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152 F.3d 88, 50
Fed. R. Evid. Serv. 602 United States Court
of Appeals, Second Circuit. UNITED STATES of
America, Appellee, v. Mohammed A. SALAMEH, Nidal Ayyad, Mahmoud Abouhalima, also
known as Mahmoud Abu Halima, Ahmad Mohammad Ajaj, also known as Khurram Khan,
Defendants-Appellants, Ramzi Ahmed Yousef, Bilal Alkaisi, also known as Bilal
Elqisi, Abdul Rahman Yasin, also known as Aboud, Defendants. Nos. 94-1312 to
94-1315. Argued Dec. 18 and
19, 1997. Decided Aug. 4,
1998. PRIOR HISTORY: U.S. v. Salameh, 1993 WL 364486
(S.D.N.Y. Sept. 15, 1993) (No. S5 93 CR. 0180 (KTD)) U.S. v. Salameh, 84 F.3d 47 (2d Cir. May 09, 1996) (No.
94-1312L, 94-1315CON, 94-1313CON, 94-1314CON) SUBSEQUENT HISTORY: Certiorari Denied: Abouhalima
v. U.S., 525 U.S. 1112 (Jan. 19, 1999) (NO. 98-7145) On Remand: U.S. v. Salameh, 1999 WL 38185 (S.D.N.Y. Jan.
27, 1999) (NO. 93 CR. 180 (KTD)) Certiorari Denied: Salameh v. U.S., 526 U.S. 1028 (Mar.
22, 1999) (NO. 98-7985) Ayyad v. U.S., 526 U.S. 1028 (Mar. 22, 1999) (No. 98-8006) Ajaj v. U.S., 526 U.S. 1044 (Mar. 29, 1999) (No. 98-8261) Rehearing Denied: Ajaj v. U.S., 526 U.S. 1167 (June 7,
1999) (No. 98-8261) On Remand: U.S. v. Salameh, 54 F.Supp.2d 236 (S.D.N.Y.
June 21, 1999) (No. 93 CR. 180 KTD) Affirmed: U.S. v. Salameh, 16 Fed.Appx. 73 (2nd Cir.(N.Y.)
Aug. 6, 2001) (No. 99-1619L, 99-1623 CON, 99-1620 CON, 99-1621 CON) Certiorari Denied: Abouhalima v. U.S., 536 U.S. 967 (June
28, 2002) (No. 01-10118) Appeal After Remand: U.S. v. Salameh, 261 F.3d 271 (2d
Cir. Aug. 06, 2001) (No. 99-1619, 99-1623, 99-1620, 99-1621) Certiorari Denied: Abouhalima v. U.S., 536 U.S. 967 (June
28, 2002) (No. 01-10118) Salameh v. U.S., 537 U.S. 847 (Oct. 7, 2002) (No. 01-10529) Called into Doubt by: Ellerby v. U.S., 187 F.3d 257 (2nd
Cir.(N.Y.) Oct. 28, 1998) (No. 97-2868) Distinguished by: U.S. v. Reinhold, 20 F.Supp.2d 541, 50
Fed. R. Evid. Serv. 1212 (S.D.N.Y. Sept. 2, 1998) (No. (S2) 97 CR. 686 AGS) U.S. v. Walters, 351 F.3d 159 (5th Cir.(Tex.) Nov. 12, 2003)
(No. 02-50874) Limitation of Holding Recognized by: U.S. v. Pena, 233 F.3d 170 (2nd Cir.(N.Y.) Nov. 22, 2000) (No.
96-1243) Related References: U.S. v. Salameh, 992 F.2d 445, 21
Media L. Rep. 1376 (2nd Cir.(N.Y.) Apr. 30, 1993) (No. 1668, 1678, 93-1270,
93-1275) U.S. v. Salameh, 1993 WL 168568 (S.D.N.Y. May 18, 1993) (No. S2
93 CR. 0180 (KTD)) U.S. v. Salameh, 856 F.Supp. 781 (S.D.N.Y. June 14, 1994) (No.
S5 93 CR. 0180 (KTD)) U.S. v. Yousef, 327 F.3d 56, 61 Fed. R. Evid. Serv. 251 (2d
Cir.(N.Y.) Apr. 4, 2003) (No. 98-1041, 99-1544, 98-1197, 99-1554, 98-1355) Certiorari Denied: Yousef v. U.S., 540 U.S. 933 (Oct. 6,
2003) (No. 03-5976) Ismoil v. U.S., 540 U.S. 993 (Nov. 3, 2003) (No. 03-6494) [*105] COUNSEL: J. Gilmore Childers, Assistant United States
Attorney for the Southern District of New York, New York City (Mary Jo White,
United States Attorney, Lev L. Dassin, Michael J. Garcia, Dietrich L. Snell,
Alexandra Rebay, Assistant United States Attorneys, of counsel), for
appellee. Frank Handelman, New York City, for defendant-appellant Mohammed
A. Salameh. Jeremy Schneider, Rothman, Schneider, Soloway & Stern, New
York City, for defendant-appellant Nidal Ayyad. Miranda Fritz, Fritz & Miller, New York City, for
defendant-appellant Ahmad Mohammad Ajaj. Lawrence Mark Stern, New York City, for defendant-appellant
Mahmoud Abouhalima. JUDGES: Before: MESKILL, McLAUGHLIN and CALABRESI,
Circuit Judges. PER CURIAM: Following a lengthy jury trial in the United States District
Court for the Southern District of New York (Duffy, J.), defendants were
convicted of various crimes related to the bombing of the World Trade Center
Complex in New York City. Defendants now appeal, asserting a congeries of
arguments. For the reasons that follow, we affirm the judgment of the
district court but remand for re-sentencing and decline to exercise
jurisdiction over certain post-trial motions pending before the district
court. TABLE
OF CONTENTS
Background
............................................................... 107
I. Suppression Motions
............................................. 108
A. Motions to
Suppress Materials Seized From Ajaj ............ 108
(1) Ajaj's Motion
........................................ 108
(2) Abouhalima's Motion
.................................. 110
(a) Rule 403
........................................ 110
(b) First Amendment
................................. 111
(3) Ayyad's Motion
....................................... 112
B. Motion to
Suppress Contents of the Storage Shed ........... 112
(1) Probablese
........................................... 112 (2) Franks Hearing
....................................... 113
(3) Good Faith Reliance
.................................. 114
II. Procedural Motions
.............................................. 114
A.
Abouhalima--Severance ..................................... 114
(1) Ajaj's Holy War
Materials ............................ 115
(2) Salameh's Summation
.................................. 116
B.
Abouhalima--Involuntariness of Statement .................. 117
C.
Ayyad--Failure to Grant Funds for Experts ................. 118
D.
Ajaj--Eastern District Plea Agreement ..................... 118
III. Jury Selection
.................................................. 120
IV.
Evidentiary Rulings ............................................. 122
A. Admission
of Evidence Regarding Bombing Victims ........... 122
(1) Probative Value
...................................... 122
(2) Danger of Unfair
Prejudice ........................... 123
B. Admission
of Evidence Regarding Nosair .................... 123
(1) Photographs of
Salameh and Nosair .................... 123
(2) Admission of Abouhalima's
Contacts with Nosair ....... 124
C. Admission
of Identification ............................... 124
(1) Use of Photo Array
................................... 125
(2) Subsequent In-Court
Identifications .................. 126
D.
Examination of Storage Facility Employee .................. 127
(1) Leading Questions
.................................... 127
(2) Comments Regarding
Meeting ........................... 128
E. Testimony
of the Government's Fingerprint Expert .......... 128
F. Admission
of DNA Evidence ................................. 129
G.
Confrontation Clause ...................................... 130
(1) Moneeb
............................................... 131
(2) Butler
............................................... 131
(3) Moharam
.............................................. 132
H. Requested
Read-back of Testimony .......................... 132
V. Jury Arguments
.................................................. 133
A.
Prosecutorial Misconduct as to Abouhalima ................. 134
(1) Government
Misrepresentations ........................ 134
(a) Witnesses
....................................... 134
(b) Affiliation With
Yousef ......................... 134
(c) Inexplicable
Nervousness ........................ 134
(2) Jury Fear
............................................ 134
(3) Government Vouching
.................................. 135
(4) Burden of Proof
...................................... 136
B.
Prosecutorial Misconduct as to Ajaj ....................... 137
(1) Government's Improper
Arguments ...................... 137
(2) Attacks on the
Defense ............................... 138
(3) Change in Summation
Theory ........................... 139
VI. Jury Charge
..................................................... 140
A. The Bully
Hypothetical .................................... 140
B.
Abouhalima--Terrorist Materials ........................... 144
C. Elements
of the Charged Conspiracy ........................ 145
D. Ajaj's
Objection to the Jury Charge ....................... 147
(1) Essential Nature of
Plan ............................. 147
(2) Inclusion of the
Pinkerton Charge .................... 148 (3) Failure to Charge on Withdrawal Sua
Sponte ........... 150
VII. Sufficiency of the Evidence
..................................... 151
A. Standard
of Review ........................................ 151
B. Ajaj
...................................................... 151
C. Abouhalima
................................................ 155
VIII. Unfair Trial--Due Process
....................................... 157
IX. Post-Trial Motions
.............................................. 158
A. New Trial
(Ajaj) .......................................... 158
B.
Ineffective Assistance of Counsel ......................... 160
X. Sentencing
...................................................... 161
Conclusion ................................ 161 [*107] BACKGROUND
[FN1] FN1. Because defendants appeal their
convictions after a jury trial, our statement of the facts views the evidence
in the light most favorable to the government, crediting any inferences that
the jury might have drawn in its favor. See United States v. Aulicino, 44 F.3d 1102, 1114
(2d Cir.1995). On April 24, 1992, Ahmad Mohammad Ajaj departed from his home in
Houston, Texas, and traveled to the Middle East to attend a terrorist
training camp, known as "Camp Khaldan," on the Afghanistan-Pakistan
border. There he learned how to construct homemade explosive devices. During
his time in Pakistan, Ajaj met Ramzi Ahmed Yousef. Together the two plotted
to use their newly acquired skills to bomb targets in the United States. In the fall of 1992, after formulating a terrorist plan, Ajaj
and Yousef traveled to New York under assumed names. Ajaj carried with him a
"terrorist kit" that he and Yousef had assembled in Pakistan. The
kit included, among other things, handwritten notes Ajaj had taken while
attending explosives courses, manuals containing formulae and instructions
for manufacturing bombs, materials describing how to carry-off a successful
terrorist operation, videotapes advocating terrorist action against the
United States, and fraudulent identification documents. On September 1, 1992, Ajaj and Yousef, using false names and
passports, arrived at John F. Kennedy International Airport in New York. At
customs, INS inspectors discovered that Ajaj's passport had been altered and,
consequently, they searched his belongings. Upon discovery of the
"terrorist kit," Ajaj became belligerent. The INS seized Ajaj's
"terrorist kit" and placed him under arrest. Ajaj was later
indicted in the United States District Court for the Eastern District of New
York for passport fraud. He pled guilty and was sentenced to six months'
imprisonment. During Ajaj's encounter with the INS inspectors, he denied that
he was traveling with Yousef, who proceeded unmolested to the secondary
inspection area where he presented an Iraqi passport and claimed political
asylum. Yousef was arrested for entering the United States without a visa.
Eventually he was released on his own recognizance. Once in New York, Yousef assembled a team of trusted criminal
associates, including Mohammed Salameh, Nidal Ayyad, Mahmoud Abouhalima and
Abdul Rahman Yasin. Together, the conspirators implemented the bombing plot
that Ajaj and Yousef had hatched overseas. Ayyad and Salameh opened a joint
bank account into which they deposited funds to finance the bombing plot.
Some of that money was later used by Salameh to rent a storage shed in Jersey
City, New Jersey, where the conspirators stored chemicals for making
explosives. Yousef also drew on that account to pay for materials described
in Ajaj's manuals as ingredients for bomb making. The first target of the conspirators' plot was the World Trade
Center. Ayyad used [*108] his position as an engineer at Allied Signal, a
large New Jersey chemical company, to order the necessary chemical
ingredients for bomb making, and to order hydrogen tanks from ALG Welding
Company that would enhance the bomb's destructive force. Abouhalima obtained
"smokeless powder," which the conspirators used to make explosives.
Smokeless powder, and all the other chemicals procured by the conspirators
for the bomb, were stored in the shed rented by Salameh. Abouhalima helped Salameh and Yousef find a ground floor
apartment at 40 Pamrapo Avenue in Jersey City. The apartment fit the
specifications in Ajaj's manuals for an ideal base of operations. In the 40
Pamrapo apartment, Abouhalima, Salameh, Yousef and Yasin mixed the chemicals
for the World Trade Center bomb, following Ajaj's formulae. Abouhalima also
obtained a telephone calling card, which the conspirators used to contact
each other and to call various chemical companies for bomb ingredients. During this entire period, although Ajaj remained incarcerated,
he kept in telephone contact with Yousef. By doing so, Ajaj stayed abreast of
the conspirators' progress in carrying out the terrorist plot and attempted
to get his "terrorist kit" into Yousef's hands. Because Ajaj was in
jail and his telephone calls were monitored, Ajaj and Yousef spoke in code
when discussing the bomb plot. On February 23, 1993, Salameh rented a yellow van at DIB
Leasing, a Ryder dealership in Jersey City. The conspirators loaded their
homemade bomb into that van. On February 26, 1993, the conspirators drove the
bomb-laden van into a below-ground parking lot on the B-2 level of the World
Trade Center Complex and, using a timer, set the bomb to detonate. At 12:18
p.m., the bomb exploded, killing six people, injuring over a thousand others,
and causing hundreds of millions of dollars in damage. After the explosion, Ayyad took credit for the bombing on behalf
of the conspirators by, among other things, writing an anonymous letter to
the New York Times explaining that the attack was undertaken in retaliation
for American support of Israel. The letter threatened future terrorist
"missions." Immediately after the bombing, Yousef, Abouhalima and Yasin fled
the country. Abouhalima was apprehended in Egypt prior to the trial and
turned over to federal agents by Egyptian authorities, but Yousef and Yasin
remained fugitives. Salameh arranged to flee as well, but was arrested the
day before he planned to depart when he made the ludicrous mistake of going
back to the Ryder truck rental office to get his rental deposit back. On
March 1, 1993, Ajaj completed his term of imprisonment on the passport fraud
conviction and was released. Approximately one week later, on March 9, Ajaj
was taken into government custody on an INS detainer. In September 1993, Ayyad, Abouhalima, Ajaj, Salameh, Yousef and
Yasin were indicted in the United States District Court for the Southern
District of New York (Duffy, J.), on various charges relating to their
participation in the plot to bomb the World Trade Center. Yousef and Yasin
were still fugitives at the time of trial. [FN2] FN2. Yousef was captured in Pakistan on or
about February 8, 1995. He was tried and convicted in 1997. See United
States v. Salameh, S12 93 Cr. 18(KTD). Yasin remains a fugitive. The trial lasted six months and involved over 1000 exhibits and
the testimony of more than 200 witnesses. The defendants were convicted on
all counts and each was sentenced to 240 years' imprisonment. Defendants now
appeal their convictions and sentences, raising a variety of issues. I. SUPPRESSION MOTIONS A. Motions to Suppress Materials Seized from Ajaj 1. Ajaj's Motion Ajaj claims that Judge Duffy should have suppressed the
terrorist materials seized from him at Kennedy Airport. He maintains that the
materials were obtained and then held pursuant to an illegal grand jury
subpoena. Ajaj's argument has no merit. [*109] On October 6, 1992, Ajaj pled guilty in the United States
District Court for the Eastern District of New York (Raggi, J.) to one count
of passport fraud. After the guilty plea, Judge Raggi ordered the government
to return Ajaj's belongings or to come forward with a reason for failing to
do so. On December 22, 1992, an Assistant United States Attorney for
the Eastern District of New York served a grand jury subpoena on Ajaj calling
for production of many of the terrorist materials seized at Kennedy Airport.
Although the subpoena purported to be a subpoena ad testificandum, it was
accompanied by a duces tecum rider that specified the materials Ajaj was
ordered to produce. When Ajaj's counsel in the passport fraud case inquired
whether the subpoena really sought Ajaj's testimony as well as the evidence
listed in the rider, the government explained that the subpoena sought only
the specified evidence. Ajaj did not move to quash the subpoena. After Ajaj learned that the government was planning to introduce
the terrorist materials in the World Trade Center bombing trial, he moved to
suppress the materials held pursuant to the grand jury subpoena. Ajaj argued
that the subpoena was illegal since: (1) Ajaj could not have been under
investigation when the subpoena was issued because it was issued after the
completion of the passport fraud case but before the World Trade Center was
bombed; and (2) the subpoena was a subpoena ad testificandum, not a subpoena
duces tecum. Judge Duffy denied Ajaj's motion to suppress, finding that the
use of the subpoena was proper. Ajaj renews his claim on appeal. It is "improper for the government to use a grand jury
subpoena 'for the sole or dominant purpose of preparing for trial.' " United
States v. Sasso, 59 F.3d 341, 351 (2d Cir.1995) (quoting United States v.
Leung,
40 F.3d 577, 581 (2d. Cir.1994)). However, "[w]here there [is] some
proper dominant purpose for the postindictment subpoena ... the government is
not barred from introducing evidence obtained thereby." Id. at 351-52. A grand
jury subpoena is presumed to have a proper purpose, and the defendant bears
the burden of showing that the grand jury has exceeded its legal powers. See United
States v. R. Enterprises, Inc., 498 U.S. 292, 300-01, 111
S.Ct. 722, 112 L.Ed.2d 795 (1991). A defendant must present
"particularized proof" of an improper purpose to overcome the
presumption of propriety of the grand jury subpoena. See United States v.
Mechanik, 475 U.S. 66,
75, 106 S.Ct. 938, 89 L.Ed.2d 50 (1986). Ajaj failed to present any proof that the government misused the
grand jury subpoena. He maintains that the subpoena had no legitimate purpose
because in December 1992, when the subpoena was issued, his passport fraud
prosecution was over and the World Trade Center had not yet been bombed. He
therefore posits that he could not have been under investigation when the
subpoena was issued and therefore that the sole purpose of the subpoena was
to circumvent Judge Raggi's order for the return of the materials. The government presented evidence that demonstrated a proper
purpose for the grand jury subpoena. It consisted primarily of an affidavit
from the Assistant United States Attorney who prepared the subpoena,
explaining that the materials seized from Ajaj were used in a joint FBI-NYPD
investigation of terrorism. The affidavit further noted that the subpoena was
not connected to the Eastern District passport fraud case. This evidence
established that the subpoena had a proper purpose. See Sasso, 59 F.3d at 352. While the government should not have ignored Judge Raggi's order
to return Ajaj's belongings or to explain its reasons for failing to do so,
any relief that Ajaj was entitled to seek would have been some sort of
remedial order directed to the entity that violated Judge Raggi's
order—the United States Attorney's Office for the Eastern District of
New York. Ajaj did not seek such an order. The subsequent grand jury proceeding
in the Southern District of New York was a wholly independent investigation
into terrorist activity. Such an investigation was clearly within the
province of the Southern District grand jury. See, e.g, Branzburg v. Hayes, 408 U.S. 665, 668, 92
S.Ct. 2646, 33 L.Ed.2d 626 (1972) (grand jury can investigate " 'merely
on suspicion [*110] that the law is being violated, or even because it wants
to assure that is not' " (citation omitted)). With respect to the
Southern District investigation, Ajaj has not met his burden of showing that
the government's use of the grand jury was improper. Accordingly, he has not
overcome the presumption of regularity applicable to grand jury proceedings.
See Leung, 40 F.3d at 581. also argues that the subpoena was somehow illegal because it
purported to be a subpoena ad testificandum when it actually was a subpoena
duces tecum. Ajaj fails to explain why the subpoena was invalid because of
this technical error. A subpoena ad testificandum may order a person to bring
objects with him for the use of the grand jury. See 2 Charles Alan Wright,
Federal Practice and Procedure § 274, at 150 (2d ed.1982). On its face,
the subpoena issued to Ajaj appeared to request both his presence and the
production of physical evidence. Although it turned out that Ajaj's testimony
was superfluous, the subpoena was not improper because the grand jury
requested production of Ajaj personally in addition to the terrorist
materials. See id. at 151. Moreover, Ajaj suffered no prejudice as a result of the
mischaracterization of the subpoena. The rider made it clear that the
subpoena sought the terrorist materials Ajaj brought into the United States.
Moreover, when Ajaj's counsel inquired whether the subpoena sought testimony
from Ajaj, the government explained that it did not. Thus, the government's
inadvertence did not prejudice Ajaj, and was not grounds to suppress the
evidence held pursuant to the subpoena. 2. Abouhalima's Motion Judge Duffy admitted some of the materials seized from Ajaj into
evidence against all the defendants. Abouhalima argues that the admission of
Ajaj's terrorist materials violated Federal Rule of Evidence 403, and his
rights under the First Amendment of the Constitution. a. Rule 403 The trial judge admitted the following terrorist materials
seized from Ajaj into evidence against all the defendants: (1) a videotape of
the bombing of an American embassy which also provided instruction on how to
make explosives and timing devices; (2) Ajaj's handwritten notebooks on how
to make explosives (including urea nitrate) and improvised weapons; (3) a
videotape containing a chemistry lesson on manufacturing explosives; (4)
manuals on catalysts, detonators and other bomb ingredients; (5) a document
entitled "Facing the enemies of God terrorism is a religious duty and
force is necessary," which urged acts of terrorism against the enemies
of Islam; and (6) a book entitled "Rapid Destruction and
Demolition," which described the destruction of buildings and contained
a formula for using explosives to accomplish this end. In addition, Judge Duffy admitted copies of: (1) "Facing
the enemies of God"; and (2) "Rapid Destruction and
Demolition" that were recovered from Abouhalima's residence. The copy of
"Rapid Destruction and Demolition" found in Abouhalima's residence
bore his fingerprint on the page containing the formula for destroying
buildings with explosives. Abouhalima argues that Judge Duffy should not have
admitted these terrorist materials because they were highly prejudicial and
lacked probative value. He is incorrect. Under Rule 403, relevant evidence may be excluded when its
probative value is "substantially outweighed by the danger of unfair
prejudice, confusion of the issues, or misleading the jury, or by
considerations of undue delay, waste of time, or needless presentation of
cumulative evidence." Fed.R.Evid. 403. A district court is obviously in
the best position to do the balancing mandated by Rule 403. See, e.g., United
States v. Birney, 686 F.2d 102, 106 (2d Cir.1982). We will second-guess a
district court "only if there is a clear showing that the court abused
its discretion or acted arbitrarily or irrationally." United States
v. Valdez, 16 F.3d 1324, 1332 (2d Cir.1994). To avoid acting arbitrarily,
the district court must make a "conscientious assessment" of
whether unfair prejudice substantially outweighs probative value. Birney, 686 F.2d at 106. [*111] Although it does not bear directly on the charged
elements of a crime, evidence offered to prove motive is commonly admitted.
