specific benefits proves pointless,

because   each   juror   can   pick    a    benefit   from   among   the   facts

presented at trial.

     The question, then, should be framed as follows:                  If some

jurors believed that Webster held Lisa Rene for one purpose, e.g.,

sexual gratification, and others believe for another benefit, e.g.,

revenge for a drug deal gone bad, does that disagreement, that lack

of unanimity, evidence a reasonable doubt that Webster held Lisa

Rene for some benefit?     The inquiry is governed by United States v.

Correa-Ventura, 6 F.3d 1070 (5th Cir. 1993).

     In Correa-Ventura, we analyzed whether a jury needed to reach

unanimous consensus on which of several weapons seized from the

defendant’s apartment had been used in the commission of a drug

trafficking offense.     In the process of holding factual unanimity

was not required, we explicated the case-by-case analysis we must

follow here.     See id. at 1081.

     As we explained, the unanimity rule ensures that the jury has


                                       34
found   guilt    beyond   reasonable    doubt,   and   disagreement    as   to

critical facts may reflect such doubt.           Id. at 1078.    But not all

facts require unanimity.       To determine which ones do, we examine

“[s]tatutory     language    and   construction,       legislative    intent,

historical treatment of the crime by the courts, duplicity concerns

with respect to defining the offense, and the likelihood of jury

confusion in light of the specific facts presented.”            Id. at 1082.

After considering these factors, we conclude that the jury need not

concur on the benefit the defendant derived from holding the

kidnaping victim.

     Looking at the language of the element, we see that the actus

reus proscribed is the “holding” of a victim.            The benefit, “for

ransom, reward, or otherwise,” merely adds purpose to the act of

holding.    Looking to the offense as a whole, we see that the

essential elements, stripped to the bones, are transporting and

holding against consent with a mens rea. The “interstate commerce”

serves as a mere jurisdictional hook, and the benefit language

simply provides guidance to a jury in understanding the crimeSSwhy

the defendant may have committed the offense.                 The essence of

kidnaping   is   a   non-consensual     transporting    and   holding,   done

wilfully or knowingly; the language in no way implies that the

benefit serves an important function in singling out the guilty

from the innocent or in deterring future conduct.

     The history of the offense also points to the insubstantial


                                       35
role of the benefit.         The Supreme Court has admonished that

Congress added the “or otherwise” language because “ransom or

reward” proved too narrow; Congress desired to expand the statute

by eliminating the limiting effect that the phrase had.            See Gooch,

297 U.S. at 128; Healy, 376 U.S. at 81-82.          We should not circum-

scribe    the   statute’s   reach,   once   again   giving   the    phrase   a

narrowing function, by requiring factual concurrence among the

jurors.

     Interpretive caselaw and the issue of duplicative convictions

also support rejecting a unanimity requirement. As cited above, we

and our sister circuits always have emphasized the breadth of the

benefit phrase.      We are aware of no case in which a court has

limited the kidnaping offense through the benefit requirement.

     In addition, concerns regarding duplicative convictions have

not arisen.     Webster does not argue that a lack of concurrence on

the factual predicate of a benefit risks duplicative convictions

for a single act of holding and transporting.          We know of no case

in which a defendant was convicted of or even charged with multiple

kidnaping offenses of the same victim because it was done for more

than one benefit.

     Finally, the circumstances of the instant case do not justify

vacating the sentence and requiring unanimity on the benefit.

Several benefits were argued to the jury.           There was sufficient

evidence from which a juror could find that Webster was motivated


                                     36
by the lure of those benefits.              Indeed, if unanimity had been

required, it is likely that the jury unanimously would have found

several benefits garnered by Webster, including revenge and sexual

gratification. The court provided a general unanimity instruction,

focusing the jury’s attention on the need to agree on the essential

elements of the crime.          Unanimity on the factual basis of the

benefit is not required, and the court did not abuse its discretion

in refusing Webster’s instruction.20



                                       C.

      Webster contends that his arrest was unconstitutional and that

the fruits obtained from it should have been suppressed.                    More

specifically, he argues that the court erred by failing to suppress

the fruits of the search of Webster and his automobile following

his arrest, that any purported consent given by him was nullified

by the illegality of the arrest, and that the court erred by

failing to suppress his statements following his arrest.                       It

readily becomes apparent that Webster’s arguments hinge on his view

that the arrest was unconstitutional.            Because we find both this

arrest and subsequent police conduct fully constitutional, the

court properly admitted the fruits of the search and the subsequent


      20
         Cf. Correa-Ventura, 6 F.3d at 1076-86 (no unanimity requirement as to
particular firearm used in 18 U.S.C. § 924(c) prosecution); United States v. Linn,
889 F.2d 1369, 1374 (5th Cir. 1989) (holding that jury need not be unanimous as to
identity of five individuals in prosecution for continuing criminal enterprise);
United States v. Sutherland, 656 F.2d 1181, 1202 (5th Cir. Unit A Sept. 1981) (no
unanimity requirement as to overt acts in multiple-object conspiracy).

                                       37
statements.



                                        1.

       The issues of probable cause and reasonable suspicion, which,

in this case, control the constitutionality of Webster’s arrest,

are mixed questions of law and fact.                   See United States v.

Tompkins,    130   F.3d   117,    120   (5th    Cir.   1997),    cert.   denied,

118 S. Ct. 1335 (1998).          So, we review the historical facts for

clear error    and   ultimate     legal      determinations     de   novo.   Id.

Because Webster does not challenge the findings of fact, our review

is limited to a de novo review of the legal conclusions.



                                        2.

       The Fourth Amendment requires that all arrests be based on

probable cause.      See U.S. CONST. amend. IV; Gerstein v. Pugh,

420 U.S. 103, 111 (1975).        Probable cause is “defined in terms of

facts and circumstances 'sufficient to warrant a prudent man in

believing that the [suspect] had committed or was committing an

offense.'”     Gerstein, 420 U.S. at 111 (quoting Beck v. Ohio,

379 U.S. 89, 91 (1964)) (alteration in original).                Based on this

standard, the police had probable cause to arrest Webster.

       The day before the arrest, police took a written statement

from    Beckley,   Webster’s     partner-in-crime.         This      inculpatory

statement suggested Webster’s criminal involvement in the kidnaping


                                        38
(and ultimate murder) of Lisa Rene.   Such statements taken from an

accomplice give rise to probable cause to arrest those so impli-

cated. United States v. Barfield, 507 F.2d 53, 58 (5th Cir. 1975).

     Matters admittedly are complicated by the fact that, although

the police had probable cause to arrest Webster following Beckley’s

statements, they did not know exactly who Webster was.     That is,

the issue of identification comes into play, as the police must

have had probable cause to believe that the man whom they arrested

was indeed Webster. Based on the totality of the circumstances, we

find that such probable cause existed.

     Beckley identified Webster as “B-Love” and described him as “a

black dude about 20 years old, about 5'9", 150-160 pounds, black

low cut hair, brown skinned.”   Beckley explained how he and B-Love

were involved in the sale of marihuana and how the kidnaping of

Lisa Rene arose from Beckley and Webster’s drug transactions.

     Beckley told the police that he and B-Love took Lisa Rene to

a cheap motel, tying her to a chair in a room that ended in the

digits “13.”   Beckley led Detective Ford and FBI Special Agent

Floyd to this motel, called the Pine Bluff Motel.    He took them to

room 513, which he identified as the room in which he and B-Love

had taken Rene.   Floyd interviewed the hotel manager, obtaining a

receipt for room 513 in the name of Bruce Webster.

     FBI Special Agent Mason and Agent McCall were assigned to

assist Ford and Floyd by going to the motel to help gather



                                 39
evidence.   They were told to be on the lookout for “B-Love,” who

had kidnaped Lisa Rene and kept her in room 513.   Mason and McCall

questioned a security guard about the guests of room 513 and were

told that a local man named Bruce Webster had stayed in that room,

along with three other black men, on the dates in question.     The

guard added that Webster went by the nickname of “B-Love” and

described him as “a black male, approximately 5'8" tall and 150

pounds,” seen wearing a black leather cap and driving an older

American, dark blue, square-looking sedan. The guard also told the

agents that Webster was a drug dealer.

     Later that day, the agents observed a black man driving an

older American, dark blue, square-looking car and wearing a black

leather cap; a woman was in the passenger seat.          The agents

signaled the suspect to stop; in response, the suspect sped up,

apparently attempting to flee. The agents pursued, and when one of

them shouted “B-Love, this is the F.B.I.    Stop where you are and

put your hands up,” the driver stopped.   The driver was, of course,

Webster, also known as B-Love.    At that point, the police placed

Webster on the ground and handcuffed him.

     The agents had probable cause to arrest Webster for kidnaping.

Although they did not have personal knowledge of his specific

wrongdoings, they are permitted to act on the probable cause

determination of others in their department. See Charles v. Smith,

894 F.2d 718, 724 (5th Cir. 1990).



                                 40
      The security guard’s description of B-Love was sufficiently

detailed and accurate to provide the police with probable cause to

believe that      the   man   they were      arresting     was   B-Love.21      The

reliability (in terms of veracity) of the guard, as a disinterested

witness, is presumed.         See United States v. Hernandez, 825 F.2d

846, 849 (5th Cir. 1987).

      Moreover, “the sufficiency of a particular description is

largely a factual matter,” so we give greater deference to the

district court’s finding of probable cause under these circum-

stances.     See Pollack, 739 F.2d at 190.          And in doing so, we must

recall     that   “sufficient     probability,      not    certainty,     is    the

touchstone of reasonableness under the Fourth Amendment.”22



                                        3.

      Even if the police initially lacked probable cause to arrest

Webster, they most certainly had reasonable suspicion to stop him.

See Terry v. Ohio, 392 U.S. 1, 22-24 (1968); United States v.

Watson, 953 F.2d 895, 897 (5th Cir. 1992). Their actions following



      21
         See, e.g., United States v. Pollack, 739 F.2d 187, 190 (5th Cir. 1984)
(holding that probable cause existed to arrest individual described as “a white
male, approximately 50 years old, 5'8 or 5'9, with a short, stocky, medium build,
glasses, and a receding hairline, wearing a dark blue or black coat, a light colored
shirt and blue jeans”); United State v. Maryland, 479 F.2d 566, 569 (5th Cir. 1973)
(declaring that probable cause existed to arrest individuals described as “four
Negroes, two men and two women . . . traveling in a 'black and white vinyl over
green Cadillac'”).

      22
        Hill v. California, 401 U.S. 797, 804 (1971) (holding that probable cause
existed even though the police arrested the wrong person because of an imperfect
description).

                                        41
this legitimate stop were likewise constitutional, so all the

evidence and statements gathered from Webster are admissible.

     Reasonable suspicion is a standard lower than probable cause.

Terry, 392 U.S. at 16-22; Watson, 953 F.2d at 897 n.1.         Reasonable

suspicion sufficient to justify a Terry stop exists when law

enforcement officials are able to point to “specific and articul-

able facts which, taken together with rational inferences from

those facts, reasonably warrant that intrusion.”         Terry, 392 U.S.

at 21.   The matching description of Webster, taken together with

the guard’s identification of him as a drug dealer and his presence

at the motel, satisfy this test of reasonable suspicion.

     After stopping Webster, the police were within their constitu-

tional authority to pat him down for their personal safety. Terry,

392 U.S. at 27-28; United States v. Michelletti, 13 F.3d 838,

840-41 (5th Cir. 1994) (en banc).          They also were within their

authority to handcuff Webster, even if probable cause to arrest him

was lacking.   See United States v. Sanders, 994 F.2d 200, 205-07

(5th Cir. 1993).

     In addition, the police acted constitutionally when they asked

Webster whether he had any needles in his pockets that could injure

them during their pat down; such questioning, needed to protect the

officers,   does   not   constitute    interrogation   under   Miranda   v.

Arizona, 384 U.S. 436 (1966).         See New York v. Quarles, 467 U.S.

649, 655 (1984).    Accordingly, Webster’s response, indicating that


                                      42
he had marihuana in his pocket, was not obtained in violation of

Miranda and was fully admissible.

      Webster’s admission that he possessed marihuana gave the

police     probable   cause   to   arrest    him,   at   the   very   least    for

narcotics possession.          This renders unproblematic the lengthy

(1½-hour) detention of which Webster complains.

      Lengthy detentions following Terry stops are often problem-

atic, because they serve to escalate an investigatory stop, which

can be initiated with only reasonable suspicion, into an arrest,

which requires probable cause.23              In this case, however, the

officers’ reasonable suspicion developed into probable cause when

Webster indicated that he possessed drugs, and when the police

uncovered the key to room 513 on his person.                Consequently, the

conversion of Webster’s investigatory stop into an arrest is both

proper and to be expected.         Adams, 407 U.S. at 148-49.         The search

of Webster’s person was in order as a valid search incident to a

valid arrest.     United States v. Edwards, 415 U.S. 800, 802 (1974).

      Next, the police searched Webster’s car, revealing two guns

and other incriminating items.           There are two valid, independent

justifications for this police action, although only one is needed

to affirm.

      First, as the search of Webster’s person revealed a key to

      23
         See Adams v. Williams, 407 U.S. 143, 146 (1972); see also California v.
Beheler, 463 U.S. 1121, 1123-25 (1983) (holding that whether an individual has been
arrested, in the constitutional sense, is an objective, legal determination based
on the circumstances of his restraint).

                                        43
room 513, police now had undisputable probable cause to arrest for

the kidnaping.         Therefore,     it   was   reasonable        for    the   police

thoroughly to search Webster’s car for evidence of the kidnaping.

See California v. Acevedo, 500 U.S. 565, 579-80 (1991).

