                                                           FILED
                                              United States Court of Appeals
                                                      Tenth Circuit

                                                     April 8, 2014
                                  PUBLISH         Elisabeth A. Shumaker
                                                      Clerk of Court
               UNITED STATES COURT OF APPEALS

                             TENTH CIRCUIT


UNITED STATES OF AMERICA,

          Plaintiff - Appellee,

v.
                                             No. 12-4003
ERIC KAMAHELE,

          Defendant - Appellant.



UNITED STATES OF AMERICA,

          Plaintiff - Appellee,

v.                                           No. 12-4005

DANIEL MAUMAU,

          Defendant - Appellant.




UNITED STATES OF AMERICA,

          Plaintiff - Appellee,
     v.                                      No. 12-4007

KEPA MAUMAU,

          Defendant - Appellant.
UNITED STATES OF AMERICA,

              Plaintiff - Appellee,
       v.                                                 No. 12-4015

SITAMIPA TOKI,

              Defendant - Appellant.


UNITED STATES OF AMERICA,

              Plaintiff-Appellee,

       v.                                                 No. 12-4039

MATAIKA TUAI,

              Defendant-Appellant.




                Appeals from the United States District Court
                           for the District of Utah
        (D.C. Nos. 2:08-CR-00758-TC-SA-1, 2:08-CR-00758-TC-SA-10
            2:08-CR-00758-TC-SA-11, 2:08-CR-00758-TC-SA-14
                        and 2:08-CR-00758-TC-SA-2)



Diana Hagen Assistant United States Attorney (David B. Barlow, United States
Attorney for the District of Utah, Salt Lake City, UT, on the brief) for Plaintiff-
Appellee United States of America.

Julie George, Salt Lake City, UT, on the brief for Defendant-Appellant Eric
Kamahele.




                                          2
G. Fred Metos, McCaughey & Metos, Salt Lake City, UT, for
Defendant-Appellant Daniel Maumau.

Gregory W. Stevens, Salt Lake City, UT, for Defendant-Appellant Kepa Maumau.

Richard P. Mauro, Salt Lake City, UT, for Defendant-Appellant Sitamipa Toki.

David V. Finlayson, Finlayson & Osburn, LLP, Salt Lake City, UT, for Defendant-
Appellant Mataika Tuai.



Before TYMKOVICH, HOLMES, and BACHARACH, Circuit Judges.



BACHARACH, Circuit Judge.



      Mr. Eric Kamahele, Mr. Daniel Maumau, Mr. Kepa Maumau, 1 Mr. Sitamipa

Toki, and Mr. Mataika Tuai appeal their convictions arising from armed robberies

and shootings in connection with the Tongan Crips Gang (“TCG”) in Glendale,

Utah. In a jury trial, Mr. Kamahele, Mr. Kepa Maumau, and Mr. Tuai were found

guilty of conspiring to commit a racketeering offense under the Racketeer

Influenced and Corrupt Organizations Act (“RICO”), 18 U.S.C. §§ 1961-1968

(2006). Mr. Eric Kamahele, Mr. Daniel Maumau, Mr. Kepa Maumau, and Mr.

Sitamipa Toki were found guilty of committing violent crimes in aid of

racketeering activity (“VICAR”), 18 U.S.C. § 1959(a) (2006). Mr. Kamahele, Mr.


1
      Mr. Daniel Maumau is Mr. Kepa Maumau’s older brother. To avoid
confusion, we will refer to each by their full name.

                                        3
Kepa Maumau, and Mr. Tuai were also found guilty of violating the Hobbs Act, 18

U.S.C. § 1951(a) (2006). And all were found guilty of violating 18 U.S.C. §

924(c) (2006), for using guns during their respective crimes.

      All of the defendants contend the district court erred by: (1) admitting

expert testimony by Mr. Break Merino about the TCG’s history, structure, and

activities, and (2) denying their motions for a judgment of acquittal under Federal

Rule of Criminal Procedure 29 based on the Government’s failure to prove various

elements of RICO and VICAR.

      Four defendants also raise individual claims:

      !      Mr. Daniel Maumau contends the district court erred in its instruction
             to the jury on VICAR, selecting the jury, and deciding the appropriate
             sentence.

      !      Mr. Tuai contends the district court erred in instructing the jury on
             RICO.

      !      Mr. Kepa Maumau argues the district court erred by admitting
             evidence of identification from a photo array that was unduly
             suggestive.

      !      Mr. Kamahele alleges prosecutorial misconduct.

      Rejecting all of the Defendants’ arguments, we affirm.

                             I.   Factual Background

      To address the Defendants’ appeal points, we must understand the TCG’s

structure and history, as well as the underlying crimes that were alleged.

      A.     Tongan Crips Gang’s Structure and History


                                          4
      The TCG is part of the Crips gang that began in California and made its way

to the Tongan community in Glendale, Utah. The Glendale chapter of TCG

organizes through “generations,” which are roughly equivalent to high-school age

groups. The gang is also loosely organized by “families,” which are signified by

monikers such as “Loc,” “Dog,” and “Down.”

      Gang members are initiated into TCG by being “jumped in” (when the

recruit fights gang members to prove his toughness) or “blessed in” (when the

recruit has already proven himself as tough, either by being related to a TCG

member or by his criminal reputation). Once initiated, gang members show their

association with TCG through certain insignia. For example, members wear blue

bandanas, solid-blue clothing, the number 104 (the last three digits of Glendale’s

zip code), and TCG tattoos (such as “Almighty T Gang”). Gang members also

make “T” and “C” hand signs.

      The gang adheres to principles such as the values of toughness and loyalty.

Gang members must maintain a tough reputation by fighting and committing

crimes (called “putting in work”). The gang values not only toughness, but also

loyalty. Thus, TCG disapproves of “snitching” (giving information to police or

rival gang members) and “hood jumping” (quitting TCG to become a member of

another gang).




                                         5
      When the Utah gang formed in the 1990s, TCG members stole beer and

fought. As time passed, TCG members continued to steal beer, but advanced to

more serious crimes such as armed robberies and assaults.




      B.     Specific Crimes

      At trial, the Government focused on a series of crimes: a shooting at the

Faamausili home, a parking-garage robbery, a robbery of a clothing store, two

restaurant robberies, and the robbery of a Wal-Mart.

             1.    Shooting at the Faamausili Home

      In 2007, Mr. Toki and Mele Faamausili were having intercourse in a car

when they were confronted by Mele’s family. Upset by this discovery, Mele’s

cousin (Magic) punched Mr. Toki in the face. Mr. Toki jumped out of the car to

fight Magic, but Mele’s family left before the altercation could escalate.

      Mr. Toki, still with Mele, rounded up two fellow TCG members (Mr. Daniel

Maumau and Mr. David Kamoto) to “apologize” to Mele’s family. Once they

arrived at the Faamausili home, the three men shot at the home and into a carport

where the Faamausili family was partying. During the shooting, Mr. Daniel

Maumau and Mr. Kamoto wore blue bandanas over their faces.

      Police later showed Mele a photo array of possible suspects, and she

identified the shooters as Mr. Daniel Maumau and Mr. Kamoto.

                                          6
             2.    Republic Parking Garage Robbery

      In 2008, Mr. Kamahele and two accomplices robbed a cashier in a Republic

Parking Garage ticket booth. The three men donned blue bandanas and pulled up

in a tan Cadillac Escalade as the cashier was counting money. The men showed

the cashier a sawed-off shotgun and demanded money, and the cashier turned over

his credit cards and a manila envelope containing coins.

      Approximately 30 minutes later, police discovered a Cadillac Escalade

matching the cashier’s description parked outside a home with Mr. Kamahele and

others nearby. After being driven to the home by police, the cashier identified Mr.

Kamahele as one of the robbers. Officers patted down Mr. Kamahele and

discovered a manila envelope with coins, similar to the envelope stolen from the

cashier. Police also found a sawed-off shotgun inside the Cadillac and the

cashier’s cards scattered nearby.

             3.    Gen X Clothing Store Robbery

      Later in 2008, Mr. Kepa Maumau and another gang member (Mr. Edward

Kamoto) robbed a Gen X clothing store in South Ogden, Utah. During the

robbery, which took approximately one minute, Mr. Kepa Maumau partially

covered his face with his shirt and carried a gun. Of the three store employees

who were present during the robbery, two later viewed a photo array and identified

Mr. Kepa Maumau as one of the robbers.




                                         7
             4.     El Pollo Loco and Jack in the Box Robberies

      After robbing the Gen X Clothing store, Mr. Kepa Maumau and Mr. Kamoto

went to Tempe, Arizona, and robbed an El Pollo Loco restaurant. Wielding a gun,

the two took money from the cash register.

      Mr. Kepa Maumau and Mr. Kamoto then robbed a Jack in the Box restaurant

down the street. While fleeing the robbery, they encountered a couple leaving a

nearby restaurant, who noticed that the robbers were wearing blue bandanas.

After being chased by police for two miles, Mr. Kepa Maumau crashed the car.

He and Mr. Kamoto tried to run, but were detained and arrested by police. After

the arrest, police learned that the car was registered to Mr. Kepa Maumau and

matched the witnesses’ description. Inside were papers bearing Mr. Kepa

Maumau’s name, a document titled “Exit Plan,” and a loaded gun. The “Exit

Plan” described Mr. Kepa Maumau’s involvement with TCG.

      After his arrest, Mr. Kamoto pled guilty to robbery charges in Arizona state

court and served eighteen months in an Arizona county jail. After his release, he

returned to Utah with an enhanced reputation among his fellow TCG members

because of his participation in these robberies.




                                          8
             5.     Wal-Mart Robbery

      In 2008, Mr. Latutaofieiki Fakaosiula, Mr. Kamahele, Mr. Tuai, Mr. Vainga

Kinikini, and Mr. Tevita Tolutau attempted to rob a Wal-Mart Super Store in

Riverton, Utah. At the time, Mr. Kinikini was a Wal-Mart employee. Using

information obtained as an employee, Mr. Kinikini orchestrated the robbery plan.

Essentially, the plan called for Mr. Kamahele and Mr. Tuai to arm themselves,

enter the office where the money was held, and steal the proceeds.

      The plan went badly. Mr. Kamahele and Mr. Tuai were able to enter the

Wal-Mart office, but could not go into the area where the money was kept. Mr.

Kamahele abandoned the plan, and the men fled.

      Shortly thereafter, Mr. Kinikini and Mr. Fakaosiula confessed. According

to Mr. Fakaosiula, Mr. Tuai and Mr. Kamahele discussed giving some of the

robbery proceeds either to family members of incarcerated TCG members or to

fund a drug-dealing operation. Mr. Kinikini denied such a plan, stating that the

robbers were going to split the proceeds among themselves.

      While in jail, Mr. Kamahele and Mr. Tuai attacked Mr. Fakaosiula and Mr.

Kinikini in retaliation for “snitching.”

      Approximately one month after the Wal-Mart robbery, Mr. Kamahele stated

in a recorded jailhouse telephone conversation that he did not intend to stop

“putting in work” and that he needed “at least three.”




                                           9
                          II.   Procedural Background

      The Defendants were charged under one or more of four statutes:

      !     18 U.S.C. § 1962(d) (2006), conspiracy to commit a racketeering
            offense,

      !     18 U.S.C. § 1959(a) (2006), violent crimes in aid of racketeering,

      !     18 U.S.C. § 1951(a) (2006), Hobbs Act Robbery, and

      !     18 U.S.C. § 924(c) (2006), using a gun during a crime of violence.

      Mr. Kamahele, Mr. Kepa Maumau, and Mr. Tuai were convicted on the

charges involving a RICO conspiracy. On these charges, the jury identified five of

the robberies as racketeering acts committed as part of this conspiracy: the

robberies of the Republic Parking Garage, the Gen X Clothing Store, the El Pollo

Loco, the Jack in the Box, and the Wal-Mart.

      Mr. Kepa Maumau was convicted on eight counts. For his part in the Gen X

robbery, Mr. Kepa Maumau was found guilty on one VICAR count, one Hobbs Act

count, and one § 924(c) count. For the El Pollo Loco and Jack in the Box

robberies, Mr. Kepa Maumau was found guilty of two more VICAR counts and

two more § 924(c) counts.

      Likewise, Mr. Tuai and Mr. Kamahele were found guilty on one Hobbs Act

count and one § 924(c) count arising from their participation in the Wal-Mart

robbery. Mr. Kamahele was also found guilty of additional VICAR and




                                        10
§ 924(c) counts arising from the Republic Parking Garage robbery. Finally, the

jury found Mr. Daniel Maumau and Mr. Toki guilty on one VICAR count and one

§ 924(c) count arising from their involvement in the shooting at the Faamausili

home.