See id. at 106-07. In addition, evidence that provides background
information necessary to the jury's understanding of the nature of the
conspiratorial agreement properly is admitted "to furnish an explanation
of the understanding or intent with which certain acts were performed." United
States v. Daly, 842 F.2d 1380, 1388 (2d Cir.1988). Where a defendant is a member of a conspiracy, all the evidence
admitted to prove that conspiracy, even evidence relating to acts committed
by co-defendants, is admissible against the defendant. See, e.g., United
States v. Cunningham, 723 F.2d 217, 230 (2d Cir.1983). The record amply demonstrates that Judge Duffy made a
"conscientious assessment" of the proffered evidence and properly
determined that unfair prejudice did not substantially outweigh the probative
value of these materials. See Birney, 686 F.2d at 106. Before admitting
any materials, Judge Duffy scrupulously reviewed each item and heard
extensive argument from counsel. Having heard both sides, Judge Duffy
excluded a number of the materials seized from Ajaj as unduly prejudicial.
The materials that were admitted established the existence of the conspiracy
to bomb American targets and demonstrated the defendants' intent and
motivation to use violence to protest American foreign policy in the Middle
East. For example, the documents seized from Ajaj provided instruction
on: (1) constructing bombs; (2) mixing explosives; and (3) using bombs to
destroy buildings. Specific pages of these materials contained formulae for
the same explosives that were used to construct the World Trade Center bomb,
and Ajaj's and Yousef's fingerprints were found on those pages. Moreover,
traces of those same explosives were found in the homes of, and on objects
linked to, Yousef, Abouhalima, Salameh and Ayyad. Thus, the terrorist
materials provided circumstantial proof of a connection among the
conspirators and their familiarity with bomb making and the use of
explosives. In addition, the copies of "Facing the enemies of
God," and "Rapid Destruction and Demolition," that were
recovered from Abouhalima's residence linked the conspirators. The copy of
"Rapid Destruction and Demolition" seized from Abouhalima bore his
fingerprint on the page containing the formula for destroying buildings with
explosives. Under the circumstances, the fact that Ajaj and Abouhalima both
possessed the same documents was probative of their relationship as
co-conspirators. The materials possessed by both Ajaj and Abouhalima bristled
with strong anti-American sentiment and advocated violence against targets in
the United States. These same themes were expressed in a letter attributed to
another co-conspirator, Ayyad, that was sent to the New York Times in the
aftermath of the bombing. The materials, in addition to establishing a link
between the co-conspirators, evidenced the conspiracy's motive and intent to
bomb targets in the United States. In addition, the materials provided the
jury with background and "an explanation of the understanding or intent
with which certain acts were performed." Daly, 842 F.2d at 1388. Furthermore, the materials had probative value in light of their
similarity to the actual bombing. As Judge Duffy recognized, one videotape
admitted in evidence showed a man driving a truck into a building that was
flying an American flag. The building was then demolished in an explosion.
The videotape thus closely resembled the actual events at the World Trade
Center and provided further evidence of motive and intent. The sulphurous anti-American sentiments expressed in the
terrorist materials no doubt threatened to prejudice the jury against the
defendants. However, Judge Duffy did not abuse his discretion by concluding
that the significant probative value of this evidence was not substantially
outweighed by the danger of unfair prejudice. b. First Amendment Abouhalima argues also that the admission of Ajaj's terrorist
materials violated Abouhalima's First Amendment rights. Ajaj's possession of
the terrorist materials, [*112] Abouhalima contends, was used as the
basis for an inference that Abouhalima and the other conspirators engaged in
criminal acts. It is difficult to comprehend this argument since it is beyond
cavil that "[t]he First Amendment ... does not prohibit the evidentiary
use of speech to establish the elements of a crime or to prove motive or
intent." Wisconsin v. Mitchell, 508 U.S. 476, 489, 113
S.Ct. 2194, 124 L.Ed.2d 436 (1993). Neither Ajaj nor Abouhalima was
prosecuted for possessing or reading terrorist materials. The materials
seized from Ajaj were used appropriately to prove the existence of the
bombing conspiracy and its motive. Moreover, any prejudicial effect they
might have had was ameliorated by the trial court's instruction that mere
possession of the literature is not illegal and that the defendants'
political beliefs were not on trial. 3. Ayyad's Motion Ayyad argues that admission of Ajaj's terrorist materials
violated Federal Rule of Evidence 801(d)(2)(E). This claim is meritless
because the materials were admissible for a non-hearsay purpose. Federal Rule of Evidence 801(c) defines hearsay as "a
statement, other than one made by the declarant while testifying at the trial
or hearing, offered in evidence to prove the truth of the matter
asserted." Rule 801(d)(2)(E) provides that, notwithstanding the
definition in Rule 801(c), "a statement by a coconspirator of a party
during the course and in furtherance of the conspiracy," is equally not
hearsay. Obviously, if the proffered evidence is not hearsay in the first
place, under Rule 801(c), the various requirements of Rule 801(d)(2)(E) need
not be met. See Anderson v. United States, 417 U.S. 211, 219, 94
S.Ct. 2253, 41 L.Ed.2d 20 (1974). The terrorist materials seized from Ajaj discussed two issues:
(1) the desirability of attacking enemies of Islam; and (2) how to produce
and use explosives. However, the government introduced this evidence to prove
the state of mind of those who harbored these materials, relevant to prove:
(1) the existence of the bombing conspiracy; and (2) the conspirator's intent
and motives. See Tr. 7320-21. "Where, as here, the statement is offered as circumstantial
evidence of [a defendant's] state of mind, it does not fall within the
definition given by Rule 801(c); because it was not offered to prove the
truth of the matter asserted." United States v. Detrich, 865 F.2d 17, 21
(2d Cir.1988); see United States v. Pedroza, 750 F.2d 187, 200 (2d Cir.1984).
As proof of defendants' state of mind, Ajaj's terrorist materials were not
hearsay under Rule 801(c), and their failure to come within Rule 801(d)(2)(E)
is of no consequence. See Anderson, 417 U.S. at 219, 94 S.Ct. 2253. B. Motion to Suppress Contents of the Storage Shed At trial, the government introduced homemade nitroglycerine and
large quantities of bomb making ingredients seized from a storage shed (the
"Shed"), at the Space Station storage facility in Jersey City (the
"Space Station"). Salameh argues that Judge Duffy should have
suppressed this evidence. Salameh is wrong. On March 5, 1993, a Magistrate Judge in the District of New
Jersey issued a search warrant for the Shed. Probable cause for the warrant
was based upon an affidavit of FBI Special Agent Eric Pilker. Before trial, Salameh moved to suppress the evidence from the
Shed on the ground that Pilker's affidavit did not establish probable cause
for the search. Salameh also requested a hearing to test alleged
misstatements in Pilker's affidavit. Judge Duffy denied the motion to
suppress as well as the requested hearing, finding that: (1) Salameh lacked
standing to contest the search; (2) there was probable cause for the search
warrant; and (3) even if the warrant was not supported by probable cause, the
search was proper because it was conducted in good faith reliance on the
search warrant. Because we agree that there was both probable cause and good
faith, we need not and do not address the standing argument. 1. Probable Cause In deciding whether probable cause exists for a search warrant,
a judge [*113] must determine whether "there is a fair probability
that contraband or evidence of a crime will be found in a particular
place." Illinois v. Gates, 462 U.S. 213, 238, 103
S.Ct. 2317, 76 L.Ed.2d 527 (1983). "[O]nly the probability, and not the
prima facie showing, of criminal activity is the standard of probable
cause." Id. at 235, 103 S.Ct. 2317 (internal quotation marks and citation
omitted). In assessing the proof of probable cause, the government's
affidavit in support of the search warrant must be read as a whole, and
construed realistically. See id. at 230-31, 103 S.Ct. 2317. We accord "great deference" to a judge's determination
that probable cause exists, and we resolve any doubt about the existence of
probable cause in favor of upholding the warrant. See United States v.
Jakobetz, 955 F.2d 786, 803 (2d Cir.1992). Our duty is "simply to
ensure that the magistrate had a 'substantial basis for ... conclud[ing]'
that probable cause existed." Gates, 462 U.S. at 238-39, 103 S.Ct. 2317
(citation omitted; alterations in original). Pilker's affidavit in support of the search warrant stated that
an explosion had occurred at the World Trade Center, and that an FBI
explosives expert had determined that it was caused by a bomb. The affidavit
also related that the expert knew from examining an auto part recovered at
the crime scene that the part belonged to whatever vehicle carried the bomb.
Using the part's vehicle identification number, investigators traced it to a
yellow Ford Econoline 350 van registered in Alabama to the Ryder Truck Rental
Company and leased by Mohammad Salameh from a rental office in Jersey City
for a one-week period beginning three days before the explosion. Elsewhere in the affidavit, Pilker related that a Space Station
employee informed the FBI that storage shed number 4344 was under lease to
"Kamil Ibrahim." The employee told the FBI that on February 25,
1993, one day before the bombing, he observed "Kamil Ibrahim,"
along with other males, making numerous trips to the Shed using a yellow
Ryder van. Moreover, the same Space Station employee stated that on March 4,
1993, less than one week after the bombing, he entered the Shed and observed
containers marked "sulfuric acid," "nitric acid" and
"urea." A forensic chemist at the Bureau of Alcohol, Tobacco and
Firearms informed the FBI that those three substances could be combined to
produce a powerful bomb. Finally, the affidavit described that, when renting the Ryder
van, Salameh had given a telephone number that belonged to someone named
Jodie Hadas at 34 Kensington Avenue, Apt. 4, in Jersey City. When
investigators searched that apartment on March 4, 1993, they found tools,
wiring and manuals concerning antennae, circuitry and electromagnetic
devices. A law enforcement bomb technician advised the FBI that these items
indicated that a bomb maker lived in that apartment. Cumulatively, this evidence provided ample probable cause to
believe that the Shed contained evidence of the World Trade Center bombing. 2. Franks Hearing Salameh argues that Pilker's affidavit contained recklessly
false statements regarding the alleged evidence of bomb making discovered at
the Kensington Avenue apartment. Salameh asserts that Judge Duffy should have
granted him a hearing under Franks v. Delaware, 438 U.S. 154, 98 S.Ct.
2674, 57 L.Ed.2d 667 (1978), to test the accuracy of Pilker's claims. To be entitled to a Franks hearing, a defendant must make a
"substantial preliminary showing" that: (1) the claimed
inaccuracies or omissions are the result of the affiant's deliberate
falsehood or reckless disregard for the truth; and (2) the alleged falsehoods
or omissions were necessary to the judge's probable cause finding. See United
States v. Levasseur, 816 F.2d 37, 43 (2d Cir.1987). If, after setting aside
the allegedly misleading statements or omissions, the affidavit, nonetheless,
presents sufficient information to support a finding of probable cause, the
district court need not conduct a Franks hearing. See id. In his affidavit, Pilker related that the Kensington Avenue
apartment contained evidence [*114] of a bomb maker. Salameh maintains
that this statement was false, and that Pilker was reckless in including it
in his affidavit. In support of his claim of recklessness, Salameh proffered the
affidavit of Musab Yasin, an electrical engineering professor who claimed to
reside in the Kensington Avenue apartment. Yasin averred that the materials
discovered by the government were used in his electrical engineering studies.
He also said that he informed Pilker of this fact on two separate occasions,
but Pilker failed to include Yasin's benign explanation of the materials in
the affidavit in support of the search warrant. The district judge did not err in denying Salameh a Franks
hearing because the allegedly false statements in Pilker's affidavit were not
necessary for a finding of probable cause. See United States v. Trzaska, 111 F.3d 1019,
1027-28 (2d Cir.1997). As detailed above, there was a wealth of evidence
presented in Pilker's affidavit which raised a reasonable probability that
the Shed contained evidence of the World Trade Center bombing. Disregarding
the allegedly false statements in Pilker's affidavit, the other evidence
presented by the government amply supported a finding of probable cause. See United
States v. Marin-Buitrago, 734 F.2d 889, 895 (2d Cir.1984). 3. Good Faith Reliance Even assuming, arguendo, that probable cause was lacking for the
issuance of the search warrant, Judge Duffy properly declined to suppress the
evidence discovered in the Shed because the search of the Shed was conducted
in good faith reliance on the search warrant. If a reviewing court determines that a search warrant was not
supported by probable cause, a motion to suppress will still be denied if the
court finds that the officers who conducted the search acted in good faith
reliance on a facially valid warrant. See United States v. Leon, 468 U.S. 897, 918-23, 104
S.Ct. 3405, 82 L.Ed.2d 677 (1984). An officer's reliance on a warrant is not
in good faith when the application supporting the warrant is " 'so
lacking in indicia of probable cause as to render official belief in [the
existence of probable cause] entirely unreasonable.' " Id. at 923, 104 S.Ct.
3405 (quoting Brown v. Illinois, 422 U.S. 590, 610-11, 95
S.Ct. 2254, 45 L.Ed.2d 416 (1975) (Powell, J., concurring in part)). For the reasons explained above, the application for the warrant
presented ample indicia of probable cause. Thus, the agents' reliance on the
warrant in conducting the search of the Shed was reasonable and in good
faith. II. PROCEDURAL MOTIONS A. Abouhalima—Severance Abouhalima argues that the district court deprived him of a
constitutionally fair trial by denying his pretrial motion for a severance.
Specifically, Abouhalima first claims that absent severance, he was harmed by
the admission and the subsequent "spillover" effect of "holy
war" literature and video tapes that were seized from Ajaj at Kennedy
Airport in September 1992. These materials included (1) a videotape of the
bombing of the American Embassy, which contained instructions regarding how
to make explosives and timing devices and how to construct a bomb; (2) Ajaj's
manuals, detailing how to prepare explosives, including urea nitrate, and
improvised weapons; (3) a videotape containing a chemistry lesson on
manufacturing explosives; (4) additional manuals on catalysts, detonators and
other bomb ingredients; (5) a document entitled "Facing the enemies of
God—[T]errorism is a[R]eligious [D]uty and [F]orce is
[N]ecessary," which urged acts of terrorism against the enemies of
Islam; and (6) a book entitled "Rapid Destruction and Demolition,"
which described the destruction of buildings and contained a formula for
using explosives to accomplish this end. Copies of publications (5) and (6)
above were recovered from Abouhalima's residence and admitted into evidence.
Although identical, Abouhalima does not dispute the admissibility of these
items, but only those items seized from Ajaj. Next, Abouhalima argues that through the joinder, he was
prejudiced by Salameh's closing [*115] argument, where Salameh purportedly
asserted a defense antagonistic to his own. In this regard, as part of his
defense, Abouhalima refused to concede either that a bomb had caused the
World Trade Center explosion, or that he had any association with Yousef.
Salameh, on the other hand, conceded not only the existence of a bomb, but
argued that he was an unwitting dupe of Yousef, who had masterminded the
bombing. Because the government had characterized Yousef as Abouhalima's
close associate, Abouhalima avers that Salameh's summation undermined his
defense of not knowingly participating in the conspiracy. We find no basis for reversal. "There is a preference in
the federal system for joint trials of defendants who are indicted
together." Zafiro v. United States, 506 U.S. 534, 537, 113
S.Ct. 933, 122 L.Ed.2d 317 (1993); United States v. Hernandez, 85 F.3d 1023, 1029
(2d Cir.1996). This preference is particularly strong where, as here, the
defendants are alleged to have participated in a common plan or scheme. See
Fed.R.Crim.P. 8(b); United States v. Cardascia, 951 F.2d 474, 482
(2d Cir.1991); United States v. Turoff, 853 F.2d 1037, 1042 (2d Cir.1988).
"It would impair both the efficiency and the fairness of the criminal
justice system to require ... that prosecutors bring separate proceedings,
presenting the same evidence again and again, requiring victims and witnesses
to repeat the inconvenience (and sometimes trauma) of testifying, and
randomly favoring the last-tried defendants who have the advantage of knowing
the prosecution's case beforehand." Richardson v. Marsh, 481 U.S. 200, 210, 107
S.Ct. 1702, 95 L.Ed.2d 176 (1987). Whether to grant or deny a severance motion is "committed
to the sound discretion of the trial judge." United States v.
Casamento, 887 F.2d 1141, 1149 (2d Cir.1989); see United States v.
Torres, 901 F.2d 205, 230 (2d Cir.1990). The district court's exercise
of that discretion is "virtually unreviewable." United States v.
Lasanta, 978 F.2d 1300, 1306 (2d Cir.1992) (citation and internal
quotation marks omitted). Accordingly, a district court's denial of a severance motion
under Federal Rule of Criminal Procedure 14 will be reversed "only if a
defendant can 'show prejudice so severe that his conviction constituted a
miscarriage of justice, and that the denial of his motion constituted an
abuse of discretion.' " Hernandez, 85 F.3d at 1029 (quoting United
States v. Rosa, 11 F.3d 315, 341 (2d Cir.1993)). To satisfy this
"extremely difficult burden, of showing an abuse of discretion, an
appellant must demonstrate that the denial of the motion caused substantial
prejudice," Casamento, 887 F.2d at 1149-50 (internal quotation
marks and citations omitted), that is, "prejudice so great as to deny
him a fair trial," Cardascia, 951 F.2d at 482. "If the denial of
the motion causes some prejudice, but less than substantial prejudice, we are
not apt to reverse, since, by and large, joinder promotes judicial
efficiency." Casamento, 887 F.2d at 1150. 1. Ajaj's Holy War Materials The admission of Ajaj's "holy war" materials did not
result in prejudicial spillover as to Abouhalima. Therefore, the district
court did not err in denying severance. A defendant's claim that he was
prejudiced by the admission of evidence at a joint conspiracy trial is
insupportable when the evidence would have been admissible against him in a
separate trial alone as a member of the conspiracy. See Rosa, 11 F.3d at 341
(such evidence "is neither spillover nor prejudicial"); United
States v. Cunningham, 723 F.2d 217, 230 (2d Cir.1983). "Prejudice"
occurs in joint trials when proof inadmissible against a defendant becomes a
part of his trial solely due to the presence of co-defendants as to whom its
admission is proper. See, e.g., United States v. Cervone, 907 F.2d 332,
341-42 (2d Cir.1990). This is an unlikely occurrence when all the defendants
are charged under the same conspiracy count. See United States v. DiNome, 954 F.2d 839,
843-44 (2d Cir.1992). In the present case, Ajaj and Abouhalima were alleged to have
participated in a common plan or scheme and were tried under the same
conspiracy count. As we have already discussed in connection with
co-appellant [*116] Ayyad, the materials seized from Ajaj at Kennedy Airport
were properly admitted as background evidence to establish the nature and
scope of the conspiracy and to establish the motive and intent of the
conspirators, namely, a desire to use violence to effect change in American
foreign policy in the Middle East. See United States v. Daly, 842 F.2d 1380,
1387 (2d Cir.1988) ("Background evidence may be admitted to show, for
example, the circumstances surrounding the events or to furnish an
explanation of the understanding or intent with which certain acts were
performed."). Additionally, the materials were admissible to link
Abouhalima to the conspiracy, as two of the terrorist publications seized
from Ajaj were identical to the publications found in Abouhalima's apartment.
Because each of the items would have been admitted against Abouhalima had he
been tried alone, they were properly admitted against Abouhalima in the joint
trial and there is no prejudicial "spillover." Consequently,
Abouhalima has not shown that the district court erred in denying his
pretrial motion for a severance, let alone an abuse of discretion and a
miscarriage of justice. 2. Salameh's Summation We find no prejudice to Abouhalima arising from Salameh's
summation. " '[M]utually antagonistic' or 'irreconcilable' defenses
may be so prejudicial in some circumstances as to mandate severance." Zafiro, 506 U.S. at 538,
113 S.Ct. 933. In order to make a showing of "mutually
antagonistic" or "irreconcilable defenses," the defendant must
make a factual demonstration that "acceptance of one party's defense
would tend to preclude the acquittal of [the] other." United States
v. Smith, 788 F.2d 663, 668 (10th Cir.1986) (internal quotation marks
and citation omitted); United States v. Keck, 773 F.2d 759, 765
(7th Cir.1985). However, "[m]utually antagonistic defenses are not
prejudicial per se. Moreover, Rule 14 does not require severance even if
prejudice is shown; rather, it leaves the tailoring of the relief to be
granted, if any, to the district court's sound discretion." Zafiro, 506 U.S. at
538-39, 113 S.Ct. 933; see, e.g., id. at 540-41, 113 S.Ct. 933 (where two
co-defendants both claim they are innocent and each accuses the other of the
crime, district court did not err in denying motion for severance). "The
risk of prejudice will vary with the facts in each case ... [and w]hen the
risk of prejudice is high, a district court is more likely to determine that
separate trials are necessary, but, as [the Supreme Court] indicated in Richardson
v. Marsh, less drastic measures, such as limiting instructions, often
will suffice to cure any risk of prejudice." Id. at 539, 113 S.Ct.
933. " '[J]uries are presumed to follow their instructions.' " Id. at 540, 113 S.Ct.
933 (citation omitted). Throughout the trial in this case, all four defendants
challenged the government's case without attempting to accuse one another.
Unlike Abouhalima, during summation Salameh abandoned his trial strategy of
disputing that a bomb had caused the explosion and argued that he was nothing
more that an unwitting dupe of Yousef, who had masterminded the bombing.
While the defense asserted by Salameh was, in the end, inconsistent with
Abouhalima's defense, at no time did Salameh argue or suggest that Abouhalima
was involved in the bombing, or directly contradict Abouhalima's defense
strategy. Salameh and Abouhalima both claimed to be innocent of the charges
and neither's claim of innocence required the jury to find the other guilty. Consequently, because there was nothing directly antagonistic
between the two defense theories so as to create mutually antagonistic or
irreconcilable defenses, we perceive no ground for reversal based on the
court's denial of severance. Furthermore, any possible prejudice was
eliminated by the district court's repeated admonitions to the jury that each
defendant's guilt had to be separately and individually considered. [FN3]
See, e.g., [*117] Hernandez, 85 F.3d at 1029-30 (rejecting claim of
prejudicial spillover where "the district court instructed the jury that
it was required to consider the evidence against each defendant individually
for each count"); United States v. Losada, 674 F.2d 167, 171
(2d Cir.1982) (same). FN3. In his opening instructions to the
jury, Judge Duffy explained: "There are four defendants on trial here.
