UNITED
STATES OF AMERICA, Plaintiff-Appellee
v.
GEORGE
LINDEMANN, JR., Defendant-Appellant
No. 96-1188
In the United States Court of Appeals For the
Seventh Circuit
ARGUED APRIL 12, 1996
DECIDED JUNE 4, 1996
85 F.3d 1232 (7th Cir. 1996)
Barry Rand Elden, Chief of Appeals, R. Christopher
Cook (argued), Office of U.S. Atty., Crim. Appellate Div., Chicago,
IL, for U.S.
Dan K. Webb (argued), Thomas J. Frederick, Todd J.
Ehlman, Bruce L. Bower, Winston & Strawn, Chicago, IL, Jay Goldberg,
New York City, for George Lindemann, Jr.
Appeal from the United States District Court for the
Northern District of Illinois, Eastern Division.
No. 94 CR 483 — George M. Marovich, Judge.
Before CUMMINGS, COFFEY and MANION, Circuit Judges.
CUMMINGS, Circuit Judge.
"Charisma," a show horse, died in its stall on the
night of December 15, 1990. The insurance company that had issued a
policy on Charisma's life concluded that the death was the result of
natural causes and paid the $250,000 value of the policy.
Subsequently, the Federal Bureau of Investigation uncovered an alleged
conspiracy between Tommy Burns and Barney Ward to kill horses for pay,
allowing the horses' owners to collect insurance proceeds. Burns gave
the FBI information indicating that George Lindemann, Jr. ("Lindemann"),
a partial owner of Charisma, had arranged the horse's death in order
to gain the proceeds of its life insurance policy. Lindemann was tried
and convicted of three counts of wire fraud in violation of 18 U.S.C.
§ 1343. He appeals that conviction and we affirm.
I.
The following is a synopsis of Burns' testimony at
trial. Ward
had arranged for Burns to kill fourteen horses for pay prior to
Charisma's death. On December 13, 1990, Ward called Burns in Chicago
and told him that he could make a lot of money by coming to New York
to kill a horse for a man Ward identified as "Lindemann." Burns then
called Ward's travel agent in New York to book a flight from Chicago
to White Plains, New York. Burns arrived in White Plains at 10:18 a.m.
on December 15, 1990, and made his way by car to Ward's residence in
Brewster, New York — "Castle Hill." The trip took him longer than
expected because of icy road conditions. Upon his arrival, Ward told
him to call "Cellular Farms," the horse farm of the Lindemann family,
and to speak to Marion Hulick, Lindemann's horse trainer and a
co-defendant in this action. Two sequential calls were then made by
Burns to Hulick at Cellular Farms.
Hulick told Burns that "they had a horse which
needed to be killed at their farm." One of Ward's employees drove
Burns to Cellular Farms at around 4:00 p.m. where he was taken
directly to Hulick's apartment. In the apartment, Burns met Gerald
Shepard, an acquaintance who was inquiring about a position at
Cellular Farms. Outside of Shepard's hearing, Hulick told Burns that
the killing had to be completed that day because "George" wanted it
done while he was in Asia and because Charisma was scheduled to travel
to Florida the next day. Hulick told Burns that the amount of the
insurance policy was $250,000 and Burns demanded ten percent of the
proceeds in exchange for the killing. Hulick responded that "George"
would pay whatever it took.
Burns, Hulick and Shepard then drove to a remote
area of the farm so that Hulick could point out a back road by which
Burns could enter the premises that night. The three then went to the
stable area. To indicate which horse was to be killed, Hulick entered
the stall of only one horse, whose name plate read "Charisma." Prior
to Burns' departure, Hulick assured him that she would see to it that
the staff was out that night and that she would lock up the dogs so
that his presence would not be detected. Burns then checked into a
nearby hotel and purchased electrical cords and other equipment. At
about 10:00 p.m. that night, he entered Cellular Farms by way of the
back road and electrocuted Charisma in its stall.
Burns' testimony was corroborated through the
following testimony and evidence. A colleague of Burns, Harlow Arlie,
testified that prior to December 15, 1990, Burns told him that he had
arranged a profitable horse killing for "a man in New York who owned a
phone corporation." Lindemann's father, George Lindemann, Sr., is a
successful businessman in the cellular telephone industry, and
Lindemann owns 20 percent of his father's corporation. Weather records
confirmed that there were ice storms in the area around Cellular Farms
on December 15, 1990. Phone records confirmed that two calls were made
from Castle Hill to Cellular Farms at the time identified by Burns.