               III.   Incorporation of Arguments by Codefendants

        Mr. Daniel Maumau and Mr. Kamahele attempted to broadly adopt their

codefendants’ arguments under Fed. R. App. P. 28(i). But they were too general

in what they wanted to adopt. For example, Mr. Daniel Maumau stated: “To the

extent that they are applicable to his case [he] joins and incorporates by reference

the arguments raised” in the appeals by Mr. Tuai, Mr. Kepa Maumau, Mr. Toki,

and Mr. Kamahele. Daniel Maumau’s Opening Br. at 54. And Mr. Kamahele

wrote that he was joining his codefendants’ arguments involving the jury

instructions, admissibility of expert testimony, and “application of the Enterprise

to the defendants.” Kamahele’s Opening Br. at 26.

        From these descriptions, the Court would have to: (1) guess which

arguments applied to Mr. Daniel Maumau, and (2) review all of the Defendants’

briefs to discern which parts were being adopted by Mr. Kamahele. We decline

“to sift through the briefing . . . and imagine which arguments might apply to” Mr.

Daniel Maumau and Mr. Kamahele. United States v. Renteria, 720 F.3d 1245,

1251 (10th Cir. 2013). As a result, we will not allow Mr. Daniel Maumau and Mr.

Kamahele to adopt (without specificity) their codefendants’ arguments.

                                         11
                     IV.   Issues Relating to All Defendants

      Two of the appellate issues relate to all of the defendants: (1) introduction

of opinion testimony by the Government’s gang expert, and (2) denial of the

motions for a judgment of acquittal. On these issues, we reject the Defendants’

arguments.

      A.     Officer Merino’s Expert Testimony

      At trial, the Government called Officer Break Merino to testify as an expert

on the Tongan Crips Gang. 2 This testimony covered:

      !      TCG’s history and structure,

      !      TCG’s insignia, such as tattoos, hand signs, and clothing,

      !      Tongan culture, and

      !      TCG’s criminal activities, including shootings, stabbings, thefts, and
             car jackings.

Officer Merino also testified that each defendant was a member of TCG.

      Before and during the trial, the Defendants raised three objections to Officer

Merino’s testimony: (1) The testimony was not needed for the jury to understand

TCG; (2) Officer Merino’s methodology was unreliable; and (3) introduction of

the testimony violated the Confrontation Clause because the officer simply

repeated inadmissible hearsay. The district court overruled these objections. On


2
       He also testified as a fact witness regarding an interview conducted with
Daniel Maumau. See Tuai R. vol. 3, pt. 17, at 3242-60. But this appeal involves
the officer’s expert testimony rather than his fact testimony.

                                        12
appeal, the Defendants assert the same three errors regarding Officer Merino’s

testimony.

      Reviewing for an abuse of discretion, 3 we reject the Defendants’ first two

arguments. We reject the first because the district court could reasonably

conclude that an average juror would not know how TCG operated. We reject the

second because the district court could reasonably conclude that Officer Merino

relied on multiple sources and filtered the information through his expertise.

      Engaging in de novo review, 4 we reject the third contention because Officer

Merino did not simply repeat information obtained from outside sources.

      Accordingly, we affirm the district court’s admission of Officer Merino’s

expert testimony.

             1.     Officer Merino’s Testimony Was Helpful to the Jury

      Mr. Kepa Maumau argues that Officer Merino’s testimony “went far beyond

interpreting gang signs, discussing clothing, or explaining organizational


3
       We review the district court’s admission of Officer Merino’s testimony for
an abuse of discretion. See United States v. Garcia, 635 F.3d 472, 476 (10th Cir.
2011). In this situation, we reverse only if: (1) the district court’s ruling is
“‘arbitrary, capricious, whimsical or manifestly unreasonable,’” or (2) the district
court “‘made a clear error of judgment or exceeded the bounds of permissible
choice in the circumstances.’” United States v. Avitia-Guillen, 680 F.3d 1253,
1256 (10th Cir. 2012) (quoting Dodge v. Cotter Corp., 328 F.3d 1212, 1223 (10th
Cir. 2003)).
4
      See United States v. Townley, 472 F.3d 1267, 1271 (10th Cir. 2007) (noting
that we review de novo the district court’s treatment of the claim involving the
Confrontation Clause).

                                         13
hierarchy” and “essentially summarize[d] the factual investigation of TCG.” Kepa

Maumau’s Opening Br. at 33-34. 5 According to Mr. Kepa Maumau and three

other defendants, this “summary” cannot constitute proper expert testimony under

Federal Rule of Evidence 702 because jurors do not need an expert’s opinion to

understand evidence about TCG. But we have recognized that expert testimony

regarding gang activity is appropriate under Rule 702; thus, we reject the

Defendants’ argument.

      Rule 702 states:

             If scientific, technical, or other specialized knowledge will
      assist the trier of fact to understand the evidence or to determine a
      fact in issue, a witness qualified as an expert by knowledge, skill,
      experience, training, or education, may testify thereto in the form of
      an opinion or otherwise, if (1) the testimony is based upon sufficient
      facts or data, (2) the testimony is the product of reliable principles
      and methods, and (3) the witness has applied the principles and
      methods reliably to the facts of the case.

Fed. R. Evid. 702 (2011). 6

      This rule applies to experts beyond those in the field of science. And we

have long recognized that police officers can testify as experts based on their

experience “[b]ecause the average juror is often innocent of the ways of the

criminal underworld.” United States v. Garcia, 635 F.3d 472, 477 (10th Cir.


5
      Mr. Daniel Maumau also argued that the district court abused its discretion
in admitting Officer Merino’s testimony, which Mr. Toki and Mr. Tuai join.
6
        We use the 2011 version here because that is the version that applied in the
trial, which took place in September 2011.

                                         14
2011); see also United States v. Roach, 582 F.3d 1192, 1206 (10th Cir. 2009)

(“We have allowed police to testify as experts under Rule 702 on many

occasions.”). Thus, we have upheld officer–expert testimony regarding use of a

strawman to buy guns, 7 means and methods of drug dealing, 8 and participation in

gang activity. 9

       Under these decisions, the district court had the discretion to regard Officer

Merino’s testimony as helpful to the jury. For example, the district court could

have believed the jury would benefit from Officer Merino’s expertise about TCG’s

structure, insignia, and history. And the district court could have assumed that a

typical juror would lack knowledge of the gang terminology and the significance


7
       See United States v. Garcia, 635 F.3d 472, 477 (10th Cir. 2011) (noting
that the “average juror is as likely to be unaware of the dynamics of the illicit
arms trade as of the trade in narcotics”).
8
       See United States v. Garza, 566 F.3d 1194, 1199 (10th Cir. 2009)
(discussing the use of guns in the drug trade); see also United States v. Quintana,
70 F.3d 1167, 1170-71 (10th Cir. 1995) (explaining terminology used by drug
traffickers); United States v. Sturmoski, 971 F.2d 452, 459 (10th Cir. 1992)
(explaining methamphetamine labs and the use of guns in these labs); United
States v. McDonald, 933 F.2d 1519, 1520-23 (10th Cir. 1991) (explaining the
significance of certain quantities and packaging of cocaine, as well as the
exchange of drugs for food coupons); United States v. Harris, 903 F.2d 770,
775-76 (10th Cir. 1990) (discussing characteristics of documents used in drug
enterprises).
9
      See United States v. Archuleta, 737 F.3d 1287, 1296 (10th Cir. 2013)
(“[W]e have affirmed district courts’ admission of gang-expert testimony as
helpful to a jury when a defendant is a gang member.”); United States v.
Hartsfield, 976 F.2d 1349, 1352-53 (10th Cir. 1992) (upholding the government’s
use of an officer–expert’s testimony regarding the Black Mafia Crip Dawgs’s
objective of distributing cocaine and crack cocaine).

                                         15
of TCG insignia. Accordingly, the district court had the discretion to regard

Officer Merino’s testimony as helpful to the jury. 10

             2.     Officer Merino’s Methods Were Sufficiently Reliable

      The Defendants also argue that Officer Merino’s testimony was not reliable

under Rule 702. 11 E.g., Toki’s Opening Br. at 40-41; Daniel Maumau’s Opening

Br. at 42-45. We disagree, for Officer Merino relied on multiple sources and

verified his information whenever possible.

      Officer Merino based his expert testimony on years of experience, adding

that he filtered information from numerous sources based on his experience in the

Glendale school system and as a law enforcement officer. Tuai R. vol. 3, pt. 20, at

3844-45. The district court did not clearly err in finding that Officer Merino had

based his conclusions on his “expertise, derived over many years and from

multiple sources.” Id. vol. 1, pt. 3, at 685.




10
      We recently rejected a similar argument in United States v. Archuleta, 737
F.3d 1287 (10th Cir. 2013). There we held that an officer–expert’s testimony
regarding the Sureños Tortilla Flats gang did not violate Rule 702 because the
expert’s testimony assisted the jury. We reasoned that the expert’s testimony
provided context to the jury. Id. at 1296-97.
11
       Stray comments in the Defendants’ briefs also appear to question Officer
Merino’s qualifications. E.g., Daniel Maumau’s Opening Br. at 42 (noting that
“[t]here was nothing to indicate that Officer Merino had taken any courses or
received any training beyond a high school education and military and police
officer training”). But the Defendants do not appear to challenge the district
court’s ruling that Officer Merino could offer expert opinion testimony.

                                          16
                    a.    United States v. Mejia

      The Defendants rely heavily on a case in the Second Circuit Court of

Appeals, United States v. Mejia, 545 F.3d 179 (2d Cir. 2008). There the

officer–expert identified various crimes committed by MS-13 gang members. The

Second Circuit Court of Appeals concluded that the officer–expert’s testimony

“impermissibl[y] substitut[ed]” factual evidence by “simply disgorg[ing] [his]

factual knowledge to the jury” to “satisfy the elements of the charged offense.”

United States v. Mejia, 545 F.3d 179, 191 (2d Cir. 2008).

      Officer Merino’s testimony differs from the officer’s testimony in Mejia.

Unlike the Mejia expert, Officer Merino based his testimony on his accumulation

of information from multiple sources, which he then filtered and analyzed based

on his TCG expertise. See id. at 197 (noting that testimony “synthesi[zing] . . .

various source materials” constituted proper expert testimony); United States v.

Johnson, 587 F.3d 625, 636 (4th Cir. 2009) (distinguishing Mejia because the

expert witnesses in Johnson were applying their expertise rather than simply

passing “along an important testimonial fact . . . learned from a particular

interview”). And in testifying about this analysis, Officer Merino described this

progression in criminality not in terms of specific crimes (as in Mejia), but in

generalities to explain the context in which TCG operated.




                                          17
      The Defendants’ reading of Mejia is overly broad. And even if this reading

of Mejia were correct, we would be required to apply our own precedents, which

have upheld expert testimony similar to Officer Merino’s.

                    b.    Need for a Scientific Methodology

      The Defendants argue that Officer Merino’s testimony violated Rule 702

because it was not based on scientific methodology. But we have elsewhere

rejected similar arguments. See, e.g., United States v. Garza, 566 F.3d 1194, 1199

(10th Cir. 2009) (rejecting the defendant’s argument that the officer–expert’s

testimony was unreliable because “no conceivable ‘science’ could illuminate” the

subject matter of the expert’s testimony and “recognizing that police officers can

acquire specialized knowledge of criminal practices and thus the expertise to

opine on such matters as the use of firearms in the drug trade”).

      The district court allowed Officer Merino’s testimony after finding that it

helped the jury by providing insights into the distinctive traits of TCG, a topic

beyond the knowledge of most jurors. This ruling fell within the district court’s

discretion; accordingly, we reject the Defendants’ arguments based on Rule 702.




                                          18
             3.    The Introduction of Officer Merino’s Expert Testimony Did
                   Not Violate the Confrontation Clause

      Defendants Kepa Maumau, Daniel Maumau, and Sitamipa Toki 12 also

invoke the Confrontation Clause, arguing that Officer Merino based his testimony

on interviews with cooperating witnesses and other gang members. We disagree.

Introduction of expert testimony violates the Confrontation Clause only when the

expert is simply parroting a testimonial fact. That did not occur here.

      Under the Sixth Amendment’s Confrontation Clause, a criminal defendant

enjoys “the right . . . to be confronted with the witnesses against him.” U.S.

Const. art. VI. This right has been refined in Supreme Court precedent. For

example, in Crawford v. Washington, the Supreme Court held that the

Confrontation Clause bars the “admission of testimonial statements of a witness

who did not appear at trial unless he was unavailable to testify, and the defendant

had had a prior opportunity for cross-examination.” 541 U.S. 36, 53-54 (2004).

“Testimonial statements” include statements taken by police officers in the course

of interrogations or given by a confidential informant. See United States v.

Lopez-Medina, 596 F.3d 716, 730 (10th Cir. 2010).

      Introduction of a testimonial statement is unconstitutional only when it is

offered to prove the truth of the matter asserted. Crawford, 541 U.S. at 59 n.9.



