                                                                            FILED
                               NOT FOR PUBLICATION
                                                                            FEB 06 2018
                        UNITED STATES COURT OF APPEALS                   MOLLY C. DWYER, CLERK
                                                                          U.S. COURT OF APPEALS


                               FOR THE NINTH CIRCUIT


 UNITED STATES OF AMERICA,                             Nos. 15-50467

                Plaintiff-Appellee,
                                                       D.C. No. 2:15-cr-00131-JFW-1
 v.

 TEOFIL BRANK, AKA @JarecWentworth,                    MEMORANDUM*
 AKA Jarec Wentworth,

                Defendant-Appellant.


                     Appeal from the United States District Court
                       for the Southern District of California
                      John F. Walter, District Judge, Presiding

                          Argued and Submitted June 8, 2017
                                Pasadena, California

Before: Reinhardt and Hurwitz,** Circuit Judges, and Berg,*** District Judge.



      *
          This disposition is not appropriate for publication and may not be cited to
or by the courts of this circuit except as provided by Ninth Circuit Rule 36-3.
      **
          This case was submitted to a panel that included Judge Kozinski, who
recently retired. Following Judge Kozinski's retirement, Judge Hurwitz was drawn
by lot to replace him. Ninth Circuit General Order 3.2.h. Judge Hurwitz has read
the briefs, reviewed the record, and listened to oral argument.
      ***
            The Honorable Terrence Berg, United States District Judge for the
                                                                       (continued...)
      Teofil Brank appeals his convictions for one count of transmitting

threatening communications with intent to extort, in violation of 18 U.S.C. §

875(d); two counts of extortion and attempted extortion affecting interstate

commerce by nonviolent threat, in violation of 18 U.S.C. § 1951(a) (“the Hobbs

Act”); one count of using a facility of interstate commerce to facilitate unlawful

activity, in violation of 18 U.S.C. § 1952(a)(3); and two counts of receiving

proceeds of extortion, in violation of 18 U.S.C. § 880. He also appeals his

sentence. For the reasons set forth below, we AFFIRM.

      1.     Brank first argues that extortion as defined in the Hobbs Act does not

include threats causing fear of injury to reputation. Brank takes the position that

only threats causing fear of physical violence or economic harm are cognizable as

extortion under the Hobbs Act. This argument is not well-taken. Extortion under

the Hobbs Act is defined as “the obtaining of property from another, with his

consent, induced by wrongful use of actual or threatened force, violence, or fear, or

under color of official right.” 18 U.S.C. § 1951(b)(2). That is precisely what

occurred here; Brank obtained Burns' property, inducing Burns to part with it

through wrongful use of fear that Burns' private life would be exposed. In United



      ***
        (...continued)
Eastern District of Michigan, sitting by designation.

                                          2
States v. Nardello, 393 U.S. 286, 296 (1969), the Supreme Court held that

“extortion,” when left undefined in a federal criminal anti-racketeering statute (in

that case, the Travel Act, 18 U.S.C. § 1952), encompassed threats to injure a

victim’s reputation. We cannot conclude that Congress adopted a narrower

definition of “extortion” in the Hobbs Act. Brank’s contention that the evidence

was insufficient to establish extortion under the Hobbs Act must therefore be

rejected.

      2.     Brank argues that the district court erred in denying his motion to

dismiss for vindictive prosecution. Brank has not proffered evidence that the

government acted out of “hostility or a punitive animus” in the pretrial context.

United States v. Gallegos-Curiel, 681 F.2d 1164, 1168-69 (9th Cir. 1982). The

district court found that the superseding indictment was finalized and approved

before the plea negotiations occurred. There was no error in the denial of the

motion.

      3.     We reject Brank’s argument that the district court erred in admitting

witness testimony about a gun and a photograph of an ammunition clip. The

testimony was sufficiently attenuated from the Fourth Amendment violation that

led to the gun’s exclusion. See United States v. Ceccolini, 435 U.S. 268, 275

(1978). The district court’s admission of both the testimony and the photograph

                                          3
was not an abuse of discretion. See Rogers v. Raymark Indus., Inc., 922 F.2d 1426,

1429 (9th Cir. 1991).

      4.     Because a “rational trier of fact” could have found that Brank

transmitted a communication containing a threat, we reject Brank’s sufficiency-of-

the-evidence challenge to his conviction under 18 U.S.C. § 875(d). See Jackson v.

Virginia, 443 U.S. 307, 319 (1979).

