                    UNITED STATES COURT OF APPEALS
                         FOR THE FIFTH CIRCUIT
                              No. 99-40505

                       UNITED STATES OF AMERICA,

                                                      Plaintiff-Appellee,
                                    versus

                          JAMES ANDREW POLLANI,

                                                Defendant-Appellant.
            Appeal from the United States District Court
                  for the Eastern District of Texas
                      Civil Docket #4:96-CR-65-1
                             May 24, 2000

Before JONES, DUHÈ, and WIENER, Circuit Judges.

By EDITH H. JONES, Circuit Judge:*

           James Andrew Pollani (“Pollani”) appeals from his second

conviction, after a retrial, for conspiracy to transport and

transportation of stolen IBM computer parts in interstate commerce

and money laundering.       He received inter alia a 90-month term of

imprisonment. He raises evidentiary issues, suppression issues and

sentencing issues.     Finding no reversible error, we affirm.

           In   September   1995,    Carrollton   Police   Detective    Jose

Flores (“Flores”) received a call from IBM security that IBM parts

had been stolen from the Burnham Warehouse (“Burnham”) in Denton

County, Texas, during the summer of 1995.         Burnham was a contract

storage agent for IBM, receiving new and used computers on its

behalf.    IBM contacted the detective again in March 1996 after

determining that one of the stolen parts had been sold by Lan Tech,


     *
            Pursuant to 5th Cir. R. 47.5, the court has determined that this
opinion should not be published and is not precedent except under the limited
circumstances set forth in 5th Cir. R. 47.5.4.

                                      1
a sole proprietorship owned by Appellant Pollani in Lewisville,

Texas.    IBM provided Flores with a list of serial numbers from the

stolen parts and with a videotape of Pollani allegedly offering to

sell a Georgia computer parts dealer some of the stolen parts.

            Based on this evidence, Flores obtained a search warrant

for Pollani’s residence and served the warrant in April 1996.

Although Pollani signed a consent to search, he later claimed that

his consent was involuntary given his fear that his wife and three

year old son would be arrested.            The police seized a computer and

records   relating    to   Pollani’s       computer     business.     No    stolen

computer parts were recovered but purchase orders listing Ronald

Epps (“Epps”) as the vendor were found.                In May 1996, during the

course of the investigation, two of Pollani’s vehicles were seized

after it was determined that they had been purchased with illegal

proceeds.

            In June 1994 - January 1995, before opening Lan Tech,

Pollani    had   worked    as   a   demo     program    technician    for    Sykes

Enterprises (“Sykes”), which rented space at the Burnham Warehouse.

At trial, Pollani testified that he did not have access to other

parts of the warehouse and that he did not even know that IBM

stored component parts at the facility.                Other Burnham employees

testified    that    Pollani    walked       around    the   warehouse     freely.

Although Pollani claimed that he left Sykes for a higher paying

job, Pollani did not go to work for another company.                 Instead, he

opened Lan Tech.




                                         2
           Epps, an IBM employee, became Pollani’s principal source

for computer parts from the Burnham Warehouse.                Epps testified

about his dealings with Pollani’s co-defendants, all of whom worked

at the Burnham facility.      Epps paid certain co-defendants, Derrick

Massey (“Massey”), George Stephens (“Stephens”), and Wendell McKay

(“McKay”), to deliver stolen parts to an auto body shop in Irving,

Texas twice and to a different warehouse.               Epps and Pollani also

met some of these men outside of Dallas and Plano on different

occasions to remove parts from computers the men were transporting

on trucks.1     The co-defendants provided similar testimony about

their roles in the delivery of stolen computer parts: they either

delivered stolen computer parts to a given location or permitted

Epps and Pollani to remove component parts from computers being

transported on trucks that the co-defendants were driving. The men

were paid in cash for their role in the scheme and understood that

the parts were stolen.       Each co-defendant pled guilty to various

offenses and testified against Pollani at his trial. Although most

of the co-defendants identified Pollani in court, at least one,

Stephens, could not.      Abundant evidence connected Pollani to the

thefts,   illegal   transportation        of   stolen   property,   and   money

laundering to purchase vehicles.

           Pollani’s first conviction was reversed by this court.