There are four trials occurring before you. Each one of the defendants must
be considered totally separate and apart from the others. Each [is] to be
treated individually." At the conclusion of the trial, Judge Duffy
instructed the jury as follows: "You must make separate determinations
as to whether or not any defendant has been proved guilty beyond a reasonable
doubt. In making that judgment, you are to disregard entirely the
circumstance that the defendant is tried with the three others, that counsel
for the various defendants worked together during the trial, that they have
divided part of the cross-examination up." Moreover, to the extent that Salameh's summation may have
undermined Abouhalima's defense by indirectly linking him to Yousef, any
possible prejudice was cured by the district court's jury instruction that
"[m]ere association with other people that you found are members of the
conspiracy is not enough for you to find a person to be a member ... [even] a
person who has knowledge of a conspiracy and all of its ramifications and
does nothing about it is not a co-conspirator.... [It's] got to be an
intentional joining of the conspiracy." In light of this instruction, we
find no error. B. Abouhalima—Involuntariness of Statement Abouhalima made two incriminating remarks during his post-arrest
interview. Specifically, shortly after being taken into United States'
custody, Abouhalima was informed that he was under arrest for his
participation in the World Trade Center bombing. Once FBI agents advised him
of his constitutional rights, they interviewed him about the apartment at 40
Pamrapo. During the interview, Abouhalima asked an officer whether he knew an
individual by the name of "Rashid." Yousef's nickname was
"Rashed." [FN4] Abouhalima also corrected an FBI agent's
pronunciation of "Pamrapo." At trial, Abouhalima requested a
suppression hearing directly before these remarks were admitted into
evidence. The court, however, found that such a hearing was unnecessary. After
introducing these statements into evidence, the government used these
statements to assert that Abouhalima had linked the questioning about 40
Pamrapo to the World Trade Center bombing and to Yousef. FN4. The differences in the spelling of
"Rashid" and "Rashed" are a result of different
transliterations of the name from the Arabic. There was no evidence that more
than one "Rashid" or "Rashed" was involved in the events
giving rise to this case. Abouhalima now argues that we should direct the district court
on remand to reconsider Abouhalima's motion to suppress his post-arrest
remarks. Specifically, Abouhalima asserts that his comments were given
involuntarily and without a valid Miranda waiver because they followed ten
days of incarceration and torture in Egypt. Accordingly, Abouhalima argues
that the court's failure to hold a suppression hearing violated his Fifth and
Sixth Amendment rights. Under the circumstances, we find no basis for a suppression
hearing. "[Courts are not required to] divine a defendant's motivation
for speaking or acting as he did [when] there [is] no claim that governmental
conduct coerced his decision." Colorado v. Connelly, 479 U.S. 157,
165-66, 107 S.Ct. 515, 93 L.Ed.2d 473 (1986). "A diminished mental state
is only relevant to the voluntariness inquiry if it made mental or physical
coercion by the police more effective." United States v. Chrismon, 965 F.2d 1465,
1469 (7th Cir.1992). In the present case, while it is reasonable that Egyptian
incarceration and torture, if true, would likely weaken one's mental state,
one's mental state does not become part of the calculus for the suppression
of evidence unless there is an allegation that agents of the United States
engaged in some type of coercion. Because Abouhalima does not contend that
federal agents either mentally or physically coerced his remarks during that
interrogation, there is no basis for inquiry into a possible constitutional
violation. "Only if we were to establish a brand new constitutional
right—the right of a criminal defendant to confess to his crime only
when totally rational and properly motivated—could respondent's present
claim be sustained." Connelly, 479 U.S. at 166, 107 S.Ct. 515. [*118] C. Ayyad—Failure to Grant Funds for Experts Ayyad argues that the district court unreasonably interfered
with his efforts to secure expert testimony and consultation by authorizing
only a portion of the Criminal Justice Act (CJA) funds that he requested.
Specifically, on January 28, 1994, during the fourth month of the trial,
Ayyad, who was represented by retained counsel, applied for $35,000 in CJA
funds for five expert witnesses concerning DNA evidence, explosives,
computers, linguistics and culture. The district court initially responded by
authorizing $1,000 for the DNA expert and $1,000 for the explosives expert,
but denied Ayyad's request to retain the computer expert, linguist and an
expert on culture (sociologist). Ayyad asserts that the district court's
response "left him unprepared and unable to test the government's direct
case ... requir[ing] reversal." The government responds that just three days after its initial
ruling, the court reconsidered and granted Ayyad's application in full.
Accordingly, the government avers that Ayyad's argument is factually incorrect
and does not support a reversal. We agree. The Criminal Justice Act of 1964 provides in pertinent part:
"Counsel for a person who is financially unable to obtain investigative,
expert, or other services necessary for adequate representation may request
them in an ex parte application." 18 U.S.C. § 3006A(e)(1). The
statute requires the district court to authorize these funds when a defense
attorney "makes a reasonable request in circumstances in which he would
independently engage such services [if his client was able to pay for
them]." United States v. Durant, 545 F.2d 823, 827 (2d Cir.1976)
(citing United States v. Theriault, 440 F.2d 713, 717 (5th Cir.1971) (Wisdom,
J., concurring)); see United States v. Oliver, 626 F.2d 254, 259
(2d Cir.1980). While the district judge should entertain such requests with a
liberal attitude, he is nevertheless "obligated to exercise his
discretion in determining whether such services are necessary." Oliver, 626 F.2d at 260.
Services "necessary for an adequate defense" include
"preparation for cross-examination of a government expert as well as
presentation of an expert defense witness." Id.; see id. at 828 (district
court commits reversible error when it denies CJA funds for fingerprint
expert, where fingerprint evidence was likely to be "pivotal"). In this case, we need not decide whether the district court
erred in initially declining to grant Ayyad's application in full. Because
the district court timely reconsidered that order and granted Ayyad the full
$35,000 in CJA funds, we perceive no prejudice. Moreover, we observe that
during the three-week interval between the district court's authorization of
the funds and the time that Ayyad rested before the jury, he called no
witnesses and never requested a continuance to consult with his experts.
Consequently, there is no basis for reversal. D. Ajaj—Eastern District Plea Agreement Ajaj argues that his prosecution under the instant indictment is
barred by the express terms of his plea agreement regarding the passport fraud
charges in the Eastern District of New York ("Eastern District plea
agreement"). He claims that the United States Attorney's Office for the
Eastern District of New York ("Eastern District prosecutor's
office") improperly passed along work to the United States Attorney's
Office for the Southern District of New York ("Southern District
prosecutor's office") to circumvent a restriction on its own ability to
prosecute Ajaj on charges stemming from Ajaj's role in the World Trade Center
bombing. For the reasons that follow, we conclude that Ajaj's arguments are
meritless. Following his arrest and detention at Kennedy Airport, Ajaj was
charged in the Eastern District of New York with knowingly using a false
passport, 18 U.S.C. § 1543 (Count One), and using the passport of
another person, 18 U.S.C. § 1544 (Count Two) ("Eastern District
indictment"). On October 6, 1992, Ajaj, with the assistance of his
then-counsel, Douglas Morris, executed a written plea agreement with the
Eastern District prosecutor's office. Ajaj agreed to plead guilty to Count
Two in return for the Eastern District prosecutor's promise to move to [*119] dismiss Count
One at sentencing and not oppose a two-level reduction under the Sentencing
Guidelines for Ajaj's acceptance of responsibility. Paragraph 4 of that plea
agreement provided that "[t]his agreement is limited to the United
States Attorney's Office for the Eastern District of New York and cannot bind
other federal, state or local prosecuting authorities." On October 6, 1992, Ajaj pled guilty to Count Two of the Eastern
District indictment before United States District Judge Raggi. During the
course of the allocution, Judge Raggi asked the parties whether they had
agreed to any additional terms to supplement the written plea agreement.
Attorney Morris, counsel for Ajaj, responded: There's also an agreement that the
Government will not bring any charges arising out of Mr. Ajaj's entry into
the United States on September 1st, including any false statement charge, and
it will not bring any charges arising from any thing or document that Mr.
Ajaj was carrying with him on that date. (emphasis added). Following Attorney Morris' articulation of
this supplementary oral agreement, the Eastern District prosecutor agreed,
stating "[t]hat's correct, your Honor." Judge Raggi, to ascertain
whether Ajaj understood the agreement in its entirety, questioned Ajaj and
paraphrased Attorney Morris' articulation of the oral agreement. Judge Raggi
stated: THE COURT: Now, the lawyers tell me that the
agreement represents all of the promises and agreements between you and the
Government, except that the Government also promises that it's not going to
bring any other charges against you relating to your conduct on September
1st. The question I want to put to you, now, is
do you know of any other promises [or] agreements made by you or the
Government as a part of this decision to plead guilty? Is there anything else? THE DEFENDANT: No. (emphasis added). Prior to trial under the instant indictment filed in the
Southern District of New York ("Southern District indictment"),
Ajaj moved to dismiss the indictment, arguing that the prosecution was barred
by the terms of the Eastern District plea agreement. Specifically, Ajaj
argued that under the terms of the oral supplement to that agreement,
"the Government," which included the Southern District prosecutor's
office, was barred from prosecuting Ajaj on charges "arising from"
and "relating to" his September 1 entry into the United States and
the terrorist materials in his possession. Ajaj argued that in contravention
of that agreement, two overt acts charged in Count One of the Southern
District indictment stated: a. On or about September 1, 1992, AHMAD MOHAMMAD AJAJ, using an
airline ticket issued in the name of "Khurram Khan," and RAMZI
AHMED YOUSEF, using an airline ticket issued in the name of "Azan
Muhammad," traveled together from Pakistan to John F. Kennedy
International Airport, in Queens County, New York ("Kennedy
Airport"). b. On or about September 1, 1992, AHMAD MOHAMMAD AJAJ
transported from Pakistan to Kennedy Airport, manuals and other materials
containing, among other things, instructions on the construction and use of
explosive devices, including improvised explosive devices using urea and
nitric acid and nitroglycerine. The government, in opposition to Ajaj's motion, argued that the
parties to the Eastern District plea agreement never contemplated that the
plea agreement would bar the prosecution of Ajaj for terrorist-related
activities. According to the government, the parties had entered into the
supplementary oral agreement to address Ajaj's concern that (1) he had made
false statements to INS officials on September 1, 1992; (2) the government
would bring additional fraud-related charges against Ajaj based on his
possession of false identification documents; and (3) the possession of
terrorist materials themselves might constitute a crime. On September 13, 1993, the district court denied Ajaj's motion,
concluding that "the written portion of the plea bargain specifically
limited the [plea agreement] to the United States Attorney's Office for the
Eastern District [*120] of New York. It is unreasonable to believe that anyone,
including Ajaj, believed that the addendum announced in open court by his own
attorney could bind all levels of government within the United States....
Under the circumstances leading up to Ajaj's guilty plea, the only reasonable
expectation Ajaj could have was that he would not be further prosecuted by
the United States Attorney in the Eastern District of New York." We
agree. It is well settled that a prosecutor's promises made in return
for a defendant's guilty plea must be fulfilled. See Mabry v. Johnson, 467 U.S. 504, 509, 104
S.Ct. 2543, 81 L.Ed.2d 437 (1984) ("[W]hen the prosecution breaches its
promise with respect to an executed plea agreement, the defendant pleads
guilty on a false premise, and hence his conviction cannot stand."); Santobello
v. New York, 404 U.S. 257, 262, 92 S.Ct. 495, 30 L.Ed.2d 427 (1971). When
the express terms of a plea agreement set forth promises by "the
Government," we have held that the "plea agreement binds only the
office of the United States Attorney for the district in which the plea is
entered unless it affirmatively appears that the agreement contemplates a
broader restriction," United States v. Annabi, 771 F.2d 670, 672
(2d Cir.1985) (per curiam), or unless "there [is] evidence to show that
[a prosecutor] [i]s attempting to evade its own obligations [under the plea
agreement] by transferring a prosecution" to another office, United
States v. Alessi, 544 F.2d 1139, 1154 (2d Cir.1976); see also United
States v. DiNapoli, 817 F.2d 978, 979 (2d Cir.1987) (per curiam); United States
v. Papa, 533 F.2d 815, 825 (2d Cir.1976). The mere use of the term
" 'government' in the plea agreement does not create an affirmative
appearance that the agreement contemplated barring districts" other than
the particular district entering into the agreement. United States v.
Laskow, 688 F.Supp. 851, 853 (E.D.N.Y.1988), aff'd, 867 F.2d 1425 (2d
Cir.1988). Here, Ajaj presents no evidence that the parties to the Eastern
District plea agreement contemplated that it would bar the prosecution of
Ajaj in any district other than the Eastern District. Indeed, the explicit
terms of the Eastern District plea agreement expressly limited the plea
agreement to the Eastern District of New York. Moreover, assuming that the
plea agreement would bar the Eastern District prosecutor's office from
prosecuting Ajaj for crimes arising from the World Trade Center bombing, Ajaj
presents no evidence that the Eastern District prosecutor's office attempted
to circumvent a restriction on its authority to prosecute by transferring its
work to the Southern District prosecutor's office. The Southern District
prosecutor's office independently investigated criminal offenses arising from
the World Trade Center bombing and filed an indictment in the Southern District
charging Ajaj with crimes that were distinct from the passport fraud charges
in the Eastern District. We therefore affirm the district court's denial of
Ajaj's motion. III. JURY SELECTION Abouhalima maintains that he was denied a fair trial because Judge
Duffy, during voir dire, failed to ask sufficiently probing questions
regarding the jury panel's bias against Muslims, Arabs and Islamic
Fundamentalism. Abouhalima argues that, aside from uncovering bias, a more
extensive voir dire would have helped the defendants exercise their
peremptory challenges more effectively. Abouhalima adds that the judge should
have asked questions about Ajaj's terrorist materials during voir dire.
Because the record shows that Judge Duffy conducted a proper and searching voir
dire, we disagree. Before trial, the parties submitted proposed voir dire
questions. Abouhalima's counsel submitted a proposed written questionnaire
with 79 questions soliciting the prospective jurors' views about "Islam,
Muslims and Arabs." However, Judge Duffy declined to use a written
questionnaire and instead conducted jury selection in three stages. In the first stage, potential jurors were sent to the courtroom
in groups of 50. The judge explained the charges in the Indictment, read a
list of names and places that might be mentioned during the trial and [*121] entertained
petitions from those who sought to be excused from jury service. Judge Duffy
eliminated anyone who expressed bias against the defendants or hesitancy
about serving on the jury. After this stage, approximately 60 out of 150
possible jurors remained. In the second stage of jury selection, Judge Duffy randomly
placed jurors in five groups of twelve. Each group was brought separately
into open court where Judge Duffy asked a series of questions, including: (1)
"If you had to describe your religious views, how would you do
it?"; (2) "Have you ever had an incident in your life that would
make it difficult to judge another person because of their race or creed or
color or national origin or anything like that?"; (3) "Have you
ever moved out of an area because you were disturbed that the area was
changing?"; and (4) "Do you think that you could be fair and impartial
in a case like this?" Again, jurors who expressed bias or difficulty
assessing the case impartially were excused. In the third stage of jury selection, the judge questioned each
remaining venire person privately in the jury room, with all counsel present.
Before beginning the individual questioning, Judge Duffy emphasized that
jurors had to be "totally fair and impartial" and base their
decisions solely on the evidence. Judge Duffy asked each venire person
whether he or she: (1) had ever traveled to the Middle East; (2) had any
feelings about Israel; (3) would be affected in any way by the fact that the
four defendants were Muslims; (4) had any friends who were Muslims; (5) had
any business dealings with Muslims; and (6) could be fair and impartial in
this case. Judge Duffy also asked each person follow-up questions when
appropriate, to further assess his or her ability to be fair and impartial.
At the end of the third stage of voir dire, the judge entertained counsel's
challenges for cause. Finally, before the parties exercised their peremptory
challenges, Judge Duffy again asked each venire person whether he or she
could be fair and impartial and whether he or she was willing to serve. Judge
Duffy explained that if the answer to either of these last two questions was
"no," he could excuse the venire person without further inquiry.
After the jurors answered these final questions, the parties exercised their
peremptory challenges. "The conduct of the voir dire is entrusted to the broad
discretion of the trial judge ... and an appellate court will not interfere
with the manner in which it has been conducted absent a clear abuse of
discretion." United States v. Barton, 647 F.2d 224, 230
(2d Cir.1981); see Rosales-Lopez v. United States, 451 U.S. 182, 189, 101
S.Ct. 1629, 68 L.Ed.2d 22 (1981). "[A] trial judge has broad discretion
whether to pose a defendant's requested voir dire questions." United
States v. Kyles, 40 F.3d 519, 524 (2d Cir.1994). Inquiry as to racial or ethnic
prejudice must be made when "the circumstances of the case indicate that
there is a reasonable possibility that racial or ethnic prejudice might have
influenced the jury." Rosales-Lopez, 451 U.S. at 191, 101 S.Ct. 1629.
However, "the trial court retains great latitude in deciding what
questions should be asked on voir dire " to uncover racial or ethnic
bias. Mu'Min v. Virginia, 500 U.S. 415, 424, 111
S.Ct. 1899, 114 L.Ed.2d 493 (1991); see United States v. Taylor, 92 F.3d 1313, 1324
(2d Cir.1996), cert. denied, 519 U.S. 1093, 117 S.Ct. 771, 136 L.Ed.2d 717
(1997). Judge Duffy did not abuse his discretion in conducting jury
selection. Although he chose not to use each of Abouhalima's 79 proposed questions
verbatim, Judge Duffy's inquiry as to religious, ethnic or cultural bias was
proper and thorough. Furthermore, despite Abouhalima's claims, it was within
the judge's sound discretion not to question potential jurors about the
terrorist materials seized from Ajaj at Kennedy Airport, particularly
remembering that none of the defendants submitted proposed questions on this
issue. Finally, the fact that additional questions, such as those Abouhalima
submitted regarding Islamic Fundamentalism, might have aided the defendants
in their peremptory challenges does not render Judge Duffy's voir dire
defective. See Mu'Min, 500 U.S. at 425-26, 111 S.Ct. 1899. [*122] IV. EVIDENTIARY RULINGS A. Admission of Evidence Regarding Bombing Victims At trial, the government presented testimony from several
victims of the bombing, rescue workers who aided the victims, and a medical
examiner who examined some of the fatalities from the attack. In addition,
the government introduced photographs of several victims killed in the
bombing. Salameh and Abouhalima urge that the trial court should have
excluded this evidence under Federal Rule of Evidence 403. During the first four days of the trial, the government
presented a number of witnesses to describe what happened before, during and
after the bombing. In addition to describing their personal experiences as a
result of the attack, several witnesses recounted observing the panic and
suffering of other victims. Indeed, one such witness broke down in tears
while testifying. The government also introduced thirteen photographs of the six
people killed in the bombing. Four of the photographs were facial close-ups
of the bombing victims, six depicted the position of one of the victims at
death, one was a close-up of an injury to a victim's shoulder, and two showed
victims' bodies as they lay in stretchers. One of the victims shown on a
stretcher was clearly pregnant. The photographs are graphic depictions of the
corpses. Undeniably, they are disturbing. After the photographs were introduced, a medical examiner
testified that in her opinion, the victims were killed by "blunt impact
trauma" caused by objects traveling at great speed. The medical examiner
used the photos of the victims to illustrate injuries consistent with her
opinion. The defendants protest that the evidence relating to the victims
was unfairly prejudicial. As explained above, Rule 403 requires the district
court to exclude relevant evidence if its probative value is substantially
outweighed by the danger of unfair prejudice. See Fed.R.Evid. 403. A district
judge's Rule 403 analysis is reversible error only when it is a clear abuse
of discretion. See Valdez, 16 F.3d at 1332. 1. Probative Value To prove the charges in the indictment, the government had to
demonstrate that the World Trade Center bombing caused death and personal
injury. Thus, the government suggests that the victim testimony and
photographs had substantial probative value in proving the charges against
the defendants. Salameh and Abouhalima point out that they offered to
stipulate that the explosion in the World Trade Center caused injury and
death. They maintain that their proffered stipulation eliminated any
probative value that the victim testimony and photographs otherwise might
have had. The Supreme Court recently has reaffirmed that "a criminal
defendant may not stipulate or admit his way out of the full evidentiary
force of the case as the government chooses to present it." Old Chief
v. United States, 519 U.S. 172,
117 S.Ct. 644, 653, 136 L.Ed.2d 574 (1997) (limiting exception to this rule
to cases where defendant offers to stipulate to prior felony conviction); see
United States v. Gilliam, 994 F.2d 97, 101 (2d Cir.1993). "[A]
piece of evidence may address any number of separate elements, striking hard
because it shows so much at once." Old Chief, 519 U.S. at
——, 117 S.Ct. at 653. The evidence regarding the victims was probative of the nature
and location of the explosion that killed the victims, which the defendants
disputed at trial. Government experts opined that the devastation of the
World Trade Center was wrought by a bomb hidden in a van parked in the B-2
level of the World Trade Center. The defendants vigorously contested this
theory. The testimony of the victims supported the government's experts'
version of events. Moreover, the photographs of the victims provided
corroboration for the expert witnesses' conclusions regarding the cause of
the blast and the resulting casualties and damage. Thus, the testimony and
photographs of the victims had substantial probative value, notwithstanding
the defendants' offer to stipulate to death and injury. See United States
v. Gantzer, 810 F.2d 349, 351 (2d Cir.1987). [*123] 2. Danger of Unfair Prejudice There is no doubt that the testimony and photographs of the
victims were shocking, and a significant amount of such evidence was
admitted. Nevertheless, as explained above, the evidence had substantial
probative value. Probative evidence is not inadmissible solely because it has
a tendency to upset or disturb the trier of fact. See Kuntzelman v. Black, 774 F.2d 291, 292
(8th Cir.1985); United States v. Brady, 579 F.2d 1121, 1129 (9th Cir.1978). Judge Duffy weighed the prejudicial effect of the evidence and
concluded that it did not substantially outweigh its probative value. His
decision was not an abuse of discretion. See Valdez, 16 F.3d at 1332. B. Admission of Evidence Regarding Nosair 1. Photographs of Salameh and Nosair Salameh insists that the trial judge violated Federal Rule of
Evidence 404(a)(1) by admitting photographs of Salameh with El-Sayyid Nosair,
a reputed political terrorist convicted of murdering an Israeli rabbi. On March 4, 1993, FBI agents recovered Salameh's briefcase from
Yasin's Jersey City apartment. The briefcase contained a number of
photographs, including: (1) a photograph of Salameh, Nosair and Mohammed
Abdul Hamed, the resident of the apartment where Abouhalima's refrigerator
(which was used to store bomb making materials) was later discovered; (2) a
photograph of Salameh, Nosair and Ayyad; and (3) several photographs of
Salameh and Nosair. At trial, the government introduced all the pictures pursuant to
a stipulation between counsel to admit the entire contents of Salameh's
briefcase. No evidence was presented as to who Nosair was, what allegedly he
had done or that he was in prison. Nosair's name was, however, mentioned,
without further amplification, when he was identified in the photographs. Generally, evidence of a defendant's bad character is
inadmissible to prove action in conformity therewith. See Fed.R.Evid. 404(a).