12
     Mr. Tuai joins in his codefendants’ Confrontation Clause argument. Tuai’s
Opening Br. at 47.

                                         19
We have stated that a “prime example of where an out-of-court statement might be

admitted for a purpose other than to establish its substantive truth . . . is when an

expert witness testifies regarding the out-of-court development of facts or data on

which the expert’s opinions were based.” United States v. Pablo, 696 F.3d 1280,

1287-88 (10th Cir. 2012).

      Introduction of opinion testimony does not violate the Confrontation Clause

when the experts rely on their independent judgment—even when this independent

judgment is based on inadmissible evidence. United States v. Johnson, 587 F.3d

625, 634-35 (4th Cir. 2009). But if the expert is simply “parrot[ing] ‘out-of-court

testimonial statements of cooperating witnesses and confidential informants

directly to the jury in the guise of expert opinion,’” the testimony would be

inadmissible. Id. at 635 (quoting United States v. Lombardozzi, 491 F.3d 61, 72

(2d Cir. 2007)). The distinction between the two “is a question of degree.” Pablo,

696 F.3d at 1288. Accordingly, we must determine whether Officer Merino was:

(1) basing his opinion on his independent judgment, or (2) simply “parroting”

testimonial hearsay.

      Mr. Daniel Maumau, Mr. Kepa Maumau, and Mr. Toki generally describe

Officer Merino’s testimony, but they do not identify the parts that involved the

recitation of testimonial hearsay. See Daniel Maumau’s Opening Br. at 49-50

(stating, without any supporting citation, that “Merino simply parroted

information” received from others); Kepa Maumau’s Opening Br. at 37 (claiming,

                                           20
without any supporting citation, that “the District Court allowed Officer Merino

merely to parrot the statements of his[] alleged sources, with no opportunity for

cross-examination, rather than conveying independent judgment”); Toki’s

Opening Br. at 39-40 (citing passages in Officer Merino’s testimony as

inflammatory, but failing to identify the parts that violated the Confrontation

Clause).

      Without such guidance, we are hard-pressed to find testimony by Officer

Merino that simply parroted a testimonial fact learned from a particular interview.

Like the district court, we conclude that Officer Merino applied his expertise,

formed by years of experience and multiple sources, to provide an independently

formed opinion.

             4.    The Defendants’ Statements Implicating Rule 403

      Finally, in their opening briefs, the Defendants say that Officer Merino’s

testimony was “prejudicial.” E.g., Toki’s Opening Br. at 41-42 (noting that

Officer Merino’s testimony was found to be unduly prejudicial in an appeal of Mr.

Toki’s Utah state conviction arising from the same conduct). These references

implicate Federal Rule of Evidence 403, which allows the district court to exclude

evidence if its probative value is substantially outweighed by the danger of unfair

prejudice.

      Though the Defendants suggest prejudice, they have not briefed the issue in

a meaningful way. For example, Mr. Toki mentions a state court decision (where

                                         21
much of Officer Merino’s testimony was considered inadmissible) and referred

once to Rule 403. Toki’s Opening Br. at 41-42 & n.22. But Rule 403 is never

discussed in the brief. Similarly, Mr. Tuai refers to Rule 403 in a heading and

introduction, but fails to discuss the rule. Tuai’s Opening Br. at 47. Because the

Defendants did not sufficiently brief an appellate argument under Rule 403, we

decline to address the Defendants’ characterization of the expert testimony as

“prejudicial.” See United States v. Banks, 451 F.3d 721, 728 (10th Cir. 2006).

      B.     Sufficiency of the Evidence

      Following the close of the evidence, each defendant moved for a judgment

of acquittal under Federal Rule of Criminal Procedure 29, arguing that the

evidence was insufficient to go to the jury. The district court denied each motion.

On appeal, the Defendants renew their challenges to the sufficiency of the

evidence. These challenges are rejected.

      All defendants contend that the Government failed to show that TCG could

constitute a RICO enterprise. We disagree, concluding that the jury could

reasonably find an enterprise based on TCG’s purpose, the relationships among

the members, and the longevity of TCG.

      On the RICO conspiracy count, Mr. Kamahele, Mr. Kepa Maumau, and Mr.

Tuai contend that the evidence failed to establish a nexus between the enterprise

and racketeering activity. We disagree. The testimony allowed a reasonable jury




                                           22
to find that TCG required members to commit crimes, and this requirement could

have constituted the required nexus.

       Mr. Tuai argues that the evidence did not show that he had agreed to the

commission of two or more predicate acts under RICO. But another TCG member

testified that Mr. Tuai wanted to “earn stripes” for the gang. From this testimony,

the jury could infer that Mr. Tuai joined TCG with knowledge that the gang would

commit multiple racketeering acts. Accordingly, Mr. Tuai’s argument fails.

       On the VICAR counts, Mr. Daniel Maumau, Mr. Kepa Maumau, and Mr.

Toki challenge the strength of the evidence that they had committed the violent

crimes (the Faamausili home shooting and the robberies of Gen X, El Pollo Loco,

and Jack in the Box) to maintain or advance positions within TCG. We disagree.

       For the shooting at the Faamausili home, the jury could have inferred this

motivation from evidence involving: (1) the manner in which the Defendants

committed the offense, (2) their donning of TCG insignia when committing the

crimes, and (3) TCG’s general purpose of instilling fear in the community. This

evidence was sufficient for the jury to find that Mr. Daniel Maumau and Mr. Toki

had acted with the purpose of maintaining or advancing their positions within

TCG.

       For the robberies of Gen X, El Pollo Loco, and Jack in the Box, the jury

could infer the required purpose from testimony by Mr. Kepa Maumau’s

accomplice in these robberies, the “Exit Plan” document (written by Mr. Kepa

                                         23
Maumau and found in his car), and testimony that the two robbers were wearing

blue bandanas.

      Finally, Mr. Tuai argues that the evidence was insufficient for a finding that

he had carried a real gun when robbing Wal-Mart. We reject this argument based

on surveillance video, the discovery of a matching gun, and testimony by a victim

and an accomplice.

             1.      Standard of Review

      We engage in de novo review of the sufficiency of the evidence to support

the conviction. See United States v. Irvin, 682 F.3d 1254, 1266 (10th Cir. 2012).

In conducting this review, we treat the evidence in the light most favorable to the

Government and ask whether a rational fact-finder could have concluded beyond a

reasonable doubt that the defendant was guilty. See id. In addressing this

question, we do not weigh conflicting evidence or consider the credibility of

witnesses. See United States v. Delgado-Uribe, 363 F.3d 1077, 1081 (10th Cir.

2004). Instead, we “simply determine ‘whether [the] evidence, if believed, would

establish each element of the crime.’” Id. (quoting United States v. Vallo, 238

F.3d 1242, 1247 (10th Cir. 2001)). Reversal is warranted only when no rational

trier of fact could have found the essential elements of the crime were proven

beyond a reasonable doubt. Irvin, 682 F.3d at 1266.




                                          24
              2.     Sufficiency of the Evidence on the RICO Conspiracy
                     Convictions

       Mr. Kamahele, Mr. Kepa Maumau, and Mr. Tuai were found guilty on

Count 1, conspiracy to commit a racketeering offense in violation of RICO, 18

U.S.C. §§ 1961-1968 (2006). This law criminalizes conspiracy to violate any of

the three substantive RICO provisions. 18 U.S.C. § 1962(d) (2006).

       Count 1 alleged conspiracy to violate 18 U.S.C. § 1962(c), which makes it

“unlawful for any person employed by or associated with any enterprise engaged

in . . . interstate . . . commerce, to conduct or participate, directly or indirectly, in

the conduct of such enterprise’s affairs through a pattern of racketeering activity

or collection of unlawful debt.” 18 U.S.C. § 1962(c) (2006). A “pattern of

racketeering activity” consists of two or more acts of racketeering activity

(commonly referred to as “predicate acts”), which are related and “‘amount to, or

. . . otherwise constitute a threat of, continuing racketeering activity.’” Hall v.

Witteman, 584 F.3d 859, 867 (10th Cir. 2009) (quoting H.J., Inc. v. Nw. Bell Tel.

Co., 492 U.S. 229, 240 (1989)).

       For the predicate acts, the Government alleged violations of the Utah and

Arizona robbery statutes. See 18 U.S.C. § 1961(1)(A) (2006) (defining

“racketeering activity” as robbery that is “chargeable under State law and

punishable by imprisonment for more than one year”); Utah Code § 76-6-301(1)(a)




                                            25
to -(b) (2004) (defining robbery); Ariz. Rev. Stat. § 13-1902(A) (2001) (defining

robbery).

      The parties agree that the Government had to prove that:

      !      the defendant knew about the commission of two or more acts that
             constituted a pattern of racketeering activity, and

      !      the defendant participated in an enterprise affecting interstate or
             foreign commerce. 13

      In light of this evidentiary burden, the Defendants make three arguments.

      First, Mr. Kamahele, Mr. Kepa Maumau, and Mr. Tuai challenge the

sufficiency of the evidence that TCG was an “enterprise.”

      Second, they question the proof of a nexus between the enterprise and

racketeering activity.

      Finally, Mr. Tuai contends that the evidence did not show that he had agreed

to the commission of two or more predicate acts.




13
      These elements were identified in United States v. Smith, 413 F.3d 1253,
1266 (10th Cir. 2005), overruled on other grounds by United States v.
Hutchinson, 573 F.3d 1011, 1021 (10th Cir. 2009). After Smith, we held that in a
prosecution under § 1962(d), the Government need not prove the existence of an
enterprise. United States v. Harris, 695 F.3d 1125, 1132-33 (10th Cir. 2012).
Nonetheless, the district court instructed the jury that the § 1962(d) charge
required the existence of an enterprise, and the Government did not object. Thus,
the Government concedes that it had to prove the existence of an enterprise. See
United States v. Romero, 136 F.3d 1268, 1273 (10th Cir. 1998).

                                         26
                    a.    Enterprise

      Viewing the record in the light most favorable to the Government, we

conclude that the evidence sufficed for the jury to find the existence of an

enterprise.

                          (i)    The Requirements of an “Enterprise”

      The term “enterprise” “includes any individual, partnership, corporation,

association, or other legal entity, and any union or group of individuals associated

in fact although not a legal entity.” 18 U.S.C. § 1961(4) (2006). An

association-in-fact requires: (1) a purpose, (2) relationships among those

associated with the enterprise, and (3) longevity sufficient to permit those

associated with the enterprise to pursue the enterprise’s purpose. See Boyle v.

United States, 556 U.S. 938, 946 (2009).

      An enterprise may exist even without a formal hierarchy, chain of

command, fixed roles, a name, established rules, initiation ceremonies, or regular

meetings. Id. at 948. To qualify as an enterprise under RICO, the association

need only be a “continuing unit that functions with a common purpose.” Id.; see

United States v. Turkette, 452 U.S. 576, 583 (1981) (concluding that an

association-in-fact enterprise constitutes a “group of persons associated together

for a common purpose of engaging in a course of conduct”).




                                           27
                          (ii)   Purpose

      The evidence would have allowed a rational jury to conclude that Mr.

Kamahele, Mr. Kepa Maumau, and Mr. Tuai were members of the gang and acted

to promote its criminal purposes through the robberies of the Wal-Mart, El Pollo

Loco, Jack in the Box, Republic Parking, and Gen X Clothing Store.

      The Defendants argue that while TCG was “a street gang drawn together by

connections to their native Tonga and their geographic neighborhood,” the

evidence was not sufficient to establish that TCG members associated together

with a common purpose of committing RICO predicates. See, e.g., Kamahele’s

Opening Br. at 17.

      For this argument, Mr. Kamahele downplays the criminality of the gang by

pointing to its beer thefts, which he characterizes as innocuous youthful

indiscretions rather than the sort of criminality associated with a criminal

enterprise. But the jury was entitled to view the gang in a different way. For

example, the jury could reasonably view the Wal-Mart robbery as a complex

undertaking. The five robbers met to discuss the layout of the store, the location

of security cameras, the amount of money that was accessible ($100,000), the

manner in which the employees would bring the money into the cash room, and the

details of the cash room. The plan was sufficiently complicated to require three

separate meetings. In these meetings, the robbers arranged for a lookout (who

would call Mr. Kamahele and Mr. Tuai when the Wal-Mart employees headed to

                                           28
the cash room), a getaway driver (who would wait outside for Mr. Kamahele and

Mr. Tuai), and a Wal-Mart insider (who would enter the Wal-Mart store after the

robbery to gain intelligence on the police investigation). With evidence of this

planning, the jury could reasonably reject Mr. Kamahele’s view that the gang

involved only adolescent mischief.