     Second,     Webster   orally      consented     to     this    search.        See

Schneckloth v. Bustamonte, 412 U.S. 218, 235 (1973).                     Such consent

operates as a waiver of Fourth Amendment rights if, by a preponder-

ance of the evidence, it is found to have been given voluntarily

under the totality of the circumstances. See id. at 235-40; United

States v. Cooper, 43 F.3d 140, 144 (5th Cir. 1995).                       Factors to

consider in making this determination are the coerciveness of

police procedures, the extent of the defendant’s cooperation, his

awareness   of   his    right   to   refuse      consent,    his    education      and

intelligence, and his belief as to whether incriminating evidence

will be found.     Cooper, 43 F.3d at 144.

     Webster’s experience in police procedure, resulting from his

lengthy criminal record, belies the assertion that he was unaware

of his rights or uneducated as to the situation he faced.                       And the

fact that the police asked him not once but twice for permission to

search his automobile (the second time being when they came to the

trunk of the car) undercuts the argument that the police were

coercive in their request.           Under these facts, Webster’s consent

was freely given.




                                       44
                                     D.

     Webster argues that the court erred by denying his motion to

dismiss the government’s notice to seek the death penalty based on

racial discrimination in the charging decision and by denying his

discovery request on this issue. To support the motion to dismiss,

Webster offered an affidavit showing that 66% of federal death

penalty cases involved black defendants. The court denied both the

motion to dismiss and the motion for discovery and an evidentiary

hearing, noting that Webster had failed to make out the requisite

prima facie case that he had been singled out for prosecution but

others similarly situated were not prosecuted.



                                     1.

     We review constitutional claims de novo. See Estrada-Trochez,

66 F.3d 733, 735 (5th Cir. 1995).         A district court’s decisions in

overseeing criminal discovery, however, receive great deference on

appeal.   Alleged    errors   are    subject     to   review   for   abuse   of

discretion,   and   we   reverse    only    if   a    defendant   establishes

prejudice to substantial rights.          United States v. Mora, 994 F.2d

1129, 1138 (5th Cir. 1993).



                                     2.

                                     a.

     The decision to prosecute one person and not another is a


                                     45
proper exercise of executive discretion with which we are reticent

to interfere.   United States v. Hoover, 727 F.2d 387, 389 (5th Cir.

1984). To establish that the government has engaged in unconstitu-

tionally discriminatory selective prosecution, a defendant must

make a two-pronged showing.

     First, he needs to make out a prima facie showing that he has

been singled out for prosecution but others similarly situated of

a different race were not prosecuted.             See United States v.

Armstrong, 517 U.S. 456, 465 (1996); United States v. Sparks,

2 F.3d 574, 580 (5th Cir. 1993); Hoover, 727 F.2d at 389.                 In

Armstrong, the Court stated, “The vast majority of Courts of

Appeals   require   the   defendant    to   produce   some   evidence   that

similarly situated defendants of other races could have been

prosecuted, but were not, and this requirement is consistent with

our equal protection case law.”             Armstrong, 517 U.S. at 469.

Second, he must demonstrate that the discriminatory selection of

him for prosecution is invidious or in bad faith, in that it rests

on such impermissible considerations as race, religion, or the

desire to prevent his exercise of his constitutional rights.             See

Sparks, 2 F.3d at 580; Hoover, 727 F.2d at 389.

     In making these requisite showings, the defendant must rebut

the presumption that the government made its decision to prosecute

in good faith and in a nondiscriminatory manner.         Hoover, 727 F.2d

at 389.   To dispel the presumption of prosecutorial good faith, “a

                                      46
criminal defendant must present 'clear evidence to the contrary.'”

Id. at      465    (quoting    United   States   v.   Chemical   Found.,    Inc.,

272 U.S. 1, 14-15 (1926)).

      A defendant is not automatically entitled to an evidentiary

hearing to make the required showing.            He must first present facts

“sufficient to create a reasonable doubt about the constitutional-

ity of [his] prosecution” resulting from selective prosecution.24

Mere statistical evidence of racial disparity usually will be

per se insufficient to support an inference of any “unacceptable

risk” of racial discrimination in the administration of capital

punishment.        McCleskey v. Kemp, 481 U.S. 279, 294-97 (1987).



                                          b.

      Webster has failed to make a sufficient showing that he was

singled out for selective prosecution.             He has not even attempted

to   show    that    other    similarly    situated   individuals      committing

similar     acts    were     not   prosecuted.    Such   a   showing    would   be

challenging under the FDPA, as no one yet had been prosecuted under

that Act when Webster was indicted.               But Webster also did not

attempt to make the showing under other federal death penalty acts.

      Webster relies primarily on his statistical evidence, which



      24
         United States v. Jennings, 724 F.2d 436, 445-46 (5th Cir. 1984) (finding
bare generic allegations concerning the selective prosecution of racial groups
insufficient to justify an evidentiary hearing); United States v. Ramirez, 765 F.2d
438, 440 (5th Cir. 1985) (holding “conclusional allegations of impermissible motive
are not sufficient” to demonstrate the government acted in bad faith).

                                          47
under McCleskey fails to rebut the good faith presumption. Webster

cites McCleskey, 481 U.S. at 293 n.12, which may allow finding a

constitutional violation (or prima facie finding thereof) in very

limited    circumstances     if   the   data   presents    a   “stark”   enough

picture. But the 66% figure Webster provides is no more stark than

were the statistics in the Baldus Study at issue in McCleskey.25

      Webster also argues that counsel would have shown that they

had requested that the Department of Justice consider this racial

disproportionality as a factor mitigating against authorization of

the death penalty in this case, and the government refused because

of “the purported 'race neutrality' required by DOJ policies in

capital charging decisions.”            Likewise, Webster contends that

“failure of the Government to 'affirmatively act' to overcome such

racially discriminatory application” of the death penalty “amounted

to purposeful discrimination.”          This, however, fails to establish

the discriminatory purpose required under the second prong of the

selective prosecution test.

      Discriminatory purpose “implies that the decisionmaker . . .

selected or reaffirmed a particular course of action at least in

part 'because of,' not merely 'in spite of,' its adverse effects

upon an identifiable group.”        Id. at 291 (quotation omitted).          The


      25
        Baldus reported that Georgia prosecutors sought the death penalty in 70%
of the cases involving black defendants and white victims, 32% of the cases
involving white defendants and white victims, 15% of the cases involving black
defendants and black victims, and 19% of the cases involving white defendants and
black victims. See McCleskey, 481 U.S. at 287.

                                        48
above evidence, at best, shows action in spite of a putatively

adverse discriminatory effect and not purposeful discrimination.

      Furthermore, a non-discriminatory explanation for seeking the

death penalty against Webster is evident on the facts:                   It is

justified by the objective circumstances of the crime and the

sufficiency and availability of evidence to prove the required

elements under the law.        These are the precise considerations the

Supreme Court identified as proper and legitimate grounds for such

a decision.     See id. at 307 n.28.            The verdict attests to the

objective considerations, and Webster has made no effort to rebut

them.



                                       3.

      Webster’s attempt to obtain discovery on the issue stands on

equally faulty ground. In Armstrong, the Court addressed the issue

of   the   showing    necessary   to   obtain    discovery   on   a   claim    of

selective prosecution based on racial discrimination.                 The Court

first quickly disposed of any claim for discovery under FED. R.

CRIM. P. 16, stating, “We hold that Rule 16(a)(1)(C) authorizes the

defendants    to     examine   Government   documents    material       to    the

preparation of their defense against the Government’s case-in-

chief, but not to the preparation of selective-prosecution claims.”

Armstrong, 517 U.S. at 463.

      Webster contends that a defendant “necessarily has a lesser


                                       49
burden when seeking discovery to aid in proving the elements of a

prima facie case of selective prosecution.”         The Court, however,

held squarely against Webster’s assertion, stating, “The justifica-

tion for a rigorous standard for the elements of a selective

prosecution claim thus require a correspondingly rigorous standard

for discovery in aid of such a claim.”       Id. at 468.

     Finally, Webster argues that he requested the discovery also

to establish mitigating evidence that a death sentence would

propagate a racially discriminatory application of the federal

death penalty.      Webster makes no argument other than that a

defendant is entitled to present any mitigating evidence, which he

was denied by denial of the discovery request.

     The government aptly responds that the Armstrong discovery

rule for selective prosecution applies, requiring a prima facie

showing.   Any other rule would allow circumvention of Armstrong’s

requirements.

     Furthermore,   the   Court   in    Armstrong   justified   its   high

standard for discovery in selective prosecution claims, explaining:

     Judicial deference to the decisions of [prosecutors]
     rests in part on an assessment of the relative competence
     of prosecutors and the courts.      Such factors as the
     strength of the case, the prosecution’s general deter-
     rence value, the Government’s enforcement priorities, and
     the case’s relationship to the Government’s overall
     enforcement plan are not readily susceptible to the kind
     of analysis courts are competent to undertake. It also
     stems from a concern not to unnecessarily impair the
     performance of a core executive constitutional function.
     Examining the basis of a prosecution delays the criminal
     proceeding, threatens to chill law enforcement by

                                   50
     subjecting the prosecutor’s motives and decisionmaking to
     outside inquiry, and may undermine prosecutorial effec-
     tiveness by revealing the Governments enforcement policy.

517 U.S. at 465 (citations and quotations omitted). The competency

concerns apply a fortiori when lay jurors are asked to analyze

prosecutorial decisions.

     In addition, Webster had the statistical evidence regarding

the allegedly discriminatory manner in which the modern federal

death penalty has been applied and yet chose not to attempt to

introduce it during the sentencing hearings; this may indicate his

lack of confidence in this evidence’s mitigating value.



                                E.

     Webster contends that the district court erred in denying his

motion for post-trial discovery on the issue of whether one of the

case’s lead law enforcement investigators, Special Agent Floyd, had

“purchased” the testimony of a prosecution witness, John Clay, by

allowing a conjugal visit at a private residence in violation of

agency guidelines.   Webster argues that if discovery had verified

this claim, it would have impeached the testimony of Clay and

Floyd, thus constituting grounds for a new trial.



                                1.

     We review discovery rulings for abuse of discretion.   United

States v. Dukes, 139 F.3d 469, 476 (5th Cir.), cert. denied, 119 S.


                                51
Ct. 215 (1998); United States v. Johnson, 127 F.3d 380, 391 (5th

Cir. 1997), cert. denied, 118 S. Ct. 1174 (1998).          We will order a

new trial based on discovery violations only where the party

demonstrates prejudice to his substantial rights.          Dukes, 139 F.3d

at 476.      To prevail, then, Webster must establish that “there is a

reasonable probability that, had the evidence been disclosed to the

defense, the result of the proceeding would have been different

. . . .        [A] reasonable probability is shown where the non-

disclosure 'could reasonably be taken to put the whole case in such

a different light as to undermine confidence in the jury verdict.'”

United States v. Visher, 106 F.3d 622, 634 (5th Cir. 1997) (quoting

Westley v. Johnson, 83 F.3d 714, 725 (5th Cir. 1996), cert. denied,

117 S. Ct. 773 (1997)).



                                     2.

     The government introduced testimony from Clay during the

rebuttal portion of the penalty phase.             Clay, who had charges

pending against him for drug dealing that included the possibility

of a life sentence, was taken to the holdover cell on the second

floor   of    the   federal   courthouse.   When    he   arrived   from   the

Mansfield Correctional Enforcement Center, Webster was present in

the holdover cell.        Webster then left and came back and began

jumping around, saying that “there has got to be a God” because his

trial had been set to a later day.          Clay testified that Webster


                                     52
also preached a thirty-minute sermon, “quot[ing] scriptures out of

the Bible that has to be photographic in his mind because it was so

accurate.” Clay and Webster conversed in “pig latin” after Webster

started using it.       Clay demonstrated pig latin for the jury.

     Webster then told Clay about a “master mind plan” to arrange

for each of them to have sexual contact with a female inmate by

manipulating the visiting process.           Before the two men were taken

back to Mansfield, Webster told Clay that he would write a letter

to him in pig latin to explain the plan.          Webster in fact sent such

a letter to ClaySSthe letter was introduced into evidence, with the

defense stipulation        that   Webster   had   authored     it.   With    the

prosecutor reading the letter, Clay interpreted some of the slang

used.

     Clay also testified that he was cooperating with the govern-

ment in hopes of a sentence reduction.                  Counsel for Webster

questioned Clay about his criminal background and his current

charges, and attempted to impeach Clay by implying that he was

angry with Webster because Webster allegedly had written a letter

to Clay’s girlfriend, who also was a prisoner at the Mansfield

Correctional Center.

     Floyd     testified    during   the    penalty    phase   regarding    oral

statements Webster made while in custody.             The statements included

that killing Lisa Rene was “just business.”26

     26
          Floyd also provided some of the testimony relevant to the admission of
                                                                (continued...)

                                       53
      Approximately two months after trial and two days after filing

a motion for new trial, Webster filed an addendum to his motion for

new trial, setting forth an allegation from a local newscast that

Floyd had permitted Clay to engage in a conjugal visit with Clay’s

girlfriend after Floyd had taken Clay from the detention center for

an unrelated investigation.        Webster alleged that this “reward” to

Clay should have been reported to the defense pursuant to Brady v.

Maryland, 373 U.S. 83 (1963).        Webster asked the court to order the

government to disclose any information that reasonably could be

obtained      regarding     inducements     given   by   Floyd   to    Clay   and,

specifically, that the government be ordered to disclose the

results of any investigation relating to the matter.                  The govern-

ment already had volunteered to provide the requested information

to Webster, subject to confidentiality limitations.