Evidence that tends to prove a character trait of a defendant is admissible
if it is offered for another, proper purpose. See Hynes v. Coughlin, 79 F.3d 285, 290
(2d Cir.1996) (discussing Rule 404(b)). Salameh argues that the photographs
of Nosair were introduced solely to prove that he had a propensity for
terrorist acts and that he acted in conformity with that propensity by
conspiring to bomb the World Trade Center. His argument has little merit. The government presented the photographs to: (1) establish the
association of various members of the charged conspiracy; and (2) link
members of the conspiracy to Abouhalima's refrigerator, which was found in
Hamed's apartment. The photograph of Salameh, Nosair and Ayyad demonstrated the
relationship between Salameh and Ayyad. As proof of the association between
two conspirators, this photograph was probative of the existence of the
conspiracy. The photograph of Salameh, Nosair and Hamed established a
connection between Abouhalima's refrigerator and the conspiracy. The
government argued that the conspirators used Abouhalima's refrigerator to
store bomb making ingredients, and then moved the refrigerator to Hamed's
apartment to cover their trail. The defendants disputed any connection to the
refrigerator found in Hamed's apartment. The photo of Salameh and Hamed
linked the two men, and circumstantially connected Salameh and the conspiracy
to the refrigerator found in Hamed's apartment. Salameh's argument also fails because the photographs were not
evidence of Salameh's character. Salameh proposes that the jury was asked to
infer from the photographs that he was a terrorist because he associated with
Nosair. However, no evidence was presented at trial regarding Nosair's
terrorist activities. Salameh posits that the jury would have recognized
Nosair's name, recalled that he was accused of terrorist acts, and imputed
his terrorist activities to Salameh. This is sheer fantasy. [*124] 2. Admission of Abouhalima's Contacts with Nosair Abouhalima contends that Judge Duffy erroneously admitted a
visitor's log indicating that Abouhalima visited Nosair in prison. Abouhalima
appears to claim that the visitor's log was unfairly prejudicial and
possessed no probative value. Abouhalima's argument is contradicted by the
record. At trial, the government introduced phone records which showed
that Abouhalima and his co-conspirators used Abouhalima's calling card to
contact each other and to order various chemicals and explosives. Abouhalima
maintained that his calling card had been stolen and that an unauthorized
user made the calls. In support of this claim, Abouhalima pointed out that he
twice notified the phone company that his card was being fraudulently used,
first on February 8, 1993, and again on the day of the bombing, February 26,
1993. To rebut Abouhalima's claim that he lost the calling card, the
government introduced evidence that a call was made with Abouhalima's calling
card on February 7, 1993, from the Attica Correctional Facility's Visitor's
Center. The government also introduced the visitor's log from the Attica
Visitor's Center, which showed that Abouhalima visited Nosair on February 7,
1993. Abouhalima was Nosair's sole visitor that day. The visitor's log was properly admitted. It tended to disprove
Abouhalima's claim that his calling card was stolen. See Fed.R.Evid. 401
(evidence is relevant if it makes any fact of consequence less probable). The
probative value of this evidence easily outweighed any possible unfair
prejudice. See Fed.R.Evid. 403. This is especially true when it is recalled
that Nosair was never identified as a terrorist. C. Admission of Identification Both Salameh and Abouhalima challenge the admission of pretrial
and in-court identification evidence after a witness incorrectly identified
two jurors as Salameh and Abouhalima. Specifically, Salameh and Abouhalima
contend that it was improper to allow the government to introduce the
bewildered witness's pretrial identification of Salameh and Abouhalima and
his subsequent, accurate in-court identification. This is one of the more
compelling arguments. On the morning of the bombing, Willie Hernandez Moosh was
working as a gas station attendant in Jersey City. At trial, Moosh testified
through a Spanish interpreter. He said that between 3:00 and 4:00 a.m., on
February 26, 1993, a yellow Ryder van and a navy blue Lincoln Continental
entered Moosh's gas station together. Moosh described the passenger of the
Ryder van as having a "horse face" and black hair, and the driver
of the Lincoln as a husky, white man with orange colored hair, freckles and a
light beard. Moosh said that the two men told him to fill up their vehicles
with gas. Moosh stated that, after he filled up the tanks, the driver of
the Lincoln paid for both vehicles. Moosh recounted that the two vehicles
began to drive away but stopped when a police car happened to drive by the
station. At that point, the passenger of the Ryder van got out, raised the
hood of the van and asked Moosh for some water. Moosh fetched the water, but
he remembered that the water was never used. At trial, Moosh identified a photograph of Yousef as the
"horse face" passenger in the Ryder van. The government then asked
Moosh if he saw the driver of the Lincoln in the courtroom, and Moosh stepped
down from the witness stand, pointed at the jury box to one of the jurors,
and said, "[i]t was a person such as this one." After Moosh
returned to the stand, the government asked him if he saw the driver of the
Ryder van in the courtroom. Again, Moosh left the witness stand, pointed to
another juror, and said, "[a] person such as this one." At sidebar, the government stated its intention to rehabilitate
the witness by presenting evidence of Moosh's prior identification of Salameh
and Abouhalima from photo arrays shown to him by the FBI shortly after the
bombing. Defense counsel objected, but—significantly—did not
request a hearing to determine whether the prior identification of the photo
arrays was unduly suggestive. Judge Duffy admitted the photo arrays under
Federal Rule of Evidence 801(d)(1)(C). [*125] Salameh's counsel preferred
that all the arrays shown to Moosh be admitted, not just the two from which
Moosh had identified Salameh and Abouhalima. All the arrays were then
admitted. When Moosh earlier identified the defendants from the photo
arrays, he signed statements affirming that the men he selected in the arrays
were the men he saw at the gas station on the morning of the bombing. Before
the arrays were admitted into evidence, the government attached these
statements to each of the two arrays containing the photographs of Salameh
and Abouhalima. No objection was made. Moosh testified that approximately one week after the bombing of
the World Trade Center, he saw a picture of Salameh in a newspaper and
recognized him as one of the men who bought gas on the morning of the
bombing. Moosh then recounted his meeting with the FBI, during which he
identified the driver and passenger of the Ryder van, and the driver of the
Lincoln, from the photo arrays. The government then showed Moosh the photo
arrays, including those containing photos of Salameh and Abouhalima. Moosh
identified the exhibits as the arrays he had reviewed and confirmed that the
statements attached to those arrays bore his signature. At that point, trial was adjourned for the day. After the jury
was excused and Moosh left the witness stand, Moosh pointed out Abouhalima to
his interpreter and said, "that Rubio [meaning, in Spanish, a blond or
red-haired person] in the corner ... that is him." The interpreter
related Moosh's statement to Judge Duffy and the government. The next
morning, the government informed Judge Duffy and defense counsel that, when
cross-examination was completed, it planned on redirect to elicit Moosh's
observations about "Rubio." On cross-examination by Salameh's counsel, Moosh testified that
he might have been incorrect the day before when he identified the juror as
the driver of the Ryder van. Moosh said that the driver actually looked more
like the defendant Salameh. Moosh walked over to Salameh, stood next to him,
and said, "Yes, it's him.... He was this gentleman who came. Yes, because
now I can see him closer up and I can concentrate more." On redirect examination by the government, Moosh explained that
he recognized Abouhalima in court on the prior evening. On recross, Moosh
explained that he had not looked around the room carefully the day before and
he recognized Abouhalima for the first time as he was leaving the stand. On appeal, Salameh and Abouhalima stress that the trial judge
committed reversible error by admitting the photo arrays and Moosh's
subsequent in-court identifications. First, Salameh and Abouhalima claim that
the photo array was unduly suggestive and used improperly to refresh Moosh's
recollection. Second, Salameh and Abouhalima contend that because Judge Duffy
improperly allowed the government "to prompt the witness to change his
identification," the in-court identifications of Salameh and Abouhalima
were tainted and prejudicial. [65] Link to KeyCite Notes We review a district court's decision
to admit identification evidence for clear error. Jakobetz, 955 F.2d at 803. 1. Use of Photo Array A prior identification is admissible under Fed.R.Evid.
801(d)(1)(C), regardless of whether the witness confirms the identification
in-court. See United States v. Simmons, 923 F.2d 934, 950 (2d Cir.1991); United
States v. Lewis, 565 F.2d 1248, 1251-52 (2d Cir.1977). A prior identification
will be excluded only if the procedure that produced the identification is
"so unnecessarily suggestive and conducive to irreparable mistaken
identification that [the defendant] was denied due process of law." Simmons, 923 F.2d at 950
(internal quotation marks and citation omitted; alteration in original). A
district court's decision to admit a prior identification is entitled to
deference and will not be disturbed absent clear error. See Jakobetz, 955 F.2d at 803. The district court did not abuse its discretion by admitting the
photo array as evidence of a prior identification. As an initial, but
important, matter, defendants waived their [*126] right to
challenge the prior identification. The government provided the defendants
with the photo arrays before trial and advised them that the arrays were used
by the FBI to elicit identifications of the defendants. However, no defendant
sought to suppress the arrays. See Fed.R.Crim.P. 12(b)(3) (motion to suppress
"must be raised prior to trial"). Moreover, neither Salameh nor Abouhalima requested a Wade
hearing pursuant to United States v. Wade, 388 U.S. 218, 87 S.Ct.
1926, 18 L.Ed.2d 1149 (1967), to assess whether the photo arrays were unduly
suggestive. Therefore, that claim was waived. See Fed.R.Crim.P. 12(f)
("Failure by a party to raise defenses or objections ... which must be
made prior to trial ... shall constitute waiver thereof."); United
States v. Gomez-Benabe, 985 F.2d 607, 611 (1st Cir.1993). Finally, putting aside the waiver issue, Salameh and Abouhalima
have failed to demonstrate that the photo arrays were unduly suggestive. Each
array consisted of six black and white photographs depicting men very similar
in appearance to each other. None of the arrays met the standard for
suppression on the ground of suggestiveness. See United States v. Gibson, 135 F.3d 257, 260
(2d Cir.1998) (per curiam); United States v. Bautista, 23 F.3d 726, 731
(2d Cir.1994). Salameh and Abouhalima now cavil that it was improper to attach
Moosh's written statements to two of the photo arrays. First, no defendant
objected to this evidence. Second, they have not shown that the attachment of
the prior statements, viewed in the totality of the circumstances, was
"conducive to irreparable mistaken identification." Simmons, 923 F.2d at 950
("[E]ven a suggestive out-of-court identification will be admissible if,
when viewed in the totality of the circumstances, it possesses sufficient
indicia of reliability."). 2. Subsequent In-Court Identifications The trial court did not err by admitting Moosh's subsequent
in-court identifications of Salameh and Abouhalima. A witness who identified a defendant prior to trial may make an
in-court identification of the defendant if: (1) the procedures giving rise
to the pretrial identification were not unduly suggestive; or (2) the
in-court identification is independently reliable, even though the pretrial
identification was unduly suggestive. See, e.g., United States v. Wong, 40 F.3d 1347, 1359
(2d Cir.1994) (citing Manson v. Brathwaite, 432 U.S. 98, 114, 97 S.Ct.
2243, 53 L.Ed.2d 140 (1977); Jarrett v. Headley, 802 F.2d 34, 42
(2d Cir.1986)). The reliability of an in-court identification is determined
by "weighing the degree of suggestiveness of [the pretrial procedures]
against 'factors suggesting that [the] in-court identification may be independently
reliable rather than the product of the earlier suggestive procedures.'
" United States v. Ciak, 102 F.3d 38, 42 (2d Cir.1996) (quoting United
States v. Maldonado-Rivera, 922 F.2d 934, 973 (2d Cir.1990) (citations
omitted; second alteration in original)). Factors suggesting reliability
include: the witness's opportunity to view the defendant during the crime;
the witness's degree of attention; the accuracy of the witness's
pre-identification description of the defendant; the level of certainty demonstrated
at the identification; and the time between the crime and the identification.
Manson, 432 U.S. at 114, 97 S.Ct. 2243. Although the government cannot properly endeavor "to
manufacture an identification" where none existed, it may use a photo array
to attempt to refresh a witness's recollection. Maldonado-Rivera, 922 F.2d at
975-76. Such a procedure is appropriate "provided there is a foundation
for believing that the witness once had knowledge of the fact as to which his
recollection is to be refreshed." Id. at 976. As discussed above, Salameh and Abouhalima failed to demonstrate
that Moosh's prior identification was based on unduly suggestive procedures.
Accordingly, any question regarding the reliability of Moosh's
identifications goes only to the weight of the evidence, not its
admissibility. Even assuming, arguendo, that the photo arrays were unduly
suggestive, the in-court identification was admissible because it was
independently reliable. Moosh testified that [*127] he had seen
and spoken with Salameh and Abouhalima when he pumped gas for them on the
fateful morning. He independently recognized Salameh's photograph in the
newspaper and accurately described both Salameh and Abouhalima to the FBI.
There is no suggestion that Moosh was equivocal during his FBI interview,
including when he identified Salameh and Abouhalima from the photo arrays.
Furthermore, the pretrial identification occurred shortly after the bombing.
See id. Moreover, the jury witnessed the botched, and subsequently
corrected, in-court identification. The jurors could determine for themselves
the credibility of Moosh's subsequent identification based on this evidence. D. Examination of Storage Facility Employee Abouhalima contends that he was deprived of a fair trial when
the government was allowed to use leading questions during direct examination
of Blessing Igiri, and later when the court interfered during Salameh's
cross-examination of Igiri. We disagree. Igiri worked at the Space Station. On direct examination, he
testified that Salameh, whom Igiri knew as "Kamal Ibraham," had
rented the Shed. Igiri added that, on the day before the bombing, he spoke
with Salameh and another man at the Space Station while they were waiting for
a delivery. Igiri related that a truck loaded with gas cylinders pulled into
the facility and that Salameh and the other man attended to the delivery. After discussing the delivery, Igiri said that he could not
recall what happened next. The government then asked Igiri: "Now, sir,
did there come a time when you saw another vehicle approach the gate?"
Salameh's objection that the question was leading was overruled. Igiri
answered "no," he had not seen another vehicle. The trial then was
adjourned for lunch. When trial resumed, Igiri testified that, after the gas cylinder
truck had departed, he had, in fact, observed Salameh and the other man enter
the Space Station in a yellow Ryder van. On cross-examination, Salameh's counsel pursued his quarry. He
asked Igiri whether he had spoken to the government during the lunch recess.
Igiri said no. However, in a sidebar requested by Salameh's counsel, the
government commendably acknowledged that it had spoken with Igiri during the
recess. At the request of Salameh's counsel, Judge Duffy asked Igiri in open
court whether he had indeed spoken with the government during the recess.
Igiri reiterated his denial. Judge Duffy then asked counsel for the
government, in front of the jury, whether he met with Igiri. Counsel for the
government confirmed that he had. Judge Duffy instructed Igiri that "[l]awyers are supposed
to talk to witnesses before they arrive here because if they don't know what
the witnesses are going to testify to, God knows what we would be listening
to. It is required. If they sit down and talk to you, there is nothing wrong
with that at all. All right?" No defendant objected to Judge Duffy's
questioning of, or comment to, Igiri. Upon further cross-examination, Igiri
admitted meeting with the government during the recess and answered questions
about the meeting. Abouhalima and Salameh now put forward that Judge Duffy
committed reversible error by: (1) allowing the government to ask leading
questions; and (2) his comments on Igiri's lunch-time meeting with the
government. 1. Leading Questions The government notes that Abouhalima failed to raise his
objections below and appellate review of these claims therefore is barred
absent plain error. See United States v. Olano, 507 U.S. 725, 735-36, 113
S.Ct. 1770, 123 L.Ed.2d 508 (1993). The government forgets, however, that
Judge Duffy had earlier established a ground rule that an objection by one
defendant would preserve the claims of all defendants. Therefore, when
Salameh's counsel objected to the leading question put to Igiri, that
objection was deemed raised by Abouhalima, as well. Accordingly, we review
the district court's decision to allow the government to lead the witness
Igiri for an abuse of discretion. See [*128] United States v. Ajmal, 67 F.3d 12, 16 (2d
Cir.1995). The trial court did not abuse its discretion by allowing the
government to ask Igiri whether he "saw another vehicle approach the
gate." Although leading questions generally should not be used on direct
examination, a district judge may allow them "as may be necessary to
develop the witness' testimony." Fed.R.Evid. 611(c). The challenged
question was necessary to develop Igiri's testimony and elicit information
from a nervous witness. See id. 2. Comments Regarding Meeting Abouhalima also claims that Judge Duffy's questions and comments
during Igiri's cross-examination were improper and demonstrated bias in favor
of the government. Because no defendant objected to Judge Duffy's questions
and comments, this claim is barred absent plain error. See Olano, 507 U.S. at 735,
113 S.Ct. 1770. However, even if there were a proper objection, Abouhalima's
claim would lack merit because the court properly exercised its discretion. Reversal for judicial bias is appropriate only where an
examination of the entire record demonstrates that "the jurors have been
impressed with the trial judge's partiality to one side to the point that
this became a factor in the determination of the jury." United States
v. Valenti, 60 F.3d 941, 946 (2d Cir.1995) (internal quotation marks and
citation omitted). The trial court's questioning did not demonstrate bias
because Salameh's counsel specifically asked Judge Duffy to question Igiri to
facilitate cross-examination. The judge simply complied with this request. Furthermore, although Abouhalima claims that the court's
comments "neutraliz[ed] the witness Igiri's lie about his mid-testimony
meeting with the prosecutor," this claim is not supported by the record.
Abouhalima asserts that Judge Duffy's comments to Igiri condoned the lie that
Igiri told about meeting with the government. To the contrary, Judge Duffy
simply explained to Igiri that it is not improper for a prosecutor to meet
with a government witness regarding the witness's testimony. This comment
cannot be construed as a condonation of Igiri's lie. The jury heard Igiri's
lie and subsequent recantation and could be relied upon to factor this
episode into its verdict. E. Testimony of the Government's Fingerprint Expert [80] Link to KeyCite Notes Ajaj argues that the trial judge
erred by admitting the testimony of a fingerprint expert who opined that Ajaj
held a notebook in a manner consistent with his having written in the
notebook. At trial, the government called Carol Edelen, an FBI fingerprint
expert. The defendants did not contest Edelen's expertise in analyzing
fingerprint evidence. Edelen testified that she identified hundreds of Ajaj's
fingerprints on the terrorist materials that were taken from him when he
entered the United States. For one particular object, a hand-written notebook
which contained instructions on how to build explosives, Edelen explained to
the jury how Ajaj's fingers were positioned in order to leave the prints that
she identified. There was no objection to this testimony. The government then asked Edelen whether she reached "any
additional conclusions beyond the mere identification of those prints."
Ajaj's counsel objected, arguing that although Edelen was an expert on
fingerprint identification, "I don't know that she's been established as
an expert on holding things." The court sensibly allowed Ajaj's counsel
to voir dire Edelen on her ability to tell how a person was holding an object
by analyzing fingerprint evidence. After listening to the voir dire, Judge
Duffy permitted the government to ask Edelen whether she was able to come to
any conclusions based upon the location of Ajaj's prints on the notebook. Edelen explained that the position of the fingerprints suggested
that Ajaj was holding the left side of the notebook in his left hand. She
expressed no further opinion about the significance of the fingerprints or
their positioning on the notebook. In summation, the government claimed that
Ajaj, who is right-handed, was the author of the notebook because [*129] the author
held the notebook in a manner consistent with how a right-handed person would
hold a notebook while writing. Ajaj argues that this testimony should not have been admitted.
He argues that: (1) the subject of Edelen's testimony was not
"scientific knowledge" and thus was not admissible under Federal
Rule of Evidence 702; and (2) even if the testimony was "scientific
knowledge," Edelen was not qualified to give such testimony. Neither of
Ajaj's arguments has merit. Generally, the admission of expert testimony is appropriate if
"scientific, technical, or other specialized knowledge will assist the
trier of fact." Fed.R.Evid. 702. We have held that expert testimony is
proper under Rule 702 if it illuminates matters "not within the common knowledge
of the average juror." United States v. Duncan, 42 F.3d 97, 102 n.
3 (2d Cir.1994). When scientific evidence is proffered, the district court must
ensure that it "rests on a reliable foundation and is relevant to the
task at hand," before allowing it to be presented to the jury. Daubert
v. Merrell Dow Pharm., Inc., 509 U.S. 579, 597, 113
S.Ct. 2786, 125 L.Ed.2d 469 (1993). A district court's decision to admit
scientific evidence, like its decision to admit any other type of evidence,
is reviewed under an abuse of discretion standard. See General Elec. Co.
v. Joiner, 522 U.S. 136,
——, 118 S.Ct. 512, 517, 139 L.Ed.2d 508 (1997). A decision to
admit scientific evidence is not an abuse of discretion unless it is
"manifestly erroneous." McCullock v. H.B. Fuller Co., 61 F.3d 1038, 1042
(2d Cir.1995). Ajaj argues that identification of the placement of fingerprints
is not based on any accepted scientific theory or principle. Thus, Ajaj
maintains that although the identification of fingerprints rests on a
reliable scientific foundation, an opinion on how particular fingerprints
were made does not. His argument is wide of the mark. Edelen explained that, given her expertise in identifying
fingerprints, she "could determine in what position your hand was placed
because [she] can determine what the top of the fingerprint is, or the side
of the fingerprint is, so [she] can tell the position that you would be
holding [for example, a pad of paper]." Indeed, Ajaj did not object to
Edelen's lengthy exposition on the way his fingers were positioned on the
notebook when they left the prints Edelen identified. The voir dire made clear that Edelen's testimony regarding the
placement of Ajaj's hand on the notebook was based on the same well-accepted
scientific foundation as her identification of his fingerprints. Edelen
explained that when a finger touches an object, the ridges of that finger
leave an identifiable mark upon the object, which is referred to as a latent
print. By comparing the ridges of a latent print to a sample print, a
fingerprint expert can tell which finger left the latent print. A fingerprint
expert can also tell whether a particular part of a finger left a latent
print by comparing the ridges on that part of the finger with those on the
object. By determining what part of a finger left a given print, a
fingerprint expert can then determine the position of the finger when it left
that print. Finally, by putting together the position of all the fingers, an
expert can tell how a person was holding an object. Judge Duffy correctly concluded that Edelen's opinion on the way
that Ajaj held the notebook was based on a reliable scientific foundation. Ajaj's claim that Edelen was unqualified to give the testimony
regarding the way he was holding the notebook is also frivolous. Edelen was
qualified to give expert testimony on how fingerprints are made, and how a
person was holding an object when a print was made. See McCullock, 61 F.3d at 1044; Locascio, 6 F.3d at 937. F. Admission of DNA Evidence Shortly after the World Trade Center bombing, a letter claiming
responsibility for the attack was sent to the New York Times. At trial, the
government introduced DNA evidence that suggested that Ayyad's saliva was
used to seal the envelope containing the letter. On appeal, Ayyad argues that
the court should have excluded the DNA evidence because the government failed
to [*130] disclose the
report of its DNA expert in a timely manner. We reject this argument. At a pretrial conference held on April 1, 1993, one month after
the bombing, Judge Duffy set a target date of July 6, 1993, for the government's
disclosure of expert reports. Although Ayyad implies that Judge Duffy
"ordered" discovery to be completed by July 6, he issued no such
order. Rather, in estimating a trial date, Judge Duffy stated that "[i]f
you get everything done and the reports issued by the 6th of July," a
trial date of September 14 was "feasible." Full disclosure by July
6, appears to have been a goal, not a mandate. On June 28, 1993, the government turned over a report by the FBI
laboratory containing a DNA analysis of the saliva on the envelope. The June
28 report did not identify potential sources of the saliva. On July 14, 1993,
the government disclosed an additional report, dated July 13, 1993, which
opined that Ayyad was a potential source of the saliva. Ayyad did not protest
the timing of this disclosure or request an adjournment of the trial. Opening
statements in the trial began on October 4, 1993. The government is required to disclose to a defendant results or
reports of scientific tests that are material to the defense and are known,
or could be discovered through due diligence, by the government. See
Fed.R.Crim.P. 16(a)(1)(D). A district court has broad discretion in
fashioning a remedy for the government's violation of its obligations under
Rule 16(a), including ordering the exclusion of evidence. See United
States v. Thai, 29 F.3d 785, 804 (2d Cir.1994). A district court's decision
not to exclude evidence that was the subject of a Rule 16(a) violation is not
grounds for reversal unless the violation caused the defendant
"substantial prejudice." See, e.g., United States v. Adeniji, 31 F.3d 58, 64 (2d
Cir.1994). "Substantial prejudice" means "the prejudice
resulting from the government's untimely disclosure of evidence, rather than
the prejudice attributable to the evidence itself." United States v.