      Mr. Kamahele and Mr. Kepa Maumau argue that TCG does not qualify as an

enterprise because members were “drawn together by connections to their native

Tonga and their geographic neighborhood,” Glendale, rather than racketeering

purposes. Kamahele’s Opening Br. at 17. For this argument, the Defendants point

to cases in which the gangs committed drug trafficking, drug dealing, and running

prostitution rings. See United States v. Harris, 695 F.3d 1125, 1136 (10th Cir.

2012) (holding that Crips gang sets constituted an association-in-fact enterprise

when they “jointly operated the houses from which various set members sold

drugs”); United States v. Smith, 413 F.3d 1253, 1264, 1268 (10th Cir. 2005)

(concluding that a gang constituted an enterprise for RICO purposes when the

group used drug-distribution proceeds to support the families of fellow gang

members), overruled on other grounds by United States v. Hutchinson, 573 F.3d

1011, 1021 (10th Cir. 2009); United States v. Killip, 819 F.2d 1542, 1545-46,

1549-50 (10th Cir. 1987) (concluding that a chapter of the Outlaws Motorcycle

Club constituted a RICO enterprise when the chapter operated a drug-distribution

scheme).

                                         29
      The gang here was different because it did not involve drugs or prostitution.

But the jury could find that TCG was a continuing unit that functioned for a

common purpose: enhancing the gang’s reputation by instilling fear through

criminal activity and profiting from that activity (either in the form of proceeds or

goods from robberies). See Smith, 413 F.3d at 1271 (concluding that the purpose

element could consist of maintenance of the group’s fearsome reputation through

acts of violence).

      The Defendants argue that because gang members did not pool their money

or jointly share in the profits of drug dealing, TCG could not qualify as a RICO

enterprise. But economic gain is not required for the existence of an enterprise.

See Nat’l Org. for Women, Inc. v. Scheidler, 510 U.S. 249, 261-62 (1994) (holding

that “RICO contains no economic motive requirement”).

      Though the Defendants focus on their Tongan roots, the Government’s

evidence focused on the criminal purposes of the group that transcended the larger

Tongan community. Through this evidence, the Government presented sufficient

evidence for the jury to infer an enterprise.

                           (iii)   Relationships Among Members

      The jury could also have inferred relationships among the TCG members.

To infer these relationships, jurors could have relied on testimony that TCG

members had met and shared TCG insignia, such as tattoos. Similarly, the “Exit

Plan” described the gang’s shared hostility toward anyone wearing red in the

                                          30
neighborhood (the color associated with a rival gang), stating that TCG gang

members “learned to hate anybody that [the] gang didn’t get along with[,] . . . a

tradition passed down from generation to generation.” Kepa Maumau R. vol. 2, pt.

1, at 138-39. The evidence also suggested that gang members committed crimes

together and looked out for fellow members. This unity was sufficient on the

relationship prong. See United States v. Harris, 695 F.3d 1125, 1136 (10th Cir.

2012) (concluding that the “relationship” prong was satisfied when Crips members

met, socialized at the “Crip club,” and “shar[ed] colors and handshakes”).

                            (iv)   Longevity of the Enterprise

       The evidence was also sufficient to establish that TCG had the longevity for

an association-in-fact enterprise. For example, the evidence indicated that TCG

had begun in the 1990s and spanned multiple “generations” of TCG members. See

Tuai R. vol. 3, pt. 10, at 1807-08; see also Harris, 695 F.3d at 1136 (concluding

that the third prong was satisfied when the evidence supported a “pattern of

activity . . . over a period of years”).

                            (v)    Summary

       Viewing the evidence in the light most favorable to the Government, a

reasonable jury could conclude that TCG had a common purpose, relationships,

and longevity, as required for an associate-in-fact enterprise.




                                           31
                   b.     Nexus Between the Enterprise and Racketeering Activity

      The Defendants also argue that the Government failed to present sufficient

evidence tying TCG to the robberies of Gen X, El Pollo Loco, Jack in the Box, and

Wal-Mart. E.g., Kepa Maumau’s Opening Br. at 46. We disagree, for a

reasonable jury could connect these robberies and TCG from testimony that: (1)

TCG members had to commit crimes to maintain their status in the gang, and (2)

the robbers intended to share the Wal-Mart money with other TCG members.

      Conduct “‘forms a pattern if it embraces criminal acts that have the same or

similar purposes, results, participants, victims, or methods of commission, or

otherwise are interrelated by distinguishing characteristics and are not isolated

events.’” See Sedima, S.P.R.L. v. Imrex Co., 473 U.S. 479, 496 n.14 (1985)

(quoting 18 U.S.C. § 3575(e)).

      The jury could infer a connection between the robberies and the enterprise

(TCG). For example, the jury could have relied on testimony by Mr. Kamoto and

a recorded statement of Mr. Kamahele. Mr. Kamoto accompanied Mr. Kepa

Maumau on three of the robberies. At trial, he stated that TCG members

committed robberies to maintain their criminal reputation. And, when Mr.

Kamahele was asked whether he would stop committing robbery, he said in a

jailhouse conversation that he needed to put in “at least three.” From this

statement, a jury could reasonably conclude the Defendants had committed the

robberies to “earn stripes” and “put in work,” a requirement of TCG membership.

                                         32
      Mr. Tuai focuses on the Wal-Mart robbery. But this robbery, like the

others, involved two characteristics identified with TCG.

      First, while discussing his participation in the Wal-Mart robbery, Mr.

Latutaofieiki Fakaosiula testified that he and the other robbers had planned to give

part of the stolen money to the families of incarcerated TCG members and

possibly to rent a house to distribute marijuana. Tuai R. vol. 3, pt. 6, at 1059,

1084-85. Mr. Kamahele argues that Mr. Fakaosiula’s testimony was inconsistent

with other statements that Mr. Fakaosiula had given to police. And Mr. Vainga

Kinikini testified that no such statements were made by or in front of him

regarding the Wal-Mart robbery proceeds. Tuai R. vol. 3, pt. 7, at 1276-77. But

we cannot weigh the evidence and must view the testimony in the light most

favorable to the Government. See United States v. Irvin, 682 F.3d 1254, 1266

(10th Cir. 2012).

      Second, Mr. Fakaosiula testified that Mr. Kinikini, Mr. Tuai, and Mr.

Kamahele were members of TCG and that Mr. Tuai wanted to commit the Wal-

Mart robbery to get “stripes” and “make his name known.” Tuai R. vol. 3, pt. 6, at

1083, 1161.

      From Mr. Fakaosiula’s testimony, the jury could tie Mr. Tuai’s participation

in the Wal-Mart robbery to his membership in TCG.




                                          33
                    c.    Mr. Tuai’s Agreement Involving the Commission of Two
                          Predicate Acts

      Finally, Mr. Tuai argues that the evidence was insufficient to establish an

agreement for a coconspirator to commit at least two predicate acts, as required to

convict him of RICO conspiracy under § 1962(d). For this argument, Mr. Tuai

stresses that the jury found him guilty of only one predicate act: the Wal-Mart

robbery. We reject Mr. Tuai’s argument because the jury could reasonably find

that Mr. Tuai had agreed to other predicate acts by himself or by fellow TCG

members.

      As previously discussed, the Government does not need to prove that each

defendant personally committed two predicate acts to prove a RICO conspiracy.

See Salinas v. United States, 522 U.S. 52, 63 (1997) (“There is no requirement of

some overt act or specific act in the [RICO conspiracy] statute . . . .”). And the

jury could have inferred that Mr. Tuai agreed to other predicate acts by fellow

gang members. In drawing this inference, a juror could point to Mr. Fakaosiula’s

testimony when he said that Mr. Tuai had wanted to commit the Wal-Mart robbery

to get “stripes” and “mak[e] his name known.” Tuai R. vol. 3, pt. 6, at 1083,

1161. From this testimony, the jury could have inferred that Mr. Tuai had agreed

to commit at least one other racketeering act.

      This inference would have been permissible even in the absence of an

express agreement for other gang members to commit two specific predicate acts.


                                          34
Even without this level of specificity, the Government can prove an agreement

“through ‘inferences from the conduct of the alleged participants or from

circumstantial evidence of a scheme,’ amounting to evidence that each defendant

necessarily must have known that the others were also conspiring to participate in

the same enterprise through a pattern of racketeering.” United States v. Browne,

505 F.3d 1229, 1264 (11th Cir. 2007) (citation omitted) (quoting United States v.

Silvestri, 409 F.3d 1311, 1328 (11th Cir. 2005)).

      The Government presented evidence that Mr. Tuai was a member of TCG

and understood the gang’s expectations that members commit crimes. There was

also evidence that supported an inference that his membership in TCG predated

the commission of the other predicate acts the jury found on Count 1. From this

evidence, a reasonable jury could have concluded that Mr. Tuai, by joining TCG

and participating in its affairs, agreed to the commission of two or more predicate

acts. See Smith, 413 F.3d at 1272.

      Mr. Tuai could have been guilty even if the jury had inferred an agreement

for others to commit more crimes. As previously noted, the Government’s

evidence indicated that gang members had to earn “stripes,” which involved

crimes. And in a jailhouse call, Mr. Kamahele stated he had to get at least three

stripes. A jury could reasonably infer that Mr. Tuai recognized a need for the

gang to commit at least one more crime besides the Wal-Mart robbery. Thus, the

evidence sufficed on Mr. Tuai’s conviction for RICO conspiracy.

                                         35
             3.     Sufficiency of the Evidence on the VICAR Convictions

      Mr. Daniel Maumau, Mr. Kepa Maumau, and Mr. Sitamipa Toki argue that

the evidence was insufficient under VICAR, 18 U.S.C. § 1959(a) (2006), which

prohibited violent crimes in aid of racketeering activity. The Defendants assert

two grounds for their argument: (1) TCG does not constitute an enterprise; and (2)

the Government did not establish that the three defendants had committed the

underlying crimes to maintain or advance their positions within TCG. As

discussed above, the evidence was sufficient to infer the existence of an

enterprise. We also conclude that the jury reasonably could have connected the

crimes to the enterprise (TCG). This connection could have arisen from: (1) the

manner in which the crimes were committed, including the TCG insignia worn

during the shooting and the robberies, and (2) the expectations for TCG members

to commit crimes.

      To establish a VICAR conviction, the Government had to prove that: (1)

TCG was an enterprise within the meaning of RICO, (2) TCG engaged in

racketeering activity, (3) the defendant was a member of TCG, (4) the defendant

committed the predicate violent crime, and (5) “his general purpose in doing so

was to maintain or increase his position in [TCG].” United States v. Smith, 413

F.3d 1253, 1277 (10th Cir. 2005), overruled on other grounds by United States v.

Hutchinson, 573 F.3d 1011, 1021 (10th Cir. 2009).




                                         36
      Mr. Daniel Maumau, Mr. Kepa Maumau, and Mr. Sitamipa Toki challenge

the first and fifth elements, arguing that the Government failed to prove that TCG

was an enterprise and that the Defendants had intended to maintain or enhance

their positions within the gang. We reject these challenges.

                   a.     The Existence of an “Enterprise”

      We have elsewhere concluded that the Government presented sufficient

evidence for the jury to regard TCG as an “enterprise” under RICO. The same

reasoning would have allowed the jury to find an “enterprise” under VICAR. 14

                   b.     Connection Between the Violent Crimes and the
                          Enterprise (TCG)

      Accordingly, we address the Defendants’ contention that the Government

failed to prove the fifth VICAR element: that they committed the underlying

violent predicate to maintain or advance their positions within TCG.




14
       A VICAR “enterprise” includes “any partnership, corporation, association,
or other legal entity, and any union or group of individuals associated in fact
although not a legal entity, which is engaged in, or the activities of which affect,
interstate or foreign commerce.” 18 U.S.C. § 1959(b)(2) (2006). As previously
discussed, RICO similarly defines “enterprise” as “includ[ing] any individual,
partnership, corporation, association, or other legal entity, and any union or group
of individuals associated in fact although not a legal entity.” 18 U.S.C. § 1961(4)
(2006). Perhaps because of the similarity in the definitions, the parties do not
suggest any differences in the assessment of an “enterprise” under VICAR and
RICO. See United States v. Phillips, 239 F.3d 829, 843 (7th Cir. 2001) (“[C]ases
decided under [RICO] may also be used to determine what constitutes an
enterprise under [VICAR].”).

                                         37
                          (i)    Faamausili-Home Shooting

      Mr. Daniel Maumau and Mr. Toki challenge the sufficiency of the evidence

arising from the shooting into the Faamausili home. In challenging the sufficiency

of the evidence, they argue that the Government failed to prove that they had acted

with the purpose of maintaining or increasing their positions within the enterprise.

According to the Defendants, the shooting was personal.

      We conclude that three factors support the jury’s conclusion that the

shooting was to further or maintain the Defendants’ positions in TCG: (1) Mr.