See United States v. Pollani, 146 F.3d 269 (5th Cir. 1998).                  In

October 1998, a superseding indictment was returned against Pollani

     1
            Pollani testified at trial that he had never met McKay or Stephens
and that he had never removed parts from the back of a truck driven by either
man.

                                      3
and five other defendants (none of whom had been named in the first

indictment), charging each of them with one count of conspiracy to

transport stolen property in interstate commerce in violation of 18

U.S.C.      §     371.2        Pollani   was    also    charged   with    12    counts   of

transportation of stolen property under 18 U.S.C. § 2314, and one

count of money laundering under 18 U.S.C. §§ 1956(a)(1)(B)(i) and

(ii).        In January 1999, Pollani proceeded to trial, this time

represented by appointed counsel, and he was convicted.

                                     EVIDENCE ISSUES3

       1.         Unadopted Statements From FBI 302 Reports

                  Pollani contends that he should have been allowed to use

allegedly inconsistent statements reported in FBI 302 reports to

Agent McCormick to impeach the testimony of witnesses Epps, McKay,

and Massey.          During cross-examination of Agent McCormick, defense

counsel attempted to impeach Epps through the prior inconsistent

statements.              The   district    court       excluded   the    evidence     since

McCormick was not a member of the conspiracy and it was not shown

that       Epps    had    adopted    any   of       McCormick’s   notes    as   his    own.

Although Pollani had the opportunity to cross-examine Epps, McKay,

and Massey about their statements to Agent McCormick, Pollani chose

not to.


       2
          Pollani’s five co-defendants pled guilty to conspiracy
pursuant to plea agreements and testified against Pollani at trial.
       3
            This court reviews a district court’s evidentiary rulings for an
abuse of discretion. United States v. Haese, 162 F.3d 359, 364 (5th Cir. 1998).
Evidentiary rulings must be affirmed unless they affect a substantial right of
the complaining party. Id. (citing United States v. Skipper, 74 F.3d 608, 612
(5th Cir. 1996)).


                                                4
            According to Pollani’s offers of proof at the end of

trial, the trial testimony of Epps, McKay, and Massey conflicted

with their original 302 statements.             Their original statements

would have implied that Pollani was not involved in many of the

activities attributed to him at trial.            For example, among other

things, Epps stated that only he and the Pinsons were involved in

the theft ring and that Pollani and Epps had no formal agreement.

At trial, though, Epps admitted that he did not initially cooperate

with investigators because he wanted to protect others involved in

the conspiracy.      On cross-examination, Epps admitted that he had

not told the FBI about Pollani’s role in removing parts from

computers or about the roles of Pollani’s co-conspirators in order

to protect them.4

            Under Fed. R. Evid. 613(b), extrinsic evidence of prior

inconsistent statements of witnesses is admissible only if the

witness   is   afforded    an   opportunity     to   explain    or   deny   the

statement, and the opposing party is afforded an opportunity to

interrogate    the   witness    thereon.      Counsel    must   describe    the

impeaching statement to the witness or lay a foundation for its

admissibility: “It is equally clear, however, that Rule 613(b) does

not supplant the traditional method of confronting a witness with

his inconsistent statement prior to its introduction into evidence

as the preferred method of proceeding.”          Wammock v. Celotex Corp.,


      4
            McKay’s and Massey’s 302's did not implicate Pollani in the theft
conspiracy. At trial, McKay admitted that he did not tell the complete truth
when he first met with the FBI. On cross-examination, defense counsel questioned
both men about their initial statements, and both men stated that Pollani was
involved in the theft scheme.

                                       5
793 F.2d 1518, 1522 (11h Cir. 1986).5                Pollani chose not to

confront Epps, McKay, or Massey with their allegedly inconsistent

statements, and therefore, did not give them the opportunity to

explain or deny those statements.          The district court’s ruling was

correct.

            Furthermore, Pollani had ample opportunity to challenge

the credibility of these witnesses during cross-examination.               Epps

was cross-examined on what he had or had not said to the FBI in his

first three interviews with agents. McKay admitted that he did not

tell the complete truth the first time, and Massey said he did not

mention Pollani because no one asked about Pollani. Thus, defense

counsel was able to delve into the witnesses’ statements to the FBI

even though the 302 reports were excluded.