Sanchez, 912 F.2d 18, 23 (2d Cir.1990). The government's disclosure of the July 13 report on July 14 was
not a violation of Rule 16(a). The government disclosed the report one day
after it was issued and almost three months before the start of the trial.
Ayyad argues that the disclosure ran afoul of Rule 16(a) because it violated
Judge Duffy's "order" that all expert reports be disclosed by July
6. However, as explained above, no such order was issued. Indeed, it is
telling that Ayyad did not object to the expert report in the district court
on the ground that it was produced in violation of Rule 16(a). Even assuming that the July 14 disclosure of the expert report
violated Rule 16(a), Ayyad fails to demonstrate "substantial prejudice"
arising from the late disclosure. The report was disclosed just one week
after the discovery target date and almost three months before the start of
trial. Thus, Ayyad's counsel had ample time to analyze the report and to
construct a defense to its contents. Judge Duffy's failure to suppress
therefore is not grounds for reversal. See United States v. Matthews, 20 F.3d 538, 550
(2d Cir.1994). Ayyad also makes an unsubstantiated claim that the government
wrongfully withheld certain documents relevant to the DNA evidence until just
before its DNA expert's testimony. Ayyad argues that although the government
turned over these documents immediately before the expert's testimony
pursuant to 18 U.S.C. § 3500, disclosure should have been made earlier
under Rule 16(a). However, Ayyad did not identify a single document which the
government improperly disclosed as § 3500 material. The record does not
suggest that any such documents exist. Thus, we conclude that Ayyad's
conclusory claim is without merit. G. Confrontation Clause Abouhalima contends that the trial judge violated his Sixth
Amendment right to confront adverse witnesses by excluding evidence that
allegedly impeached the credibility of three government
witnesses—Ashraf Moneeb, Carl Butler and Wahed Moharam. Ajaj also
argues that Judge Duffy improperly limited cross-examination of these
witnesses. [*131] The Confrontation Clause of the Sixth Amendment
guarantees a criminal defendant the right "to be confronted with the
witnesses against him." U.S. Const. Amend. VI; see Delaware v. Van
Arsdall, 475 U.S. 673,
678, 106 S.Ct. 1431, 89 L.Ed.2d 674 (1986). While the Sixth Amendment
guarantees the right to cross-examine witnesses at trial, the scope and
extent of cross-examination are committed to the sound discretion of the
trial judge. See United States v. Scotti, 47 F.3d 1237, 1248 (2d Cir.1995).
"So long as the jury has before it sufficient information to make a
discriminating appraisal of the witness's possible motives for testifying
falsely in favor of the government, we will uphold the trial court's exercise
of its discretion." Id. (quoting United States v. Concepcion, 983 F.2d 369,
391-92 (2d Cir.1992)). Furthermore, the trial judge has "wide latitude
insofar as the Confrontation Clause is concerned to impose reasonable limits
on ... cross-examination based on concerns about, among other things,
harassment, prejudice, confusion of the issues, the witness' safety, or
interrogation that is repetitive or only marginally relevant." Van
Arsdall, 475 U.S. at 679, 106 S.Ct. 1431. 1. Moneeb Moneeb testified that he lived with Salameh and Yousef in Jersey
City during the fall of 1992, and saw Abouhalima visit Salameh and Yousef on
several occasions. Abouhalima argues that Judge Duffy precluded
cross-examination of Moneeb on the circumstances of his questioning by the
FBI; specifically that Moneeb was in fear, handcuffed and held at gunpoint
during the questioning, and that the FBI threatened to deport Moneeb if he
refused to answer their questions. Although Judge Duffy limited Abouhalima's attempts to elicit the
specific circumstances of the FBI's questioning of Moneeb, the limitations
were not an abuse of discretion. See Scotti, 47 F.3d at 1248.
In fact, Judge Duffy overruled several government objections, and permitted
Abouhalima to elicit that: (1) Moneeb was nervous about testifying and afraid
of the FBI agents; (2) the agents pointed a gun at Moneeb and handcuffed him
before transporting him to their office for questioning; and (3) the agents
questioned Moneeb about his pending citizenship application and confiscated
his green card. Judge Duffy also permitted defense counsel to question Moneeb
specifically about the "pressure" he felt as a result of his
contact with the FBI. Accordingly, the jury was given sufficient information
to make a discriminating evaluation of Moneeb's credibility and possible
motives for testifying falsely in favor of the government. See id. 2. Butler Before Butler testified, Judge Duffy reviewed, in camera, prison
records relating to a sentence Butler served between 1956 and 1967 for
robbery, assault and sodomy. Evidence arguably suggested that Butler tried to
conceal three prior misdemeanor convictions for disorderly conduct at his
1956 sentencing proceeding. Judge Duffy ruled that the evidence suggesting
that Butler may have lied at his 1956 sentencing would not be disclosed to
the defense. Immediately thereafter, in a conference attended by defense
counsel, Judge Duffy granted the government's motion to preclude entirely any
cross-examination of Butler regarding his criminal record. In addition to the
1956 felony conviction, Butler's criminal record included various misdemeanor
arrests, the most recent of which resulted in a misdemeanor conviction for
assault in 1976. Judge Duffy's rulings were not an abuse of discretion,
particularly considering that more than 25 years had elapsed since Butler had
completed the sentence on his felony conviction. Federal Rule of Evidence
609(b) bars evidence of a conviction if more than ten years have elapsed
since a witness was released from the resulting confinement, unless "the
probative value of the conviction supported by specific facts and
circumstances substantially outweighs its prejudicial effect."
Fed.R.Evid. 609(b). Judge Duffy properly found that the evidence regarding Butler's
1956 sentencing lacked sufficient probative value. Butler's misdemeanor
arrests and convictions were more than fifteen years old, and they were not
admissible under Rule 608(b) because [*132] they did not involve
dishonesty or a false statement, and so were not "probative of
truthfulness or untruthfulness." Fed.R.Evid. 608(b). 3. Moharam Moharam was a paid government informant who provided information
regarding one of Abouhalima's co-conspirators, Sheik Omar Abdel Rahman.
Abouhalima argues that his constitutional rights were violated when Judge
Duffy, during an ex parte conference, ruled that the government could
withhold from the defense "the terms of [Moharam's] deal" with the
government. Before Moharam testified, the government informed Judge Duffy,
ex parte, that between June 1991 and July 1992 Moharam was paid $550 for
information about Abdel Rahman. The government requested that it be permitted
not to disclose Moharam's role as an informant, based on concerns for the
safety of Moharam and his family, the relatively small sum involved and the
abundance of impeachment material already provided to the defendants. Judge Duffy ordered the government to disclose that Moharam was
an informant and that he had received $550 cash and various other financial
support for information, but not that Moharam had provided information
specifically about Abdel Rahman. Judge Duffy precluded disclosure of the connection
to Abdel Rahman because of concerns about the damaging effect on the
defendants if evidence about Abdel Rahman—who was charged in another
highly publicized criminal case with, among other things, seditious
conspiracy to wage a war of urban terrorism against the United
States—was injected into this trial. Accordingly, it was a sound
exercise of discretion to suppress at trial that it was Abdel Rahman about
whom Moharam had provided the government with information. Furthermore, Abouhalima's claim that Judge Duffy "stifled
exploration" of Moharam's financial interest in the case is misguided
because Judge Duffy allowed extensive cross-examination regarding Moharam's
status as a paid informant. Abouhalima cross-examined Moharam concerning many
aspects of Moharam's financial relationship with the government and
Abouhalima was able to exploit skillfully in summation the potential
financial interest Moharam might have had in this case. Abouhalima also maintains that he was wrongfully prejudiced
because Judge Duffy did not require the government to disclose Moharam's
"penal interest" in the case, or the reason why Moharam decided to
cooperate with the government. Abouhalima's counsel suggested to the judge
during a pretrial conference that Moharam had been arrested in 1991 for
illegal activity and that his co-operation with the government was motivated
by his arrest. This allegation was unsupported; indeed the government
maintained it was untrue. There is nothing in the record to show that the
reason Moharam decided to cooperate with the government was relevant to the
case now before us or should have been disclosed to the defense. Therefore,
Judge Duffy did not err when he determined that the details of Moharam's
agreement with the FBI and the subject matter of his informant work, with the
exception of his financial interest, need not be disclosed. Furthermore, the
court's decision did not impinge on Abouhalima's confrontation rights because
Abouhalima conducted an extensive cross-examination and attacked Moharam's
credibility from many angles. The trial court acted within its sound
discretion. See Scotti, 47 F.3d at 1248. H. Requested Read-back of Testimony Abouhalima argues that the court denied him a fair trial by
improperly responding to a jury note requesting the read-back of certain
testimony. Abouhalima complains that Judge Duffy improperly declined to
read certain portions of the testimony of Michael Felton, Carl Butler and
Ashraf Moneeb. Although Judge Duffy did read back certain testimony in response
to the jury's requests, Abouhalima argues that he failed to include important
testimony in the read-backs. This argument fails because the portions of
testimony that Abouhalima points to were not responsive to the jury's
read-back requests. [*133] A trial court's refusal to allow read-backs of testimony
in response to jury requests during deliberations is within its broad
discretion. See, e.g., United States v. Criollo, 962 F.2d 241, 243
(2d Cir.1992) (citing United States v. McElroy, 910 F.2d 1016, 1026
(2d Cir.1990)). Judge Duffy did not abuse his discretion. First, the jury's note requested a read-back of Felton's
testimony concerning "[i]dentification of A, tenants[,] and B, visitors
to 40 Pamrapo." Abouhalima argues that Judge Duffy should have read to
the jury Felton's testimony that: (1) Felton was never in the apartment when
"the big guy" was there; (2) a second-floor tenant at 40 Pamrapo
owned the Lincoln automobile pictured in a photograph of the building; (3) Felton
did not see Salameh move out of the apartment; and (4) Felton was interviewed
repeatedly by the FBI and the news media. None of the requested testimony was responsive to the jury's
note because none of this testimony involved the identification of Pamrapo
tenants and visitors. Thus, Judge Duffy properly refused to read it. Second, the jury asked to hear Butler's testimony relating to
the "[i]dentification of visitors to 40 Pamrapo." Abouhalima claims
that the court should have read Butler's testimony that only one tenant lived
in the Pamrapo apartment and that Butler was unable to describe the drivers
of various cars he saw at Pamrapo. This testimony was not responsive to the
jury's request about the identification of visitors and was properly
excluded. Finally, the jury's note requested a read-back of Moneeb's
testimony concerning the "[i]dentification of visitors to roommates at
[the] shared apartment." Moneeb's roommates were Salameh and Yousef.
Abouhalima maintains that Judge Duffy should have read Moneeb's testimony
that: (1) Moneeb lived and studied in the living room and, therefore,
Salameh's visitors closed the bedroom door out of courtesy and not
necessarily for privacy; (2) Moneeb was nervous during his testimony and also
when the FBI interviewed him; (3) the FBI, when interviewing Moneeb, kept him
in handcuffs and held a gun to his head; (4) the FBI had taken Moneeb's green
card and refused to return it until after his testimony; and (5) Moneeb's
citizenship had been delayed since the FBI started questioning him about this
case. Once again, Judge Duffy's read-back was proper because the additional
testimony was not responsive. V. JURY ARGUMENTS Abouhalima argues that the government, through its opening
statements and summation, deprived him of a fair trial by egregiously
misrepresenting the evidence, by appealing to the jurors' fears, by vouching
for a witness, and by attempting to shift the burden of proof. Ajaj argues
that the government misrepresented the evidence, invited the jury to
speculate and relied on evidence it knew, or should have known, was false. "Due process bars a prosecutor from making knowing use of
false evidence." United States v. Boothe, 994 F.2d 63, 68 (2d
Cir.1993). "[A] conviction may not stand if such evidence could in any
reasonable likelihood have affected the judgment of the jury." Id. (citations, internal
quotation marks and alterations omitted). Moreover, although the government
has "broad latitude in the inferences it may reasonably suggest to the
jury during summation," United States v. Zackson, 12 F.3d 1178, 1183
(2d Cir.1993) (citation and internal quotation marks omitted), "[t]he
prosecutor has a special duty not to mislead; the government should ... never
make affirmative statements contrary to what it knows to be the truth." United
States v. Myerson, 18 F.3d 153, 162 n. 10 (2d Cir.1994) (citation and internal
quotation marks omitted; first alteration in original); see United States
v. Valentine, 820 F.2d 565, 570 (2d Cir.1987). "A prosecutor's
statements during summation, if improper, will result in a denial of due
process rights only if, in the context of the entire summation, they cause
the defendant substantial prejudice." United States v. Rivera, 22 F.3d 430, 437 (2d
Cir.1994). To determine whether substantial prejudice was caused, we consider
"the severity of the misconduct, the curative measures taken by the
[*134] court, and
the certainty of conviction absent the misconduct." Id. Where the defendant
fails to object to the prosecutor's purported misrepresentations at trial, we
review the government's summation for flagrant abuse. See I. For the reasons
that follow, we reject Abouhalima's and Ajaj's contentions. A. Prosecutorial Misconduct as to Abouhalima 1. Government Misrepresentations Abouhalima submits that the government argued during summation,
without any evidentiary support that (a) witnesses had identified him at the
40 Pamrapo apartment and had seen him carrying buckets of chemicals out of
that apartment; (b) he had admitted his affiliation with Yousef shortly after
he was taken into United States custody; and (c) he gave no explanation for
his nervousness the night after the bombing. a. Witnesses During summation the government argued to the jury that
Abouhalima helped Yousef and Salameh make the World Trade Center bomb at 40
Pamrapo. In support of this argument, the government relied in part on the
testimony of two witnesses, Michael Felton and Carl Butler. These witnesses
testified that a man fitting Abouhalima's description and driving a Lincoln Town
Car frequented the 40 Pamrapo address and, on one occasion, was "barking
orders" at Salameh and another individual while they were removing
buckets from the premises. Although Abouhalima is correct that neither
witness actually identified him at trial as this particular person, the
government acknowledged during summation that Felton and Butler had not
identified Abouhalima and simply asked the jury to draw the reasonable
inference that the person described was Abouhalima. Consequently, we perceive
no impropriety in the argument, let alone prejudice. b. Affiliation With Yousef The government also did not improperly argue that Abouhalima had
admitted his association with Yousef. The record reveals that shortly after
Abouhalima was taken into custody, federal agents advised him that he was
under arrest for "his participation in the World Trade Center
bombing." After advising him of his constitutional rights, agents
questioned him about the 40 Pamrapo apartment. In response to this questioning,
Abouhalima asked the agents whether they "knew an individual by the name
of 'Rashid.' " Because Yousef's nickname was "Rashed," it
appeared that Abouhalima had linked Yousef to the 40 Pamrapo apartment and
the government's argument simply made this point. Given the broad latitude
afforded both sides during summation, there was no impropriety in the
government's argument because the inference sought was reasonable and
Abouhalima remained free to argue his own interpretation of the testimony.
Moreover, because Abouhalima did not object to this argument at trial, he
must show "flagrant abuse," which is simply not present here. c. Inexplicable Nervousness Finally, Abouhalima asserts that the government misrepresented
the record by arguing that he gave no explanation for his nervousness the
night after the bombing. We conclude that there was no misrepresentation. At
trial, Moharam, a friend of Abouhalima, testified that Abouhalima was upset
the night after the bombing and that when Moharam asked him why he was upset,
Abouhalima initially said there had been an "accident" in which
people got hurt. When Moharam then asked Abouhalima for details, Abouhalima
replied, "I can't tell you," and said nothing more. Accordingly,
the prosecutor's argument was well supported by the evidence. 2. Jury Fear Abouhalima argues that during both opening statements and
summation, "the prosecutor sabotaged his right to a fair trial by
appealing to the jury's fears and prejudicing them with the threat, based on
no evidence, that they were charged with deciding guilt for the single most
destructive act of terrorism ever committed here in the United States."
We disagree. [*135] Because the prosecutor's statement was amply supported by
the evidence, we perceive no misconduct or prejudicial error. Specifically,
the statement was supported by the letter the conspirators sent to the New
York Times claiming responsibility, in which the conspirators identify their
action as a "similar response" to "the terrorism that Israel
practices." The statement was also supported by the violence-advocating
terrorist literature seized from Abouhalima's apartment after the bombing,
literature that echoed the sentiments expressed in the letter. Further, given
the magnitude of the World Trade Center bombing, the heinous nature of all
crimes charged in the indictment, and the overwhelming evidence of the
conspirators' joint motive for committing the bombing, the government's brief
references to terrorism and the severity of the bombing during opening
statements and summation were consistent with the trial evidence and
Abouhalima's right to a fair trial. 3. Government Vouching Abouhalima argues that during rebuttal summation, a prosecutor
improperly "vouched" for a witness. Specifically, according to the
trial record, Ashraf Moneeb (the roommate of Salameh and Yousef at 251
Virginia Avenue) testified that one Mohammad Abouhalima had assisted Yousef
and Salameh relocate to the 40 Pamrapo apartment. Because Abouhalima's first
name is Mahmoud and not Mohammad, and because Abouhalima's brother is named
Mohammed, Abouhalima argued during summation that Moneeb had testified to
certain assistance rendered by his brother and not him. On rebuttal
summation, Abouhalima claims that the prosecutor, in an attempt to discredit Abouhalima's
argument, told the jury that "he knew that the witness Moneeb meant to
say that Mahmoud Abouhalima, and not his brother Mohammad, had helped Salameh
and Yousef find the 40 Pamrapo apartment," and thus improperly vouched
for Moneeb. We find no support in the record for the proposition that the
government engaged in vouching, and in any event conclude that the
government's remarks did not deprive Abouhalima of a fair trial. "A
prosecutor must scrupulously refrain from injecting his credibility into any
part of the trial." United States v. Damsky, 740 F.2d 134, 138
n. 3 (2d Cir.1984). "The controlling question is whether the remarks of
the prosecutor invaded the accused's right to a fair trial." United
States v. Clark, 613 F.2d 391, 405 (2d Cir.1979). A review of the argument and relevant testimony dispels the
notion that the jury was asked to substitute the prosecutor's knowledge for
the actual testimony. Specifically, in its main summation, the government
reminded the jury that a witness, Ashraf Moneeb, testified that Yousef had
told him that the appellant, "Mahmoud Abouhalima" had helped Yousef
and Salameh find a new place to live. In Abouhalima's summation, Abouhalima
pointed out that the transcript of Moneeb's testimony indicated that Yousef attributed
that assistance to Abouhalima's brother, "Mohammad Abouhalima."
During rebuttal summation, the government argued that although the trial
transcript did read "Mohammad Abouhalima," the witness in fact had
said "Mahmud Abouhalima" and the court reporter simply had made a
mistake. As the prosecutor observed: Obviously there was a mistake. If Mr. Moneeb
had said Mohammad Abouhalima why would then [defendant Abouhalima's counsel]
have [Moneeb] point out [the appellant] Mahmoud Abouhalima on his cross-examination
which he did. .... I suggest to you that is a mistake and you
know it is from all the other evidence. The prosecutor then cataloged the array of
proof confirming that Mahmoud Abouhalima (and not his brother Mohammad) had
assisted Yousef and Salameh in obtaining the 40 Pamrapo apartment, evidence
that included the balance of Moneeb's testimony and the voluminous telephone
records linking Mahmoud Abouhalima with Salameh and Yousef just before the
rental of the apartment. Further, the prosecutor noted that the telephone
records reflected no calls to Mohammad Abouhalima. In sum, the record does
not support Abouhalima's allegation of government vouching and, in any event,
the [*136] prosecutor's remarks did not deprive Abouhalima of a fair
trial. 4. Burden of Proof Abouhalima contends that the government unconstitutionally
shifted the burden of proof by commenting on his failure to introduce
evidence and that the district court failed to deliver on its promise to
administer a curative instruction. Specifically, during summation the
government discussed the plethora of evidence linking Abouhalima to the
bomb-making activities at 40 Pamrapo. In the discussion, the government
reminded the jury that sulfuric acid, a component of nitroglycerine, had been
detected on Abouhalima's dress shoes. Thereafter the prosecutor, in
anticipation of Abouhalima's rebuttal, reviewed the alternative explanations
for the presence of sulfuric acid that had been proffered by the defense
through the cross-examination of a government chemist, including the theory
that a possible source for the sulfuric acid was car batteries. In this
regard, the prosecutor then argued: But, again, there is no proof anywhere,
there is no evidence before you at all that Mahmoud Abouhalima was ever near,
underneath the hood of his car, anywhere near his battery, let alone the acid
from within the battery. The proof that is before you, the evidence
in this case that he's at a bomb factory every night on a virtual day by day
basis. And in that bomb factory, they're using sulfuric acid. And sure
enough, he has sulfuric acid on his shoe. Shortly after these remarks, Abouhalima objected and asked Judge
Duffy to instruct the jury that despite the prosecutor's statement, "the
burden of proof is not on the defendant to prove that the stain on his shoe
didn't come from some lawful means." Judge Duffy acquiesced, promising
Abouhalima that he would "take care of that in the charge for
sure." On appeal, Abouhalima maintains that the prosecutor's argument had
the effect of placing the burden of proof on him to come forward with
exculpatory evidence indicating an innocent source for the sulfuric acid.