      In its response to the motion for new trial, the government

reaffirmed its continuing obligation and intention to disclose any

mitigating or impeaching evidence.            The government further noted

that it would work with Webster’s counsel to help them secure

affidavits that had been filed in other cases in connection with

the allegations. Webster then filed a motion in which he requested

the court to

      order the attorneys for the government to produce and


      26
           (...continued)
Webster’s confession. As discussed above, the district court properly denied the
motion to suppress the confession; the questions Webster raises regarding Floyd’s
credibility do not alter that determination.

                                       54
     hand over to the defense counsel all information associ-
     ated with the activities of Special Agent Garrett Floyd
     of the Federal Bureau of Investigation that are related
     to the granting of inducements, favors, privileges,
     rewards, concessions or anything of value to any witness
     directly or indirectly associated with this instant case.
     This order should extend as well to any other case which
     is, or may be, a part of a systematic action on the part
     of Agent Floyd or other government actors to grant favors
     to witnesses in return for their testimony.

Counsel for Webster acknowledged that he had received copies of the

affidavits used in other cases involving the same allegation and

that defense investigators were looking into other possible sources

of information.

     In response to the motion for post-trial discovery, the

government noted that the district court having jurisdiction over

the cases in which this allegation had been made had determined

that Floyd was unaware that Clay had had sexual contact while in

Floyd’s custody and that a new trial was not warranted.                  The

government asked the court to deny Webster’s post-trial motion

because   the   motion   was   too   broad,   and   again   reiterated   its

continuing discovery obligation.

     The court denied Webster’s motion, stating that even
     assuming that all of the facts asserted in [Webster’s]
     motion and the addendum are trueSSthat the Federal Bureau
     of Investigation Special Agent assigned with primary
     responsibility for investigating this case took federal
     prisoner John Clay from his detention facility, trans-
     ported him to the home of a female friend, and knowingly
     allowed Clay and the female to engage in sexual activi-
     ties, all in exchange for Clay’s testimony in this cause,
     and the prosecutor knowingly withheld this information
     from Defendant,

the evidence was not material.         Citing United States v. Bagley,


                                     55
473 U.S. 667, 682 (1985), the court found that even if this

information had been disclosed before trial, the result would have

been the same.



                                 3.

     The court did not abuse its discretion in denying the motion

for post-trial discovery.   Even assuming the allegations are true,

they fail to undermine confidence in the verdict.    Clay was only

one of many government witnesses who testified to rebut Webster’s

claim of mental retardation, including school teachers, counselors,

principals, employers, and detention center personnel.     Much of

Clay’s testimony focused on the letter written by Webster’s own

hand that set forth the “plan” for a sexual rendezvous with female

inmates.   It is evident from the record that Webster concocted the

elaborate scheme to manipulate the detention center’s visitation

system and sought Clay’s assistance.   Clay’s other testimony could

be redacted, and there would still be ample evidence to support the

jury’s findings regarding Webster’s mental abilities.

     Furthermore, Clay admitted that he had testified in hopes of

a reduced sentence, and the defense impeached his testimony with

the allegation that Clay held a grudge against Webster.    Further

impeachment via the possible quid pro quo of sex for testimony

likely would not have affected more than marginally the weight the

jury gave to Clay’s testimony.



                                 56
       With respect to Floyd’s testimony, he too was only one of many

witnesses who testified regarding Webster’s future dangerousness.

Other   witnesses   included   Special      Agent   William   Eppright,    who

testified that, on an occasion separate from the one testified to

by Floyd, Webster said killing Lisa Rene was “strictly business.”

Mohamed Ghene testified regarding Webster’s attempted robbery of

his clothing store and the shots Webster fired at him from across

the street.     Tlisha Booth presented testimony pertaining to a

shoving match over a piece of candy.        Sylvia Henry, corroborated by

a security guard and Booth, testified that Webster had assaulted

her at a nightclub.      Pine Bluff Police Department Officer Lance

Lawhorn testified that, while he was transporting Webster, Webster

stated that if he was not in custody he would “kill the bitch” who

gave him a venereal disease.        Even if Floyd’s testimony regarding

Webster’s oral statements were redacted, the record provides ample

evidence of future dangerousness.

       Moreover, any damage to Floyd’s credibility caused by these

allegations would be mitigated by the finding of the district court

with    jurisdiction   over   the   cases   where   the   allegations     were

initially made that Floyd was unaware that Clay had any sexual

contact while in his custody and that a new trial was not war-

ranted.    There is no reasonable probability that the verdict would

have been different had the jury known of the alleged Floyd-Clay

incident, so the court did not abuse its discretion in denying

discovery.

                                     57
                                      F.

      Webster argues the district court lacked a statutory or

constitutional (Fifth Amendment) basis to compel him to submit to

a mental health exam by a government expert as a prerequisite to

introducing his own expert psychiatric testimony.                We find no

error.



                                      1.

      Although compelling Webster to a government psychiatric exam,

the   court also granted, in part, Webster’s motion to limit the

scope of the exam.      Specifically, the court barred examination of

Webster’s future dangerousness.            The government’s witness, Dr.

George Parker, however, testified that he found that Webster’s

incarceration would lead to “a potentially very dangerous situa-

tion.”     Webster argues this aspect of the testimony constitutes a

Fifth Amendment violation.

      Webster’s argument falls well short of reversible error.

First, he mischaracterizes the record.          There is no evidence that

any government expert was asked to27 or did conduct an examination

of Webster with regard to his future dangerousness.           The reports of

Dr. Coons and Dr. Parker state that they had sufficient data to

assess Webster’s future dangerousness without examination designed


      27
         When first contacted and hired, before the court’s limiting order,
Dr. Coons was informed that part of the exam would be for future dangerousness.
But nothing in the record indicates that either Coons or Dr. Parker actually
conducted an exam for future dangerousness.

                                      58
to uncover that.      Our reading of the record leads us to conclude

that, contrary to Webster’s assertion, Coon’s testimony regarding

Webster’s future dangerousness did not turn on an examination in

violation of the court ordered limits.

      Second, Webster never objected on these grounds, so he failed

to preserve the issue for appeal.          Finally, even if such testimony

were given and properly objected to, the error of allowing the

testimony proves harmless, because there is ample independent

evidence to support a finding of future dangerousness.28



                                      2.

      The Hall panel avoided the question of statutory authority

because it had not been properly briefed.              See Hall, 152 F.3d

at 398.    We now face the issue and conclude that the district court

had the authority to order the exam.



                                      a.

      A district court’s decisions in overseeing criminal discovery

are entitled to great deference.             Alleged error is subject to

review for abuse of discretion, and we will reverse only if a

defendant establishes prejudice to substantial rights.                 Dukes,

139 F.3d at 476; Johnson, 127 F.3d at 391.              Because the court-


      28
         See Satterwhite v. Texas, 486 U.S. 249, 257-58 (1988) (citing numerous
cases for proposition that constitutional errors in criminal trial are usually
subject to harmless error review).

                                      59
ordered exam did not violate Webster’s constitutional rights, and

he makes no other claim of prejudice, any finding of authority to

order the exam negates prejudice to substantial rights.



                                       b.

      Although Webster correctly asserts that the court lacked

statutory authority to order the psychiatric exam, a district court

possesses inherent powers “reasonably useful to achieve justice,”

In re Stone, 986 F.2d 898, 902 (5th Cir. 1993) (recognizing several

categories of inherent court powers), including certain powers over

the administration of civil and criminal discovery, Natural Gas

Pipeline Co. v. Energy Gathering, Inc., 2 F.3d 1397, 1406 (5th Cir.

1993).     In fact, FED. R. CRIM. P. 57(b) provides that where no law

or rule is directly applicable, "[a] judge may regulate practice in

any manner consistent with federal law, these rules, and local

rules of the district."         The existence of the federal rules does

not preempt this power, if the rules do not exclude the exercise of

the specific putative inherent power.            Id. at 1407.29      Before the

enactment in 1974 of FED. R. CRIM. P. 12.2, which establishes the

procedures governing psychiatric exams at trial, numerous courts

had recognized the existence of inherent judicial authority to

order a defendant to give the government notice of a psychiatric


      29
          See also United States v. Nobles, 422 U.S. 225, 236 (1975) (finding that
FED. R. CRIM. P. 16 did not preempt an inherent power of the judiciary in criminal
trial).

                                       60
defense and to submit to examination by a government expert.30 This

court, too, in other circumstances, has found inherent power to

compel a psychological examination of a criminal defendant.31

      Acknowledging      that    a    district    court    has   such     inherent

authority furthers the goals of the FDPA.                If the federal courts

have supervisory authority to “formulate procedural rules not

specifically required by the Constitution or the Congress” to

“preserve    the   integrity     of   the    judiciary    by   ensuring    that a

conviction rests on appropriate considerations validly before the

jury,” United States v. Hastings, 461 U.S. 499, 505 (1983), that

authority must extend to the sentencing phase of a trial as well.

      The FDPA provides, “[t]he government and the defendant shall

be permitted to rebut any information received at the [sentencing]

hearing, and shall be given fair opportunity to present argument as

to the adequacy of the information to establish the existence of


      30
        See, e.g., United States v. Albright, 388 F.2d 719, 722 (4th Cir. 1968);
Pope v. United States, 372 F.2d 710 (8th Cir. 1967) (en banc), rev’d on other
grounds, 392 U.S. 651 (1968); Alexander v. United States, 380 F.2d 33 (8th Cir.
1967); Winn v. United States, 270 F.2d 326 (D.C. Cir. 1959).

      31
         See United States v. Cohen, 530 F.2d 43, 47 (5th Cir. 1976) (holding that
court possesses inherent authority to order exam and admit psychiatric testimony
regarding sanity at time of offense in conjunction with exam for competency to stand
trial performed pursuant to 18 U.S.C. § 4244); United States v. Moudy, 462 F.2d 694,
697 (5th Cir. 1972) (same); accord United States v. Malcom, 475 F.2d 420, 424-25
(9th Cir. 1973) (same); Gibson v. Zahradnick, 581 F.2d 75, 78 (4th Cir. 1978)
(same); United States v. Green, 544 F.2d 138, 145 (3d Cir. 1976) (holding that court
possesses inherent power to compel exam by own psychiatrist under 18 U.S.C. § 4244);
United States v. Phelps, 955 F.2d 1258, 1263 (9th Cir. 1992) (inherent authority to
compel psychiatric exam to determine whether release appropriate after verdict of
not guilty by reason of insanity); United States v. Lewis, 53 F.3d 29, 35-36 n.9
(4th Cir. 1995) (holding that court did not err in ordering psychiatric examination
in light of defendant's stated intent to rely on claim of sub-normal intelligence
in support of entrapment defense despite the technical inapplicability of rule
12.2(b)).

                                        61
any aggravating or mitigating factor, and as to the appropriateness

in the case of imposing a sentence of death.”              § 3593(c).     Webster

indicated his intention to present expert psychiatric testimony at

the sentencing hearing.          The government would not have a “fair

opportunity” to rebut that testimony if it could not conduct an

examination of its own; and to ensure that the sentence rests on

appropriate considerations, the government must have the opportu-

nity to rebut the defense’s claims.32

      Allowing the court to require disclosure of the defendant’s

experts’ reports and to compel the defendant to submit to a

government psychiatric exam on the government’s motion constitutes

a fair procedure for achieving these goals in a timely manner.                 Cf.

FED. R. CRIM. P. 12 (establishing similar procedure for guilt-

innocence phase).       The court had the inherent authority to order

the exam, and, therefore, did not abuse its discretion.




                                        G.

      Webster’s first challenge relating to veniremen alleges that

the court abused its discretion in granting the government’s Witt

challenge of Linda Vicar.        A review of the record reveals that the

court had sufficient grounds to grant the challenge.


      32
        See Estelle v. Smith, 451 U.S. 454, 465 (1981) (noting that forbidding a
government examination “may deprive the State of the only effective means it has of
controverting [the defendant’s] proof on an issue that he has injected into the
case”).

                                        62
                                        1.

      A court may excuse a prospective juror for cause because of

his views on capital punishment if those views would prevent or

substantially impair the performance of his duties as a juror in

accordance with the instructions and oath.                Wainwright v. Witt,

469 U.S. 412, 424 (1985); Williams v. Collins, 16 F.3d 626, 633

(5th Cir. 1994).       Determination that a juror would automatically

vote against the death penalty in every case is not the only

situation in which that standard would require dismissal.                 Flores,

63 F.3d at 1355.       The court has the discretion to excuse a juror

when it “is left with the definite impression that a prospective

juror would be unable to faithfully and impartially apply the law.”

Id.   (quoting    Witt,   469   U.S.    at   426).     We   give   considerable

deference to the decision to excuse a juror on this basis, because

such decisions are based on face-to-face credibility assessments.33




      33
         See Flores, 63 F.3d at 1355; see also Witt, 469 U.S. at 426-29 (although
in habeas context, discussing universal reasons for deference); United States v.
Bryant, 991 F.2d 171, 174 (5th Cir. 1993) (decision to excuse juror for actual bias
reviewed for manifest abuse of discretion).

                                        63
                                        2.

      Webster’s argument focuses on Vicar’s statements that she

believed capital punishment was a deterrent to crime and that “the

possibility is there” that situations existed in which she could

impose a death sentence.            Based on this, Webster believes her

ability to perform her duties as a juror was not impaired.

      Other excerpts, however, support the government’s concern and

the court’s decision.         Vicar stated, “I mean from one day to the

next, I don’t have the same opinion of what I could do.                  I think

there could be, depending on what the situations were, that I could

say, yes, that’s what it should be, that’s what the penalty should

be.   I don’t consistently, from day to day, think I could actually

do that if there really is a life sentence.”