Toki enlisted two of his fellow gang members to retaliate; (2) during the

commission of the shooting, Mr. Daniel Maumau and Mr. Kamoto donned blue

bandanas, which were insignia of TCG; and (3) the shooting was in broad

daylight, suggesting that the shooters wanted the family and others to know that

TCG was responsible. From these factors, the jury could have inferred an intent to

commit violent crimes to maintain or further TCG’s reputation in the community

as a fearsome gang and to maintain or enhance their own positions within TCG.

      The Government does not need to prove that the defendant’s “sole or

principal motive” was to maintain or increase his position in the enterprise.

United States v. Smith, 413 F.3d 1253, 1277 (10th Cir. 2005), overruled on other

grounds by United States v. Hutchinson, 573 F.3d 1011, 1021 (10th Cir. 2009).

Rather, the Government need only establish that the predicate violent crime was

committed as an “integral aspect of membership” in the enterprise (TCG). Id.; see

                                         38
United States v. Concepcion, 983 F.2d 369, 381 (2d Cir. 1992) (noting that one

could be guilty under § 1959 if the violent crime was “an integral aspect of

membership” even if it was not the “sole or principal motive”).

       Mr. Daniel Maumau and Mr. Toki focus on the personal nature of the

dispute. In their eyes, Mr. Toki wanted to retaliate for being interrupted during

sex and punched in the face. Because the shooting was based on personal motives,

they continue, the evidence was insufficient to tie the shooting to their status in

TCG.

       For this argument, Mr. Daniel Maumau and Mr. Toki cite cases holding that

the fifth element was satisfied when the predicate assault was directed at a rival

gang or at someone who had threatened the activities of the gang. E.g., Daniel

Maumau’s Opening Br. at 19-23. The two defendants argue that these cases are

distinguishable because they involved the functioning of the gang, unlike the

personal affront to Mr. Toki. Id. at 24-27.

       In the view of Mr. Daniel Maumau and Mr. Toki, the Government’s

evidence resembles that in United States v. Thai, 29 F.3d 785 (2d Cir. 1994), and

United States v. Jones, 291 F. Supp. 2d 78 (D. Conn. 2003), two of the cases

invoked by Mr. Daniel Maumau. E.g., Daniel Maumau’s Opening Br. at 21-23.

       In Thai, the defendant, a gang leader, was offered $10,000 to bomb a

building; in attempting to execute his plan, the gang leader employed fellow gang

members. See Thai, 29 F.3d at 818. The Government argued that the fifth element

                                          39
was satisfied because the gang’s purpose was to make money through crime. The

Second Circuit Court of Appeals disagreed, reasoning that the evidence did not

connect the bombing to the gang. Id. Because any such connection was based on

“pure speculation,” the court reversed the § 1959 conviction. Id.

      The facts in United States v. Jones, 291 F. Supp. 2d 78 (D. Conn. 2003),

were similar. There the defendant, another gang leader, confronted an

acquaintance who had allegedly disrespected the defendant’s girlfriend; the

defendant retaliated by killing the acquaintance with the help of two friends. The

Government argued that without retaliation, the insult would have diminished the

defendant’s reputation in the gang. But the district court concluded that the

evidence did not “support an inference that any act of disrespect directed at Jones

personally was also an affront or threat to the [gang’s] and Jones’s leadership

position.” Jones, 291 F. Supp. 2d at 88, 92.

      Our facts bear some similarity to the facts in Thai and Jones. For example,

the jury could infer that Mr. Toki went to the Faamausili home for personal

reasons rather than to advance the standing of his gang. But the jury could also

have inferred an effort to promote the gang and Mr. Toki’s status within the gang.

      In inferring an intent to promote the gang, the jury could have focused on

three aspects of Mr. Toki’s retaliation. First, Mr. Toki retaliated by recruiting two

other TCG members, Mr. Kamoto and Mr. Daniel Maumau. Second, when the

three men fired, two of them donned blue bandanas, the signature clothing of

                                          40
TCG. Third, the shooting took place in broad daylight. Without any evidence of

concealment, the jury could infer that Mr. Toki intended to instill fear in the

community, one of TCG’s purposes.

        The jury could have found not only an intent to promote the reputation of

TCG, but also an intent to enhance Mr. Toki’s standing with the gang. See United

States v. Dhinsa, 243 F.3d 635, 671 (2d Cir. 2001) (concluding that “section 1959

encompasses violent crimes intended to preserve the defendant’s position in the

enterprise or to enhance his reputation and wealth within that enterprise”). For

example, the jury could have inferred that Mr. Toki’s reputation for toughness

would have diminished by a failure to retaliate after being punched in the face.

        Viewing the evidence in the light most favorable to the Government, a jury

could reasonably conclude that Mr. Daniel Maumau and Mr. Kamoto responded to

an assault on Mr. Toki, one of their fellow gang members, to maintain their

reputations and TCG’s. Though the motive may have been partly personal, the

jury could also have found that Mr. Toki acted with the “integral or essential”

purpose of promoting the gang and maintaining or advancing his position in the

gang.

                           (ii)   The Robberies of Gen X, El Pollo Loco,
                                  and Jack in the Box

        Mr. Kepa Maumau challenges the sufficiency of the evidence supporting his

VICAR conviction relating to the 2008 robberies of the Gen X Clothing store, the


                                          41
El Pollo Loco, and the Jack in the Box. He argues that the Government failed to

provide sufficient evidence that he had committed these robberies for the purpose

of maintaining or increasing his position in TCG. We disagree. The evidence

allowed the jury to infer the required connection to TCG from: (1) an

accomplice’s testimony that TCG members were expected to commit crime and

that the robberies served to enhance his reputation and Mr. Kepa Maumau’s, (2)

the “Exit Plan” document, which was written by Mr. Kepa Maumau and found in

his car, describing his involvement with TCG and his desire to enhance his

criminal reputation by committing crimes, and (3) testimony that the two robbers

wore blue bandanas (TCG insignia) when stealing from the Jack in the Box.

      According to Mr. Kepa Maumau, “there was no evidence presented here that

these robberies had any connection to TCG other than the fact that Mr. [Kepa]

Maumau and Mr. Kamoto were allegedly members.” Kepa Maumau’s Opening Br.

at 49. But Mr. Kepa Maumau’s accomplice (Mr. Kamoto) testified that he and Mr.

Kepa Maumau were TCG members, that TCG members were expected to commit

crimes, and that criminal activity served to advance their reputations in the gang.

Mr. Kamoto also testified that the crimes had raised his status in the gang and that

he had received greater attention from fellow gang members upon his release from

prison. This testimony supports the inference that the gang not only knew about

the robberies, but also encouraged members to engage in this type of criminal

behavior.

                                         42
      The Government also presented a document titled the “Exit Plan,” which

was discovered in Mr. Kepa Maumau’s car after the Arizona robberies. In this

document, Mr. Kepa Maumau described his involvement in TCG and confirmed

that he had committed crimes to advance his reputation in the gang.

      Finally, a witness to the Jack in the Box robbery testified that the two

robbers were wearing blue bandanas, the signature clothing of TCG.

      When viewed in the light most favorable to the Government, this evidence

sufficed for a jury to conclude that Mr. Kepa Maumau had committed the

robberies to maintain or further his position in TCG.

             4.    Sufficiency of the Gun Evidence under 18 U.S.C. § 924(c)

      Finally, Mr. Tuai argues that the evidence was insufficient for a jury to find

that he brandished a gun during the Wal-Mart robbery. The deficiency, according

to Mr. Tuai, is the absence of any evidence that the gun was real. We disagree. A

jury could infer that the gun was real based on testimony by Mr. Tuai’s

accomplice in the Wal-Mart robbery and a victim in the robbery, surveillance

video of the robbery, and the discovery of a matching gun used by Mr. Kamahele

during another robbery.

      The Government must prove that the defendant used a real gun when

committing the predicate offense. See United States v. De León-Quiñones, 588

F.3d 748, 751 (1st Cir. 2009) (“A conviction under 18 U.S.C. § 924(c) requires

proof that the defendant used a real firearm when committing the predicate

                                         43
offense.”); 18 U.S.C. § 921(a)(3)(A) (2006) (defining the term “firearm”). But the

Government need not produce the actual gun that was used. See United States v.

Floyd, 81 F.3d 1517, 1526 (10th Cir. 1996) (rejecting a challenge to the

sufficiency of the evidence under § 924(c) based on a failure to present the actual

gun in evidence). Rather, “[c]redible witness testimony is sufficient to establish

that a defendant possessed a firearm during the commission of a crime.” Id.

      Sufficient evidence existed for the jury to infer that the gun used in the Wal-

Mart robbery was real. For example, Mr. Latutaofieiki Fakaosiula, who acted as

the lookout during the robbery, testified that: (1) the plan had called for Mr.

Kamahele to carry a gun, and (2) Mr. Kamahele had carried a sawed-off shotgun

on the night of the robbery.

      Wal-Mart employee Bethany Powell confirmed Mr. Fakaosiula’s testimony.

Ms. Powell testified that when Mr. Kamahele had approached her outside the cash

office, he lifted his shirt and showed her a gun that looked like a sawed-off

shotgun. She added that she had felt the gun being pushed against her back during

the robbery.

      The jury not only heard this testimony, but also saw the surveillance videos

showing one of the robbers carrying a long gun.

      Finally, the jury heard evidence that Mr. Kamahele had used a sawed-off

shotgun (the same type of weapon) when he robbed the Republic Parking Garage




                                          44
earlier that year, as well as evidence that the police discovered two shotguns—one

of which was sawed-off—outside the house where Mr. Kamahele was arrested.

      From this evidence, the jury could reasonably infer that Mr. Kamahele had

used a real shotgun during the Wal-Mart robbery. See United States v. Bowers,

638 F.3d 616, 619 (8th Cir. 2011) (concluding that “[t]he possibility that a gun is

fake does not prevent a reasonable jury from determining the gun was real”); see

also United States v. Kirvan, 997 F.2d 963, 966-67 (1st Cir. 1993) (upholding a

conviction under § 924(c) based on two lay witnesses’ testimony); Parker v.

United States, 801 F.2d 1382, 1383-85 (D.C. Cir. 1986) (upholding a conviction

under § 924(c) when the gun was never recovered and the only evidence offered

by the government was the testimony of two bank employees that the defendant

had carried a gun and that he had threatened to “‘[b]low [their] . . . head[s] off’”).

Accordingly, we reject Mr. Tuai’s argument.

                 V.   Individual Issues Raised by the Defendants

      Having addressed the two issues affecting all the defendants, we turn to the

issues raised by the individual defendants. These issues involve arguments that

the jury instructions were erroneous, the prosecutor committed misconduct, a

photo array was too suggestive, the court violated federal law in excusing

venirepersons, and the court erred in imposing the sentence.




                                           45
      A.     Jury Instructions

      Mr. Daniel Maumau challenges the VICAR jury instructions relating to the

Faamausili-home shooting, 15 urging a failure to require a link to the Defendant’s

membership in TCG. These challenges fail because: (1) the instructions required

proof that TCG membership had provided an “integral or essential purpose” for

the home shooting, and (2) the Government had to prove only that the defendant

committed the crime in furtherance of his TCG membership.

      Mr. Tuai questions the instruction on the RICO conspiracy count, arguing

that it did not require an agreement for the commission of two predicate acts. We

reject the argument because it isolates certain language without consideration of

the instruction as a whole.

             1.    The Scope of Our Review

      We engage in de novo review of the jury instructions as a whole,

determining whether “they accurately state the governing law and provide the jury

with an accurate understanding of the relevant legal standards and factual issues.”

United States v. Crockett, 435 F.3d 1305, 1314 (10th Cir. 2006). Reversal is

warranted only if: (1) the Court has “‘substantial doubt whether the instructions,

considered as a whole, properly guided the jury in its deliberations,’” and (2) the

“‘deficient jury instruction is prejudicial.’” United States v. Hutchinson, 573 F.3d


15
     Mr. Toki joins in Mr. Daniel Maumau’s jury-instruction argument. Toki’s
Opening Br. at 1.

                                         46
1011, 1019 (10th Cir. 2009) (quoting Williams v. W.D. Sports, N.M., Inc., 497

F.3d 1079, 1093 (10th Cir. 2007)).

             2.     VICAR Instruction

      In Instruction No. 40, the district court stated that on the VICAR charge

against Mr. Daniel Maumau, the Government had to prove:

             First, that on or about the time period described in this
             Second Superseding Indictment, TCG was a criminal
             enterprise;

             Second, that the enterprise engaged in racketeering
             activity;

             Third, that the particular Defendant assaulted with a
             dangerous weapon an individual, as described in the
             particular Count, as [the district court had] just defined
             those terms for [the jury], or aided and abetted in the
             assault with a dangerous weapon;

             Fourth, that the particular Defendant’s purpose in
             assaulting the individual with a dangerous weapon, or
             aiding and abetting in the act, was to maintain or to
             increase his position in the enterprise. The particular
             Defendant’s purpose to maintain or increase his position
             in the enterprise need not [have been] the only purpose
             for committing the act, but the government [had to]
             prove beyond a reasonable doubt that the purpose was
             an integral, or essential, purpose.