      5.     Finally, Brank challenges his sentence as based on an incorrect

calculation of the sentencing guidelines. Brank argues that the district court erred

by separating the counts of conviction into Group A, relating to the extortion of

$500,000 and the Audi, and Group B, relating to the transaction for the $1 million

orchestrated by the FBI. Because these incidents were grouped as separate harms,

the guidelines calculation increased from 57-71 months to 70-87 months. Brank

made no objection to the grouping decision before the district court, so review is

for plain error. See United States v. Valencia-Barragan, 608 F.3d 1103, 1108 (9th

Cir. 2010). According to § 3D1.2(b) of the Sentencing Guidelines, multiple counts

“involving substantially the same harm” should be grouped if they “involve the

same victim and two or more acts or transactions connected by a common criminal

objective or constituting part of a common scheme or plan.” But, Application Note

4 points out that § 3D1.2 “does not authorize the grouping of offenses that cannot

                                          4
be considered to represent essentially one composite harm (e.g., robbery of the

same victim on different occasions involves multiple, separate instances of fear and

risk of harm, not one composite harm).” On the evidence before it, the district

court did not plainly err in concluding that Brank’s conduct caused separate

instances of fear and harm.

      Appellant has filed two submissions pro se while represented by counsel

(docket entries 45 and 52). Because an appellant represented by counsel may only

file motions through counsel, this Court declines to entertain the pro se

submissions.

AFFIRMED.




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                                                                            FILED
United States v. Brank, No. 15-50467                                 FEB 6 2018
REINHARDT, Circuit Judge, concurring in part and dissenting in part:
                                                                         MOLLY C. DWYER, CLERK
                                                                          U.S. COURT OF APPEALS
      I strongly disagree with the majority disposition regarding the scope of

Hobbs Act extortion. The Hobbs Act was not intended to, and does not, encompass

injury, or threatened injury, to reputation. Application of our ordinary tools of

statutory interpretation reveals ambiguity. The definition of extortion itself is

muddled—the adjective “threatened” inexplicably modifies “fear.” 18 U.S.C. §

1951(b)(2). Moreover, all other violations of the Act require harm or threats of

harm to person or property—indicating that the scope of harm for Hobbs Act

extortion is similarly limited. By contrast, the Travel Act—which includes the

generic “extortion” definition on which the majority relies— displays no such

limitation. It instead encompasses a wide variety of “unlawful activit[ies],” ranging

from failure to pay federal excise taxes on liquor to prostitution to bribery. 18

U.S.C. § 1952.

      The Hobbs Act must be read in tandem with a similar and closely related

statute, 18 U.S.C. § 875. Unlike the Hobbs Act, that statute expressly includes

threats to reputation. The two statutes developed roughly in parallel, but the Hobbs

Act and its predecessor, the Anti-Racketeering Act, never employed any such

language. Instead, the Hobbs and Anti-Racketeering Acts always targeted a

narrower set of conduct—principally related to racketeering. See Scheidler v. Nat’l

Org. for Women, 537 U.S. 393, 406-07 (2003). The legislative history of the Hobbs
                                           1
Act likewise evinces Congress’s paramount concern for harm, and threats of harm,

to person and property—and no concern whatsoever regarding harm to reputation.

See, e.g., Hearings Before Subcomm. No. 3 of the H. Comm. on the Judiciary on

H.R. 5218, H.R. 6752, H.R. 6872, & H.R. 7067, 77 Cong. 332, 377, 420-24 (1942).

      The majority’s reliance on the Travel Act case United States v. Nardello,

393 U.S. 286 (1969), and the federal generic definition of extortion used for that

Act is wholly misplaced here. Unlike the Travel Act, the Hobbs Act defines

extortion in a circumscribed manner—indicating that the Hobbs Act intended a

more precise and limited definition. We ought not disregard that specific statutory

definition, and the attendant interpretive tools, by assuming that Congress intended

consistency with a statute that lacks a definition.

      This is all the more true because the Hobbs Act is a criminal statute. We

must interpret criminal statutes (and similar civil statutes, such as immigration

laws) narrowly, because we recognize their especially weighty consequences for

individuals’ lives. Our jurisprudence must take into account both the severity of

criminal penalties themselves and the web of collateral consequences that attend a

criminal conviction—the potential for loss of voting rights; restrictions on

movement; difficulty in obtaining employment, apartment leases, and admission to

professional organizations; and, in many cases, the possibility of deportation to a

place that is not now and may never have been home—with all the anguish and

                                           2
hardship that attends the prospect of permanent separation from family, and the

anxiety of not knowing at what moment this expulsion might occur. See Gabriel J.

Chin, The New Civil Death: Rethinking Punishment in the Era of Mass Conviction,

160 U. Pa. L. Rev. 1789, 1799-1803 (2012).

      These oftimes drastic consequences require a special vigilance on the part of

courts to ensure that only clearly prohibited conduct results in criminal sanctions.

The rule of lenity is, consequently, a bedrock principle of statutory interpretation in

criminal cases. See, e.g., Scheidler, 537 U.S. at 408. Moreover, because criminal

law is primarily a local not a national matter, we require a clear statement of

congressional purpose before interpreting a federal criminal statute to encompass

conduct already subject to state criminal penalties. Construing the scope of

“extortion” as used in the Hobbs Act in light of these fundamental tenets requires

us to resolve the obvious ambiguities against the government. Accordingly, I

would overturn Brank’s convictions under the Hobbs Act. I concur in the

remainder of the majority disposition.




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