      Indeed, in answering several questions, Vicar wavered on

whether she could sentence a defendant to death if a life sentence

without parole option were a viable alternative.34             The government,


      34
           During questioning by the government, Vicar gave the following answers:

      A.      I guess it’s not something that I have ever wanted to do.
              I guess I have debated since we filled out that questionnaire
              whether I could really do it or not, but that doesn’t say
              I don’t think it’s necessary. I guess I asked the question
              this morning about whether we really had a life sentence that
              were truly without parole or any chance of getting out.
              I don’t know if I could tell you at this time whether I could
              make a decision for the death penalty orSSI mean, I don’t know
              if I could sit here and tell you today whether I could really
              do that or not. That’s why I had the questions I had this
              morning about whether if you’re telling me there really is a
              life sentence without parole, if that is really true, if you
              tell me in the courtroom that there is that option.

      Q       . . . knowing that a person you might convict of an offense
                                                                (continued...)

                                        64
in objecting to Vicar, pointed to her demeanor, her long pauses

before answering questions, and her admission of equivocation.

Although she stated she could envision circumstances in which she

might be able to impose a death sentence, the presence of the

alternative of a life sentence without parole raised serious

questions about her ability to follow the law.               In addition, the

whole of her testimony could have left the court with the impres-

sion that she favored the death penalty as a theoretical necessity,

but would not be able to recommend it.          The court did not abuse its

discretion     in   granting    the   challenge    for   cause    for   Vicar's

inability to apply the death sentence.




     34
          (...continued)
             like this is never going to be released, ever, period, and
             he’s going to be in prison for the rest of his life, that
             realistically you could never vote for the death penalty, then
             you really need to let us know that now, okay?

     A.      I guess I feel likeSSsince there is that other option, I’m not
             sure.   I thought before that I could vote for the death
             penalty, but I don’t really know, if it came right down to it,
             if I could do it or not. I’m not saying that I could not.
             I guess a lot of it would just have to do with the facts of
             the case. I don’t know if I could do it or not. I couldn’t
             tell you that I know I could or that I know I couldn’t.

     .
     Q.      . . . Why do you feel that would be such a           problem?
             Realistically, why do you feel that’s a problem?

     A.      I guess I’m just torn between the fact of whether I thought
             there were cases that I have heard of that I thought that’s
             exactly what they deserved, but whether I couldSSwhether that
             decisionSSI guess whether it conflicts with my religious
             beliefs, whether that decision should really be up to me or
             not. I don’t know if I could make that decision or if I could
             be guaranteed that person would be in prison for life.
             I guess it’s probably primarily justSSjust something within
             myself that I don’t know if I could do it or not, because
             I might think that person deserved exactly that, but whether
             I should be the one here on earth to make that decision.

                                       65
                                   H.

     Webster avers that the court abused its discretion in denying

several of his challenges for cause.        He challenged veniremen

Deanna Hailey and Carolyn Coffelt on the ground that they stated

that if they found Webster guilty of the primary offense of

kidnaping resulting in death, they would have to answer “yes” to

the statutory aggravating factor that the defendant caused the

death of the victim during a kidnaping.     Webster challenged Jimmy

Chambless, Kristi Magouirk, and David Hoffman because all allegedly

were biased in favor of finding him guilty during the guilt-

innocence phase.      The court denied these challenges, forcing

Webster to use peremptory challenges in all five cases.       He now

says the denial of his for-cause challenges was an abuse of

discretion.    We disagree.



                                   1.

     The Sixth Amendment right to a fair trial includes the right

to an impartial jury.         Morgan v. Illinois, 504 U.S. 719, 727

(1992).    In a capital sentencing context, there is the right to

challenge for a cause a juror whose views on capital punishment

would “prevent or substantially impair the performance of his

duties as a juror in accordance with his instructions and his

oath.”    Witt, 469 U.S. at 424 (quoting Adams v. Texas, 448 U.S. 38,

45 (1980)).    The government has the right to challenge for cause


                                   66
those veniremen whose views in opposition to the death penalty will

substantially impair their duty.         Id.   As a corollary, the capital

murder defendant has a right to challenge for cause any juror who

will automatically vote for the death penalty in every case,

because that juror “will fail in good faith to consider the

evidence    of   aggravating    and   mitigating     circumstances     as   the

instructions require him to do.”           Hall, 152 F.3d at 407 (quoting

Morgan, 504 U.S. at 729).

      Although Webster complains that the failure to grant his

challenges for cause forced him to exhaust his peremptory chal-

lenges and, after running out, to take objectionable jurors, he

does not allege that any of the jurors who served was not impar-

tial.35 We do not face, therefore, a pure constitutional challenge.

Cf. id. at 407-08.36     Rather, we address Webster’s statutory right

to the free exercise of his peremptory challenges as a means of

implementing the constitutional guarantees.

      “While peremptory challenges, or the number provided by FED.

R. CRIM. P. 24(b) may not be constitutionally required, it does not

follow that a trial court’s wrongful reduction of the number so



      35
        Webster asserts, without substantiation or explanation, only that he was
forced to take several “questionable” jurors.
      36
         The failure properly to grant a challenge for cause rises to the level
of a constitutional violation and warrants reversal only “if the defendant
exhausts all peremptory challenges and an incompetent juror is forced upon him.”
Ross v. Oklahoma, 487 U.S. 81, 89 (1988). Absent such a showing, the defendant
has not been denied his Sixth Amendment right to an impartial jury. Webster has
made no claim of incompetent jurors.

                                      67
provided is not reversible error on direct appeal.”              United States

v. Munoz, 15 F.3d 393, 395 n.1 (5th Cir. 1994).37              “'The denial or

impairment of the right to exercise peremptory challenges is

reversible error without a showing of prejudice.'”              Hall, 152 F.3d

at 408 (quoting United States v. Broussard, 987 F.2d 215, 221 (5th

Cir. 1993)).     Because the district court’s predominant function is

determining the credibility of the veniremen, however, “deference

must be paid to the trial judge who sees and hears the prospective

juror.”    Id. at 407 (quoting Witt, 469 U.S. at 426).           “We will only

second-guess the court’s decision that a juror is unbiased if there

is an abuse of discretion.”        Id. (quoting Flores, 63 F.3d at 1357).



                                       2.

                                       a.

      Webster contends that the court should have granted his

challenge to Deanna Hailey because she automatically would answer

“yes” to one of the statutory aggravating factors if she had found

him guilty.      Specifically, Hailey said that if she had found a

defendant guilty of an intentional kidnaping that results in death,

she   always    would    find   the    statutory    aggravating      factor    of

§ 3592(c)(1) to be true—that the defendant had caused the death



      37
        See also United States v. Nell, 526 F.2d 1223, 1229 (5th Cir. 1976) (“[A]s
a general rule it is error for a court to force a party to exhaust his peremptory
challenges on persons who should be excused for cause, for this has the effect of
abridging the right to exercise peremptory challenges.”).

                                       68
during the commission of the offense.38

     This, Webster argues, runs afoul of Morgan, because Hailey

would fail to consider additional evidence before finding the

statutory factor.       In addition, Webster claims, Congress, when it

provided the aggravating factor, must have contemplated a juror's

consideration of something more than or different from the evidence

at trial; otherwise, the aggravating factor would be superfluous.

We disagree; the court did not abuse its discretion in finding

Hailey unbiased and capable of serving.

     First, Morgan does not apply here; it holds that a juror

should be excused if a finding of guilt automatically would lead

him to recommend a sentence of death.         See Morgan, 504 U.S. at 729.

The instant alleged error is a far cry from that in Morgan.            The

problem of which Webster complains is that a finding of guilt

automatically would lead to the finding of an aggravating fac-

tor—not to a recommendation of death.           An automatic finding of an

aggravating factor in no way runs afoul of Morgan’s requirement

that a juror appears able to “consider the evidence of aggravating

and mitigating circumstances as the instructions require him to

do,” id., because the automatic finding of an aggravating factor is

not the same as an inability to consider aggravating and mitigating

circumstances.       A juror could find the aggravator of kidnaping

resulting in death and yet determine that the mitigating factors


     38
          Hailey actually answered the question, “Yes, I guess so.”

                                       69
outweigh that and other aggravating factors, sparing the defen-

dant’s life.39

      Second, as we held in Jones and Hall, allowing a juror, having

already found the existence of a certain set of facts beyond a

reasonable doubt during the guilt-innocence phase, to answer “yes”

to an aggravating factor based on the same facts does not raise

constitutional problems.         See Hall, 152 F.3d at 416-17; Jones,

132 F.3d at 248-49.      Indeed, it merely allows the jury to consider

the facts or elements of the offense as an aggravating factor that,

having already been found beyond a reasonable doubt, it then

weighsSSjust     onceSSin   determining      whether    to   return    a   death

sentence.    Allowing the factor to be weighed does not violate the

narrow strictures of Morgan, even if a juror believes the finding

of guilt automatically leads to a finding of the factor.

      Finally, Hailey answered Webster’s hypothetical questions in

ignorance of the law the court would instruct her to apply.

Contrary to Webster’s assertion, she did not implicitly say she

would not follow instructions; to the contrary, she stated that she

would be able to follow the instructions and procedures.                     The

court did not abuse its discretion in finding that she would obey

those instructions when informed how to determine the existence of


      39
         Cf. United States v. McVeigh, 153 F.3d 1166, 1206-08 (10th Cir. 1998)
(giving Morgan a narrow reach by holding that court need not allow the defense to
ask veniremen Morgan-type questions that include consideration of facts and
circumstances beyond a mere finding of guilt automatically leading to a
recommendation of death under the FDPA).


                                       70
aggravating factors.40



                                           b.

      Webster finds error in the denial of his challenge for cause

to venireman Carolyn “Kay” Coffelt.               Webster believes Coffelt

should have been excused for the same reason as for Hailey,

although      Coffelt    more   ambiguously     answered     that    she   would

automatically find the first aggravating factor after finding

guilt.41 Coffelt also explicitly stated she would be able to follow

the instructions and knew there was nothing automatic in assessing

the death penalty. For the reasons given above, the district court

did not abuse its discretion.



                                           c.

      Webster claims the court should have granted his challenge for

cause of venireman Jimmy Chambless because he was predisposed to

find Webster guilty.         Chambless, on his own initiative, informed

the court that he had been exposed to pre-trial publicity, “and

what little I know about this, . . . I’m already leaning towards

the prosecution . . . .          That’s not saying I couldn’t be swayed

with the evidence and everything that could come up, but I have got



      40
        See Hall, 152 F.3d at 410-11 (statements in ignorance of law combined with
affirmation that venireman will follow instructions allows district court to find
venireman competent).

      41
           Coffelt answered, “Possibly.”

                                           71
to be honest at this point, the defense is not starting even with

the prosecution.”

     He also stated he leaned toward the prosecution because

Webster had been arrested, and “if someone was arrested for this,

I feel like there was a reason for it . . . .    I feel like there

was probably a good reason they were arrested. I’m not saying that

I couldn’t, again, be swayed . . . .”   Based on these statements,

Webster believes Chambless should have been excused for cause

because he was predisposed to find an arrested defendant guilty and

would shift the burden of proof onto the defense.      We disagree;

other statements Chambless made demonstrate the court did not abuse

its discretion in denying the for-cause challenge.

     When questioned by the court, Chambless agreed the verdict

must be based on the evidence presented in the courtroom, and

believed he could limit himself to such evidence.   He affirmed that

the prosecution carries the burden of proving guilt beyond a

reasonable doubt, and would require as much with respect to every

element.   He also believed he could give a fair trial to both the

defense and the prosecution, putting his predisposition aside. The

court found him credible in making these statements and denied the

challenge for cause.

     “A person is not automatically rendered unqualified to serve

as a juror merely because he has been exposed to media coverage of

the charged crime. The issue becomes whether exposure to the media

publicity will preclude the individual from returning a verdict

                                72
based solely on the person’s application of the law as stated to

the evidence presented.”        Hall, 152 F.3d at 411 (quoting Bell v.

Lynaugh, 828 F.2d 1085, 1093 (5th Cir. 1987)).                We “decline to

second-guess the district court’s determination, made after face-

to-face credibility       assessment    and   thorough    questioning,     that

[Chambless] could faithfully follow the court’s instructions and

reach a verdict based solely upon the evidence presented at trial.”

Id.42




        42
        See also Bell, 828 F.2d at 1093 (holding that court properly declined to
strike venireman for cause in similar circumstances, where pre-trial publicity
predisposed venireman to find guilt).

                                       73
                                        d.

      Webster contends the court should have granted his challenge

for cause of venireman Kristi Magouirk for a demonstrated bias

against him, an inability to provide a presumption of innocence or

to follow the instructions not to listen to news reports.               During

voir dire, Magouirk admitted, “I guess I’m more prone to look for

evidence to convict rather than evidence not to convict, reasonable

doubt.”    She later claimed not to be prone to convict, but “I feel

like the government must a have good evidence to have this person

on trial.”      She expressed her view that black men “have a grudge

against me and my race” but asserted that that feeling would not

affect her decision.           She also stated, “I am all for the death

penalty.      I would just as soon see them die for their crime than to

live out their life on my taxes”; but she explained that she could

recommend a life sentence without parole.

      Furthermore,       she   later   reiterated    her   preconceptions     of

evidence of guilt because “if the person is charged, they must have

good evidence.”        She said, “I would like to give him a clean slate.

It’s just that, to be honest, yes, it’s hard because he’s here

. . . .    So there has got to be something against him.”             She also

recounted news stories on the crime from as recently as the

previous day.        It “would be pretty hard” for her not to discuss the

case with her husband and not to keep up with the press accounts.

Despite Webster’s claims that Magouirk showed bias and an inability

to   follow    the    instructions,    the   court   deemed   her   capable   of

                                        74
serving.     We decline to second-guess that determination.