Two of Lindemann's employees confirmed Burns' detailed description of
the Cellular Farms premises, including the specifics of a statue in
the courtyard and a description of the brass poles containing
electrical outlets in each of the horses' stalls. Shepard testified
that when Burns arrived at Cellular Farms, Burns and Hulick had a
conversation out of his hearing. He also testified that Hulick then
drove him and Burns to a remote area of the farm and told Burns, "This
is a seldom used road. You can park here and come back." Shepard
further confirmed that on the tour of the stables, Hulick entered the
stall of only one horse — Charisma. Records confirmed that Lindemann
was in Asia from November 23, 1990, to December 22, 1990, and that
Charisma was scheduled to travel to Florida on December 16, 1990.
Colleen Reed, an employee at Cellular Farms, testified that she was
taken out to dinner by Hulick on the night of December 15, 1990. She
testified that this was odd because it broke a strictly enforced
Cellular Farms rule requiring someone to remain on the premises at all
times. Reed testified that when she pointed out to Hulick that no one
would be left to monitor the stables, Hulick brushed this fact aside.
Reed then found Charisma dead in its stall the morning of December 16,
1990 and observed blood in its nostrils and manure. Finally, it was
generally known at Cellular Farms that both Lyman Whitehead and Molly
Ash had ridden Charisma in competitions. However, after Lindemann
filed the insurance claim for Charisma's death, he specifically told
Reed and another employee to lie to the insurance investigators by
telling them that Lindemann and his sister were the only people who
had ridden Charisma. Lindemann then told the investigators the same
thing.
II.
Lindemann argues that his conviction should be
reversed for four reasons. First, he claims that the evidence was
insufficient to establish that it was he who ordered Charisma's
killing. Second, he argues that even if it was sufficiently
established that he ordered the killing, the evidence was still
insufficient to prove that the use of interstate wires in furtherance
of the scheme to defraud was reasonably foreseeable to him. Third, he
argues that the government improperly bolstered Burns' credibility.
Finally, he argues that the government engaged in improper conduct
during closing argument, depriving him of his right to a fair trial.
We address each argument in turn.
A.
The government's case against Lindemann was as
follows:
(1) Lindemann defrauded
his insurance carrier by ordering Hulick to have Charisma killed; (2)
Hulick carried out this order by bringing in Ward to aid in hiring a
killer; (3) Ward brought in Burns; and (4) Burns admitted that he did
the killing. Burns' testimony regarding his conversations with Ward,
his meeting with Hulick at Cellular Farms, and his electrocution of
Charisma was corroborated by other testimony and evidence.
Furthermore, Lindemann stipulated to Burns' long
relationship with Ward regarding the killing of numerous horses for
pay. Thus the evidence strongly indicated that a conspiracy to kill
Charisma existed, and that it contained the following members:
(1) Burns, who did the
killing; (2) Ward, who set up the contact between Cellular Farms and
Burns; (3) Hulick, who pointed out to Burns the method of entrance to
Cellular Farms and which of the horses was Charisma; and (4) some
unknown conspiracy member, who ordered the killing and planned to pay
Burns for doing it. Lindemann's contention is that the government
presented insufficient evidence to prove that he was that unknown
member.
Identification of the defendant as the person who
committed the crime is certainly an essential element of any offense.
United States v. Alexander, 48 F.3d 1477, 1490 (9th Cir. 1995),
certiorari denied, 116 S.Ct. 210. However, in making a challenge to
the sufficiency of the evidence, one bears a "heavy burden." United
States v. James, 923 F.2d 1261, 1267 (7th Cir. 1991). This Court will
reverse a conviction for insufficient evidence only if, after
reviewing the evidence in a light most favorable to the government, it
is determined that no rational trier of fact could have found the
defendant guilty beyond a reasonable doubt. United States v. Brandon,
50 F.3d 464, 467 (7th Cir. 1995).
The evidence identifying Lindemann as the unknown
member rested specifically on the following testimony of Burns:
(1) Ward told Burns that
he could make a lot of money coming to New York to kill a horse for a
man named "Lindemann"; (2) Hulick told Burns that "George" wanted the
killing done while he was in Asia; and (3) Hulick told Burns that
"George" would pay whatever it took. Lindemann asserts that these
statements were improperly admitted into evidence.