      2.    Pollani’s Prior Conviction

            Pollani next asserts that evidence of his December 1987

misdemeanor theft conviction was improperly admitted because it was

too remote in time and was more probative of character (i.e.,

propensity to steal) than of his knowledge or intent to commit the

charged crimes.




      5
             But see 28 Charles A. Wright & Victor J. Gold, Fed. Prac. & Proc. §
6205 (West 1993)(citing Alexander v. Conveyors & Dumpers, Inc., 731 F.2d 1221,
1231 (5th Cir. 1984)(“In fact, the rule does not even require that the impeaching
party during his examination provide the witness with the opportunity to explain
or deny the statement. Rather the rule is satisfied so long as that opportunity
can be provided by the opposing party during its examination of the witness.”).
Pollani suggests that the government could have recalled Epps, et al., after
McCormick was cross-examined about the 302 reports. But even the case relied on
by Pollani allows such prior inconsistent statements to get in by another witness
only if “on cross-examination the witness has denied making the statement, or has
failed to remember it....” United States v. Sisto, 534 F.2d 616, 622 (5th Cir.
1976) (internal quotation marks and citation omitted).

                                       6
           Evidence of other crimes is admissible to prove plan,

motive, intent, preparation, knowledge, and identity.                     Fed. R.

Evid. 404(b).    Extraneous offenses may not be offered as proof of

a defendant’s character, and the probative value of the evidence

must not be substantially outweighed by the threat of unfair

prejudice, confusion, and delay. See United States v. Beechum, 582

F.2d 898, 911 (5th Cir. 1978), cert. denied, 440 U.S. 920, 99 S.Ct.

1244 (1979).     The age of the prior conviction is not a per se bar

to admissibility under Rule 404. See United States v. Broussard, 80

F.3d 1025, 1040 (5th Cir.), cert. denied, 519 U.S. 906, 117 S.Ct.

264   (1996)(a   prior     conviction       more    than   ten   years    old   was

admissible).

           Pollani relies on United States v. Martin, 505 F.2d 918

(5th Cir. 1974), in which this court found that two misdemeanor

offenses for opposing a public officer, committed nine and ten

years   earlier,    were    too   remote:          “[C]onvictions    during     the

defendant’s younger years cannot logically be probative of intent

in acts committed a decade later.”             Id. at 923.       But those prior

convictions required proof of general intent only.                  As a result,

the court held that they were of little probative value concerning

the later existence of specific intent.                Id. at 922.       The court

noted that cases involving fraudulent intent as a material element

of the offense charged are far more likely to have probative value

with respect to later acts than those involving only general

intent, such as assault.       Id. at 923.




                                        7
            This is a specific intent case, as the government had to

prove that Pollani knew the property was stolen.             The district

court held that Pollani’s 1987 conviction spoke directly to his

knowledge and intent, as he had then pled guilty to charges

stemming from the theft of several VCRs and television sets from

his then-employer.    While admitting the prior conviction, however,

the court warned the jury twice that it could be considered only

for the limited purpose of determining whether Pollani had the

intent, state of mind, or motive to commit the offense.                    The

similarity between the prior and present offenses is clear.                The

district court’s limiting instructions, given immediately after the

offense was offered into evidence and again before the jury retired

to deliberate, minimized any prejudice Pollani may have suffered.

No abuse of discretion was shown.

       3.   Identification by a Witness         Who   Had   Been   Shown    a
            Photograph of Pollani

            Pollani   contends   that   the   district   court     erred    in

refusing to strike co-defendant Kyle’s in-court identification of

him.   Pollani sought a mistrial, arguing that since Kyle was shown

a single photograph instead of a photographic lineup, Kyle’s

identification was tainted and unreliable.

            Whether identification evidence is admissible at trial is

a mixed question of law and fact reviewed de novo, but the district

court’s underlying factual findings are reviewed for clear error.

United States v. Fletcher, 121 F.3d 187, 194 (5th Cir. 1997).               An

in-court identification following a pre-trial identification by

photograph will be set aside only if the identification procedure

                                    8
was so impermissibly suggestive as to give rise to a substantial

likelihood of misidentification.       Id. (citing Simmons v. United

States, 390 U.S. 377, 384, 88 S.Ct. 967, 971 (1968)).