     The decision is supported by ample evidence that, combined

with the court’s assessment of Magouirk's credibility, justifies

its refusal to dismiss her for cause.         As explained, knowledge of

the case from news accounts does not preclude service, and Magouirk

agreed she would follow the instructions to avoid the news, assume

anything she heard outside the courtroom was false, and base her

decision solely on the evidence.          She recognized that the govern-

ment carried the burden of proving guilt beyond a reasonable doubt.

She stated, “I guess, since I haven’t heard any evidence, I don’t

have anything against him.        So to me he is innocent.   Until I hear

the facts, then he is innocent, yes.”         She affirmed that she would

follow her oath as a juror and the court’s instructions, including

not discussing the case with her husband.         The court acted within

its discretion.



                                     e.

     Webster claims error in the refusal to grant his challenge for

cause   to   venireman   David    Hoffman.     Webster   believes   Hoffman

demonstrated bias resulting from Webster's being charged with the

offense and an inability to separate the victim from thoughts of

Hoffman's own daughter.          Hoffman testified that, based on news

accounts, he believed a girl named Lisa Rene was kidnaped, taken to

Arkansas, and murdered, even though those were the elements the

government would have to prove.           Recognizing the government had

                                     75
brought charges, he admitted, “I guess for that reason alone I

would have to say that there’s a certain bias there, or else he

wouldn’t be here.”       Hoffman also stated that he might find it

difficult to “wall off” thoughts of his daughter during sentencing,

and they might affect his vote “to a certain extent.”

     Hoffman said, however, “I believe that I would be able to

force [thoughts of my kids from my mind] and weigh purely on the

evidence there.”43    He stated his view that much information coming

from the media proved false.         He believed he could keep an open

mind, follow his oath as a juror, and base his verdict and sentence

recommendation on the evidence and law.

     A juror need not, and indeed cannot, leave his experiences and

circumstances outside the jury room.          What he must do is base a

decision solely on the evidence presented, as seen in a fair and

unbiased manner through the lens of his experiences.           The district

court found Hoffman excruciatingly honest, but dedicated to and

capable of overcoming any difficulties he might have as a juror.

On this cold appellate record, we cannot find that determination an

abuse of discretion.


     43
         Hoffman demonstrated both the difficulty and, ultimately, his ability
to make a decision based on the evidence and not on his feelings for his
children:

     Where I feel that I would have a harder time at that—walling that
     off—is if a guilty verdict is determined and sentencing begins.
     I would still, again, look at the individual evidence itself and
     weigh all the circumstances, but just being a human being, I have
     experiences and feelings, and that’s what makes us all individuals,
     of course, and those feelings for my children would probably end up
     coming out in some form in the sentencing.

                                     76
                                        I.

     Before the jury retired for deliberations at the penalty

phase,   the   court   excused    one    of   the   jurors   and   elevated   an

alternate to replace him.        Webster alleges the court erred, but we

disagree.



                                        1.

     Webster styles the claim of error as an abuse of discretion in

not granting a mistrial.     We review a refusal to grant a mistrial

for abuse of discretion.     United States v. Willis, 6 F.3d 257, 263

(5th Cir. 1993).       But Webster moved for a mistrial because the

court had substituted an alternate juror allegedly after the jury

had retired to consider its verdict.            Under FED. R. CRIM. P. 23(b)

and 24(c), we review a decision to substitute jurors at that late

stage for prejudice.      United Stated v. Huntress, 956 F.2d 1309,

1316 (5th Cir. 1992); United States v. Helms, 897 F.2d 1293

(5th Cir. 1990).



                                        2.

     During the punishment phase, but before the jury had begun

deliberations, the court excused juror Charles Fox after he came to

court in severe pain from an automobile accident.             After extensive

discussion with counsel for the defense and prosecution, the court

decided to substitute Fox with an alternate juror, Christopher


                                        77
Rawlinson.   Rawlinson had sat through the guilt-innocence phase

but had neither participated in nor observed those jury delibera-

tions; he also sat through the penalty phase testimony.              Webster

moved for a mistrial and objected to using an alternate juror; the

court ruled against him. In the sentencing phase charge, the court

instructed the jurors, “As you will recall, a member of the jury

which returned the verdict in the guilt phase of the trial was

excused for health reasons.     An alternate juror was substituted in

his place.   You are instructed that this substituted juror shall

not be treated any differently than any other juror during your

deliberations.”



                                      3.

     Webster admits the propriety of dismissing Fox. In fact, that

decision   falls   soundly   within    the   court’s   discretion:     “The

district court has the discretion to remove a juror 'whenever the

judge becomes convinced that the juror’s abilities to perform his

duties becomes impaired.'”      United States v. Leahy, 82 F.3d 624,

629 (5th Cir. 1996) (quoting Huntress, 956 F.2d at 1312).            Webster

complains only of the lack of authority to replace Fox with an

alternate.

     The court presented the parties with three alternatives:

continue with eleven jurors, impanel an alternate, or declare a

mistrial and impanel a new jury.       The court observed that “the law


                                      78
isn’t real clear” on how to proceed.         The prospect of repeating the

entire penalty phase hearing made the last alternative highly

unattractive, although that is the alternative Webster urged; he

would not stipulate to an eleven-member jury.

     If this had taken place before the jury retired at the guilt-

innocence phase of the trial, the answer to the question would be

simple, for rule 24(c) provides that “alternate jurors in the order

in which they are called shall replace jurors who, prior to the

time the jury retires to consider its verdict, become or are found

to be unable or disqualified to perform their duties.” Rule 24(c)

also states, however, that all alternate jurors who have not

replaced a regular juror “shall be discharged after the jury

retires to consider its verdict.”          Id.

     When a juror is disqualified after the jury retires, on the

other hand, the court has the authority to require the jury to

proceed to verdict with only eleven members, with or without

stipulation by the parties, and this should be done particularly in

lengthy and complicated trials.44         We have explained our justifica-

tion for proceeding with eleven jurors instead of substituting an

alternate:

     An alternate juror replacing a regular juror after the
     jury has commenced its deliberations may be unable to
     participate equally with the other jurors, because he


     44
         See FED. R. CRIM. P. 23(b); Huntress, 956 F.2d at 1317 (“We wish to
emphasize that district judges in this circuit should follow Rule 23(b) rather
than substitute alternate jurors when a juror is excused after deliberations
begin.”).

                                     79
      will lack the benefit of prior deliberations. There is
      a danger that the other jurors will have already formu-
      lated positions or viewpoints or opinions in the absence
      of the alternate juror and then pressure the newcomer
      into possibly ratifying this predetermined verdict, thus
      denying the defendant the right to consideration of the
      case by twelve jurors.

United States v. Quiroz-Cortez, 960 F.2d 418, 420 (5th Cir. 1992).

      The complication in the instant case, of course, is the

bifurcated trial. The FDPA provides that if the defendant is found

guilty, the court

      shall conduct a separate sentencing hearing to determine
      the punishment to be imposed.     The hearing shall be
      conductedSS

      (1) before the jury that determined the defendant’s guilt;

      (2) before a jury impaneled for the purpose of the hearing
      ifSS

      ...

            (C)    the jury that determined the defendants guilt
                   was discharged for good cause

            . . . .

      A jury impaneled pursuant to paragraph (2) shall consist
      of 12 members, unless, at any time before the conclusion
      of the hearing, the parties stipulate, with approval of
      the court, that it shall consist of a lesser number.

§ 3593(b).45      How should a court apply rules 23 and 24, if at all,


      45
         This language allowing for the parties to stipulate to a jury of less
than 12 members is similar to former rule 23(b), which did not allow the court
to order the case to proceed even absent stipulations.         Before changes to
rule 23(b) in 1983, caselaw allowed a court to substitute an alternate juror even
when deliberations had begun, if the parties refused to stipulate to a jury of
fewer than 12 members. See United States v. Phillips, 664 F.2d 971, 996 (Former
5th Cir. Dec. 1981); FED. R. CRIM. P. 23(b), advisory committee note. In such a
case, the defendant had to show he was prejudiced by the use of the alternate
juror. See Huntress, 956 F.2d at 1316.

                                       80
when the jury has returned from deciding one verdict but has yet to

retire to consider the second?     This presents an issue of first

impression.

     The Federal Rules of Criminal Procedure apply to sentencing

hearings; FED. R. CRIM. P. 1 provides, “These rules govern the

procedure in all criminal proceedings in the courts of the United

States . . . .”     Rule 54, FED. R. CRIM. P., excludes certain

proceedings, but not sentencing hearings.    Section 3593(c) waives

rule 32(c)’s presentence report requirement, which suggests the

negative implication that the Rules of Criminal Procedure usually

do apply to sentencing hearings under the FDPA. The district court

correctly looked at rules 23 and 24, therefore, in deciding what to

do after excusing Fox.   But how should a court apply these rules in

light of the fact that they fail to contemplate a bifurcated

proceeding?

     If, hypothetically, the entire jury had been discharged for

good cause after returning its guilty verdict, the court would have

impaneled an entirely new one pursuant to § 3593(b)(2).     Presum-

ably, that jury would have included alternates.   If the court then

had discharged a juror for cause before the jury had retired to

consider the sentence, would the court have been entitled to

elevate an alternate?     Rule 24(c) answers in the affirmative

(alternate “shall replace” juror excused before jury retires).

     The superficial conclusion, then, is that the court has the

same authority to impanel an alternate when the same jury sits for

                                 81
both phases of the trial.        And this conclusion answers Webster’s

primary contention:       Because an alternate was available and the

jury had not retired to deliberate on its sentence recommendation,

the court had the authority, under rule 24(c), to elevate the

alternate.

       The answer, unfortunately, is not so facile, for rule 24(c)

also provides, “An alternate juror who does not replace a regular

juror shall be discharged after the jury retires to consider its

verdict.”       This mandatory language appears to compel the court to

dismiss the alternate jurors once the jury retires at the end of

the first phaseSSwhen the jury first retires to consider its

verdict.       If the court were to follow this mandatory language, no

alternates would remain to be substituted for jurors whom the court

might have to discharge before the end of the second phase.46                In

fact, the court dismissed three of the five alternate jurors; the

remaining two were retained for the penalty phase of the hearings.

       The court erred in not dismissing the juror at the end of the

first phase.       The mandatory language of rule 24(c) requires the

court to dismiss the alternates when the jury retires to deliber-

ate.        This conclusion adheres faithfully to the language of the

rules.

       Nevertheless, we affirm the sentence.         Webster did not object



       46
         Webster points out that when the jury was first impaneled, the court
instructed that “once the deliberations begin, we will dismiss any alternate who
has not been seated as a primary juror.”

                                      82
to the failure to dismiss the alternates at the time; he complained

only of elevating an alternate to the jury and not granting a

mistrial.47     Because the jury had not retired when the court

dismissed Fox and substituted Rawlinson, any available alternate

could be elevated consistent with the rule.              Webster, therefore,

waived the objection he should have madeSSthe failure to dismiss

the alternates.       When the defendant has waived an objection for

failure to follow the substitution rules, an error alone does not

warrant reversal; we also review for prejudice from the resulting

elevation of the substitute.48

      Webster did not suffer prejudice. The court provided the jury

with an instruction to include the new juror equally in all

deliberations.     Furthermore, the jury had not started deliberating

at the penalty phase.           Those issues were distinct from those

decided at the guilt-innocence phase; any overlap is irrelevant,

because the jury specifically was instructed to consider everything

as if for the first time.       Interestingly, on the sole penalty phase

issue as to which prejudice seems possible, which is in the first

aggravating factor that overlapped with the offense decided in the

first phaseSSkidnaping in which death resultsSSthe jury failed to



      47
         On appeal, Webster focuses on the same complaint.    In some places,
however, he mentions the failure to dismiss the alternates when deliberations
began at the guilt-innocence phase.

      48
        See Huntress, 956 F.2d at 1316-17 (holding that failure to make the proper
objection to violation of juror rules leads to review for prejudice in the
substitution).

                                       83
find the aggravating factor. Webster’s generic claims of prejudice

fail, as there is nothing inherently prejudicial in a rule 24(c)

violation.   See Huntress, 956 F.2d at 1316 n.7.



                                J.

     Webster contends that the court erred in excusing juror Urbano

Gomez on learning that, in response to the juror questionnaire, he

had not disclosed past encounters with the judicial system.   At the

very least, Webster claims, the court erred by not recalling Gomez

to ask him further questions.   We conclude the court acted within

its discretion by dismissing Gomez, even absent further questioning

to determine whether he had lied.




                                84
                                        1.

      After the court qualified Gomez as a juror, the prosecutor

notified the court that it had uncovered a criminal record for him.

The government challenged Gomez for cause because he had not

answered his questionnaire truthfully.             The government presented

evidence that Gomez had been charged with shoplifting and spent

three days in county jail, had been convicted of aggravated assault

on a police officer and received one month of confinement,49 and had

been convicted of aggravated assault with a deadly weapon for which

he received five years' probation.           None of these was mentioned in

Gomez's answer to the questionnaire.50 Over defense objections, the

court dismissed Gomez for providing false information, without

recalling him for questioning.



                                        2.

      The court has discretion to excuse an untruthful juror.51                The

      49
         The parties agree this must have been pled down to some lesser offense,
given the punishment.

      50
         The most evident problem is with the response to Question 73, “Have you or
a relative been convicted of any offense other than a traffic ticket?” Gomez
checked “Yes,” and under “details” noted “brother-in-law, child abuse.” Five other
questions were answered inaccurately, given Gomez's record of arrests, convictions,
and probation.