Instruction No. 40, Daniel Maumau R. vol. 1, pt. 2, at 274 (emphasis added).

       Mr. Daniel Maumau asserts two errors with the fourth part of this

instruction: (1) The jury could find guilt even if the shooting did not relate to the

Defendant’s membership in TCG; and (2) the reference to an “integral or essential


                                          47
purpose” did “not connect the essential or important purpose in committing the

[Faamausili-home shooting] to membership in TCG.” Daniel Maumau’s Opening

Br. at 30-31.

                    a.     Alternative Methods of Establishing Motive

      Mr. Daniel Maumau’s first challenge is based on his reading of United

States v. Smith, 413 F.3d 1253 (10th Cir. 2005), overruled on other grounds by

United States v. Hutchinson, 573 F.3d 1011, 1021 (10th Cir. 2009). In Smith, we

concluded that the Government need only prove that the “crime was ‘committed as

an integral aspect of membership’” in the enterprise to establish this element of a

§ 1959(a) offense, not that the defendant’s “sole or principal motive for conspiring

to murder . . . was to maintain or increase his position in [the enterprise] in order

for it to convict Mr. Smith under § 1959(a).” 413 F.3d at 1277-78 (quoting United

States v. Thai, 29 F.3d 785, 817 (2d Cir. 1994)). We added that “‘the motive

requirement is satisfied if the jury could properly infer that the defendant

committed his violent crime because he knew it was expected of him by reason of

his membership in the enterprise or that he committed it in furtherance of that

membership.’” Id. at 1278 (emphasis added; quoting United States v. Dhinsa, 243

F.3d 635, 671 (2d Cir. 2001)).

      Mr. Daniel Maumau’s argument is based on reading the “or” in this sentence

in the conjunctive. Under his reading, the prosecution would have to establish two

purposes: (1) that the defendant committed the violent crime because he knew it

                                           48
was expected of him due to his membership, and (2) that the defendant committed

the violent crime to further his membership.

      Instead, we read Smith’s language in the disjunctive. After all, in Smith, we

used the word “or” rather than “and.” 16 Thus, we conclude that the district court

did not have to require the jury to find that Mr. Daniel Maumau had fired the gun

because he knew it was expected of him as a TCG member and that he had fired

the gun in furtherance of that membership. Under Smith, either one would have

sufficed.

      We also reject Mr. Daniel Maumau’s argument regarding the failure to

include the second, alternative method of finding the required motive. This

alternative would have made it easier to convict Mr. Daniel Maumau on this count;

thus, even if the omission involved error, the error worked to the Defendant’s

benefit.

                   b.     Any Essential or Important Purpose

      Mr. Daniel Maumau also argues that the district court’s instruction could be

read to mean that “this element is established if [he] had any essential or important


16
       In his opening brief, Mr. Daniel Maumau seems to agree. While arguing
that there was insufficient evidence to convict under VICAR, Mr. Daniel Maumau
stated that the fifth element of VICAR required only that “the defendant knew it
was expected of him due to his membership in the enterprise or that it was
committed in furtherance of that membership.” See Daniel Maumau’s Opening
Br. at 19 (emphasis added) (discussing the holding in Smith). Mr. Daniel
Maumau’s counsel also stated in oral argument that these two methods of
establishing the motive requirement were “alternatives.”

                                         49
purpose in committing the act.” Daniel Maumau’s Opening Br. at 31 (emphasis

added). We disagree. The instruction stated that “[t]he particular Defendant’s

purpose to maintain or increase his position in the enterprise need not be the only

purpose for committing the act, but the government must prove beyond a

reasonable doubt that the purpose was an integral, or essential, purpose.” Daniel

Maumau R. vol. 1, pt. 2, at 274 (emphases added).

      “The purpose” in the second clause of this sentence refers to the purpose in

the first clause, which was limited to maintaining or increasing a position in the

enterprise. And, the first sentence in this part of the instruction made clear that

the purpose was connected to TCG by requiring proof that the defendant’s purpose

“in assaulting the individual with a dangerous weapon, or aiding and abetting in

the act, was to maintain or to increase his position in the enterprise.” Id.

(emphasis added). Accordingly, we reject Mr. Daniel Maumau’s argument that the

instruction allowed the jury to find guilt if he had any purpose, even a lawful one.

             3.      RICO Instruction

      Mr. Tuai also challenges the district court’s instruction on the RICO charge

in Count 1, conspiracy to participate in a racketeering enterprise in violation of 18

U.S.C. § 1962(d) (2006). According to Mr. Tuai, the district court erred by failing

to instruct the jury that it had to find that he had agreed that either he or another

member of the enterprise, TCG, would commit at least two predicate racketeering

acts. We disagree.

                                           50
      The district court twice instructed that a conviction required the defendant

to agree to participate in the affairs of the enterprise through a pattern of

racketeering activity, which it defined (by incorporating the Second Superseding

Indictment) as an agreement that a conspirator would commit at least two acts of

racketeering in conducting the affairs of the enterprise. With this definition, the

district court adequately informed the jury that it could find guilt only if it

concluded that Mr. Tuai had known about and agreed to the commission of at least

two racketeering acts. Thus, the district court did not broaden the scope of RICO

conspiracy by requiring only that Mr. Tuai associate “in some manner” with TCG.

      On Count 1, the district court instructed the jury:

             The fourth element the government must prove beyond a
      reasonable doubt is that the particular Defendant knowingly and
      willfully became a member of the conspiracy. This means that in
      order to meet its burden of proof, the government must show that the
      particular Defendant agreed to participate, directly or indirectly, in
      the affairs of the enterprise through a pattern of racketeering activity
      as described in the Second Superseding Indictment.

             The focus of this element is on the particular Defendant’s
      agreement to participate in the objective of the enterprise to engage in
      a pattern of racketeering activity, and not on the particular
      Defendant’s agreement to commit the individual acts. The
      government must prove that the particular Defendant participated in
      some manner in the overall objective of the conspiracy, and that the
      conspiracy involved, or would have involved, the commission of two
      racketeering acts. The government is not required to prove either
      that the particular Defendant agreed to commit two racketeering acts
      or that he actually committed two such acts, although you may
      conclude that he agreed to participate in the conduct of the enterprise
      from proof that he agreed to commit or actually committed such acts.


                                           51
             For the purposes of this count, the Second Superseding
      Indictment alleges that nine racketeering acts were or were intended
      to be committed as part of the conspiracy. I will discuss those
      racketeering acts with you in greater detail in a moment. Again, the
      government must prove that two of these acts were, or were intended
      to be, committed as part of the conspiracy, although it need not prove
      that the particular Defendant committed or agreed to commit any of
      these acts as long as the government proves that the particular
      Defendant participated in some manner in the overall objective of the
      conspiracy.

Instruction No. 33, Tuai R. vol. 1, pt. 4, at 739 (emphasis added).

      Mr. Tuai argues that the district court erred in giving this instruction

because it did not require proof of an agreement that two or more predicate acts

would be committed by a member of the conspiracy. For support, Mr. Tuai relies

on United States v. Smith, where we held:

      [I]n order to convict a defendant for violating § 1962(d), the
      Government [had to] prove beyond a reasonable doubt that the
      defendant: (1) by knowing about and agreeing to facilitate the
      commission of two or more acts (2) constituting a pattern (3) of
      racketeering activity (4) participate[d] in (5) an enterprise (6) the
      activities of which affect[ed] interstate or foreign commerce.

United States v. Smith, 413 F.3d 1253, 1266 (10th Cir. 2005) (emphasis added),

overruled on other grounds by United States v. Hutchinson, 573 F.3d 1011, 1021

(10th Cir. 2009).

      Mr. Tuai argues that the instruction does not require proof that the

defendant joined the conspiracy with knowledge that it would involve two or more




                                          52
racketeering acts. 17 According to Mr. Tuai, the district court broadened the scope

of a RICO conspiracy by requiring only that he associate “in some manner” with

TCG. Tuai’s Opening Br. at 46. We reject this contention because the

requirement is fairly included in the instructions when read as a whole.

      When considered as a whole, the instructions informed the jury that

§ 1962(d) required proof that Mr. Tuai had known about and agreed to the

commission of two or more racketeering acts. It is true that the instructions

included broader language that the defendant had to “participate[] in some manner

in the overall objective of the conspiracy.” But in two places, the instructions also

required knowledge of and an agreement with the purpose of the conspiracy,

which was to commit two or more racketeering acts.




17
       At oral argument, counsel discussed whether the district court erred by
failing to include the “agreed to and facilitate” language in Smith. But Mr. Tuai
did not challenge the instructions based on the omission of this language. As a
result, we decline to address the need to include the “agreed to and facilitate”
language from Smith.

       If we were to address the issue, we would need to address the different
terminology in Smith, for the opinion refers to the requirement (in different
places) in both the conjunctive and disjunctive. In one part, for example, we
stated that the conspiracy element is satisfied only if a defendant “knew about and
agreed to facilitate the commission of . . . at least two of the predicate acts
constituting a pattern of racketeering activity.” Smith, 413 F.3d at 1272
(emphasis added). Elsewhere, we stated that a defendant can be convicted if he
“knew about or agreed to facilitate” the acts. Id. at 1265 (emphasis added). But,
we need not decide whether the “facilitation” prong is conjunctive or disjunctive
because Mr. Tuai did not address the issue in his brief.

                                         53
      The instructions stated that to find guilt, the jury had to conclude that the

defendant “agreed to participate, directly or indirectly, in the affairs of the

enterprise through a pattern of racketeering activity as described in the Second

Superseding Indictment.” Instruction No. 33, Tuai R. vol. 1, pt. 4, at 739

(emphasis added). And the Second Superseding Indictment expressly stated that

“each defendant agreed that a conspirator would commit at least two acts of

racketeering in the conduct of the affairs of the enterprise.” Id. at 739, 773

(emphasis added); see United States v. Davis, 55 F.3d 517, 520 (10th Cir. 1995)

(stating that incorporation of the indictment within the instruction clarified that

the violation of § 924(c) had to be based on a separate underlying offense).

      Mr. Tuai focuses on part of Instruction No. 33 without consideration of the

language as a whole. In this instruction, the district court referred to the

allegation of nine racketeering acts, reminding the jury: “Again, the government

must prove that two of these [racketeering] acts were, or were intended to be,

committed as part of the conspiracy.” Instruction No. 33, Tuai R. vol. 1, pt. 4, at

739. Then, the district court clarified that the defendant could be guilty even if the

racketeering acts were to be committed by someone else. Id. In making that

clarification, the district court added that if the crimes were to be committed by

someone else, the defendant would be guilty only if the government proved that

the defendant “participated in some manner in the overall conspiracy.” Id.




                                           54
      Mr. Tuai points out that when the district court added this clarification, it

did not say that the Government had to prove an agreement to commit two or more

racketeering acts. But, the district court had just said it—in the same sentence—in

no uncertain terms. See id. (“Again, the government must prove that two of these

[racketeering] acts were, or were intended to be, committed as part of the

conspiracy.”).

      Accordingly, we conclude that the instructions (when read as a whole)

adequately informed the jury that it could find guilt only if the defendant joined

the conspiracy agreeing that two or more racketeering acts would be committed.

      B.     Prosecutorial Misconduct

      Mr. Kamahele argues that the trial was unfair because: (1) the prosecutor

improperly asked a probation officer about the contents of a backpack found

during a search of his home, and (2) the prosecutor improperly questioned a

witness, Mr. Epeti Naa, who refused to answer questions and invoked his Fifth

Amendment right not to incriminate himself. According to Mr. Kamahele, the

misconduct should have led the district court to grant his motion for a mistrial.

      We reject both arguments because: (1) the record does not suggest bad faith

when the prosecutor asked the agent to describe the contents of the backpack, and

(2) the record supports the district court’s conclusion that the prosecutor was

unaware that the witness would refuse to answer all questions and invoke the Fifth

Amendment.

                                          55
             1.     Statements Regarding the Contents of the Backpack

      In the midst of the trial, Mr. Kamahele’s counsel raised a concern with an

exhibit, which was listed as “gang poetry” on the Government’s exhibit list. The

disputed exhibit was a document that a probation officer had found in a backpack

in Mr. Kamahele’s room. Defense counsel asked the district court to bar

description of the document as “gang poetry,” and the district court prohibited

reference to “gang poetry” without establishing a foundation that the witness

could identify the contents as “gang poetry.” Kamahele R. vol. 3, pt. 4, at 862.