If he is wrong, these statements clearly constitute
sufficient evidence for the jury to conclude that it was indeed
Lindemann who ordered the killing. Unfortunately for Lindemann,
because he waived this issue by failing to object when the statements
were admitted in the district court,
we must review the decision to admit the statements for plain error
only. United States v. Olano, 507 U.S. 725, 732-734. Under this
standard, Lindemann must prove that there was an error, that it was
plain, and that it affected his substantial rights and the fairness,
integrity or public reputation of the judicial proceedings as a whole.
United States v. Penny, 60 F.3d 1257, 1264 (7th Cir. 1995), certiorari
denied, 116 S.Ct. 931.
We pause initially to address Lindemann's contention
that the statements were inadmissible because they did not satisfy the
personal knowledge requirement of Fed. R. Evid. 602.
Lindemann contends that pursuant to Rule 602, the government was
required to introduce evidence to prove that Ward and Hulick, as the
declarants of the statements, had personal knowledge that it was
Lindemann who ordered the killing. However, the Advisory Committee
Notes to Rule 801(2)(d)(E) specifically refute this contention:
No guarantee of
trustworthiness is required in the case of an admission. The freedom
which admissions have enjoyed . . . from the restrictive influence of
the opinion rule and the rule requiring firsthand knowledge, when
taken with the apparently prevalent satisfaction with the results,
calls for generous treatment of this avenue to admissibility.
(emphasis added).
Furthermore, every court that has addressed the
issue has held that coconspirator statements are not subject to the
requirements of Rule 602. United States v. Saccoccia, 58 F.3d 754, 782
(1st Cir. 1995) (holding that the personal knowledge requirement of
Rule 602 does not apply to coconspirator statements admissible under
Rule 801(d)(2)(E)), certiorari denied, 116 S.Ct. 1322; United States
v. Goins, 11 F.3d 441, 443-444 (4th Cir. 1993) (same), certiorari
denied, 114 S.Ct. 2107; United States v. McLernon, 746 F.2d 1098, 1106
(6th Cir. 1984) (same); United States v. Ammar, 714 F.2d 238, 254 (3d
Cir. 1983) (same), certiorari denied, 464 U.S. 936; cf. Brookover v.
Mary Hitchcock Memorial Hosp., 893 F.2d 411, 415-418 (1st Cir. 1990)
(personal knowledge requirement does not apply to an admission under
Fed. R. Evid. 801(d)(2)(D)). Thus, Rule 602 did not require the
government to present specific evidence of Ward's and Hulick's
personal knowledge.
With that aside, we turn now to whether it was plain
error to admit the statements pursuant to Fed. R. Evid. 801(d)(2)(E).
The basis for excluding hearsay evidence is the notion that statements
made while not under oath and while not subject to cross-examination
are inherently unreliable. However, the Rules except admissions from
the hearsay definition because it is disingenuous for a party to claim
that a statement that he himself made is unreliable. This
justification loses force in conspiracy situations, however, where the
declarant is not the party against whom the statement is offered. But
two concerns unrelated to reliability favor admission in conspiracy
situations. First is the basic agency principle that acts by one
conspirator are chargeable against all those who conspired. Pinkerton
v. United States, 328 U.S. 640. Thus one conspirator's statements are
admissible as evidence against the others. The second concern is
necessity:
Conspiracies are
secretive; often their aim is to commit destructive crimes (drug
dealing, kidnapping, extortion, murder); often they raise social costs
and risks more than individual crimes; live testimony by active
participants is hard to get. These reasons account for the crime of
conspiracy, the leeway given to the government in prosecuting, and the
[coconspirator] exception itself. Mueller and Kirkpatrick, Federal
Evidence sec. 425 (2d ed. 1994).
Because of these concerns, the Federal Rules of
Evidence treat coconspirator statements as non-hearsay, despite the
fact that the declarant is not the party against whom they are
offered. Thus a court may admit such statements if it determines that
the declarant and the defendant were involved in an existing
conspiracy, and that the statement was made during and in furtherance
of that conspiracy. Bourjaily v. United States, 483 U.S. 171, 175-176.
The standard to be applied is a preponderance of the evidence. Id.
Furthermore, in making its determination, the court may consider all
non-privileged evidence, Fed. R. Evid. 104(a) ("[The court] is not
bound by the rules of evidence except those with respect to
privileges."), including the statements themselves. Id. at 181.