          Kyle positively identified Pollani in court as the man

who had gone into the back of his truck on two occasions and

removed parts from a computer.        He said that Pollani looked the

same as before although thinner (apparently, Pollani had lost quite

a bit of weight).   Kyle admitted that at the time of the theft he

did not know Pollani’s name, describing him only as a white guy.

He said the FBI agent showed him only one picture “just to ask me

if I knew, had I seen him before.”

          Agent McCormick testified, out of the presence of the

jury, that he questioned Kyle after Pollani’s first trial in order

to obtain a confession from Kyle.        At the end of the interview,

Kyle mentioned that a white man had removed parts from his truck on

two occasions.   McCormick then showed Kyle a picture of Pollani to

see if Kyle recognized the man.        Kyle identified the man as the

person who had gotten into his truck to take computer parts.    Since

Pollani had already been convicted, McCormick did not keep the

photograph. In preparation for the second trial, though, Kyle told

McCormick that Kyle was not sure he could identify Pollani although

he gave a description that closely matched Pollani’s appearance.




                                  9
            Considering       the   totality    of    the    circumstances,6    the

district    court    held     that    showing        the    single   picture    was

impermissibly suggestive but that the identification was reliable

enough to go to the jury.           On each occasion, Kyle watched Pollani

enter the back of the truck and take parts from computers.                Despite

seeing the photograph briefly in March 1997, Kyle gave an accurate

description of Pollani before trial and positively identified him

at trial (even though Pollani had lost considerable weight). Thus,

the district court’s finding that the identification was reliable

is supported by the evidence and should not be overturned.                      See

Herrera v. Collins, 904 F.2d 944 (5th Cir. 1990)(holding that

showing single photograph of suspect to eyewitness did not give

rise to substantial likelihood of misidentification even assuming

the procedures were impermissibly suggestive).

                              MOTION TO SUPPRESS

            With    respect    to    the    search    of    Pollani’s   home,   the

district court held a hearing on January 8, 1999, and after

argument from both parties, denied Pollani’s motion to suppress.

Pollani contends that the district court clearly erred by (1) not

holding a full evidentiary hearing on his motion to suppress

evidence seized in the search of his residence, and (2) not finding




      6
            A court must consider the witness’ opportunity to view the suspect
at the time of the crime, the witness’ degree of attention, the accuracy of the
witness’ prior description, the level of certainty demonstrated by the witness
at the time of confrontation, and the length of time between the crime and the
confrontation. Neil v. Biggers, 409 U.S. 188, 199-200, 93 S.Ct. 375, 382 (1972).


                                           10
that the affidavit in support of the search warrant contained

insufficient and false information.7

            Pollani claims that the search warrant lacked probable

cause because the supporting affidavit did not contain information

showing that he knew the computer parts he possessed at one time

were stolen.     He also maintains that the affidavit was predicated

on the hearsay statements of an IBM investigator who did not show

(1) that she was reliable or (2) that the information on which she

relied was credible.

            The totality of the circumstances test governs whether a

search warrant is supported by probable cause.               See Illinois v.

Gates, 462 U.S. 213, 238, 103 S.Ct. 2317, 2332 (1983).                     The

reviewing    court   looks   deferentially       at   the   district   court’s

determination of probable cause and “must construe the affidavit in

a common-sense manner.” United States v. McKeever, 5 F.3d 863, 865

(5th Cir. 1993)(citation omitted).          In this case, the affidavit

contained a list of IBM cards with serial numbers that were

previously     reported   stolen    from   the    Burnham    Warehouse    (the

paragraph Pollani objects to), plus six paragraphs describing other

electronic devices and computer equipment without serial numbers,

and documents and records relating to computers.               The affidavit


      7
            Pollani also maintains that the court should have suppressed the
testimony of all witnesses who had entered into plea agreements with the
government. This argument is frivolous. Relying on United States v. Singleton,
144 F.3d 1343 (10th Cir. 1998), Pollani argues that allowing the testimony of
anyone who entered a plea agreement with the government violates 18 U.S.C. §
201(c)(2). This court has refused to adopt Singleton’s reasoning and holding.
See United States v. Webster, 162 F.3d 308 (5th Cir. 1998); United States v.
Haese, 162 F.3d 359 (5th Cir. 1998). Thus, Pollani’s argument lacks support and
is rejected.

                                      11
recites information describing the expertise in computer-related

investigations      of    Diane     Hines,   a   security        analyst    for     IBM.