      Later that day, the prosecutor called Mr. Kamahele’s probation agent to

testify. The prosecutor asked the agent if she had found anything when she

searched Mr. Kamahele’s room. The following exchange took place:

      A.     I found his backpack.

      Q.     Well, let me ask you this. You found a backpack in his room?

      A.     Yes.

      Q.     Did you open the backpack and search the contents?

      A.     Yes, I did.

      Q.     And what, if anything, did you locate in the backpack?

      A.     I found a total of five items, a Huntington Beach handgun,
             pellet gun, three nine millimeter bullets, one .22 caliber bullet,
             a letter with a TC -- TCG gang information on it, and a blue
             bandan[]a.

Id. at 1031-32.


                                          56
      Counsel for Mr. Kamahele objected, noting that “the Court had already

addressed [the gang-poetry] issue, characterization, of what’s in there.” Id. at

1032. The parties and the district court then held a sidebar conference; afterward,

the district court gave the following curative instruction: “Members of the jury,

there may have been a mistake about what the witness saw, okay? . . . . But

disregard any of that evidence, okay? That is not credible evidence for you to

consider.” Id. The district court then dismissed the jury for the day.

      Outside the jury’s presence, Mr. Kamahele’s counsel moved for a mistrial.

Defense counsel argued that: (1) the prosecution had not disclosed an intent to

present evidence of what was in the backpack, and (2) the prosecutor had “g[iven]

her word” that the bandana, guns and ammunition, and “gang poetry” would not be

presented at trial. Id. at 1033-34.

      The prosecutor stated she had intended to offer the “gang poetry” document

and the blue bandana, but conceded that she had agreed the air gun and

ammunition would not be introduced. 18 The prosecutor added that she could not

recall whether she had told the witness not to mention the pellet gun and

ammunition, which were unrelated to the Wal-Mart robbery; but the prosecutor did




18
      The “gang poetry” referred to the number “104,” which the prosecution had
hoped to offer as evidence of gang activity by connecting the number to Glendale
and the TCG.

                                         57
remember telling the witness that these items were not relevant and would not be

introduced.

       Ultimately, the district court adopted defense counsel’s suggested curative

measure of striking all of the probation officer’s testimony about the backpack’s

contents. Accordingly, the district court gave a curative instruction the following

day:

              One of the things I think I was not clear about, and I apologize,
       was at the end of yesterday I told you to disregard the testimony of
       our last witness, Special Agent -- or just Agent Cassity, about a
       backpack that she said was Eric Kamahele’s. Let me tell you why I
       told you to disregard it. It’s plain and simple. She was wrong. And
       you will probably note that throughout any proceedings people make
       mistakes.

              Now this isn’t the kind of mistake where one side said it was
       right and one side said it was wrong, but the kind of mistake where
       everybody agrees she was wrong. She was wrong. That’s not Mr.
       Kamahele’s backpack. So you disregard it. It’s not relevant.

Kamahele R. vol. 3, pt. 5, at 1059. Mr. Kamahele’s counsel did not object to this

instruction.

       We review the district court’s denial of the motion for a mistrial based on an

abuse of discretion. See United States v. Gabaldon, 91 F.3d 91, 93-94 (10th Cir.

1996) (differentiating between instances when no motion for a mistrial is filed,

which is reviewed de novo because “the district court has not exercised its

discretion”). A district court has discretion to grant a mistrial only when a




                                          58
defendant’s right to a fair trial has been violated. See United States v. Meridyth,

364 F.3d 1181, 1183 (10th Cir. 2004).

      A trial may become unfair when a prosecutor commits misconduct.

Generally, we undertake a two-part inquiry to review prosecutorial misconduct.

The threshold question is whether the conduct was improper. If it was, we

determine whether the improper conduct requires reversal. See United States v.

Kravchuk, 335 F.3d 1147, 1153 (10th Cir. 2003).

      We consider three factors when the alleged misconduct implicates a

prosecutor’s solicitation of an improper answer from a testifying witness: (1)

“whether the prosecutor acted in bad faith, (2) whether the district court limited

the effect of the improper [answer] through its instructions to the jury, and (3)

whether the improper [answer] was inconsequential in light of the other evidence

of the defendant’s guilt.” Meridyth, 364 F.3d at 1183.

      Mr. Kamahele does not suggest bad faith when the prosecutor asked the

agent to describe the contents of the backpack. The mistake appears to be

innocent, for the prosecutor informed the district court that she had previously

instructed the witness not to discuss the guns and ammunition. It is true that the

prosecutor could not remember whether she had told the witness not to discuss the

contents of the backpack, but we have no basis to infer bad faith.

      The curative instructions served to mitigate any possible prejudice. The

district court told the jury that the agent was wrong when she stated that the

                                          59
contents of the backpack were Mr. Kamahele’s. Indeed, the district court went a

step further by stating that the opposite was true: that the backpack did not

belong to Mr. Kamahele. This curative instruction served to lessen the impact of

the stricken testimony.

         Finally, the agent’s statement about the contents appears inconsequential in

light of other evidence involving Mr. Kamahele’s gang involvement and use of

guns. One admitted participant in the Wal-Mart robbery, Mr. Fakaosiula, testified

that Mr. Kamahele was the man who had carried the sawed-off shotgun during the

Wal-Mart robbery. With that testimony, we are hard-pressed to question the

fairness of the trial based on the agent’s stricken testimony.

         The three factors weigh against reversal, and we conclude that the district

court acted within its discretion by denying the motion for a mistrial.

               2.     Mr. Epeti Naa’s Invocation of the Fifth Amendment

         Mr. Kamahele also contends that the Government called a witness, Mr.

Epeti Naa, knowing that he would refuse to testify. To Mr. Kamahele, this action

constituted prosecutorial misconduct impeding his right to a fair trial. We

disagree. The district court found that the prosecutor had not known that Mr. Naa

would refuse to answer all questions, and this finding did not constitute plain

error.

         The Government called Mr. Epeti Naa as a witness to testify regarding the

eleventh and twelfth counts of the Second Superseding Indictment. When the

                                           60
prosecutor asked Mr. Naa whether he lived in Utah, he refused to answer. When

asked if he had heard the question, Mr. Naa replied that he had, but that he

“actually didn’t want to have anything to say.” Tuai R. vol. 3, pt. 16, at 3182-83. 19

At that point, the district court excused the jury.

      When questioned by the district court, the prosecutor admitted that he had

known that Mr. Naa was “unhappy about being here” and “not [in] a comfortable

situation,” but had not known that Mr. Naa would refuse to answer a single

question. Id. at 3183. The district court accepted this explanation and found that

the prosecutor had not committed misconduct.

      Because Mr. Kamahele did not contemporaneously object or move for a

mistrial, we confine our review to the plain-error standard. See United States v.

Taylor, 514 F.3d 1092, 1095 (10th Cir. 2008) (“[I]n cases of prosecutorial

misconduct in which the defendant makes no objection, our precedent limits us to

plain error review.”). Under this standard, the defendant must show that the

district court erred, that the error was plain, that the error affected his substantial

rights, and that the error “seriously affect[ed] the fairness, integrity, or public

reputation of judicial proceedings.” Id. at 1100. Mr. Kamahele has not shown

plain error.




19
      This portion of the trial transcript was not included in Mr. Kamahele’s
record on appeal.

                                           61
      A prosecutor cannot call witnesses solely for them to invoke the Fifth

Amendment privilege against self-incrimination. United States v. Torrez-Ortega,

184 F.3d 1128, 1137 (10th Cir. 1999). But the prosecutor denied knowing that Mr.

Naa would invoke his Fifth Amendment privilege, and the district court accepted

this statement as truthful.

      Even if the finding constituted an obvious error, however, reversal would be

unwarranted because Mr. Kamahele has not shown any effect on his substantial

rights. See United States v. Gonzalez Edeza, 359 F.3d 1246, 1250 (10th Cir. 2004)

(noting that plain error is established only “[i]f all four prongs are satisfied”). Mr.

Kamahele’s substantial rights were not involved. The trial involved eight

defendants, and the jury had no reason to suspect that Mr. Naa would testify about

Mr. Kamahele. Accordingly, Mr. Kamahele provides no basis for us to find plain

error from Mr. Naa’s invocation of the Fifth Amendment.

      C.     Suggestiveness of a Photo Array

      The police used a photo array to identify the Gen X robbers. Two of the

victims identified a robber from the photographs, and the individual identified was

Mr. Kepa Maumau. He argued that the array was unduly suggestive and that the

district court should exclude the employees’ identifications. The district court

concluded that the photo array was not unduly suggestive, and we agree. Even if

it were, however, reversal would not be warranted in light of the reliability of the

witnesses’ identifications.

                                           62
               1.    Standard of Review

         When reviewing the admission of a photo array used to identify a defendant,

we apply the clear-error standard to factual findings and engage in de novo review

of due-process issues. United States v. Sanchez, 24 F.3d 1259, 1262 (10th Cir.

1994).

         When we review a defendant’s challenge to an identification from the photo

array, we conduct a two-pronged inquiry. We first determine whether the photo

array was unduly suggestive; if it is, we decide whether the identifications were

still reliable in view of the totality of the circumstances. See United States v.

Wiseman, 172 F.3d 1196, 1208 (10th Cir. 1999).

         Ultimately, we must determine whether the unduly suggestive array created

a “substantial likelihood of misidentification.” Neil v. Biggers, 409 U.S. 188, 201

(1972). If so, the defendant’s due-process rights have been violated. See Manson

v. Brathwaite, 432 U.S. 98, 114 (1977) (“[R]eliability is the linchpin in

determining the admissibility of identification testimony.”).

               2.    Unduly Suggestive

         Under the first prong, we consider the number of photographs in the array,

the way that the police present the array, and the details of the photographs. See

Sanchez, 24 F.3d at 1262. Though we consider the number of photographs in the

array, this factor goes to the “weight given to other alleged problems or




                                           63
irregularities in an array”; the number is not itself a substantive factor. Id.

(emphasis omitted).

      After police detectives viewed the Gen X surveillance video, they believed

that the robbers were Kepa Maumau and Edward Kamoto. A police detective then

created an array of six photographs to show the three Gen X employees who had

seen the crime. Two of the three employees identified Mr. Kepa Maumau as the

robber; the third was unable to make an identification.

      During the motion-to-suppress hearing, the Government called the detective

who had created the array and shown the array to the employees. In response, Mr.

Kepa Maumau called an expert, Dr. David Dodd, to testify about eyewitness

reliability. Dr. Dodd testified that the “functional size” of the photo array was

actually 1.7 photographs, rather than 6, based on a mock-photo array using 12

mock witnesses. 20 After hearing this testimony, the district court found that the

array was not unduly suggestive. This finding did not involve clear error.

      First, we consider the size of the array: six photos. Though six is “a

number sufficiently small to weigh heavily in the balance of factors to be


20
       The mock witnesses were told the employees’ description of the
suspect—Native American, medium build, early twenties, no facial hair, no scars
or tattoos, and approximately five-feet, ten-inches tall. Then Dr. Dodd showed
the mock witnesses the actual photo array used by the police detective. Seven of
the twelve mock witnesses chose Mr. Kepa Maumau, and the remaining five
chose the man in the fourth picture. Dr. Dodd reached the 1.7 size by dividing
the total number of mock witnesses by the number that had chosen Mr. Kepa
Maumau.

                                           64
considered,” it does not create a “per se unconstitutional” array. Sanchez, 24 F.3d

at 1262-63. 21

       We also consider the presentation of the array. The district court found that

the police detective had presented the photo array in a neutral manner,

admonishing the witnesses not to identify anyone if they were unsure, telling them

not to guess, and saying that they had no obligation to identify anyone. Kepa

Maumau R. vol. 1, pt. 2, at 306-07. Mr. Kepa Maumau does not supply any reason

to regard these findings as clearly erroneous.

       Finally, we consider the details of the photographs. The district court found

that each photograph depicted a man in his early twenties with “medium

complexion, medium build, no visible piercings, and most ha[d] little, if any,

facial hair,” and none had “distinctive facial features or other identifying marks.”

Id. at 306. The district court went on to acknowledge the difference in the facial

features, but did not find the differences so “strikingly apparent” as to taint the

display. Id. Again, Mr. Kepa Maumau does not supply grounds to regard the

finding as clearly erroneous.




21
       We have stated that the use of six-person photo arrays does not in itself
lead to a finding of undue suggestiveness. E.g., Sanchez, 24 F.3d at 1263
(holding that an array with six photographs was not impermissibly suggestive);
United States v. Franklin, 195 F. App’x 730, 734-35 (10th Cir. 2006) (concluding
that a six-pack photo array was not unduly suggestive).

                                          65
       We agree with Mr. Kepa Maumau that the size of the photo array weighs in

his favor. For three reasons, however, we reject his argument that the array was

unduly suggestive based on differences in facial features and the others’ lack of

facial hair.