However, to ensure an element of reliability in the statements, courts
have required that some evidence, independent of the statements, exist
to corroborate the conspiracy's existence.
Given these principles, Judge Marovich's
determination that the statements at issue were made in furtherance of
a conspiracy between Lindemann, Hulick, Ward, and Burns, and thus
admissible pursuant to Fed. R. Evid. 801(d)(2)(E), was not plain
error. The evidence sufficiently demonstrated that Burns killed
Charisma and was involved in a conspiracy with others in doing so:
Burns admitted to being in the "horse killing business"; he admitted
to killing Charisma for pay; Arlie testified that prior to leaving,
Burns mentioned being paid to go kill a horse in New York; and Shepard
testified that Burns was at Cellular Farms on December 15, 1990.
Furthermore, there was sufficient evidence that the conspiracy
involved both Hulick and Ward: Burns testified at length to the
specific roles of both Hulick and Ward in the conspiracy; phone
records confirm telephone calls from Ward's residence to Cellular
Farms at the times indicated by Burns; Shepard corroborated that
Hulick and Burns had a secretive conversation on December 15, 1990,
and that Hulick pointed out to Burns a seldom used back road that he
could use "to come back" that night; and Shepard further corroborated
that while they were in the stables, Hulick entered Charisma's stall,
and no other.
Finally, there is evidence that the conspiracy
involved Lindemann. Most important, of course, are the statements
themselves, which involved Ward and Hulick referring specifically to
"George" and "Lindemann" as the unknown conspiracy member.
But the evidence does not end there. The government offered evidence
corroborating many of the facts contained in the statements. Bourjaily,
483 U.S. at 181 ("[A] piece of evidence, unreliable in isolation, may
become quite probative when corroborated by other evidence."). One of
Hulick's statements was that Burns had to kill Charisma on December
15, 1990, because "George want[ed] it done while he [wa]s in Asia,"
and because Charisma was scheduled to travel to Florida the next day.
The government introduced independent evidence proving that Lindemann
was in fact in Asia on December 15, 1990, and that he would return a
few days later. It also introduced independent evidence that Charisma
was scheduled to travel to Florida on December 16, 1990. Proving that
particular elements of the statement did in fact occur satisfies the
function of the independent evidence requirement: ensuring an element
of reliability in the statement as a whole. Bourjaily, 483 U.S. at
179-180 ("[I]ndividual pieces of evidence, insufficient in themselves
to prove a point, may in cumulation prove it."); see also United
States v. Blevins, 960 F.2d 1252, 1256 (4th Cir. 1992) (admitting
coconspirator statements detailing defendant's role in a conspiracy
where independent evidence established that the defendant was at a
specific location at the time the coconspirator had stated); United
States v. Brown, 940 F.2d 1090, 1093 (7th Cir. 1991) (same).
In addition, Arlie testified that prior to leaving
for New York, Burns told him that he was going to New York to kill a
horse for "a man who owned a phone company." The government offered
proof that Lindemann owned 20 percent of his father's large cellular
phone corporation. The government also introduced evidence that after
Charisma's death, Lindemann intentionally lied, and ordered his
employees to lie, to insurance investigators so that the insurance
company would not be able to apply one of the policy's exceptions.
While these actions did take place after Charisma's death, they aid in
making it "more likely than not" that Lindemann was involved in the
fraud. See United States v. Testa, 548 F.2d 847, 852 (9th Cir. 1977)
("Even if a conspiracy has terminated, evidence of subsequent acts may
be admitted to elucidate the nature of the prior conspiracy.").
Given the multiple statements referring to "George
Lindemann," the evidence corroborating facts contained in the
statements, and Burns' corroborated testimony regarding the rest of
the conspiracy, Judge Marovich was entitled to conclude that, more
likely than not, Ward and Hulick were involved in a conspiracy with
Lindemann to kill Charisma. Judge Marovich was also entitled to
conclude that the statements were made in furtherance of that
conspiracy. Each statement was made to identify for Burns the party
who would pay him for the killing. Such identifications facilitated
Burns' decision to kill Charisma and were therefore in furtherance of
the conspiracy. See United States v. Nevils, 897 F.2d 300, 308 (8th
Cir. 1990) (naming of coconspirators held to be in furtherance of
conspiracy), certiorari denied, 498 U.S. 844. Thus Judge Marovich's
determination that the statements were admissible pursuant to Fed. R.