Moreover, Abouhalima avers that because the government had introduced
evidence that Abouhalima was a limousine driver and thus routinely worked
around cars and car batteries, the government's argument was not justified.
The government responds that the prosecutor merely commented on the
implausibility of Abouhalima's theories by juxtaposing the complete absence of
any evidence that Abouhalima was ever near battery acid against proof that
Abouhalima did frequent a place where sulfuric acid was being used, i.e., a
bomb factory. Moreover, the government also maintains that the district court
did honor its promise to give a curative instruction during the jury charge. We conclude that the prosecutor's remarks did not violate
Abouhalima's constitutional rights. The government is free to comment on
"the failure of defendant to refute government evidence or to support his
own claims." Rosa, 11 F.3d at 342. "A constitutional violation
occurs only if either the defendant alone has the information to contradict
the government evidence referred to or the jury naturally and necessarily
would interpret the summation as comment on the failure of the accused to
testify." United States v. Coven, 662 F.2d 162, 171 (2d Cir.1981)
(quoting United States v. Bubar, 567 F.2d 192, 199 (2d Cir.1977) (internal
quotation marks omitted)). In the present case, Abouhalima does not argue that only he had
information capable of rebutting the government's theory as to the source for
the sulfuric acid stain. To the contrary, Abouhalima points to car batteries
as the source and concedes that the trial evidence indicated that as a
limousine driver, he routinely worked around car batteries containing
sulfuric acid. Moreover, because the prosecutor did not speak to Abouhalima's
failure to testify, but merely sought to discredit the defense's hypothetical
explanation, it is implausible that a jury would interpret the summation as
comment on Abouhalima's failure to testify. Accordingly, Abouhalima's
constitutional rights were not violated. Furthermore, to the extent that the
prosecutor's comments may have confused which party carried the burden of
proof, the district court adequately cured any misunderstanding by charging
the jury, without [*137] objection, on the appropriate burden of proof
standard, re-emphasizing that standard at the conclusion of the charge.
Accordingly, we conclude that there was no constitutional violation,
misconduct, or prejudice requiring reversal, regardless of the district
court's earlier promises. B. Prosecutorial Misconduct as to Ajaj 1. Government's Improper Arguments Ajaj argues that the government's summation misrepresented the
evidence, invited the jury to speculate, and was based on evidence the
government knew or should have known to be false. [FN5] Specifically, Ajaj
assails the government's argument that Ajaj facilitated Yousef's entry into
the United States at Kennedy Airport. According to Ajaj, no testimony at
trial established that Ajaj created a distraction or in any way affected the
INS's processing of Yousef at Kennedy Airport. FN5. Ajaj, on appeal, sets forth a host of
purported misrepresentations by the government. On review, the majority of
his claims are groundless and we limit our discussion to his remaining
contentions. Ajaj also bolsters his prosecutorial misconduct claims with new
evidence. As we have concluded that we will not consider Ajaj's new evidence
on this appeal, we do not consider it here. See infra Part IX.A. Ajaj also argues that the government knowingly used false
evidence of stamps on Ajaj's Jordanian passport to show that Ajaj traveled to
the Middle East to obtain terrorist training. The passport, issued to Ajaj in
August 1991, bore stamps indicating that Ajaj: (1) on May 16, 1992, left
Pakistan and entered the United Arab Emirates; (2) traveled to Saudi Arabia
later that month; (3) on June 13, 1992, exited the United Arab Emirates; and
(4) on June 14, 1992, returned to Pakistan. The date of Ajaj's re-entry into
Pakistan was corroborated by Ajaj's Pakistani Certificate of Registration,
which also was dated June 14, 1992. At trial, the government alleged that
Ajaj made the brief trip to Saudi Arabia in order to obtain a letter of
introduction to Camp Khaldan, a terrorist training camp located on the
AfghanistanPakistan border. The letter of introduction, dated May 21, 1992,
requested that the leader of Camp Khaldan provide the bearer with training in
the use of weapons and explosives. Ajaj argues that the passport contained fraudulent stamps and
was therefore an unreliable travel document. He contends that the government
deliberately mistranslated or failed to translate several passport stamps in
an effort to conceal their inauthenticity. For example, the government
translated a Kuwaiti visa stamp issued on September 9, 1991 as a
"visit" visa; in fact, properly translated, the stamp was a "residence"
visa which, Ajaj argues, was impossible to obtain on that date as he was in
the United States. Moreover, the government failed to translate the date of a
Kuwaiti entry stamp, which, while partially obscured, is April 8th or 9th.
Given that Ajaj's passport was issued in August 1991, that date would have to
be April 8 or 9, 1992; Ajaj, however, was indisputably in Texas at that time.
Ajaj argues that the government's own witness, INS inspector Mark Cozine,
alerted the government to the defects in the passport when he testified at
trial that the June 14, 1992, Pakistani entry stamp appeared to be
counterfeit. Ajaj argues that the government, nevertheless, recklessly relied
on the passport as evidence without confirming whether the passport stamps
were authentic. Furthermore, Ajaj argues that the government invited the jury to
speculate as to his authorship of the handwritten notes in the notebooks. The
government, which spared no expense during the trial, failed to obtain a
handwriting expert and instead relied on the testimony of Carol Edelen, the
government's fingerprint expert, to argue that Ajaj authored the notes in the
handwritten manuals. Ajaj argues that the government deliberately failed to
consult a handwriting expert and ignored the possibility that Ajaj did not
author the handwritten notes. Ajaj also argues that the government misrepresented to the jury
that Ajaj lied to an Embassy official at the United States Embassy in
Islamabad, Pakistan. The government at trial argued that on July 1, 1992,
after completing his terrorist training, Ajaj traveled to the United States
Embassy in [*138] Islamabad, Pakistan, to inquire whether he could return
lawfully to the United States. The government accused Ajaj of lying to Karen
Stanton, an Embassy official, that he possessed a five-year visa that he had
left at home in the United States. Stanton informed Ajaj that the Embassy
could not assist him. Ajaj argues that no testimony at trial established that
he had lied about a five-year visa and that he did in fact leave a visa in
the United States. On review, we conclude that the government's arguments were
based squarely on the evidence and were within the bounds of the broad
latitude the government is given to suggest reasonable inferences to the
jury. See Zackson, 12 F.3d at 1183. Ajaj's contentions warrant only brief
discussion. The government did not misrepresent that Ajaj had facilitated
Yousef's entry into the United States at Kennedy Airport. At trial, Customs
Inspector Malafronte testified that Ajaj, when questioned at Kennedy Airport
about whether he was traveling with another, claimed to be traveling alone.
Ajaj's lie, in conjunction with Ajaj's possession of the terrorist materials,
provided a firm basis for the government to argue that Ajaj facilitated Yousef's
entry into Kennedy Airport. Furthermore, the government's argument that Ajaj
authored the notes in the handwritten manuals was based on Carol Edelen's
fingerprint placement testimony, which the district court properly admitted.
Ajaj presents no evidence of government malfeasance in failing to obtain a
handwriting expert, nor does Ajaj offer an explanation for his own failure to
consult one. The government also was entitled to rely on Ajaj's passport as a
travel document. Ajaj, beyond his own conjecture, presents no evidence to
indicate that the government deliberately concealed irregularities in the
passport stamps. In fact, the government's translation displayed
discrepancies in the stamps that Attorney Campriello highlighted in summation
to argue that the passport was unreliable as a travel document. Moreover,
even assuming that a proper government translation would have revealed the
apparent inauthenticity of several stamps, these irregularities would not
have undermined the reliability of the passport as a whole. The specific
United Arab Emirates and Pakistani stamps on which the government relied to
argue that Ajaj traveled in the Middle East did not bear apparent indicia of
inauthenticity. Indeed, the authenticity of those stamps was corroborated by
Ajaj's Pakistani Certificate of Registration, which was issued on June 14,
1992, and which corresponded to the June 13 United Arab Emirates exit stamp
and the June 14 Pakistani entry stamp in the passport. The authenticity of
these stamps also was corroborated by Ajaj's statement to Karen Stanton at
the United States Embassy in Islamabad that as of July 1, 1992, Ajaj had been
in Pakistan for only "a few weeks." [FN6] Although the government
may have argued erroneously in summation that Ajaj lied to Karen Stanton at
the United States Embassy about the location of a five-year visa, Ajaj did
not object to this argument at trial. This point was of minor relevance to
the government's case and hardly amounts to flagrant abuse. FN6. Ajaj argues that the government's own
witness, INS inspector Mark Cozine, alerted the government to the possibility
that the June 14, 1992, Pakistani entry stamp was fraudulent. Ajaj engages in
a selective quotation of this testimony. While Inspector Cozine did testify
that the Pakistani entry stamp appeared to be fraudulent, he later qualified
that remark by stating that the stamp could have "been altered from
whatever chemical was used to bring out the fingerprints." 2. Attacks on the Defense Ajaj argues that the government prejudicially attacked the
defense during its summation. The government, at various points during its
rebuttal summation, criticized Attorney Campriello for lacking "common
decency," trying to be "cutesy," attempting to
"foist" an opinion on the jury, and selling the jury "a bill
of goods." The government also stated that Campriello's attempt to
discredit the government's fingerprint expert, Carol Edelen, by likening her
to Pinocchio, was "despicable," that Campriello's arguments were "preposterous"
and that Campriello "made up" testimony and "ignored the
evidence." Ajaj also argues that the government prejudicially accused
Ajaj of "lying" to Karen Stanton at the United [*139] States
Embassy and to INS inspectors at Kennedy Airport. "[R]eversal on the basis of improper prosecutorial
statements during summation is warranted only when the statements, viewed
against the entire argument before the jury, deprived the defendant of a fair
trial." Myerson, 18 F.3d at 163 (citations and internal quotation marks
omitted). "We have repeatedly held that the Government is ordinarily
permitted to respond to arguments impugning the integrity of its case and to
reply with rebutting language suitable to the occasion." United
States v. Bagaric, 706 F.2d 42, 60 (2d Cir.1983) (citations and internal
quotation marks omitted). A reviewing court "must not only weigh the
impact of the prosecutor's remarks, but must also take into account defense
counsel's opening salvo." United States v. Young, 470 U.S. 1, 12, 105
S.Ct. 1038, 84 L.Ed.2d 1 (1985). As Ajaj failed to object at trial to the
government's purported attacks on the defense, we review the government's
summation for flagrant abuse. On review, we conclude that any improper conduct by the
government was largely in response to Attorney Campriello's criticisms of the
government's case and, in any event, did not rise to the level of flagrant
abuse. Attorney Campriello had, at various points during his summation,
referred to the government's arguments as "ridiculous,"
characterized the government's fingerprint expert, Carol Edelen, as
"Pinocchio," and belittled the prosecutors by referring to them
repeatedly by their first name only. Attorney Campriello also remarked that
the weakness of the government's evidence required the prosecutors to
"do a little slipping and sliding, a little bobbing, weaving, a little
zigging and zaggin[g] as the case developed." In light of Attorney
Campriello's criticisms, the government was entitled to respond with similar
language in rebuttal. 3. Change in Summation Theory Ajaj argues that the government wrongfully shifted its theory of
Ajaj's criminal liability during its summation. See United States v. Russo, 74 F.3d 1383, 1396
(2d Cir.) (improper for prosecutor to introduce a new theory of criminal
liability at the last minute of a long trial), cert. denied, 519 U.S. 927,
117 S.Ct. 293, 136 L.Ed.2d 213 (1996); United States v. Gleason, 616 F.2d 2, 25-26
(2d Cir.1979). According to Ajaj, at the commencement of trial, the
government argued that Ajaj's role in the bombing conspiracy was to provide
explosives expertise. In this regard, the government asserted that
"Ahmad Ajaj ... brought the formula to make explosive materials that was
the bomb into this country when he entered this country last September."
The government further asserted that "Ajaj, in conjunction with Ramzi
Yousef, was to supply essentially the recipe, the know-how, the expertise
that was needed to carry out this terrorist conspiracy." According to
Ajaj, the government shifted its theory in summation, however, and argued
that Ajaj's role in the conspiracy was to sacrifice himself for Yousef's
benefit at Kennedy Airport. The government stated: "What is Ajaj doing
denying he knows Ramzi Yousef? Basically, he's sacrificing himself. If he got
caught, he's going to get Ramzi Yousef—he's going to keep attention
away from Ramzi Yousef, so that Ramzi Yousef can get into the country."
The government later stated: "[Ajaj] c[a]me here with his partner Ramzi
Yousef to do the same thing that Ramzi Yousef did. They traveled together.
[Ajaj] sprung Ramzi Yousef into the country, and he did everything he could
to help Ramzi Yousef after he got here. He did that because the evidence
shows that he was part of the conspiracy." Ajaj argues that in
conjunction with this unexpected shift in theory, the government, without any
prior indication that it would do so, argued that Ajaj authored the notes in
the handwritten notebooks and used Ajaj's passport as evidence of his travel
to Saudi Arabia to obtain the letter of introduction. Ajaj contends that he
was unprepared to meet these new arguments. Ajaj's contentions are meritless. The government's theory of
Ajaj's criminal liability was consistent throughout its opening statement and
summation. At the outset of the trial, the government argued that Ajaj
traveled to the Middle East to obtain explosives expertise and that Ajaj's
"vital role in this conspiracy" was to reenter the United States
[*140] with the
terrorist materials. In summation, the government accordingly argued that
Ajaj traveled overseas to obtain terrorist training and facilitated Yousef's
entry into the United States by relieving Yousef of the terrorist materials.
Contrary to Ajaj's argument, Attorney Campriello's summation reflects that he
was well advised of the government's theory of Ajaj's criminal liability.
During his summation, Attorney Campriello, among other rebuttal points,
quoted extensively from INS inspector Mark Cozine's trial testimony in an effort
to demonstrate that Ajaj in no way affected the INS's decision to release
Yousef. Furthermore, far from being unprepared to meet the government's
"new" arguments that Ajaj's passport was evidence of his travel to
Saudi Arabia and that Ajaj authored the notes in the handwritten notebooks,
Attorney Campriello effectively rebutted the government's contentions with
arguments that are now, ironically, echoed on appeal. With respect to the
passport, Attorney Campriello argued that the presence of a number of demonstrably
fraudulent stamps in the passport undermined the reliability of the passport
as a whole. Furthermore, Attorney Campriello questioned the government's
reliance on the testimony of a fingerprint expert to infer that Ajaj authored
the handwritten notes. Attorney Campriello reminded the jury that the
government had failed to obtain the testimony of a handwriting expert. In
sum, the government did not unfairly raise new theories of Ajaj's guilt
during summation. VI. JURY CHARGE A. The Bully Hypothetical Salameh, Abouhalima and Ajaj each contend that the district
court committed reversible error by employing in its jury charge a
prejudicial example of a school bully to relate how circumstantial evidence
could be used to infer culpable knowledge or intent, a material element of
the crime of conspiracy. Specifically, after delivering an entirely
appropriate hypothetical example of "Robinson Crusoe" to illustrate
the meaning of circumstantial evidence, and after instructing that "circumstantial
evidence ... is of no less value than direct evidence," the court
charged the jury: Knowledge and intent exists in the mind. No
way, even with wonderful machines, with our Cat scans and all the rest of it
that we can ever crawl into someone's head and figure out what's going on
exactly, what is in his mind. You can't take a Cat scan of someone's brain
and say, so, he was thinking this or that sometime. You can't conclude from
that, and yet we draw a conclusion from actions of the person, what his
knowledge was, what his intent was. You do it all the time. You do it from
circumstantial evidence. When you were a kid and you were in school,
do you remember there was a bully. There was a bully in every kid's class, I
am sure of it. Some kid, he'd come along and he'd step on the toe of the
person beside him. The victim would yell. And the bully would look at the
teacher and say, oh, it was a mistake. I didn't mean to do that. That was an
accident. Every other kid in the neighborhood knew that it was no mistake. Right? The direct evidence would be his declaration
that it was a mistake and an accident. But by circumstantial evidence, ladies
and gentlemen, you knew that it wasn't a mistake. It was him being a bully.
You know, grown-ups are just big kids. We think the same way. You can
conclude from circumstantial evidence what someone's intent or knowledge was.
Direct evidence i[s] often misleading. Circumstantial evidence is quite
sufficient. One thing you should recognize, it still must be proved beyond a
reasonable doubt. Salameh objected to the charge, stating that, "I just don't
think [it is] a good example and I object to that." Abouhalima also
objected to the charge on the ground that it purported to give circumstantial
evidence more weight than direct evidence. No other objections were
articulated. Ajaj merely asked the court to instruct the jury on reasonable
inferences again, to ensure that the jury understood it was not required to
draw any inferences from the evidence. Judge [*141] Duffy
acquiesced, giving the following reminder: I suggest to you that there are times when
different inferences may be drawn from facts, whether they are proved by
direct or circumstantial evidence. The government asks you to draw one set of
inferences. The defendant asks you to draw another set. [It is] for you and for you alone to decide
what inferences, if any, you are willing to draw. If you decide to draw no
inferences, that's fine. That's up to you. That's a determination that you
are to make. On appeal Salameh argues that in this case where the
government's proof was entirely circumstantial, the charge improperly
attributed more weight to circumstantial evidence than to direct evidence,
relieving the government of its obligation to prove the mental element of the
crime of conspiracy. In this regard, Salameh avers that the charge disparaged
evidence "of his own words," purportedly direct evidence, that
indicated that he did not knowingly participate in the conspiracy. This
evidence included that Salameh: (1) gave his true name to DIB Leasing (the
Ryder van rental agency) and volunteered his friends' names and telephone
numbers, making it easy for law enforcement officers to trace him; (2)
reported the Ryder van stolen to the police a full day before the bombing,
creating the risk that the van would be stopped on its way to the World Trade
Center, and presented Jersey City police officers with documents that showed
the van's true identification number; (3) naively inquired of an ALG Welding
Company employee whether stored hydrogen was dangerous; and (4) told David
Robinson, the assistant manager of the Space Station, that "his boss and
his employers" were expecting delivery of the hydrogen tanks.
Furthermore, Salameh argues that Judge Duffy, by stating that he preferred
the "quite sufficient" circumstantial evidence over "often
misleading" direct evidence, unfairly suggested that the inferences
requested by the government were warranted. Echoing these concerns, Abouhalima and Ajaj join Salameh in also
arguing that the charge, by assuming the guilt of a fictitious bully,
suggested their guilt by likening them to bullies and liars and encouraged
the jury to disregard inferences consistent with innocence. Moreover, they
contend that because the hypothetical presumed that, like the bully, they had
committed prior bad acts and had lied to conceal them, the charge
"violated a basic foundation of our criminal justice
jurisprudence—[that] evidence of prior bad acts is inadmissible to
support an inference that the defendant committed the crimes with which he
has been charged." See Fed.R.Evid. 404(b). The government responds that the appellants failed to preserve
for appeal their objection to the bully hypothetical to the extent it
improperly assumed guilt. Furthermore, the government avers that even
assuming that all objections were properly preserved, any error was purely
harmless when considered in the context of the charge as a whole, which
included the wholly appropriate "Robinson Crusoe" hypothetical
[FN7] to explain circumstantial evidence. FN7. In the "Robinson Crusoe"
example, the court stated: "[Do you r]emember at the beginning of trial
I gave you an example of circumstantial evidence? I told you about Robinson
Crusoe and the fact that I had to do a book report in the second year of high
school on that. I told you that he was ship wrecked and ended up on a desert
island that was totally uninhabited. He knew it was uninhabited because he
had been all over the desert island and he could find nobody else there. One
day, he goes down to the shore, and there in between the line where the tide
had been and where the water was when he arrived was a big set of size 13D
footprints. Robinson Crusoe had 9s. He walked over. He said, they are not
mine. That's circumstantial evidence. Of what? Of the fact that somebody else
is on the island. If the issue [was] is the island totally uninhabited except
for Robinson Crusoe, do you think he would have any difficulty in figuring
out that somebody else was there? Do you think he did? No, of course not,
from circumstantial evidence, he drew the inference that somebody else was on
the island. Circumstantial evidence, ladies and gentlemen, if believed is of
no less value than direct evidence. In either case, in a criminal case like
this, you still must be convinced beyond a reasonable doubt." A criminal defendant is required to state "distinctly"
the grounds for his objection in order to preserve it for appeal. United
States v. Biaggi, 909 F.2d 662, 697 (2d Cir.1990) (quoting Fed.R.Crim.P. 30).
[*142] "The
purpose of this provision is to provide the trial court with an opportunity
to correct any error in the jury instructions before the jury begins
deliberating." United States v. Masotto, 73 F.3d 1233, 1237
(2d Cir.1996), cert. denied, 519 U.S. 810, 117 S.Ct. 54, 136 L.Ed.2d 18
(1996). When an objection is properly preserved, we review that ground for
error and may reverse only if the government is unable to demonstrate that
the error was harmless, that is, that the error did not affect the defendant's
substantial rights or influence the jury's verdict. See Olano, 507 U.S. at 734,
113 S.Ct. 1770 (under the harmless error standard, the government "bears
the burden of persuasion with respect to prejudice."); United States
v. Mussaleen, 35 F.3d 692, 695 (2d Cir.1994); see also Fed.R.Crim.P. 52(a). "[W]here no timely objection [is] made to the instruction
... we may reverse ... only if the district court committed plain error in
its charge." Latsis v. Chandris, Inc., 20 F.3d 45, 49 (2d Cir.1994)
(internal quotation marks and citations omitted), aff'd, 515 U.S. 347, 115
S.Ct. 2172, 132 L.Ed.2d 314 (1995). Under the plain error standard,
"[i]t is the defendant rather than the [g]overnment who bears the burden
of persuasion with respect to prejudice." Olano, 507 U.S. at 734,
113 S.Ct. 1770. That showing must include "a miscarriage of justice, or
... an obvious instance of misapplied law." Latsis, 20 F.3d at 49
(internal quotation marks and citations omitted); see also Fed.R.Crim.P.