       First, we have held that a difference in facial hair—even when the suspect

was the only one with a beard and braided hair—did not render the photo array

unduly suggestive. See United States v. Flores, 149 F.3d 1272, 1278-79 (10th Cir.

1998) (holding that a photo array was not unduly suggestive even though the

suspect was the only person in the array with a goatee); United States v. Thurston,

771 F.2d 449, 453 (10th Cir. 1985) (concluding that a photo array was not unduly

suggestive even though the defendant’s “picture was the only one among the

display exhibits which had a beard”).

       Second, the actual robber had covered the bottom portion of his face during

the Gen X robbery. Thus, the witnesses would lack any apparent reason to focus

on a subject based on his facial hair (or lack of facial hair).

       Third, “a photo lineup is not necessarily suggestive merely because the

individuals in the lineup differ in facial characteristics.” Grubbs v. Hannigan, 982

F.2d 1483, 1490 (10th Cir. 1993). In fact, even Mr. Kepa Maumau’s expert agreed

that some variation among facial features was useful. See Kepa Maumau R. vol. 4,

pt. 1, at 90 (Dr. Dodd’s testimony agreeing that “lineups should not be composed




                                           66
of individuals who are too similar to one another” and that “some degree of

variation among the individuals [was] desirable”).

      Accordingly, the district court did not err in finding that the array was not

unduly suggestive.

             3.      Reliability of Identifications

      Even if we were to conclude that the array was unduly suggestive, we would

decline to reverse because the identifications were reliable.

      When a photo array is unduly suggestive, we consider whether it is

sufficiently reliable to satisfy due process. See United States v. Sanchez, 24 F.3d

1259, 1261-62 (10th Cir. 1994). For reliability, the pertinent factors include: (1)

the opportunity of the witness to view the suspect during the crime, (2) the

witness’s level of attention during the crime, (3) the accuracy of the witness’s

prior description of the suspect, (4) the level of certainty the witness demonstrated

during the array, and (5) the time lapse between the crime and the array. See

United States v. Wiseman, 172 F.3d 1196, 1210 (10th Cir. 1999).

      The employees’ identifications were sufficiently reliable even if we were to

conclude that the array was unduly suggestive.

      Mr. Kepa Maumau makes three arguments on reliability: (1) The witnesses

are Hispanic and he is Polynesian, making the identification problematic because

it is “cross racial”; (2) the witnesses were unable to provide certain details of the

robbers in their descriptions, such as eye color or facial shape; and (3) the

                                           67
circumstances of the robbery made identification difficult because the event took

place in only about a minute and multiple robbers were involved. We reject these

arguments.

         Though the employees had only about a minute to observe the robbers, they

were within eight feet. The employees were not only close, but also able to

describe the robber with the gun as a Native American man in his early twenties

with no scars, tattoos, or marks, with a medium build and approximately five-feet,

ten-inches tall. And the employees viewed the array separately only about three

months after the robbery. See Kepa Maumau R. vol. 4, pt. 1, at 17 (noting that the

robbery took place in August 2008). Finally, two of the employees testified that

they had recognized Mr. Maumau as someone who had previously visited the

store.

         The witnesses’ identifications were reliable, and we would decline to

reverse even if the photo array had been unduly suggestive.

         D.    The Jury Selection and Service Act of 1968

         Mr. Daniel Maumau contends that the district court violated the Jury

Selection and Service Act of 1968, 28 U.S.C. § 1861 (2006). According to the

Defendant, the court erroneously excluded “potential jurors who had indicated in a

questionnaire sent by the court clerk that they would be unable to serve on a jury




                                           68
for a six week trial.” 22 Daniel Maumau R. vol. 1, pt. 1, at 149. Mr. Daniel

Maumau argues that the procedure violated the Jury Selection Act. This argument

is rejected.

               1.   The Procedure Used

       Under the district court’s plan for selection of petit jurors, the “Clerk

[could] grant temporary excuses to prospective jurors on the grounds of undue

hardship or extreme inconvenience.” Daniel Maumau’s Opening Br., attachment

2, at 4. The jury administrator carried out this plan for the trial, telling the 260

prospective jurors that if they felt service would create an undue hardship or

extreme inconvenience, they should reply with their reason. Some replied by e-

mail, and the jury administrator read the replies and temporarily excused those

whose service would create an undue hardship.

               2.   Mr. Daniel Maumau’s Challenge and the District
                    Court’s Ruling

       Mr. Daniel Maumau challenged this process under 28 U.S.C. § 1867(a)

(2006), and the district court allowed defense counsel to review the e-mail replies.

After reviewing them, defense counsel filed a sealed supplemental affidavit.

There counsel asserted that “about twenty of th[e]se explanations [in the e-mails]

involve[d] individuals who if subjected to personal questioning by the court may



22
     Mr. Tuai and Mr. Toki join in Mr. Daniel Maumau’s jury-selection
argument. Tuai’s Opening Br. at 47; Toki’s Opening Br. at 1.

                                          69
not have qualified as hardship excuses.” Appellee Supp. App. at 2. Defense

counsel then identified eight potential jurors who had been excused for subjective

criteria. See id. at 2.

       Again, the district court conducted a conference to address defense

counsel’s continued concern. After the conference, the district court found that

the procedure was proper and that any possible statutory deviation would not have

involved a substantial violation. The district court added that “there [was] no

evidence that the venire [was] anything other than a random cross section of the

community” and that “[t]he jury administrator’s excusals in no way altered or

skewed the composition of the venire.” Toki R. vol. 1, pt. 4, at 711-12.

       Of the venirepersons summoned, 80 were selected and 15 were selected as

jurors.

              3.      Standard of Review

       We review a district court’s factual determinations involving a

jury-composition claim for clear error, but we engage in de novo review of the

legal conclusions. See United States v. Contreras, 108 F.3d 1255, 1265 (10th Cir.

1997) (“[W]e review the district court’s decisions de novo to determine whether

the jury selection process failed to substantially comply with the Jury Selection

and Service Act.”).




                                           70
             4.     Jury Selection Act Claim

      The Jury Selection Act mandates that a petit jury be composed of a random,

fair cross-section of the community. 28 U.S.C. § 1861 (2006). Remedies become

available when the procedure involves a substantial failure to comply with the

statute. 28 U.S.C. § 1867(a) (2006). A failure is considered “substantial” when it

“frustrates one of the three principles underlying the Act”: (1) the random

selection of jurors, (2) culling of the jury from a fair cross-section of the

community, and (3) determination of disqualifications, exemptions, and exclusions

based on objective criteria. United States v. Carmichael, 560 F.3d 1270, 1277

(11th Cir. 2009).

      Mr. Daniel Maumau raises three arguments: (1) The jury administrator’s

striking of venirepersons violated the third principle (that excusals be based on

objective criteria); (2) venirepersons can be excused by the district court, but not

the jury administrator; and (3) the jury was not composed of a fair cross section of

the community. We reject the arguments because: (1) the dismissals were based

on objective criteria satisfying the Jury Selection Act and Utah Jury Plan, (2) the

Jury Selection Act and the Utah Jury Plan authorize the jury administrator to grant

excusals, and (3) the excusals did not remove a distinctive group.

                    a.     Excusal Based on Objective Criteria

      Mr. Daniel Maumau argues that: (1) the administrator’s excusal of potential

jurors was based on subjective criteria, and (2) eight of the potential jurors’

                                           71
proffered bases for undue hardship warranted further questioning by the district

court. We disagree. The reasons proffered by the eight witnesses were legitimate

for excusal. Of the eight, four were caring for the “aged or infirm”; two would

have had to drive over 100 miles each day; and the final two functioned in key

business roles.

      Federal law defines “undue hardship or extreme inconvenience” as

      great distance, either in miles or traveltime, from the place of holding
      court, grave illness in the family or any other emergency which
      outweighs in immediacy and urgency the obligation to serve as a juror
      when summoned, or any other factor which the court determines to
      constitute an undue hardship or to create an extreme inconvenience to
      the juror.

28 U.S.C. § 1869(j) (2006). The law also allows excusal of a venireperson when

the trial is expected to take more than 30 days or would result in “severe economic

hardship to an employer which would result from the absence of a key employee

during the period of such service.” Id.

      The pertinent provisions of the Utah Jury Plan excuse potential jurors from

service for undue hardship when individuals are: (1) “essential to the care of aged

or infirm persons” or “the operation of a business, commercial or agricultural

enterprise,” or (2) “resid[e] in an area where private or public transportation to the

place of holding court is not readily available.” Daniel Maumau’s Opening Br.,

attachment 2, at 3-4.




                                          72
        Accordingly, the eight venirepersons had legitimate reasons for excusal

under the Act and the Utah Jury Plan. Mr. Daniel Maumau gives us no reason to

disbelieve these reasons or to conclude that the jury administrator used subjective

criteria.

                    b.     Administrator’s Excusal Proper

        Mr. Daniel Maumau also argues that a prospective juror can be excused by a

district court, but not the jury administrator. Under § 1866(c), however, “any

person summoned for jury service may be (1) excused by the court, or by the clerk

under supervision of the court if the court’s jury selection plan so authorizes, upon

a showing of undue hardship or extreme inconvenience, for such period as the

court deems necessary.” 28 U.S.C. § 1866(c) (2006). Because the statute and the

Utah Jury Plan authorized the jury administrator to grant excusals, we reject Mr.

Daniel Maumau’s argument.

                    c.     Fair Cross Section

        According to Mr. Daniel Maumau, the excusals of jurors violated the

statutory requirement for the jury to comprise a fair cross section of the

community. We disagree, concluding that the excusals did not remove a

distinctive group that would influence Mr. Daniel Maumau’s right to an impartial

jury.

        For this challenge, the Defendant must show:




                                          73
      (1) that the group alleged to be excluded is a ‘distinctive’ group in the
      community; (2) that the representation of this group in venires from
      which juries are selected is not fair and reasonable in relation to the
      number of such persons in the community; and (3) that this
      underrepresentation is due to systematic exclusion of the group in the
      jury-selection process.

Duren v. Missouri, 439 U.S. 357, 364 (1979); see United States v. Shinault, 147

F.3d 1266, 1270 (10th Cir. 1998) (“Because the Jury Act’s fair cross section

requirement parallels a defendant’s Sixth Amendment right to trial by an impartial

jury, the defendant’s Jury Act challenge and his constitutional challenge are both

evaluated under the Sixth Amendment standard.”). If the defendant shows a prima

facie violation, “the government . . . bears the burden of proving that attainment of

a fair cross section is incompatible with a significant state interest.” Shinault, 147

F.3d at 1271.

      Mr. Daniel Maumau fails to explain how the process resulted in

disqualification of a “distinctive group.” In determining whether a group is

“distinctive” for these purposes, we consider three factors: (1) whether the group

is defined by a “limiting quality (i.e. the group has a definite composition such as

race or sex)”; (2) whether “a common thread or basic similarity in attitude, idea,

or experience runs through the group”; and (3) whether “a community of interests

exists among members of the group such that the group’s interest cannot be

adequately represented if the group is excluded from the jury selection process.”

United States v. Green, 435 F.3d 1265, 1271 (10th Cir. 2006).


                                          74
      Without citing authority, Mr. Daniel Maumau asserts that the jury

administrator’s excusal of prospective jurors “preclud[ed] a venire that constituted

a fair cross section of the community.” Daniel Maumau’s Opening Br. at 15. We

cannot discern how excusal of individuals unable to sit for a four- to six-week jury

trial would distort the jury pool. See Silagy v. Peters, 905 F.2d 986, 1010-11 (7th

Cir. 1990) (holding that people older than 70 were not a cognizable “distinctive”

group). Thus, Mr. Daniel Maumau has not satisfied the first element of his

burden. In these circumstances, we reject his argument.

      E.     Sixth Amendment Right to a Jury Trial

      According to Mr. Daniel Maumau, the Sixth Amendment right to a jury trial

was violated by the district court’s imposition of a ten-year mandatory-minimum

sentence under 18 U.S.C. § 924(c) for discharging a firearm. He argues that the

district court erred because the jury found only that he had used or carried the

gun—not that he had brandished or discharged the gun. Based on this argument,

the Defendant seeks a remand that would direct the district court to impose a five-

year sentence.

      But Mr. Daniel Maumau now has that five-year sentence. After the

completion of briefing, Mr. Maumau and the government jointly moved for a

limited remand to allow the imposition of a new sentence. We granted the motion,

and the district court resentenced Mr. Daniel Maumau to five years on the § 924(c)

count. The resentencing moots Mr. Maumau’s challenge to the original sentence.

                                          75
See United States v. Padilla, 947 F.2d 893, 897 (10th Cir. 1991) (stating that

resentencing of the defendant mooted his challenge to the original sentence).

                                 VI.   Conclusion

      We affirm.




                                         76