Evid. 801(d)(2)(E) was not plain error.
B.
Next, Lindemann argues that there was insufficient
evidence that he caused the use of interstate wires in furtherance of
the conspiracy to defraud the insurance company, and thus insufficient
evidence that he violated 18 U.S.C. § 1343. There are two elements to
the offense of wire fraud under Section 1343: (1) a scheme to defraud;
and (2) the use of a wire communication in furtherance of that scheme.
United States v. Strickland, 935 F.2d 822, 828 (7th Cir. 1991),
certiorari denied, 502 U.S. 917. As discussed above, the government
introduced sufficient evidence to establish that Lindemann, Hulick,
Ward, and Burns were involved in a conspiracy to kill Charisma. It
further introduced evidence that the conspiracy members knew that the
purpose of the killing was to defraud the insurance company: Burns
testified that when he asked Hulick the value of the insurance policy,
she stated that it was $250,000 and that Lindemann would pay Burns 10
percent as his share. This evidence was sufficient to establish a
scheme to defraud and the first element was met.
For the second element, Lindemann must have caused
the use of interstate wires in furtherance of the scheme to defraud.
However, he need not have made the calls himself: As a member of a
conspiracy, he is criminally responsible for wire communications
"caused by other [conspiracy] members, whether or not he knew of or
agreed to any specific" communication. United States v. Wormick, 709
F.2d 454, 461 (7th Cir. 1983).
The government introduced evidence that Burns and Ward made interstate
calls in furtherance of the conspiracy: Ward's telephone call from New
York to Burns in Illinois to bring him into the conspiracy; Burns'
return of that call the same day; and Burns' call from Illinois to
Ward's travel agent in New York to arrange his trip to Cellular Farms
to do the killing. Lindemann cannot be held criminally responsible for
those calls unless he acted with knowledge that the calls would follow
in the ordinary course of business of the scheme, or the calls could
have been reasonably foreseen by the defendant. United States v.
Brandon, 50 F.3d at 467.
Viewed in the light most favorable to the
government, the evidence indicated that Lindemann ordered Hulick to
have Charisma killed while he was in Asia. Whether he had already
spoken to Ward on the issue of hiring a killer, or whether Hulick
called in Ward herself, it is reasonably foreseeable that Ward would
have to make telephone calls to arrange the hiring. Lindemann does not
really dispute this. Rather, he argues that the government did not
prove that he could have reasonably foreseen that his actions would
result in interstate calls. Lindemann has confused what must be proven
to satisfy the second element. The government must only prove:
(1) either:
(a) he acted with knowledge that telephone calls
would be made in furtherance of the scheme to defraud; or
(b) it was reasonably foreseeable that telephone
calls would be made in furtherance of the scheme to defraud; and
(2) that the calls that were actually made in
furtherance of that scheme were of an interstate nature.
It need not prove that the interstate nature of the
calls was foreseeable. United States v. Blackmon, 839 F.2d 900, 907
(2d Cir. 1988) (conviction for violation of wire fraud statute does
not require knowledge of the interstate nature of the calls made);
United States v. Bryant, 766 F.2d 370, 375 (8th Cir. 1985) (same),
certiorari denied, 474 U.S. 1054. This is so because the element of an
"interstate nexus" in Section 1343 is included in the statute not
because making interstate calls is more "wrong" in a moral sense than
making intrastate calls, but because Congress's power over intrastate
activities is limited by the Commerce Clause. Whether the defendant
knows that his conduct involves an "interstate nexus" adds nothing to
the gravity of the offense that he is committing. Thus it has
consistently been held that for statutes in which Congress included an
"interstate nexus" for the purpose of establishing a basis for its
authority, the government must prove that the defendant knew he was
involved in the wrongful conduct, but need not prove that the
defendant knew the "interstate nexus" of his actions. See United
States v. Feola, 420 U.S. 671, 685 (conspiracy to assault a federal
officer, 18 U.S.C. § 111); United States v. Darby, 37 F.3d 1059, 1066
(4th Cir. 1994) (use of interstate wires to threaten individuals, 18
U.S.C. § 875(c)); United States v. Muza, 788 F.2d 1309, 1311-1312 (8th
Cir. 1986) (arson on building used in interstate activities, 18 U.S.C.