52(b); Olano, 507 U.S. at 732, 113 S.Ct. 1770 (we should not exercise that
discretion "unless the error seriously affects the fairness, integrity
or public reputation of judicial proceedings" (citations, internal
quotation marks and alteration omitted)). Applying these principles to the instant case, the defendants'
objection to the charge for improperly attributing more weight to
circumstantial evidence than to direct evidence was "distinctly"
stated at trial and hence preserved for appeal. However, because the
defendants failed to articulate "distinctly" an objection to the
bully hypothetical to the extent it improperly assumed guilt, we normally
would review that ground for plain error. In this case, though, it appears
that Judge Duffy denied the defendants the opportunity to provide the basis
for their objection. [FN8] Accordingly, we review that ground under the
harmless error standard. FN8. The record reflects the following
colloquy: Mr. Bashir: (assistant counsel for
Abouhalima). Now it is my understanding that the court is going to be
allowing objections but was not asking for the basis of the objection to be
placed on the record. The Court: Yes. Mr. Bashir: It is my reading of the
particular rules of the court, especially [R]ule 103 seem[s] to indicate that
that would be eliminating any potential for appeal if we do not have the
basis of the objection on the record. The Court: That doesn't work that way. If I
restrict you from giving the basis for the objection, if there is an appeal,
you have from the time you made the objection to the time you get to appeal
to figure out your best basis for objecting, okay? "Whether jury instructions were properly given is a
question of law that this court reviews de novo and, when assessing prejudice
to the defendant, we appraise the significance of an error in instructions to
the jury by comparing the instructions actually given with those that should
have been given." United States v. Dove, 916 F.2d 41, 45
(2d Cir.1990). In considering whether there is prejudice, we "view[ ] as
a whole the charge actually given." Id. (internal
quotation marks and citation omitted). Although Judge Duffy would have been better advised to use a
neutral example in describing the difference between direct and
circumstantial evidence to prove culpable knowledge, we conclude that, based
on a review of the charge as a whole, the use of the bully hypothetical was
not sufficiently prejudicial to require reversal. Generally speaking,
"the use in a criminal case of [a] hypothetical that assumes guilt where
a defendant asserts his innocence is disfavored. Certainly the use of such an
example [is] more prejudicial than helpful and ... tend[s] to skew the jury
away from the truth rather than toward it." Id. at 46. In Dove, we
found reversible error where the district court employed a hypothetical
example of "whether Jack shot Mary" to illustrate the difference
between circumstantial evidence [*143] and direct evidence. Id. at 44. In that
example, Jack's guilt was assumed in the hypothetical's premise and the jury
was merely instructed on how to look for evidence of that guilt. Although the
hypothetical was not analogous to the facts of that case, we nevertheless
found prejudicial error because "[v]irtually all of the circumstantial
evidence pointed towards the possibility of innocence" and,
consequently, the hypothetical "may have led the jury to discount the
circumstantial evidence ... of innocence." Id. at 46. Similarly,
in both Gleason, 616 F.2d at 14-15, and United States v. Dizdar, 581 F.2d 1031,
1037 (2d Cir.1978), we reviewed circumstantial evidence instructions
containing hypothetical examples which assumed guilt. Although in both cases
the examples employed were analogous to the evidence before the jury, we
found no reversible error. A review of the charges revealed that in each case
the court had eliminated whatever prejudice might have been created by
instructing the jury that the hypothetical "ha[d] nothing to do with
[the] case" and "was not intended ... to suggest any particular
direction to be given to the evidence." Dizdar, 581 F.2d at 1037
(internal quotation marks omitted); see Gleason, 616 F.2d at 14.
Moreover, in Gleason, we specifically noted that the jury had been
"adequately advised of the nature of circumstantial evidence [and] was
repeatedly told to use 'common sense' ... in drawing inferences from
facts." 616 F.2d at 14. The problem with the instant charge is that, as in Dove, the
bully's guilt is assumed in the hypothetical's premise and the jury is merely
instructed on how to look for evidence of that guilt. Consequently, if
"virtually all" of the circumstantial evidence pointed towards the
possibility of innocence, we might well assume prejudice. However, most of
the circumstantial evidence in this case points towards guilt. Furthermore,
as in Dizdar, the district court cannot be said to have suggested to the jury
that a particular direction should be given to the evidence, as the court,
after the bully hypothetical, specifically reminded the jurors that they were
free to draw any inferences in either direction. Moreover, as in Gleason, the
jury was more than adequately advised of the nature of circumstantial
evidence by the neutral "Robinson Crusoe" instruction and was told
to use common sense in drawing inferences from the facts. In addition, any
presumption of prejudice is strongly tempered by the lack of analogy between
the bully hypothetical and the facts of this case. While it would not be a
stretch for a jury to liken these defendants to bullies, "[w]e believe
it would be denigrating the intelligence of the average jury to conclude that
it would forsake its own common sense and experience for the suggestions
implied in the court's ... example." Gleason, 616 F.2d at 15 (internal
quotation marks omitted). Thus, we find that to the extent there was error,
it was harmless. We finally address the appellants' contention that the court
improperly attributed more weight to circumstantial evidence than to direct
evidence by stating that, "[d]irect evidence i[s] often misleading
[while] circumstantial evidence is quite sufficient." While the court
should have instructed the jury, as it did earlier in its charge, that both
types of evidence are weighed equally, United States v. Botsch, 364 F.2d 542, 550
(2d Cir.1966), it is noteworthy that the court gave this instruction in the
context of inferring culpable knowledge or intent. Commentators agree that it is seldom possible to present
testimonial or direct evidence of an accused's state of mind. Intent as a
separate item of proof does not commonly exist. Thus, whenever intent is an
element of a crime, its existence must be inferred by considering the laws
that generally govern human conduct.... Circumstantial evidence of this
subjective fact is therefore indispensable. Mallette v. Scully, 752 F.2d 26, 32 (2d Cir.1984) (citations
omitted). Because as a general rule most evidence of intent is
circumstantial, it was perfectly reasonable for the court to emphasize the
importance of that type of evidence. In any event, because the appellants'
exculpatory evidence was also exclusively circumstantial (even Salameh's
"evidence of his own words"), the court's instruction could not
have resulted in prejudice. We further observe that, at Ajaj's request,
[*144] the court
explicitly repeated its earlier instruction on inferences, stating that
jurors were free to draw inferences of innocence as well as guilt from the
evidence, or no inferences at all. It therefore cannot be said that the court
suggested to the jury that inferences favorable to the government were
warranted. Consequently, we believe that to the extent the court erred, that
error was harmless. B. Abouhalima—Terrorist Materials Abouhalima next argues that the district court violated his due
process rights by instructing the jury to disregard his argument that only
one terrorist magazine article was found during the government's search of
his apartment, an article entitled "Facing the enemies of
God—[T]errorism is a [R]eligious [D]uty and [F]orce is
[N]ecessary." Abouhalima maintains that the court's remarks denied him
the ability to argue lack of incriminating evidence, gave the appearance of
bias against him and infected his right to a fair trial. Specifically, during summation, Abouhalima's counsel argued that
although agents who searched his client's apartment took "a lot of
materials, books, everything," the government only presented two of
them. The government, disputing the accuracy of this argument, sought
clarification, given that it had offered a total of seven items but the court
had only allowed two of them into evidence—the terrorist magazine that
Abouhalima refers to ("Facing the enemies of God") and a book that
described the destruction of buildings, entitled "Rapid Destruction and
Demolition." The court addressed that issue when it instructed the jury
on the meaning of cumulative evidence, specifically stating: Now, [Abouhalima's counsel] argued to you that the government
only offered into evidence one magazine from his client Abouhalima's house,
but what happened was the government wanted to put in a pile of stuff. The
objection was properly taken. I thought it was cumulative. And I said it was
cumulative. I tell you, you can draw no inference whatsoever from the absence
of cumulative evidence. During a break, Abouhalima's counsel objected to the instruction
on grounds the court had actually excluded the evidence on the basis of lack
of relevance, not because it was cumulative. Consequently, after that break
the court gave the following curative instruction: [Abouhalima's counsel] points out to me that
he didn't object to any evidence on the basis of anything being cumulative.
He objected on the basis of relevance. Now, relevance means that something has a logical tendency to
convince the mind that a fact is so or not so. That's what relevance is, and
I ruled, apparently, not that it was cumulative, but that it was irrelevant
because it has nothing to do with the issues in this case. I am quite sure he
stated it right, so when I was talking to you about cumulative evidence I
made a mistake. Abouhalima did not object to this curative instruction or
request additional corrective measures. On appeal, however, Abouhalima
asserts that the correction was insufficient to cure the harm, and that the
court should have apologized and instructed the jury to reevaluate
Abouhalima's argument. "This Court will reverse when 'it appears clear to the jury
that the [district] court believes the accused is guilty.' " United
States v. Bejasa, 904 F.2d 137, 141 (2d Cir.1990) (citing United States v.
Nazzaro, 472 F.2d 302, 303 (2d Cir.1973)). "The vital question is
not whether the trial judge's conduct left something to be desired but
'whether his behavior was so prejudicial that it denied ... appellant[ ] a
fair, as distinguished from a perfect, trial.' " Id. (citation omitted).
"[W]e must make an examination of the entire record ... in order to
determine whether the defendant received a fair trial." Id. (internal
quotation marks and citations omitted). Furthermore, when a court errs in the
jury charge and delivers a timely curative instruction, we ordinarily may
presume that the jury adhered to that correction unless "there is an
overwhelming probability that the jury [was] unable to follow the court's
instructions and the evidence is devastating to the defense." United
States v. Colombo, 909 F.2d 711, 715 (2d Cir.1990) [*145] (internal
quotation marks and citations omitted) (where prosecutor links a RICO
defendant to the rape and sodomy of a woman as background information, but
those charges are not before the jury, there is an "overwhelming
probability" that, despite a court's curative limiting instruction, a
jury would be unable to consider this evidence dispassionately). When a
defendant fails to object to the curative instruction at trial, we review the
court's instruction for plain error. See Olano, 507 U.S. at
734-36, 113 S.Ct. 1770. Under this standard, the appellant has the burden of
demonstrating "a miscarriage of justice, or ... an obvious instance of
misapplied law." Latsis, 20 F.3d at 49 (internal quotation marks and
citations omitted). We conclude that Judge Duffy's mistaken instruction did not
convey to the jury that he believed Abouhalima was guilty. Such a message is,
at the very least, muddled by the court's admission of error. We also conclude
that based on the record as a whole, the court's error did not deprive
Abouhalima of a fair trial. While the instruction may have momentarily
undermined Abouhalima's narrow argument that there was a lack of
incriminating evidence found in his apartment, the court's timely admission
of error and corrective instruction minimized whatever prejudice could have
been created by that mistake. See, e.g., United States v. Messina, 131 F.3d
36, 40 (2d Cir.1997), cert. denied, 523 U.S. 1088, 118 S.Ct. 1546, 140 L.Ed.2d
694 (1998). Because under these circumstances there is no "overwhelming
probability" that the jury was unable to follow the curative
instruction, Abouhalima cannot demonstrate prejudice, let alone a
"miscarriage of justice" to warrant reversal under the plain error
standard. C. Elements of the Charged Conspiracy Abouhalima next assails the district court's denial of his
request to charge concerning the intent required to be convicted of the
conspiracy. Specifically, in Abouhalima's request to charge, he averred that,
based on the conspiracy as charged in the indictment, the government was
required to prove specific knowledge and intent to bomb the World Trade
Center. The district court disagreed and instead instructed the jury that for
purposes of unlawful intent, the object of the conspiracy "is not
restricted to a particular building." Abouhalima argues that the
district court's instruction was error because it invited the jury to convict
him without finding the mental element of the crime charged. Moreover,
Abouhalima asserts that the court's "sweeping language" concerning
the object of the conspiracy resulted in his conviction "for
participation in a conspiracy beyond that which was charged, noticed, and
alleged in the government's proof." In this regard, Abouhalima argues
that through the jury charge, the court constructively amended the indictment
to reflect an offense not passed on by the grand jury. Furthermore,
Abouhalima asserts that the indictment's repeated references to the World
Trade Center and the government's repeated references to that complex during
opening statements and summation required the government to prove a specific
conspiracy to bomb the World Trade Center. [FN9] FN9. To the extent that Abouhalima argues
that the court failed to charge on the "essential nature of the
agreement," we reject that argument as meritless. See infra Part VI.D.1
(discussion in connection with appellant Ajaj). We disagree. "In order to succeed when challenging jury
instructions appellant has the burden of showing that the requested charge
accurately represented the law in every respect and that, viewing as a whole
the charge actually given, he was prejudiced." Dove, 916 F.2d at 45
(internal quotation marks and citations omitted). Because Abouhalima cannot
show that his request to charge accurately represented the law, we do not
reach the issue of prejudice. [134] Link to KeyCite Notes It is well settled that the
essential elements of the crime of conspiracy are: (1) that the defendant
agreed with at least one other person to commit an offense; (2) the defendant
knowingly participated in the conspiracy with the specific intent to commit
the offenses that were the objects of the conspiracy; and (3) that during the
existence of the conspiracy, at least one of the overt acts set forth in the
indictment was committed by one or more of the members of the conspiracy in
[*146] furtherance
of the objectives of the conspiracy. See Maldonado-Rivera, 922 F.2d at 961;
see also United States v. Wallace, 85 F.3d 1063, 1068 (2d Cir.1996) (for
purposes of conspiracy, unlawful intent is the "specific intent to
achieve th[e] object [of the conspiracy]"). The indictment does not charge the defendants with conspiring to
bomb the World Trade Center. The indictment alleges that the defendants
conspired "to commit offenses against the United States." Four
objectives of the conspiracy, each a separate bombing violation, are alleged
as follows: (i) to bomb buildings used in or affecting interstate and foreign
commerce, in violation of 18 U.S.C. § 844(i); (ii) to bomb property and
vehicles owned by the United States, in violation of 18 U.S.C. § 844(f);
(iii) to transport explosives interstate for the purpose of bombing
buildings, vehicles, and other property, in violation of 18 U.S.C.
§ 844(d); and (iv) to bomb automobiles used in interstate commerce, in
violation of 18 U.S.C. § 33. The World Trade Center bombing is not
listed as an object of the conspiracy, but merely as one of 31 overt acts
alleged to have been committed in furtherance of the conspiracy.
Consequently, because the World Trade Center bombing is not alleged as an
objective of the conspiracy, the district court did not err in refusing to
charge the jury that specific knowledge and intent was required with respect
to that bombing. There is also nothing in the record to support Abouhalima's
contention that the court's instruction eliminated the specific knowledge and
intent required for conviction of the charged conspiracy and thereby constructively
amended the indictment. A constructive amendment occurs when the terms of the indictment are in effect
altered by the presentation of evidence and jury instructions which so modify
essential elements of the offense charged that there is a substantial
likelihood that the defendant may have been convicted of an offense other
than that charged in the indictment. United States v. Wallace, 59 F.3d 333, 337 (2d Cir.1995)
(quoting United States v. Mollica, 849 F.2d 723, 729 (2d Cir.1988)); see also
United States v. Delano, 55 F.3d 720, 729 (2d Cir.1995). Consistent
with the indictment, the government argued to the jury that the defendants
engaged in a conspiracy to bomb buildings, vehicles and property in the
United States and the World Trade Center bombing was one act committed in
furtherance of the overall conspiracy. Furthermore, the district court's jury
charge closely tracked the indictment. [FN10] The jury also was given a copy
of the indictment to take with it during its deliberations, which, as discussed
above, clearly stated the objectives of the conspiracy. See United States
v. Jones, 30 F.3d 276, 284 (2d Cir.1994) (perception of prejudice
mitigated when jury is given a copy of the indictment). The evidence at trial
established a conspiracy to bomb multiple targets and demonstrated that the
conspirators successfully bombed the World Trade Center in furtherance of
that conspiracy. Accordingly, there was no constructive amendment. FN10. In the relevant portion of the jury
charge, the court stated: "I suggested in a shorthand way apparently
that the objects of the conspiracy was to blow up the World Trade Center, but
that's not accurate. The objects of the conspiracy are the four objects
listed in the indictment. That is, the first one being to damage and destroy
by means of fire and explosives buildings, vehicles and other real and
personal property used in interstate commerce. Paragraph 3 [of the
indictment] is to damage and destroy by means of fire and explosives
buildings, vehicles and other personal property in whole or in part owned,
possessed, used by or leased by the United States and departments and
agencies thereof. The fourth paragraph [of the indictment], the object is
transportation in interstate commerce of the explosives with knowledge and
0intent that the explosives were to be used unlawfully to damage and destroy
buildings, vehicles and other real and personal property. The fifth one is
with a reckless disregard for human life to damage, disable, destroy and
place and cause to be placed explosives and other destructive substances in
and upon in proximity to motor vehicles which are used, operated and employed
in interstate commerce. In my shorthand way I misstated it. Those are the
objects as charged in the indictment. It is not restricted to a particular
building." Finally, the government's multiple references to the World Trade
Center in the indictment and during opening statements and summation did not
require the court to [*147] charge conspiracy to bomb the World Trade Center.
Aside from the unprecedented nature of Abouhalima's argument, those multiple
references to the World Trade Center bombing were due to the fact that most
of the substantive crimes charged in the indictment stemmed from that
bombing. [FN11] In any event, the proof at trial demonstrated that the
conspiracy encompassed considerably more than just the bombing of the World
Trade Center, including: (1) the existence of additional chemicals recovered
from the Shed after the bombing; (2) the modified timing device found in
Ayyad's home; and (3) Ayyad's continuing attempts to procure additional
explosive chemicals after the bombing. The most definitive proof of the broad
scope of the conspiracy and the defendants' intent to commit additional
bombings after the World Trade Center was the letter sent to the New York
Times claiming responsibility for the bombing and the similar draft letter
retrieved from an erased file on Ayyad's computer disk, both of which speak
to future acts of terrorism. FN11. For substantially the same reasons, we
reject Abouhalima's further contention that the government shifted its theory
of its case through repeated references to the World Trade Center bombing in
its opening statement and summation, thereby depriving him of a fair trial. D. Ajaj's Objection to the Jury Charge Ajaj attacks the district court's jury charge on three
additional grounds: (1) the court failed expressly to charge the jury that to
convict Ajaj of conspiracy, the jury was required to find that Ajaj agreed to
the "essential nature of the plan"; (2) with respect to Ajaj's
vicarious criminal liability on Counts Two to Six and Eight to Ten, the
district court charged the jury under a Pinkerton theory of liability despite
the lack of evidence that Ajaj was a conspirator; and (3) the district court
failed to instruct the jury on the issue of Ajaj's withdrawal from the
conspiracy. [FN12] FN12. Like Ajaj, Abouhalima objects to the
district court's Pinkerton instruction. We therefore address
Abouhalima's contentions as well. 1. Essential Nature of Plan Ajaj argues that the district court failed to instruct the jury
that to convict Ajaj as a member of the conspiracy, it had to find that he
agreed to the "essential nature of the plan." According to Ajaj,
the essential nature of the plan charged in the indictment was a scheme to
bomb a "populated structure in an urban area." Ajaj argues that the
court constructively amended the indictment by instructing the jury that Ajaj
could be convicted of conspiracy if he shared in any of the conspiracy's four
objectives and that this instruction rendered the conspiracy count
duplicitous. See United States v. Aracri, 968 F.2d 1512, 1518 (2d Cir.1992)
("An indictment is duplicitous if it joins two or more distinct crimes
in a single count."). Ajaj's arguments are meritless and we conclude
that the district court committed no error. To convict a defendant on a conspiracy charge, the government
must prove that the defendant agreed to the " 'essential nature of the
plan' ... and on the 'kind of criminal conduct ... in fact contemplated.'
" Gleason, 616 F.2d at 16 (citations omitted). The defendant must be
shown to have agreed "to commit a particular offense and not merely a
vague agreement to do something wrong." United States v. Provenzano, 615 F.2d 37, 44
(2d Cir.1980) (emphasis added; citation and internal quotation marks
omitted). A court's jury charge comports with this rule when it sets forth
the "essential nature of the plan" by accurately describing
"the essence of the [conspiracy's] underlying illegal objective
[s]," United States v. Stavroulakis, 952 F.2d 686, 690 (2d Cir.1992),
and then instructs the jury that the government must demonstrate " 'an
agreement as to the objective[s] of the conspiracy,' " Bagaric, 706 F.2d at 63
(citation omitted); see United States v. Attanasio, 870 F.2d 809,
816-17 (2d Cir.1989). The government is not required to demonstrate that the
defendant agreed to all of the conspiracy's objectives, as long as the
defendant shared "some knowledge of the [conspiracy's] unlawful aims and
objectives." United States v. Heinemann, 801 F.2d 86, 93 (2d Cir.1986)
(internal quotation marks and citation omitted); [*148] Gleason, 616
F.2d at 16 ("[D]efendant need not know every objective of the
conspiracy" to be convicted as a member.). Here, the court instructed the jury in accordance with these
requirements. The court instructed: "Before you can find that the
defendant you are considering was a member of the conspiracy, you must
conclude that you are satisfied beyond a reasonable doubt that he knowingly
and willfully associated himself with the intent to aid in the accomplishment
of the purpose of the conspiracy." The district court then instructed
the jury on the "essential nature of the plan" by tracking the
language of the relevant bombing statutes that comprised the conspiracy's
objectives. And we know the purposes are to damage and destroy and attempt
to damage and destroy by means of fire and explosives, buildings, vehicles
and other real and personal property used in interstate commerce. To damage
and destroy by means of fire and explosives, buildings, vehicles and other
personal property, in whole or in part owned, possessed, or leased to the
United States or departments and agencies of the United States, to transport
in interstate commerce explosives with knowledge and intent that the
explosives were to be used unlawfully to damage and destroy buildings,
vehicles, and other real and personal property, and to damage, disable,
destroy, and place and caused to be placed explosives and other destructive
substances in, upon, and in proximity to motor vehicles which were used,
operated, and employed in interstate commerce. The district court then instructed the jury that the government
was not required to prove that the defendant agreed to all of the
conspiracy's objectives. Rather, the court instructed that to convict Ajaj of
conspiracy, "[w]hat is necessary is the defendant must have participated
with knowledge of at least some of the basic aims and purposes of the
conspiracy and with the intention of aiding in and accomplishing those
unlawful ends." By accurately describing the essence of the underlying
conspiratorial objectives as set forth in the indictment, the court guarded
against the possibility that Ajaj would be convicted of merely entering into
"a general agreement to engage in unspecified criminal conduct." United
States v. Rosenblatt, 554 F.2d 36, 39 (2d Cir.1977); see United States v.
Gallerani, 68 F.3d 611, 618 (2d Cir.1995) (instructions were erroneous
when the jury could "convict the defendant of conspiracy without finding
that he had any of the objectives alleged in the indictment"). The court
also guarded against a constructive amendment of the indictment. See Wallace, 59 F.3d at 337.