      51
         United States v. Fryar, 867 F.2d 850, 853 (5th Cir. 1989); United States
v. Coleman, 997 F.2d 1101, 1105 (5th Cir. 1993) (“A trial judge may 'remove a juror
whenever the judge becomes convinced that the juror’s abilities to perform his
duties have become impaired.'”) (quoting United States v. Dominguez, 615 F.2d 1093,
1095 (5th Cir. 1980)). Webster argues that mere abuse of discretion review provides
insufficient protection to a capital defendant and that the heightened need for
reliability in capital cases should compel us to examine errors with greater
scrutiny. He provides no authority for this claim, and we see no reason to depart
                                                                 (continued...)

                                        85
scope of the examination, if any, into juror misconduct rests

within the court’s sound discretion.            Fryar, 867 F.2d at 854.52        We

will not disturb the court’s findings on this issue except for want

of factual support.          Coleman, 997 F.2d at 1105.          No evidentiary

hearing is necessary.           Id. (holding that court properly excused

juror after government informed court that juror had failed to

disclose he had been subjected to two ATF investigations).                       In

light of the deferential standard, the court acted within its

discretion in granting the challenge for cause.



                                         K.

      Webster argues the court erred in denying his Batson motion,

objecting to the government’s use of peremptory challenges on black

veniremen.       We find no clear error in the court's acceptance of the

government's non-racial justifications for the strikes.



                                         1.

      After voir dire, the court presented the parties with a list

of sixty potential jurors, of whom five were black and one was

Asian.53       Each side exercised its twenty challenges.                 Webster


      51
           (...continued)
from the ordinary standard of review.

      52
         See also Rosales-Lopez v. United States, 451 U.S. 182, 189 (1981) (district
court has broad discretion in determining how best to conduct voir dire).

      53
            There also were several hispanics whom the government did not strike.

                                         86
objected to the government’s strikes eliminating the Asian and the

five blacks. To establish his prima facie case of racial discrimi-

nation, Webster relied solely on the fact that the government had

stricken all black jurors.     The court questioned whether this made

out a prima facie case, but nonetheless called on the government to

provide rationales for its strikes.

     The government provided race-neutral rationales.             Webster

filed a motion disputing those reasons for each of the black

jurors.54    Webster argued the reasons were a pretext and that the

prosecution did not strike other similarly-situated jurors who were

not black. The government filed a response explaining why it found

the jurors Webster claimed to be similarly situated were in fact

different.

     The court entered an order denying Webster’s Batson motion,

finding that (1) the motion was untimely; (2) Webster had failed to

make out a prima facie case; (3) the government’s race-neutral

reasons were believable; and (4) Webster had failed to prove

purposeful discrimination.      We affirm on the latter two grounds.



                                    2.

     “The use of peremptory challenges to exclude veniremen 'solely

on account' of race violates the equal protection component of the



      54
         Webster conceded a legitimate reason existed for the Asian jurorSS
difficulty with the English language.

                                    87
due process clause of the fifth amendment.”          United States v.

Terrazas Carrosco, 861 F.2d 93, 94 (5th Cir. 1988). Courts address

Batson claims under the familiar burden-shifting scheme.           See

Batson v. Kentucky, 476 U.S. 79, 96-97 (1985); United States v.

Fields, 72 F.3d 1200, 1206 (5th Cir. 1996).      “The Supreme Court has

outlined a three-step process for determining whether peremptory

strikes have been applied in a discriminatory manner.       First, the

claimant must make a prima facie showing that the peremptory

challenges have been exercised on the basis of race.        Second, if

this requisite showing has been made, the burden shifts to the

party   accused   of   discrimination   to    articulate   race-neutral

explanations for the peremptory challenges.         Finally, the trial

court must determine whether the claimant has carried his burden of

proving purposeful discrimination.”          United States v. Bentley-

Smith, 2 F.3d 1368, 1373 (5th Cir. 1993); see also United States v.

Huey, 76 F.3d 638, 640-41 (5th Cir. 1996).        The party making the

claim of purposeful discrimination bears the ultimate burden of

persuasion.   Bentley-Smith, 2 F.3d at 1373.

     We assume, arguendo, that Webster timely made his Batson

motion and that he made a prima facie case.        The court called on

the government to provide race-neutral justifications for the use

of its peremptory strikes.   Once a court has taken that step, we no




                                  88
longer examine whether a prima facie case exits.55                 Our decision,

then, must rest on (1) whether the government articulated race-

neutral    explanations      for   the   exercise    of    its   challenges    and

(2) whether Webster has demonstrated that those justifications are

pre-textual and that the government engaged in purposeful discrimi-

nation.



                                         a.

      Unless a discriminatory intent is inherent in the explanation,

the reason offered should be deemed race-neutral.                       Hernandez,

500 U.S. at 360 (plurality). “[T]he ultimate inquiry for the judge

is not whether counsel’s reason is suspect, or weak, or irrational,

but whether counsel is telling the truth in his or her assertion

that the challenge is not race-biased.”                Bentley-Smith, 2 F.2d

at 1375.    The “race-neutral explanation tendered by the proponent

need not be persuasive, or even plausible.”               Huey, 76 F.3d at 641;

see also Purkett v. Elem, 514 U.S. 765, 767-68 (1995).                  It simply

must be race-neutral and honest.               Determining whether counsel

speaks the     truth    in   offering    its   reasons     turns   on   in-person



      55
         See United States v. Boussard, 987 F.2d 215, 221 (5th Cir. 1993)
("appellate review should not become bogged down on the question of whether the
defendant made a prima facie showing in cases where the district court has required
an explanation")(citing United States v. Forbes, 816 F.2d 1006, 1010 (5th Cir.
1987)); see also Hernandez v. New York, 500 U.S. 352, 359 (1991) (plurality) (“Once
a prosecutor has offered a race-neutral explanation for the peremptory challenges
and the trial court has ruled on the ultimate question of intentional
discrimination, the preliminary issue of whether the defendant had made a prima
facie showing becomes moot.”).

                                         89
credibility assessments, so we review for clear error.                          Huey,

76 F.3d at 640-41; Fields, 72 F.3d at 1206.

      The government offered reasons for excusing each of the five

jurors, with concerns ranging from a juror's establishing a rapport

with defense counsel to a fear that none of the five would be able

to   recommend    a   death    sentence     when   the    time   came,   and    from

relatives with criminal records to relatives living in the city

where the murder took place. The court accepted and believed these

explanations.     Having reviewed the record, we cannot say the court

clearly erred.



                                        b.

      At the third stage of the inquiry, Webster bears the burden of

establishing that the government engaged in “purposeful discrimina-

tion” based on race.          Purkett, 514 U.S. at 767; Bentley-Smith,

2 F.3d at 1373 (“The ultimate burden of persuasion always lies with

the party making the claim of purposeful discrimination.”).                      The

“[p]roof of      racially     discriminatory       intent   or   purpose    .    . .

'implies more than intent as volition or intent as awareness of

consequences.         It implies that the decision maker selected a

particular course of action at least in part because of, not in

spite of, its adverse effects upon an identifiable group.'” United

States   v.   Garcia,    1    F.3d   330,    335   (5th   Cir.   1993)     (quoting

Hernandez, 500 U.S. at 360).          Webster fails to meet this burden.


                                        90
      Webster offers no direct evidence of purposeful discrimina-

tion, but rather argues that the government’s proffered reasons are

pretextual, and the government did not dismiss similar white

jurors.56   Because the determination turns on credibility assess-

ments, we review for clear error at this stage as well.                Bentley-

Smith, 2 F.3d at 1373; United States v. Seals, 987 F.2d 1102, 1109

(5th Cir. 1993).

      The government offered distinguishing characteristics for each

of the jurors Webster claims were similarly situated.                 They had

different combinations of qualities, and some had more government-

desired qualities than did the jurors the government preempted.

See United States v. Jimenez, 77 F.3d 95, 100-01 (5th Cir. 1996)

(other redeeming qualities relevant). Although Webster asserts the

proffered reasons for striking the black jurors are mere proxies

for race, he provides no basis as to why; and the reasons resemble

ones we have accepted in the past.57           The court did not find the

proffered    reasons    pretextual    and   found    no   other   evidence    of

purposeful discrimination; we cannot say it clearly erred.

      56
         See Bentley-Smith, 2 F.3d at 1374 (noting difficulty of bringing forward
such evidence, and frequent necessity of relying on rebuttal of proffered reasons
and comparison to jurors not stricken).

      57
         See, e.g., United States v. Fields, 72 F.3d 1200, 1206 (5th Cir. 1996)
(juror trying to develop rapport with defense attorney); United States v.
Stedman, 69 F.3d 73, 739 (5th Cir. 1995) (potential juror’s brother convicted of
a criminal offense, another potential juror appeared disinterested; another juror
had lived in area of concern in the case; another juror’s sister had been
arrested for a narcotics charge); United States v. Jackson, 50 F.3d 1335, 1341
(5th Cir. 1995) (prosecutor believed that potential juror gave hostile look to
prosecutor); United States v. Nixon, 977 F.2d 921, 923 (5th Cir. 1992) (potential
juror appeared to prosecutor to express animosity toward prosecution).

                                       91
                                        L.

      The court forced Webster to choose one of two expert psychiat-

ric witnesses to testify during surrebuttal.               Webster claims this

limitation violated his due process rights.               We find no error.

      Webster styles his claim of error as a due process violation.

Due process requires a fair opportunity to defend against the

charges, including calling and cross-examining witnesses; keeping

information, including witnesses, from the jury may violate due

process.     See, e.g., Montana v. Egelhoff, 518 U.S. 37 (1996);

Chambers v. Mississippi, 410 U.S. 284, 294 (1973); Washington v.

Texas, 388 U.S. 14, 23 (1967).           “Just as an accused has the right

to   confront    the    prosecution’s      witnesses     for   the   purpose     of

challenging their testimony, he has the right to present his own

witnesses to establish a defense.              This right is a fundamental

element of due process of law.”                 United States v. Thompson,

130 F.3d 676, 686 (5th Cir. 1997), cert. denied, 118 S. Ct. 2307

(1998).

      We never have intimated, however, that this due process right

extends to presenting witnesses at surrebuttal. Indeed, we know of

only two published opinions that have addressed limitations on

surrebuttal in a due process context.58            Even assuming surrebuttal


      58
         See United States v. Clark, 617 F.2d 180, 183, 187 (9th Cir. 1980)
(recognizing as due process claim, but treating under abuse of discretion standard);
United States v. One Single Family Residence Located at 15526 69th Drive N., 778 F.
Supp. 1215, 1219 (S.D. Fla. 1991) (finding due process violation for a complete
denial of surrebuttal).

                                        92
implicates due process concerns, we cannot say that the court’s

limitation of Webster’s surrebuttal to one of two expert witnesses

whom the court considered cumulative was so arbitrary and fundamen-

tally unfair as to deprive him of due process.59




                                         M.

      After entering a sentence of death on the verdict, the court

filed a finding entitled Factual Finding Regarding Mental Retarda-

tion in which the court stated, “Webster is not mentally retarded

and . . . he possesses the requisite mental capacity to understand

the death penalty and why it will be imposed on him.              As a result,

the defendant Webster is not exempt under 18 U.S.C. § 3596(c) from

implementation of the death penalty.”60            Webster objects to this

finding on several grounds:            (1) It was made in contravention of


      59
         Typically, we review the decision to permit or deny surrebuttal under
the abuse of discretion standard. See, e.g., United States v. Alford, 999 F.2d
818, 821 (5th Cir. 1993); United States v. Moody, 903 F.2d 321, 330 (5th Cir.
1990).   The Ninth Circuit has examined a due process claim under the same
standard.   See Clark, 617 F.2d at 187.     Under this standard, too, limiting
surrebuttal that the district court considers cumulative rests soundly within its
discretion. See, e.g., United States v. O’Brien, 119 F.3d 523, 531 (7th Cir.
1997) (no abuse of discretion where surrebuttal would be cumulative); United
States v. Blackstone, 56 F.3d 1143, 1146 (9th Cir. 1995) (same); United States
v. Wilford, 710 F.2d 439, 452 (8th Cir. 1982) (same); United States v. Burgess,
691 F.2d 523, 531 n.19 (4th Cir. 1982) (same); United States v. Stirling,
571 F.2d 708, 736 (2d Cir. 1978) (same).
      60
           Section 3596(c) provides,

      A sentence of death shall not be carried out upon a person who is
      mentally retarded. A sentence of death shall not be carried out
      upon a person who, as a result of mental disability, lacks the
      mental capacity to understand the death penalty and why it was
      imposed on that person.

                                         93
the FDPA; (2) it was made in derogation of Webster’s rights to due

process and effective assistance of counsel; (3) it was contrary to

the greater weight of the credible evidence; and (4) it was

inconsistent with the verdict on this issue.61 We conclude that the

court took proper action, and the finding was supported by the

evidence.

      Webster failed to object to the factual finding.            Our review,

therefore, is limited to plain error.          United States v. Calverley,

37 F.3d 160, 162 (5th Cir. 1994) (en banc).            To find plain error,

we must perceive (1) an error by district court, in that it

deviated from a legal rule, (2) that was clear and, at a minimum,

obvious under current law at the time of the trial, and (3) the

error must affect substantial rights.          Id. at 162-63.



                                      1.

      Webster alleges the factual finding was in contravention of

the FDPA’s statutory scheme, but the statute fails to address how

to ensure that the mandate of § 3596(c) is carried out.                Because

the statute fails to provide guidance, and no case has addressed

this issue, the law is not pellucid; the court did not plainly err

in its sua sponte finding that Webster is not mentally retarded.


      61
         Webster intimates that imposing the death sentence on him, if he is
mentally retarded, would violate the Eighth Amendment. The Supreme Court has
rejected this argument. See Penry v. Lynaugh, 492 U.S. 302, 340 (1989) (“[W]e
cannot hold today that the Eighth Amendment precludes the execution of any
mentally retarded person . . . simply by virtue of his or her mental retardation
alone.”).