§ 844(i)); United States v. Roglieri, 700 F.2d 883, 885 (2d Cir. 1983)
(possession of material stolen from the mail, 18 U.S.C. § 1708);
United States v. LeFaivre, 507 F.2d 1288, 1298 (4th Cir. 1974) (use of
interstate facilities in gambling activity, 18 U.S.C. sec. 1952),
certiorari denied, 420 U.S. 1004; Overton v. United States, 405 F.2d
168, 169 (5th Cir. 1968) (receiving a stolen vehicle in interstate
commerce, 18 U.S.C. § 2313).
This lack of a mens rea requirement with regard to
the "interstate nexus" is in no way unfair. Defendants who use
interstate wires in schemes to defraud are not involved in conduct
that, other than the interstate aspect of their calls, is legitimate
in nature. Thus they cannot claim unfair surprise in finding out that
they were violating the law. The only surprise they experience is in
learning that not only were they violating state law, they were
violating federal law as well. Feola, 420 U.S. at 685 ("The concept of
criminal intent does not extend so far as to require that the actor
understand not only the nature of his act but also its consequence for
the choice of a judicial forum.").
Thus we reject Lindemann's claim that there was
insufficient evidence that he violated 18 U.S.C. § 1343. The
government proved each of the required elements of the statute: It
introduced sufficient evidence for the jury to conclude that Lindemann
was involved in a conspiracy to defraud; it introduced sufficient
evidence that it was reasonably foreseeable to Lindemann that
telephone calls would be made in furtherance of that scheme; and it
introduced sufficient evidence that interstate telephone calls were
actually made in furtherance of the scheme. Nothing more was required.
C.
Lindemann next challenges the admission of evidence
regarding Burns' cooperation with the government on other cases.
During Burns' cross-examination, Lindemann attacked the credibility of
his testimony by suggesting that he would not have gotten a plea deal
if he hadn't come up with the name of a "big fish" like Lindemann.
Naturally, the government wanted to offer evidence to rebut
Lindemann's assertion. Specifically, it wanted to explain to the jury
that Lindemann's indictment and Burns' cooperation were the result of
a much larger investigation involving the killing of 15 horses,
including Charisma. Thus the government elicited from Burns the
following testimony:
Q: Now, Mr. Burns, when
the federal agents came down to Florida after you were arrested for
killing a horse, Streetwise, they asked you a lot of questions about
your crimes; is that right?
A: Yes, they did.
Q: Were those agents focused on George Lindemann?
A: No, they weren't. They basically focused on Helen
Brach.
Q: During the course of your cooperation, Mr. Burns,
you cooperated against other wealthy people; isn't that right?
A: Oh yeah.
Q: And you've cooperated, have you not, Mr. Burns,
with respect to other famous equestrians?
A: Yes, I have.
. . . .
Q: Is George Lindemann a big part of your
cooperation or a small part of your cooperation?
A: They never treated him like he was a big part.
Q: In fact, Mr. Burns, you told the government about
many, many people that you killed horses for. To your knowledge, how
many people did you discuss with the government, roughly?
A: 30.
Q: And how many of those people have pleaded guilty?
A: 90 percent of them.
[Tr. 594-595]. Immediately following this testimony,
the court instructed the jury as follows:
This testimony may be
considered by you solely for the purpose of understanding the scope of
Tom Burns' cooperation with the government. The fact that other
subjects in the investigation may have pled guilty must not be
considered by you to infer that the defendants are, therefore, guilty
of the crimes with which they are charged.
[Tr. 596]. We review the district court's decision
to admit this testimony under an abuse of discretion standard. United
States v. Gill, 58 F.3d 334, 337 (7th Cir. 1995).
Lindemann argues that Burns' testimony was
inadmissible because it was essentially "bolstering." "Bolstering" is
the practice of offering evidence solely for the purpose of enhancing
a witness's credibility before that credibility is attacked. Such
evidence is inadmissible because it "has the potential for extending
the length of trials enormously, . . . asks the jury to take the
witness's testimony on faith, . . . and may . . . reduce the care with
which jurors listen for inconsistencies and other signs of falsehood
or inaccuracy." United States v. LeFevour, 798 F.2d 977, 983 (7th Cir.
1986). Once a witness's credibility has been attacked, however, the
non-attacking party is permitted to admit evidence to "rehabilitate"
the witness. United States v. McKinney, 954 F.2d 471, 478 (7th Cir.
1992), certiorari denied, 506 U.S. 1023.