Finally, the affidavit detailed the investigation of IBM computer

equipment and indicated that Pollani had sold stolen IBM parts and

shipped them in interstate commerce.                Thus, even if some of the

information in the objected to paragraph was incorrect (e.g., some

of the sold equipment could not reasonably be thought to be at

Pollani’s house), the affidavit contains sufficient evidence to

establish probable cause.

             In   its    written    order    denying      Pollani’s       motion,   the

district court found that Pollani had not made a sufficient showing

that Officer Flores made a knowingly or recklessly false statement

in the affidavit, as opposed to an innocent mistake.                           At the

hearing, the district court agreed to hear whatever Officer Flores

had to say, but neither party had asked or required him to be

present.      “[B]oth the burden of production and the burden of

persuasion    generally      rest     upon   the    movant       in   a   suppression

hearing.” United States v. Charles, 738 F.2d 686, 692 (5th Cir.

1984).     The defense had the opportunity to examine Flores as to

whether he made knowing or reckless statements in his affidavit but

did not avail itself of that opportunity.                 Because Pollani failed

to   carry    his   burden     of    showing       that    the    statements        were

deliberately false or made in reckless disregard for the truth, and

the remaining portion of the affidavit contains sufficient evidence

to support a finding of probable cause, the district court was not




                                        12
required to hold an evidentiary hearing.            See United States v.

Dickey, 102 F.3d 157, 161-62 (5th Cir. 1996).

                            SENTENCING ISSUES

     1.    Base Offense Level

           After Pollani’s first trial, the PSR used § 2F1.1 of the

Guidelines (for offenses involving fraud or deceit) to calculate

the base offense level at 6 points, with a total offense level of

26 after adjustments. The PSR prepared after the second trial used

§ 2B1.1 (for offenses involving theft and transactions in stolen

property), resulting in a base offense level of 4 for counts 1

through 13 and a total offense level of 28 after adjustments.8

Pollani contends that he should have been sentenced under § 2F1.1

because the change was manifestly unjust and barred by the “law of

the case” doctrine.

           Once it has become the “law of the case,” an issue of law

or fact decided on appeal may not be reexamined either by the

district court on remand or by the appellate court on a subsequent

appeal.    United States v. Becerra, 155 F.3d 740, 752 (5th Cir.

1998).

           But the law of the case doctrine does not apply here,

because in Pollani’s first appeal, this court never considered his

base offense level. Pollani’s previous conviction was reversed and

remanded solely on the ground that he had been denied his right to

counsel.     The   only   sentencing   issues    raised   in   that   appeal,

     8
            Pollani was charged with money laundering in the superseding
indictment, and as a result of grouping, his total offense level on all counts
increased.

                                     13
concerning the amount of loss and an enhancement for more than

minimal planning, were not ruled on in light of the court’s

disposition of the case.     Pollani, 146 F.3d at 274, n.6.

           No error, much less reversible error, arises from the

district court’s decision to use the correct guideline after

Pollani’s second conviction.

     2.    The Amount of Loss

           This court gives great deference to a district court’s

loss calculation, not finding it clearly erroneous so long as its

factual finding regarding the amount of loss is plausible in light

of the record as a whole.       United States v. Sutton, 77 F.3d 91, 95

(5th Cir. 1996).    “Loss” is defined as “the value of the property

taken, damaged, or destroyed,” which is ordinarily “the fair market

value of the particular property at issue.” § 2B1.1, App. n.2.

           Pollani contends that either the value of the computer

parts listed in the superseding indictment, which totaled $484,550,

or the amount of a civil judgment brought by Burnham International

against him for $560,000, should have been used to calculate the

loss.9      The    government     asserts   that    neither   figure    is

representative of the fair market value and that Pollani put his

victims at risk for the entire loss, not only the amount he

actually obtained for the stolen parts.            See United States v.

Wimbish, 980 F.2d 312, 316 (5th Cir. 1992), rev’d on other grounds,



     9
            If one of these lower sums is adopted as the risk of loss, then
eleven or twelve points would be added to Pollani’s base level under §
2B1.1(b)(1)(L) or (b)(1)(M).

                                     14
Stinson v. United States, 500 U.S. 36, 40 n.2, 113 S.Ct. 1913, 1916

n.2 (1993)).