                                      94
     Webster argues that the statute provides sufficient guidance.

We disagree.         Webster points to § 3593(b)(3), which provides that

the court will act as a fact-finder “upon the motion of the

defendant and with the approval of the attorney for the govern-

ment.” Webster interprets this to preclude any fact-finding by the

court absent the defendant’s motion. The conclusion, however, does

not flow from the statute.

     Section 3593(b) provides that “the judge who presided at the

trial    .   .   .     shall   conduct    a    separate    sentencing     hearing   to

determine        the    punishment       imposed.         The   hearing    shall    be

conducted . . . (3) before the court alone, upon the motion of the

defendant and with the approval of the attorney for the govern-

ment.”       This provision refers only to the determination of the

sentence; it is located in the section captioned “Special hearing

to determine whether a sentence of death is justified.”                     It in no

way implies that all court fact-finding must be on the defendant’s

motion.

     Webster also asserts that, in the absence of a specific

statutory scheme, the only logical conclusion is that the jury must

be the fact-finder on the issue of mental retardation.                             This

“logical” claim suffers from gaps in reasoning.

     First, only §§ 3592 and 3593 address issues that a jury may be

called on to consider.           Section 3592 lays out all of the factors

for the finder of fact to considerSSthe mitigating and aggravating

factors.      Section 3593 explains the procedure for the sentencing

                                              95
hearing, including laying out the options for who the fact-finder

may beSSjury, newly impaneled jury, or judge.

       Section   3596   addresses   “Implementation        of   a   sentence   of

death.” It is here that Congress chose to indicate its restriction

on who could be executed.          Placement of the consideration here,

rather than in the earlier sections addressing the issues for the

jury   to   consider    in   imposing    the   sentence,    belies    Webster’s

assertion that the issue obviously belongs to the jury.

       In   addition,   although    Webster     did   request       and   receive

submission of the mitigating factor that he “is or may be mentally

retarded,” he did not request a jury instruction that placed in the

jury's hands the job of factually finding whether Webster is

mentally retarded.       That the jury could consider whether Webster

“is or may be retarded” falls woefully short of the factual finding

required in § 3596 of mental retardation to prevent the implementa-

tion of the death sentence.             The lack of a jury instruction

request, along with failing to object to the factual finding,

suggests that Webster’s “logical assumption” placing this issue in

the jury’s hands was no more obvious to him at trial than it was to

the district court.

       The statutory scheme simply does not answer who decides this

issue, so we cannot say the court’s decision clearly contravened

the FDPA.     Given the lack of clarity, the court did not commit

plain error in deciding the issue itself.



                                        96
                                      2.

      Webster asserts that the procedure the court chose violated

due process and deprived him of effective assistance of counsel.

Neither is true.       Webster rests these claims on the fact that the

court acted without statutory authority and without notice to him.

Bare assertions aside, Webster provides no analysis as to why the

court’s determination violates the Constitution.

      The    alleged    denial   of   effective    assistance    of   counsel

presumably rests on Webster’s lack of opportunity to present his

case.      Even assuming this rises to the level of constitutional

error, it is harmless.           Webster had just finished presenting

voluminous evidence to the jury, in support of his claim of mental

retardation.62    The court had ample information before it to make

its decision; indeed, just before the jury retired, Webster had

asked the court to find him mentally retarded as a matter of law,

taking the mitigating factor out of the jury’s hands.                 Webster

makes no showing of prejudice to his substantial rights by arguing

there is something additional he would have presented to the court.

The court did not plainly err in failing to provide Webster with

notice, and did not deprive him of a fundamentally fair trial.



                                      3.


      62
         Cf. United States v. Bachynsky, 949 F.2d 722, 732-33 (5th Cir. 1991)
(holding that sentencing court cannot base decision on matters outside of
presentence report without notice to defendant to provide “ample opportunity to
raise his factual contention.”).

                                      97
      Webster contends that the finding that he is not mentally

retarded is against the greater weight and credibility of the

evidence.   The standard of review for a finding that a defendant is

not mentally retarded under § 3596 presents an issue of first

impression.    Because it is a factual finding, we adopt the clearly

erroneous standard.63

      The government presented substantial evidence to support the

finding.    Furthermore, only four of the twelve jurors found that

Webster is or may be mentally retard and that he suffers from low

intellectual functioning. We cannot say the court clearly erred in

deciding that Webster is not mentally retarded.



                                     4.

      Webster contends that the court’s determination conflicts with

the verdict on this issue.      Webster fails to indicate the import of

this argument, aside from supporting his claim of a constitutional

violation and his assertion that the finding contradicts the

greater weight of the evidence.

      Only four of twelve jurors concluded Webster “is or may be

mentally retarded.”      Webster’s failure to convince a majority of

the jurors alone suggests the court’s finding is not inconsistent

with the verdict.     Furthermore, those four jurors found only that

he is or may be mentally retarded.            Obviously, this mitigating

      63
        Cf. United States v. Kimbrough, 69 F.3d 723, 733 (5th Cir. 1995) (noting
that we review factual findings in examining a sentence imposed for clear error).

                                     98
factor requires less certainty than does the determination that he

is not mentally retarded.

     As a result of this lesser standard, we can conclude that

eight jurors were not convinced that he even “may be” mentally

retarded; they believed he was not.   We cannot conclude that the

court’s agreement with a majority of the jurors constitutes a

clear, obvious error.



                                N.

     Webster argues that the evidence does not support the special

findings of the existence of the aggravating factors and that the

sentence of death was imposed under the influence of passion,

prejudice, or some other arbitrary factor.   This contention stems

directly from the FDPA’s requirement that a court of appeals “shall

consider whether the sentence of death was imposed under the

influence of passion, prejudice, or any other arbitrary factor and

whether the evidence supports the special finding of the existence

of an aggravating factor required to be considered under section

3592.”   § 3595(c)(1).

     Webster fails to distinguish between these two requirements as

distinct responsibilities of an appellate court.        Rather, he

suggests that the only way we can fulfill our responsibility under

the provision as a whole is to conduct “a de novo review and a

balancing of the evidence.” Any other method, Webster claims, will



                                99
fail to ferret out which verdicts were imposed under the impermis-

sible factors.64 An appellate court, however, is a court of review.

We do not sit as a second jury.           Instead, we will address the two

aspects of our review in turn.          See Hall, 152 F.3d 426 (addressing

each in turn, rather than engaging in one unified, de novo review).



                                        1.

      First, we must determine whether the evidence supports the

jury’s special findings of the aggravating factors.                  The statute

does not clarify what standard of review we should use.                Nothing in

the FDPA, however, indicates that it alters our ordinary standards

of review.65      To protect the jury’s domain, we apply the usual

standard of sufficiency of the evidence.66

      “Review for sufficiency of the evidence is decidedly narrowSSa

[finding of an aggravating factor] must be affirmed if a rational

trier of fact could have found that the evidence established the

essential elements of [its existence] beyond a reasonable doubt.”67

      64
         Webster also suggests this requires a proportionality review; we see no
basis in the statute for such an assertion.
      65
         See United States v. Chandler, 996 F.2d 1073, 1083 (11th Cir. 1993)
(holding similar provision of 21 U.S.C. § 848(q)(3) does not alter ordinary
standards of review).

      66
        See Hall, 152 F.3d at 426 (finding “the record contains ample evidence from
which the jury could conclude beyond a reasonable doubt” that the aggravating
factors existed).

      67
         United States v. Ramirez, 145 F.3d 345, 350 (5th Cir. 1998), petition for
cert. filed (Sept. 28, 1998) (No. 98-6687); United States v. Cluck, 143 F.3d 174,
180 (5th Cir. 1998) (noting that “we review the evidence in the light most favorable
                                                                 (continued...)

                                        100
In view of this record, a rational jury could find beyond a

reasonable doubt that all four remaining aggravating factors exist.



                                       2.

      Our next responsibility is to ensure that the sentence was not

handed down under the influence of passion, prejudice, or some

other arbitrary factor.         Again, Webster asserts this requires a

de novo re-weighing of the evidence, for any other assessment will

fail to negate the possibility that arbitrary factors were at work.

      We question whether this is an accurate statement of our

responsibility under the FDPA.68             We need not decide this issue

today, however, for we have already conducted a thorough re-

examination of the aggravating and mitigating factors in part

IV.A.1.c, supra, as part of our harmless error review.              We also see

nothing in the record indicating that the sentence was imposed

under the influence of passion, prejudice, or any other arbitrary

factor.       The death sentence is warranted by the jury’s specific

findings.



                                       O.

      Webster launches a variety of attacks on the constitutionality


      67
           (...continued)
to the jury verdict”), petition for cert. filed (Sept. 26, 1998).

      68
         See Hall, 152 F.3d at 426 (stating that “[w]e have found nothing in the
record indicating that the jury’s recommendation of a death sentence was motivated
in any degree by passion, prejudice, or any other arbitrary factor”).

                                       101
of the FDPA.       We entertained and rejected most of these arguments

in the past, see Hall, 152 F.3d at 413-19; Jones, 132 F.3d at 239-

42,    foreclosing     our   reconsideration       of   them   today.69      Those

arguments that we have not heard in the past we consider de novo.

See United States v. Bailey, 115 F.3d 1222, 1225 (5th Cir. 1997),

cert. denied, 118 S. Ct. 866 (1998).



                                        1.

       Webster’s constitutional challenges that we have addressed in

the past      we    deal   with   expeditiously.        Contrary    to   Webster’s

arguments, (1) the FDPA provides sufficient safeguards to prevent

the arbitrary imposition of the death penalty, Jones, 132 F.3d at

241;    (2)   the     FDPA   sufficiently    circumscribes         its   delegated

authority with 'intelligible principles' to avoid violating the

nondelegation doctrine, id. at 239; (3) the Constitution does not

mandate “proportionality review,” that is, a comparison of the

penalties imposed in similar cases, id. at 240; (4) the FDPA’s

relaxed evidentiary standard at the sentencing hearing is not

unconstitutional, id. at 241-42; (5) the “especially heinous, cruel

or depraved manner” aggravating factor is not impermissibly vague,

at least where the vagueness is cured by the statutory limitation

that the offense involve torture or serious physical abuse and by


       69
        See Garcia Abrego, 141 F.3d at 151 n.1 (“It has long been the rule of this
court that no panel of this circuit can overrule a decision previously made by
another.” (internal quotation marks omitted)).

                                       102
further limitation in the jury instructions, id. at 249; Hall,

152 F.3d at 414-15;70 and (6) the FDPA’s inclusion of the “mere

fact” that Webster was convicted of kidnaping and murdering Lisa

Rene as an aggravating factor does not constitute constitutionally

impermissible “stacking,” or double-counting, Jones, 132 F.3d at

249; Hall, 152 F.3d at 416-17.71



                                      2.

      Webster raises three constitutional arguments that we address

as matters of first impression.         We reject them seriatim.



                                      a.

      Webster argues that the FDPA is unconstitutional for failing

significantly to narrow the class of offenses to which the death

penalty applies. Under Maynard v. Cartwright, 486 U.S. 356, 363-64

(1988), the government may not make every unjustified intentional

killing qualify for the death penalty.             The FDPA does precisely

that, Webster argues, by making the four mental states of murder

aggravating    factors     that   qualify    the   defendant     for   capital

punishment under § 3591(a).           Webster’s argument stems from a


      70
         Webster also asserts, without analysis, that the “substantial planning
and premeditation” aggravator is impermissibly vague. His argument is foreclosed
by our analysis of the same language in the analogous 21 U.S.C. § 848(e) death
penalty scheme. See Flores, 63 F.3d at 1373-74.
      71
         Further, because the jury did not find the aggravator of which Webster
complains, he cannot claim his sentence is impaired.

                                      103
misreading of the statute.

     As the government points out, § 3591(a) does not set forth a

list of   aggravating       factors,    but,       on   the   contrary,   serves a

gatekeeping function.         Section 3591(a) codifies the command in

Enmund, 458 U.S. at 797, and Tison, 481 U.S. at 157, to limit the

imposition   of    the    death   penalty     to    those     murderers   who   both

undertake felony participation and demonstrate at least reckless

indifference to human life.           Satisfaction of these elements only

begins the death penalty inquiry; it does not and cannot establish

death penalty eligibility by itself.               The limiting factors, which

Webster   claims    are    lacking,    are,    of       course,   the   aggravating

circumstances set forth in § 3592(b) and (c), which guide the jury

in its capital decision after it finds at least one element of

intent under § 3591(a) as a threshold matter.



                                       b.

     Webster contends that the FDPA is unconstitutional because it

permits the multiple weighing of aggravating factors (specifically,

the § 3591(a)(2) mens rea factors).            This argument stems from the

same fundamental misunderstanding of § 3591(a) discussed above. See

part IV.N.2.a, supra; see also part IV.A.2, supra (discussing

“double weighing”).       As we have explained, § 3591(a) does not set

forth aggravating factors, but rather serves as a preliminary

qualification threshold.          The fact that a defendant could satisfy


                                       104
more than one of these via the same course of action does not,

therefore,      constitute    impermissible      double    counting.      Thus,

although Webster is correct in noting that many courts have held

that “double counting” of aggravating factors is to be avoided, the

FDPA does not present such a problem.72



                                       c.

       Webster asserts that by precluding consideration of “race,

color, religious beliefs, national origin, or sex of the defendant

or of any victim” as a mitigating factor, the FDPA is unconstitu-

tional. See § 3593(f). Webster correctly interprets the FDPA, but

incorrectly interprets the Constitution; the FDPA can be constitu-

tional only by precluding such factors.