Lindemann's suggestion that Burns falsely implicated
him to obtain a plea deal was certainly an attack on the credibility
of Burns' testimony. More specifically, it was an attempt to show that
Burns had a bias:
Bias is the relationship
between a party and a witness which might lead the witness to slant,
unconsciously or otherwise, his testimony in favor of or against a
party. Bias may be induced by a witness' like, dislike, or fear of a
party, or by the witness' self-interest. United States v. Abel, 469
U.S. 45, 53 (emphasis added).
Bias is one of the five acceptable methods of
attacking the credibility of a witness's testimony:
(1) attacking the
witness's general character for truthfulness; (2) showing that, prior
to trial, the witness has made statements inconsistent with his
testimony; (3) showing that the witness is biased; (4) showing that
the witness has an impaired capacity to perceive, recall, or relate
the event about which he is testifying; and (5) contradicting the
substance of the witness's testimony. Wright & Gold, Federal Practice
and Procedure sec. 6094 (1990).
Thus Lindemann was perfectly entitled to suggest his
theory that Burns was lying about Lindemann in order to better the
parameters of his plea deal. Abel, 469 U.S. at 53. However, the direct
consequence of the attack was that the government was entitled to
introduce evidence to rehabilitate Burns on the issue. United States
v. McKinney, 954 F.2d at 478.
The Federal Rules of Evidence specifically address
the bolstering/rehabilitation aspect of only two of the five attack
methods: Character for truthfulness and prior inconsistent statements.
The admissibility of evidence regarding a witness's bias, diminished
capacity, and contradictions in his testimony is not specifically
addressed by the Rules, and thus admissibility is limited only by the
relevance standard of Rule 402. Wright & Gold, Federal Practice and
Procedure sec. 6092 (1990). Therefore, because the attack at issue was
on Burns' bias, and not on his character for truthfulness in general,
Lindemann's contention that the limitations of Rule 608 should have
applied is incorrect. Moreover, because bias is not a collateral
issue, it was permissible for evidence on this issue to be extrinsic
in form. United States v. Brown, 547 F.2d 438 (8th Cir. 1977)
(extrinsic evidence admissible to rebut evidence of bias); see also
United States v. Beauchamp, 986 F.2d 1, 4 (1st Cir. 1993); United
States v. Capozo, 883 F.2d 608, 615 (8th Cir. 1989), certiorari
denied, 495 U.S. 918; United States v. James, 609 F.2d 36, 46 (2d Cir.
1979), certiorari denied, 445 U.S. 905.
Here we conclude that the admission of evidence
regarding Burns' cooperation in other cases was relevant. The evidence
specifically rebutted the allegation that Burns was biased out of
self-interest in Lindemann's case: Burns' successful participation in
numerous other cases meant that at the time he was negotiating over
his plea deal, he had lots of information to use as bargaining chips.
That fact was relevant under the standards of Fed. R. Evid. 402
because it made less probable the assertion that Burns was lying in
Lindemann's case out of self-interest. See United States v. Lochmondy,
890 F.2d 817, 821 (6th Cir. 1989); United States v. Sanchez, 790 F.2d
1561 (11th Cir. 1986); United States v. Martinez, 775 F.2d 31 (2d Cir.
1985); United States v. Fusco, 748 F.2d 996 (5th Cir. 1984). Finally,
the district court immediately warned the jury that it was not to
infer Lindemann's guilt from the fact that other indicted individuals
had pleaded guilty. Thus the evidence was used only to assess Burns'
credibility, not as evidence of Lindemann's guilt.
In conclusion, because Lindemann attacked the
credibility of Burns' testimony by asserting that Burns had a bias in
Lindemann's case, the government was permitted to rebut that assertion
by introducing evidence of its own. Furthermore, because that evidence
was relevant according to Fed. R. Evid. 402, the district court's
decision to admit it was not an abuse of discretion.
D.
Finally, Lindemann contends that the government's
improper conduct in closing argument deprived him of his right to a
fair trial. We apply a two-part test for assessing such allegations.
First, we consider the prosecutor's disputed remarks in isolation to
determine whether they are improper. If so, we then consider the
remarks in the context of the entire record and assess whether they
had the effect of denying the defendant a fair trial. United States v.
Johnson-Dix, 54 F.3d 1295, 1304 (7th Cir. 1995). Lindemann cites
numerous prosecution statements as being prejudicial, most of which he
did not object to. Only a few of those statements warrant discussion.
First, Lindemann argues that the government made
improper closing arguments by referring to facts not in evidence.