          At trial, IBM’s internal audit analyst, Joe Jacoby,

testified that the total value of the parts stolen from Burnham and

sold by Pollani was roughly $2.4 million.      In this circuit, the

owner of property is competent to testify as to its market value.

See United States v. Laughlin, 804 F.2d 1336, 1340 (5th Cir. 1986).

The testimony of IBM’s analyst was supported by the testimony of

Agent McCormick at the first sentencing. McCormick gave a detailed

account of how he determined the loss to be $2,475,919 and stated

that this represented a “conservative” estimate of the amount of

loss. At the second sentencing, it was disclosed that Burnham paid

IBM over $2.3 million to settle IBM’s claim, leaving Burnham as the

ultimate victim.

          The district court determined the amount of loss to the

victim to be $2,475,919.   Since the offense involved between $1.5

and $2.5 million, Pollani’s offense level was increased 14 points.

§ 2B1.1(b)(1)(o).   Given the testimony of Jacoby and McCormick as

to the amount IBM was at risk of losing, the district court’s

calculation was not clearly erroneous.

     3.   Obstruction of Justice Enhancement

          Section 3C1.1 authorizes a two level increase in offense

level for obstruction of justice “when a defendant engages in

conduct which ‘obstructed or impeded, or attempted to obstruct or

impede, the administration of justice during the investigation,

prosecution, or sentencing of the instant offense.’” United States


                                15
v. Graves, 5 F.3d 1546, 1555 (5th Cir. 1993) (quoting § 3C1.1).                A

district court’s finding that a defendant obstructed justice is not

clearly erroneous as long as it is plausible in light of the record

as a whole.      United States v. Powers, 168 F.3d 741, 752 (5th Cir.

1999).       “This is particularly true where a sentencing court’s

imposition of a § 3C1.1 enhancement is based, at least in part,

upon   an    evaluation   of   a   witness’   credibility.”       Id.    at   753

(citations omitted).

              Pollani asserts that the enhancement for obstructing

justice was clearly erroneous since he did not know about the phony

invoices that Epps said came from Pollani, and the invoices were

not found at Pollani’s residence or on his computer.                    But Epps

testified at trial that Pollani had given Epps the invoices after

becoming aware of the investigation.              According to Epps, Pollani

told him that the invoices were to show that computer parts had

been bought at an auction for cash.           The district court credited

Epps’s      testimony   over   Pollani’s    and   imposed   the   enhancement.

Pollani’s brief fails to cite facts or cases that would undermine

the district court’s ruling.

       4.     Disparity of Sentence Among Co-Defendants

              Pollani   also   challenges     the    disparity    between     his

sentence and Epps’s sentence, arguing that the district court

should have downwardly departed to avoid such an “unjustified”

disparity.      Pollani received 90 months imprisonment on 14 counts

(including money laundering that did not involve Epps) whereas Epps

received only 12 months on a single transportation of stolen goods


                                       16
count.     Disparity, however “is not proper basis for departure,

either upward or downward.”         United States v. Lawrence, 179 F.3d

343, 351 (5th Cir. 1999)(citation omitted); see also United States

v. Davidson, 984 F.2d 651, 656 (5th Cir. 1993).10 And, the district

court noted, the different sentences were appropriate since the two

were not charged with identical offenses and “Mr. Epps admitted his

guilt and offered substantial assistance to the Government [while]

Mr. Pollani continues to disclaim any wrongdoing, which he has a

right to do, but that continued insistence in the face of two

juries   convicting     him,   I   think,   places   him   in    a    little    bit

different situation from Mr. Epps.”         Thus, the court did not err in

declining to grant Pollani’s request for a downward departure.

            For the foregoing reasons, the court did not err or abuse

its discretion in the challenged evidentiary rulings, failure to

suppress    evidence,    or    sentencing   decision.      The       judgment   of

conviction and sentence are therefore AFFIRMED.

            AFFIRMED.




      10
            Pollani’s reliance on Meza v. United States, 127 F.3d 545 (7th Cir.
1997), is misplaced. In Meza, the court actually rejected the argument that an
unjustified disparity exists when a defendant receives a lower sentence for
entering into a plea agreement and providing substantial assistance to the
government. Id. at 549. Thus, Meza does not undermine current Fifth Circuit
precedent.

                                      17