       The Equal Protection Clause protects from purposeful state

discrimination on the basis of race.          Shaw v. Reno, 509 U.S. 630,

642 (1993). The Due Process Clause of the Fifth Amendment provides

this   same    “equal   protection”    against    the     federal   government.

Bolling v. Sharpe, 347 U.S. 497, 498-500 (1954).               Court proceed-

ings, especially criminal trials, implicate state action, therefore

bringing      them   under   equal   protection    scrutiny.        Georgia   v.

McCollum, 505 U.S. 42, 49-55 (1992); Edmonson v. Leesville Concrete

Co., 500 U.S. 614, 621-29 (1991).



      72
         As we have said in part IV.A.2, supra, the instructions sufficiently
informed the jury not to weigh the elements of intent.

                                      105
      More specifically, the Equal Protection Clause prohibits the

state from using race in its decision-making, unless it can meet

the “most exacting scrutiny . . . justified by a compelling

government interest.”73            In the realm of capital sentencing, this

standard never can be met, because race is a “totally irrelevant

factor.”    Zant v. Stephens, 462 U.S. 862, 885 (1983).               Therefore,

the FDPA can pass constitutional muster only if it is interpreted

absolutely       to     prohibit    racial     considerations    in   sentencing.

Because we are obligated to interpret a statute in such a way as to

preserve, if possible, its constitutionality, Rust v. Sullivan,

500 U.S. 173, 190 (1991); United States v. Bird, 124 F.3d 667,

678-79 (5th Cir. 1997), cert. denied, 118 S. Ct. 1189 (1998), we

reason that race cannot be considered as either a mitigating or

aggravating factor under the FDPA.

      Although the use of race in government decision-making is, as

a general matter, “odious to a free people whose institutions are

founded upon the doctrine of equality,” Hirabayashi, 320 U.S. at

100, the use of race in sentencing determinations is particularly

invidious.       “Discrimination on the basis of race, odious in all

aspects,    is        especially    pernicious     in   the   administration   of

justice."     Rose v. Mitchell, 443 U.S. 545, 555 (1979).                And, in

capital sentencing, the use of race becomes more offensive still:


      73
         Palmore v. Sidoti, 466 U.S. 429, 432-33 (1984); Hirabayashi v. United
States, 320 U.S. 81, 100 (1943); Hopwood v. Texas, 78 F.3d 932, 939-40 (5th Cir.),
cert. denied, 518 U.S. 1033 (1996).

                                         106
      Considering the race of a defendant or victim in deciding
      if the death penalty should be imposed is completely at
      odds with th[e] concern that an individual be evaluated
      as a unique human being. Decisions influenced by race
      rest in part on a categorical assessment of the worth of
      human beings according to color, insensitive to whatever
      qualities the individuals in question may possess.

McCleskey, 481 U.S. at 336 (Brennan, J., dissenting).

      Although divided in its decision, the Court in McCleskey was

unanimous in its acknowledgment of “the illegitimacy of race as a

consideration in capital sentencing.”           Id. at 341 (Brennan, J.,

dissenting); id. at 292-93 (majority opinion).          Webster would have

us go against this precedent, and rule that a defendant can be

spared the death penalty because of his race.           Such practices are

precisely those forbidden by the Equal Protection Clause.              Id. at

341   (noting   that    “enhanced    willingness   to   impose   the   death

sentence” or “diminished willingness to render such a sentence” are

impermissible when based on race).

      In sum, a long line of Supreme Court precedent admonishes that

the guillotine must be as color-blind as is the Constitution. See

McCleskey, 481 U.S. at 292-93; Zant, 462 U.S. at 885; Rose,

443 U.S. at 555.       Today’s decision recognizes this precedent in

interpreting the FDPA in the only way constitutionally permissible:

as prohibiting the consideration of race in sentencing.

      Webster   has    constructed   an    artificial   conflict,   however,

between the FDPA and Supreme Court precedent regarding mitigating

evidence.   He reads Penry v. Lynaugh, 492 U.S. 302, and Lockett v.


                                     107
Ohio, 438 U.S. 586 (1978), as mandating the use of race in

sentencing.     Such a reading of Penry and Lockett is erroneous for

at least two reasons:        It ignores the concept of relevancy, and it

would cause those cases to conflict with the Fourteenth Amendment

for the reasons discussed above.

      Penry and Lockett hold that in capital sentencing, a defendant

must be permitted to introduce all “evidence relevant to the

defendant’s background or character . . . that mitigate against

imposing the death penalty.”            Penry, 492 U.S. at 318 (emphasis

added).74    As a matter of law, race is “totally irrelevant to the

sentencing process.”        Zant, 462 U.S. at 885; McCleskey, 481 U.S.

at 316 (discussing the unconstitutionality of using the “irrelevant

factor of race” in sentencing).           Therefore, when the FDPA and the

Supreme Court speak of “background or character” evidence, they

obviously mean to permit, and can mean to permit only, the specific

beliefs and life experiences of the defendant in question.

      Thus, although race per se is an irrelevant and inadmissible

factor, the effects and experiences of race may be admissible.                   If

a defendant can show that his life has been marked by discrimina-

tion or some other set of experiences, irrespective of whether the


      74
         See also McCoy v. North Carolina, 494 U.S. 433, 440 (1990) (explaining that
the “meaning of relevance is no different in the context of mitigating evidence
introduced in a capital sentencing proceeding” from its meaning during the case in
chief; evidence is relevant if “it tends logically to prove or disprove some fact
or circumstance which a fact-finder could reasonably deem to have mitigating value”)
(quoting McCoy v. North Carolina, 372 S.E.2d 12, 45 (N.C. 1988) (Exum, C.J.,
dissenting)).

                                        108
result,     in   part,   of     his    race,    then   that     properly   might    be

admissable as relevant mitigating background or character evidence.

But this is a far cry from using race in and of itself as a proxy

for such a set of beliefs and experiences.                    Pigmentation does not

define a person’s character or background; the life that a person

has led and the things that he has experienced do.



                                          P.

     We permitted Webster to file a supplemental brief raising an

additional       issue   on    appeal,    arguing      that    his   conviction    and

sentence were based on testimony that was illegally induced from

his co-defendants.            Citing United States v. Singleton, 144 F.3d

1343 (10th Cir.), vacated for reh’g en banc, 144 F.3d 1361 (10th

Cir. 1998), Webster contends that the testimony of his co-defen-

dants against him was induced by the government in violation of

18 U.S.C. § 201(c)(2).75              Because we find no plain error in the

failure sua sponte to suppress the co-defendants’ testimony, we


     75
          Section 201(c)(2) reads,

     WhoeverSS

     directly or indirectly, gives, offers or promises anything of value
     to any person, for or because of the testimony under oath or
     affirmation given or to be given by such person as a witness upon a
     trial, hearing, or other proceeding, before any court, any committee
     of either House or both Houses of Congress, or any agency,
     commission, or officer authorized by the laws of the United States
     to hear evidence or take testimony, or for or because of such
     person’s absence therefrom;

           shall be fined under this title or imprisoned for not more
     than two years, or both.

                                          109
deny Webster’s attempt to raise this issue for the first time on

appeal.



                                        1.

     In   Singleton,      a    panel   held   that   the   plain       language   of

§ 201(c)(2) prohibits prosecutors from making promises “of value”

to witnesses in exchange for testimony.              According to the panel,

such prohibited promises include promises not to prosecute for

certain offenses, promises to inform authorities of cooperation,

and promises to inform the court of cooperation.                 See Singleton,

141 F.3d at 1348. Webster claims that the government’s promises to

his co-defendantsSSnot seeking the death penalty, agreeing to

guilty pleas for lesser crimes, not prosecuting other acts stemming

from the same incident, dismissing remaining indictment counts,

notifying   the   court       of   cooperation,   and   filing     a    motion    for

downward departure in sentencingSSviolate the plain language of

§ 201(c)(2) in the same manner as did the promises in Singleton.



                                        2.

                                        a.

     Because Webster did not move to suppress the testimony of his

co-defendants, the issue of their testimony’s legality presents an

entirely new issue.           We may consider this question on appeal,




                                        110
therefore, only if it constitutes plain error.76

      We find plain error “only when the appellant shows that

(1) there is an error, (2) the error is plain, and (3) the error

affects her substantial rights.”           Ravitch, 128 F.3d at 869 (citing

Olano, 507 U.S. at 732).         Even if we find such an error, however,

we will not “exercise [our] discretion to correct such errors

unless the error seriously affects the fairness, integrity, or

public reputation of judicial proceedings.”               Id.

      “Error is defined as a deviation from a legal rule in the

absence of a valid waiver.”         Calverley, 37 F.3d at 162.          “Plain is

synonymous with 'clear' or 'obvious' and 'at a minimum' contem-

plates an error which was 'clear under current law' at the time of

the trial.”       Id.     Finally, “affecting substantial rights” is

understood to mean that the error “must affect the outcome of the

proceeding.”      Id. at 164.



                                        b.

      Webster argues that the court erred by failing sua sponte to

apply § 201(c)(2) and suppress the testimony of his co-defendants.

Moreover, he argues that without the testimony of his co-defen-


      76
         See United States v. Olano, 507 U.S. 725, 731 (1993) (“No procedural
principle is more familiar to this Court than that a [right] may be forfeited in
criminal as well as civil cases by the failure to make timely assertion of the right
before a tribunal having jurisdiction to determine it.”) (quoting Yakus v. United
States, 321 U.S. 414, 444 (1944) (internal citations omitted)); see also United
States v. Ravitch, 128 F.3d 865, 869 (5th Cir. 1997); Calverley, 37 F.3d at 162;
Helms v. United States, 340 F.2d 14, 19 (5th Cir. 1964).

                                        111
dants, there is great doubt that he would have been convicted.

      Although    Webster's    argument     that   the   suppression   of   co-

defendant testimony substantially would have affected his convic-

tion is persuasive, Webster faces an insurmountable burden in

showing that the court plainly erred.               At the time of trial,

Singleton had not yet been handed down.            Thus, the court did not

commit plain error when it did not follow a decision that had not

yet been decided.       Moreover, even if Singleton had been decided

before trial, decisions of other circuits are not binding on the

courts of this circuit, so according to the “current law” of this

circuit, the testimony of co-defendants still would have been

admissible.77

      The best Webster can argue is that, at the time of his trial,

the applicability of § 201(c)(2) to government plea bargains in

this circuit was uncertain.78         “The uncertainty manifest in [an]

area of the law illustrates that any error on the part of the trial

court could not have been plain.”            Calverley, 37 F.3d at 165.



      77
         We recently agreed to review a claim that was not raised until appeal
when we found there had been an intervening change in the law.         See DSC
Communications Corp. v. Next Level Communications, 107 F.3d 322, 326 n.2
(5th Cir. 1997).     Unlike Webster, however, the appealing party in DSC
Communications relied on an intervening change in the law of this circuit,
whereas Webster relies on a vacated opinion of another circuit.
      78
         The uncertainty of this circuit’s law on this point is already
anticipated in two recent district court decisions. In United States v. Duncan,
1998 U.S. Dist. LEXIS 11123 (E.D. La. July 15, 1998), the court refused to order
a new trial based on § 201(c)(2). But in United States v. Fraguela, 1998 U.S.
Dist. LEXIS 14347 (E.D. La. Aug. 27, 1998), the court granted a new trial and
adopted the Singleton panel’s reading of § 201(c)(2).

                                      112
      Webster challenges a district court decision on the basis of

a new interpretation of an existing law even though no Fifth

Circuit precedent directly supports his reading of § 201(c)(2).79

At most, he can support the uncertainty of § 201(c)(2)’s applica-

bility to government plea bargains.          A court's failure to apply an

uncertain interpretation of a statute is far from plain error.

Rather than finding plain error by adopting a new interpretation of

an existing statute based on the vacated decision of another

circuit, we deny Webster’s challenge to the court’s failure to

suppress the testimony of his co-defendants.

      AFFIRMED.



      79
         Because we find no plain error in the failure to suppress the co-
defendants' testimony, we do not reach the question of the proper reading of
§ 201(c)(2). A review of this circuit’s precedents shows, however, that we
consistently have upheld government efforts to provide benefits to witnesses in
exchange for testimony when challenged on other grounds. The district court did
not err by conforming to this precedent.

      In United States v. Cervantes-Pacheco, 826 F.2d 310, 315 (5th Cir. 1987)
(en banc), we explained our views on the propriety of giving benefits in exchange
for witness testimony when we held that contingent compensation for witnesses may
occur as long as the nature of such compensation is fully disclosed to the jury.
We noted that “[n]o practice is more ingrained in our criminal justice system
than the practice of the government calling a witness who is an accessory to the
crime for which the defendant is charged and having that witness testify under
a plea bargain that promises him a reduced sentence.” Id. We went on to point
out that “courts uniformly hold that such a witness may testify so long as the
government’s bargain with him is fully ventilated so that the jury can evaluate
his credibility.” Id. Thus, our general rule has been to allow the government
to confer benefits upon witnesses in exchange for testimony (even contingent
monetary compensation).

      Along with our sister circuits, we also explicitly have upheld admitting
the testimony of witnesses who were promised reduced sentences. See United
States v. Kimble, 719 F.2d 1253 (5th Cir. 1983); see also United States v. Evans,
697 F.2d 240 (8th Cir. 1985); United States v. Miceli, 446 F.2d 1253 (1st Cir.
1971); United States v. Vida, 370 F.2d 759 (6th Cir. 1966); Lyda v. United
States, 321 F.2d 788 (9th Cir. 1963) (discussed in United States v. Dailey,
759 F.2d 192, 198-200 (1st Cir. 1985)).

                                      113