Specifically, the government stated, "George Lindemann and Marion
Hulick were not indicted because they are rich [or] because they are
well known in the equestrian industry. They were indicted because
information came to the government which it was able to corroborate a
hundred different ways." Lindemann argues that the government should
not have been allowed to make this statement because it did not
introduce the "hundred different" pieces of evidence to which it was
referring.
Considering the prosecution's statements in
isolation, it is not clear that they were improper. Lindemann had
consistently argued that he was indicted only because of his wealth
and social stature. The prosecution was entitled to rebut this
assertion by telling the jury that the reason for his indictment had
nothing to do with his status, but was because of corroborated
evidence. Informing the jury that the government obtains corroborated
evidence prior to issuing its indictments is hardly a revelation.
Referring to specific pieces of evidence that were not admitted at
trial would have been improper. See United States v. Fearns, 501 F.2d
486, 489 (9th Cir. 1990). However, the "hundred different ways"
comment was not a reference to one hundred individual pieces of
evidence, it was just hyperbole. The U.S. Attorney could just as
easily have chosen to say a "million different ways." However, even if
we were to conclude that the statement was somehow improper, Lindemann
has not demonstrated that he was denied a fair trial in the context of
the entire record.
Lindemann's next challenge arises out of the same
suggestion that Lindemann was only indicted because of his stature. To
rebut the suggestion, the government introduced evidence that its
investigation had been extremely large in nature and that Lindemann
was just one of the many individuals indicted. In eliciting testimony
to this effect, it was mentioned in the jury's presence that
investigators had originally contacted Burns in reference to the
investigation of Helen Brach's disappearance.
The district court made the following decision regarding the mention
of this other investigation:
I have no problem with . .
. the defense . . . indicating that because of [Lindemann's] special
stature he is the prize that the government seeks. But, on the other
hand, the government has an opportunity to respond to that, it seems
in all fairness, and say that this is a more far-ranging investigation
than that involving Mr. Lindemann.
. . . .
The name Helen Brach is
already before the jury. And, therefore, some direct question about
who else was involved in this investigation or who was the primary
focus [will be permitted]. If the answer to that is Helen Brach, take
the answer and move no further in exploring the answer. And at some
time when you think it is appropriate, I am going to instruct the jury
that there is no suggestion, none, that either George Lindemann or
Marion Hulick were in any way involved with the disappearance of Helen
Brach, and that this testimony may only be considered by [the jury]
solely for the purpose of understanding the scope of Tom Burns'
cooperation with the government. [Tr. 527].
During the rest of the trial, Burns mentioned being
contacted regarding the Helen Brach case several times. However, he
was never questioned any further on the issue, and the jury was
instructed just as the judge stated. Given the court's instruction,
the jury was not affected by the mention of the Brach investigation.
Thus the statements did not deny Lindemann a fair trial.
Finally, in closing argument, Lindemann's counsel
suggested that the government's lack of medical evidence as to
Charisma's cause of death supported Lindemann's innocence. In
criticizing the alleged lack of evidence, he referred to the
government's "power" and "resources," implying that the government
could have presented such evidence if it existed. To respond to this
suggestion, the prosecution reminded the jury that it was Lindemann,
and not the government, who, in opening argument, had promised medical
evidence to establish Charisma's cause of death. The prosecution then
made the following statement:
This is what they told you
the evidence would prove. Again, did they present any evidence that
the horse died of a cardiac arrhythmia? Don't their resources at least
equal those of Peter Cullen, the one-man band who solved the Helen
Brach case.
Mr. Cullen was one of the federal investigators who
worked on Lindemann's and the other horse-killing cases. The district
court immediately struck the prosecutor's last sentence and instructed
the jury as follows:
Ladies and Gentlemen, [the
reference to Mr. Cullen was] one of the remarks that I told you to
ignore — and I really want to make sure, because it is inappropriate.
I don't care, nor should you, who solved the Helen Brach murder.
That's not a part of this trial. Whether he is the hero or anybody is
the hero is immaterial. It is particularly so since he hasn't even
testified in this trial. [Tr. 1757].
Again, given the district court's immediate and
proper instruction to the jury that it was to ignore any references to
the Brach case, and Mr. Cullen's involvement specifically, Lindemann
has not demonstrated that he was denied a fair trial.
III.
For the foregoing reasons, the decision of the
district court is AFFIRMED.