Contrary to Ajaj's argument, Count One of the Southern District indictment
did not charge Ajaj with conspiring to bomb a populated structure in an urban
area but with conspiring to secure four distinct criminal objectives. We briefly dispose of Ajaj's remaining arguments. By charging
the jury that Ajaj could be convicted as a member of the conspiracy if he
shared some of the conspiracy's objectives, the court's charge did not
thereby render the conspiracy count duplicitous. The court's instructions, as
well as the indictment, charged Ajaj with membership in a single conspiracy
with multiple criminal objectives. See Aracri, 968 F.2d at 1518
("The allegation in a single count of a conspiracy to commit several
crimes is not duplicitous, for the conspiracy is the crime and that is one,
however diverse its objects." (citation, internal quotation marks and
alterations omitted)). Furthermore, the district court was not required to
specifically instruct the jury, as an element of the conspiracy charge, that
Ajaj could be convicted as a conspirator only if he agreed to the
"essential nature of the plan." See generally Edward J. Devitt et
al., Federal Jury Practice and Instructions § 28.03 (4th ed.1990)
(setting forth essential elements of conspiracy instructions). The court's
careful jury charge apprized the jury of the essence of the conspiracy's
underlying illegal objectives and instructed the jury that Ajaj could be
convicted of conspiracy only if he agreed to one or more of the objectives.
We therefore affirm those jury instructions. 2. Inclusion of the Pinkerton Charge Ajaj and Abouhalima each contend that the district court
erroneously instructed [*149] the jury that they could be convicted on Counts
Two to Six and Eight to Ten under a Pinkerton theory of liability. The court
instructed the jury that "[i]f in light of my instructions you find
beyond a reasonable doubt that a defendant was a member of the conspiracy
charged in Count One and, thus, guilty on the conspiracy count, then you may
also, but you are not required, to find him guilty of any or all of the
substantive crimes charged in Counts Two through Six and Counts Eight through
Ten." The district court then set forth the elements of the Pinkerton
analysis: First, the crime charged in the substantive count, that is,
Counts Two through Six and Counts Eight through Ten was, in fact, committed. Second, that the person or persons you find actually committed
the crime were members of the conspiracy you found to have existed. Third, that the substantive crime was committed pursuant to the
common plan and understanding you found to exist among the conspirators. Fourth, that the defendant was a member of the conspiracy at the
time the substantive crime was committed. And, fifth, that the defendant could have reasonably foreseen
the substantive crime committed by his co-conspirators. Neither Ajaj nor Abouhalima object to the substance of the
district court's Pinkerton charge but each offers slightly different
criticisms of that charge. Ajaj argues that the charge was improper in light
of the absence of independent evidence supporting his membership in the
conspiracy. Lacking such evidence, Ajaj argues that the district court's Pinkerton instruction
improperly invited the jury to engage in an "inverse-Pinkerton" analysis
whereby the jury inferred Ajaj's participation in the conspiracy from the
commission of the substantive offenses. Abouhalima, offering a similar
argument, contends that because there was insufficient evidence that he
agreed specifically to bomb the World Trade Center, the court's Pinkerton instruction invited
the jury to engage in an "inverse-Pinkerton" analysis.
Abouhalima's argument rests on the premise that the object of the conspiracy
charged in the indictment was a scheme to bomb the World Trade Center. We
disagree and affirm the propriety of the court's charge. Under the Pinkerton doctrine, "a jury [may] find a
defendant guilty on a substantive count without specific evidence that he
committed the act charged if it is clear that the offense had been committed,
that it had been committed in the furtherance of an unlawful conspiracy, and
that the defendant was a member of that conspiracy." United States v.
Miley,
513 F.2d 1191, 1208 (2d Cir.1975) (citing Pinkerton v. United States, 328 U.S. 640, 645, 66
S.Ct. 1180, 90 L.Ed. 1489 (1946)). We have cautioned that "the Pinkerton
charge should not be given as a matter of course and in particular where the
evidence is such that the jury is required to resort to the inverse of
Pinkerton and infer the existence of a conspiracy from the series of
disparate criminal offenses." United States v. Corr, 543 F.2d 1042, 1050
(2d Cir.1976); see Gleason, 616 F.2d at 19; United States v. Sperling,
506 F.2d 1323, 1342 (2d Cir.1974) (improper to give Pinkerton charge when
"the conspiracy ... must be inferred largely from the series of criminal
offenses committed"); United States v. Cantone, 426 F.2d 902,
904-05 (2d Cir.1970). Contrary to Ajaj's argument, the government presented ample
evidence of Ajaj's membership in the conspiracy that bombed the World Trade
Center. The government presented evidence that: (1) Ajaj traveled to the
Middle East to obtain terrorist training; (2) Ajaj and Yousef studied the
construction of explosive devices in the Middle East; (3) Ajaj and Yousef
conspired to enter the United States illegally in furtherance of their plot
to bomb buildings and vehicles in the United States; and (4) Ajaj remained in
close contact with Yousef after his incarceration. See infra Part VII.B.
(discussing Ajaj's sufficiency of evidence argument). Given the ample
evidence supporting Ajaj's conspiracy conviction, the district court's
Pinkerton charge did not invite the jury to engage in an "inverse-Pinkerton
" analysis. See United States v. Harwood, 998 F.2d 91, 100 (2d
Cir.1993). Indeed, the district court cautiously instructed the jury that
Ajaj could be found guilty of [*150] the substantive crimes only after the
jury had concluded that he was a conspirator. Furthermore, Abouhalima's argument is predicated on the flawed
premise that the object of the conspiracy was to bomb the World Trade Center.
The indictment, however, alleged four separate objectives, none of which
required the government to prove that the defendant was aware of the specific
target of the bombing conspiracy. Accordingly, Abouhalima's
"inverse-Pinkerton " argument is misplaced. Given the ample
evidence of Abouhalima's knowing participation in the conspiracy's objectives,
the court's Pinkerton charge was appropriate. See infra Part VII.C.
(discussing Abouhalima's challenge to the sufficiency of evidence). 3. Failure to Charge on Withdrawal Sua Sponte Ajaj argues that his arrest and incarceration on passport fraud
charges approximately six months prior to the World Trade Center bombing
entitled him to a jury instruction on withdrawal from the bombing conspiracy.
Ajaj argues that the district court's failure to provide this instruction
constituted plain error. We disagree. A criminal defendant "is entitled to have instructions
presented relating to any theory of defense for which there is any foundation
in the evidence, no matter how weak or incredible that evidence may be."
United States v. LaMorte, 950 F.2d 80, 84 (2d Cir.1991) (citation
and internal quotation marks omitted); see United States v. Nava-Salazar, 30 F.3d 788, 799
(7th Cir.1994) ("A defendant is entitled to a withdrawal instruction
only if the evidence could sustain that claim."). Typically, to sustain
a withdrawal defense, a defendant is required to present evidence of some
"affirmative action [taken] ... to disavow or defeat the purpose"
of the conspiracy. Hyde v. United States, 225 U.S. 347, 369, 32 S.Ct. 793, 56
L.Ed. 1114 (1912). "Mere cessation of activity is not enough ...; there
must also be affirmative action, either the making of a clean breast to the
authorities ... or communication of the abandonment in a manner reasonably
calculated to reach co-conspirators." United States v. Borelli, 336 F.2d 376, 388
(1964). A conspirator who presents evidence of his imprisonment during
the course of the conspiracy is entitled to a jury instruction on withdrawal.
See United States v. Panebianco, 543 F.2d 447, 453 (2d Cir.1976)
("[E]vidence that [defendant] had been incarcerated ... would have been
enough to make his withdrawal a jury issue."); Borelli, 336 F.2d at 390
(concluding that although incarceration for a crime unrelated to the charged
conspiracy does not entitle defendant to a directed verdict on withdrawal,
"the fact [of incarceration] ... raise[s] a question for the jury on the
issue of ... withdrawal"); United States v. Agueci, 310 F.2d 817, 839
(2d Cir.1962) ("The law is clear ... that while arrest or incarceration
may constitute a withdrawal from a conspiracy, it does not follow that in
every instance it must."); see also United States v. Consolidated
Laundries Corp., 291 F.2d 563, 573 (2d Cir.1961). Whether a conspirator's
imprisonment constitutes a withdrawal "must be decided by the jury in
light of the length and location of the internment, the nature of the
conspiracy, and any other available evidence." Panebianco, 543 F.2d at 454 n.
5. Ajaj, who was incarcerated during the course of the conspiracy,
therefore was entitled to a jury instruction on withdrawal. Ajaj, however,
did not raise this contention at trial and we therefore assess the court's
instructions for plain error under Fed.R.Crim.P. 52(b). We conclude that Ajaj
has not met his burden of persuasion to demonstrate that the jury, properly instructed,
would have found that Ajaj withdrew from the conspiracy. Other than the fact of his incarceration, Ajaj presented no
other evidence at trial to demonstrate that he withdrew from the conspiracy.
The government, however, presented compelling evidence that Ajaj, through
conversations with Abukhdeir and Yousef, retained a stake in the conspiracy
during his six-month imprisonment. Ajaj discussed the bombing conspiracy in
coded language and never affirmatively sought to distance himself from his
coconspirators. In fact, during one such conversation, Ajaj agreed to convey
[*151] the terrorist
materials to Yousef. Therefore, in light of Ajaj's relatively short prison
sentence on his passport fraud conviction, his internment in New York and the
government's evidence demonstrating Ajaj's frequent contact with Yousef
during the term of his incarceration, we conclude that the district court's
failure to instruct the jury on withdrawal was not plain error. VII. SUFFICIENCY OF THE EVIDENCE A. Standard of Review A defendant challenging a conspiracy conviction on sufficiency
grounds "bears a heavy burden." Masotto, 73 F.3d at 1241
(citation omitted). We review the evidence in the light most favorable to the
government and credit every inference that the jury might have drawn in the
government's favor. See United States v. Aulicino, 44 F.3d 1102, 1114
(2d Cir.1995). Furthermore, we assess the evidence "not in isolation but
in conjunction," United States v. Pitre, 960 F.2d 1112, 1120 (2d
Cir.1992) (citation and internal quotation marks omitted), and the jury's
verdict must be sustained if "any rational trier of fact could have
found the essential elements of the crime beyond a reasonable doubt," Jackson
v. Virginia, 443 U.S. 307, 319, 99 S.Ct. 2781, 61 L.Ed.2d 560 (1979).
"The government's case need not exclude 'every possible hypothesis of
innocence' ... and it is the task of the jury, not the court, to choose among
competing inferences." United States v. Martinez, 54 F.3d 1040, 1042-43
(2d Cir.1995). Deference to the jury's verdict is especially due when
reviewing a conspiracy conviction because conspiracies are "secretive
operation[s], and it is a rare case where all aspects of a conspiracy can be
laid bare in court with the precision of a surgeon's scalpel." Pitre, 960 F.2d at 1121
(citations and internal quotation marks omitted). To convict a defendant as a member of a conspiracy, the
government must prove that the defendant "agree[d] on the essential
nature of the plan." Gleason, 616 F.2d at 16 (citation and internal
quotation marks omitted). To identify the "essential nature of the
plan," we focus on the "essence of the underlying illegal
objective[s]," and the "kind of criminal conduct ... in fact contemplated,"
Stavroulakis, 952 F.2d at 690 (citations omitted). See also Rosenblatt, 554 F.2d at 39.
The government must prove that the defendant agreed "to commit a
particular offense and not merely a vague agreement to do something
wrong." Provenzano, 615 F.2d at 44 (emphasis added; citation
and internal quotation marks omitted). Where conspirators are charged with
pursuing multiple criminal objectives, the government is not required to
prove that the defendant agreed to all of the objectives. Gleason, 616 F.2d at 16.
Rather, the government must show that the defendant shared "some
knowledge of the [conspiracy's] unlawful aims and objectives." United
States v. Heinemann, 801 F.2d at 93 (citation and internal quotation marks
omitted). "[O]nce a conspiracy is shown, only slight evidence is
needed to link another defendant with it." United States v.
Roldan-Zapata, 916 F.2d 795, 802 (2d Cir.1990) (citation and internal
quotation marks omitted). Mere association with conspirators and suspicious
circumstances, however, are insufficient bases for a conspiracy conviction.
See United States v. Nusraty, 867 F.2d 759, 763-64 (2d Cir.1989); United
States v. Duckett, 550 F.2d 1027, 1030 (5th Cir.1977) ("The joint presence
of the defendant and the conspirators at the airport and the preexisting relationship
between the parties is insufficient alone to prove beyond a reasonable doubt
that defendant had a part in the conspiracy."). Moreover, we have held that "a conspirator can be held
responsible for the substantive crimes committed by his co-conspirators to
the extent those offenses were reasonably foreseeable consequences of acts
furthering the unlawful agreement, even if [the conspirator] did not himself
participate in the substantive crimes." United States v. Romero, 897 F.2d 47, 51
(2d Cir.1990) (citing Pinkerton, 328 U.S. at 647, 66 S.Ct. 1180). B. Ajaj Ajaj argues that the government presented insufficient evidence
to establish his guilt on [*152] the counts for which he was
convicted. As an initial matter, Ajaj argues that the government failed to
prove his membership in the conspiracy that bombed the World Trade Center.
Ajaj contends that the government's evidence fails to prove that Ajaj agreed
to the "essential nature of the plan," that is, to bomb a populated
structure in an urban area. According to Ajaj, the government's conviction
was derived from evidence that proves nothing more than that Ajaj attempted
to enter the United States illegally and had a passing association with
Yousef. On appeal, Ajaj revisits the government's case at trial, seeking to
demonstrate that the government's evidence is susceptible to alternative
inferences consistent with Ajaj's innocence. [FN13] FN13. Ajaj also seeks to demonstrate the
insufficiency of the government's case by including in his arguments new
evidence obtained since his conviction. As we have concluded that we will not
consider Ajaj's new evidence on this appeal, we do not consider it here. See
infra Part IX.A. Ajaj also argues that, assuming he is guilty of conspiracy, the
government failed to present sufficient evidence under the Pinkerton doctrine
that he is vicariously liable for crimes arising from the bombing of the
World Trade Center. See Pinkerton, 328 U.S. at 647-48, 66 S.Ct. 1180. In the
alternative, Ajaj argues that his incarceration before the construction and
detonation of the World Trade Center bomb constituted a withdrawal from the
conspiracy as a matter of law, shielding him from criminal liability for the
offenses later committed by his co-conspirators. See United States v. Greenfield, 44 F.3d 1141, 1150
(2d Cir.1995). Ajaj also challenges the sufficiency of evidence supporting
his conviction for violation of the Travel Act, 18 U.S.C. § 1952. To
prove a violation of the Travel Act, the government was required to establish
that Ajaj: (1) used a facility of interstate or foreign commerce; (2) with
intent to commit any unlawful activity (including arson in violation of New
York state law); and (3) thereafter performed an additional act to further
the unlawful activity. See United States v. Jenkins, 943 F.2d 167, 172
(2d Cir.1991). The general definition of arson under New York law is the
intentional or reckless damaging of a vehicle or building by fire or
explosion. See N.Y. Penal Law §§ 150.05, 150.10 (McKinney 1988); United
States v. Kahn, 472 F.2d 272, 277 (2d Cir.1973) ("[T]he initial inquiry
in a Travel Act case is whether the underlying activity violates a state
law."); see also United States v. Jones, 909 F.2d 533, 537
(D.C.Cir.1990). Ajaj's arguments are unpersuasive. Count One of the Southern District indictment charged Ajaj with
conspiring, in violation of 18 U.S.C. § 371, to (a) bomb buildings,
vehicles and other property used in interstate commerce, 18 U.S.C.
§ 844(i); (b) bomb buildings, vehicles and other property owned, used by
and leased to the United States and its departments and agencies, 18 U.S.C.
§ 844(f); (c) transport explosives interstate to bomb buildings,
vehicles, and other property, 18 U.S.C. § 844(d); and (d) bomb
automobiles used in interstate commerce with reckless disregard for the
safety of human life, 18 U.S.C. § 33. Counts Two to Six and Counts Eight to Ten charged Ajaj with the
substantive offenses arising from the World Trade Center bombing. Ajaj was
charged with (1) bombing a building used in or affecting interstate or
foreign commerce, 18 U.S.C. §§ 844(i) and 2 (Count Two); (2) bombing
buildings, vehicles and property owned, used by and leased to the United
States and its departments or agencies, 18 U.S.C. §§ 844(f) and 2 (Count
Three); (3) transporting a bomb interstate to destroy buildings, vehicles or
other property, 18 U.S.C. §§ 844(d) and 2 (Count Four); (4) bombing
vehicles used in interstate commerce, with reckless disregard for the safety
of human life, 18 U.S.C. §§ 33, 34, and 2 (Counts Five and Six); (5)
assaulting federal officers, 18 U.S.C. §§ 111 and 2 (Count 8); (6) using
or carrying a destructive device during and in relation to a crime of
violence, that is, the assault on federal officers charged in Count Eight and
the bombing conspiracy charged in Count One, 18 U.S.C. §§ 924(c) and 2
(Counts 9 and 10, respectively). In addition, Count Seven charged Ajaj and
Yousef with violating the Travel Act, 18 U.S.C. §§ 1952 and 2, by
traveling in foreign commerce with intent to commit crimes of violence,
namely arson, and to promote that [*153] unlawful activity. [FN14] For the
following reasons, we conclude that the government presented ample evidence
to support Ajaj's conviction on all ten counts. FN14. Section 1952 provides, in pertinent part,
that (a) Whoever travels in interstate or foreign
commerce ... with intent to— ... (2) commit any crime of violence to further
any unlawful activity; or (3) otherwise promote, manage, establish,
carry on, or facilitate the promotion, management, establishment, or carrying
on, of any unlawful activity, and thereafter performs or attempts to
perform— (A) an act described in paragraph (1) or (3)
shall be fined under this title, imprisoned not more than 5 years, or both;
or (B) an act described in paragraph (2) shall
be fined under this title, imprisoned for not more that 20 years, or both,
and if death results shall be imprisoned for any term of years or for life. (b) As used in this section (i) "unlawful
activity" means ... (2) extortion, bribery, or arson in violation of the
laws of the State in which committed or of the United States. 18 U.S.C. § 1952. With respect to the conviction under Count One for conspiracy,
the government's argument at trial that Ajaj not only agreed to the essential
nature of the plan but was one of the conspiracy's architects enjoyed solid
evidentiary support. The government established that in April 1992, Ajaj
surreptitiously traveled from the United States to Pakistan to attend Camp
Khaldan, a terrorist training camp. Evidence presented at trial demonstrated
that Ajaj traveled to Pakistan under an alias, misrepresented to his landlord
in Texas that he was moving to New York, and sought to conceal his departure
from family members. Ajaj, in the Middle East, obtained a letter of
introduction to Camp Khaldan and terrorist materials that contained
instructions on the sabotage of buildings and vehicles with explosives.
Significantly, these manuals bore Ajaj's fingerprints as well as handwritten
notes that set forth formulae for various explosives. Ajaj also obtained
propaganda materials expressing anti-American sentiments, including an
instructional videotape that began with the suicide bombing of an American
Embassy using a van. The government further established that Ajaj, once in the Middle
East, made contact with Yousef and they together plotted to bomb targets in
the United States. The presence of both of their fingerprints in the
terrorist manuals indicated that Ajaj and Yousef studied the materials,
assimilating knowledge that Yousef later applied directly to the construction
of the World Trade Center bomb. For example, Ajaj's fingerprints appear on a
manual page that contains the formula for urea nitrate, the same compound
used as the main charge for the World Trade Center bomb. [FN15] The same
section of that terrorist manual also instructs that the addition of aluminum
powder and other metals enhance urea nitrate's destructive impact, instructions
followed by the conspirators as well. Yousef's fingerprints appear on a
manual page opposite the formula for ammonium nitrate, a compound the
conspirators utilized to boost the bomb's main charge. Moreover, the
conspirators used nitroglycerine and lead azide as "boosters" for
the World Trade Center bomb, consistent with instructions contained in the
handwritten notebooks. FN15. Homemade bombs generally consist of at
least three parts: a "main charge" (the primary explosive), a
"booster" and a "detonator." A "booster" is a
smaller explosive that initiates the explosion of the main charge. The
detonator triggers the booster. The government demonstrated that after completing their
training, Ajaj and Yousef jointly prepared to enter the United States illegally.
Ajaj and Yousef carefully created false identities for themselves in the
names of "Khurram Khan" and "Azan Mohammad,"
respectively. They collected false passports, identification cards and bank,
education and medical records to support their false identities. According to
the government, Ajaj agreed with Yousef that he would carry the terrorist
materials in his own belongings to maximize Yousef's chances of entering the
United States without garnering suspicion. To facilitate Ajaj's own entry
into the United States with the terrorist materials, he was assigned a fake
Swedish passport issued to a "Khurram Khan," as individuals bearing
a valid Swedish passport do not need a visa to enter the United States.
Later, on Yousef's arrest at Kennedy Airport, INS inspectors [*154] searched
Yousef's belongings and found evidence linking him to Ajaj. Among other
things, they found an identification card bearing Yousef's picture and the
name "Khurram Khan" (Ajaj's alias) as well as a small notepad
containing the Dallas, Texas, telephone number and address of Ajaj's friend,
Mohammad Abukhdeir. Yousef, on questioning, claimed to be traveling alone,
and he was later released on his own recognizance. Similarly, when INS
officials searched Ajaj's belongings, they discovered evidence that linked
Ajaj to Yousef. Among other things, they found a British passport and an
airline ticket issued to an "Azan Mohammad," which was the alias
that Yousef had traveled under. INS inspectors also found an identification
card for a "Khurram Khan," identical to the one found in Yousef's
possession, but with Ajaj's, not Yousef's, photograph affixed. Evidence presented at trial also established that Ajaj
facilitated Yousef's entry into the United States at Kennedy Airport and
remained in close contact with Yousef after Ajaj's incarceration for passport
fraud. Customs Inspector Robert Malafronte testified at trial that Ajaj, when
questioned at Kennedy Airport as to whether he was traveling with others,
lied and claimed to be traveling alone. According to the government, Ajaj, by
relieving Yousef of the terrorist materials and lying about their
association, effectively deflected the INS's attention away from Yousef and
facilitated Yousef's entry into the United States. Ajaj's participation in the conspiracy continued even after his
incarceration on the passport fraud conviction. Ajaj stayed abreast of the
conspiracy's progress through telephone conversations with Yousef. Ajaj never
contacted Yousef directly but telephoned a friend, Mohammad Abukhdeir in
Texas, who then, as an intermediary, either relayed messages or patched
three-way calls to Yousef. According to the government, Ajaj, Abukhdeir and
Yousef discussed the bombing conspiracy in code, referring to Yousef as
"Rashed," the bomb plot as the "study" and the terrorist
materials as "university papers." During one such conversation on
December 29, 1992, Ajaj agreed to convey the terrorist materials to Yousef.
Specifically, Ajaj informed Yousef that the United States District Court for
the Eastern District of New York had ordered the government to return Ajaj's
belongings, including the terrorist materials. When Yousef asked if he could
take possession of Ajaj's belongings, Ajaj at first agreed but then opined
that its shipment to Yousef would jeopardize Yousef's "business"
which would be "a pity!" Ajaj suggested that it would be
"preferable that you send someone else to get them." Yousef agreed,
stating that he would "send someone else than me" and would give
Ajaj, through Abukhdeir, the "address of someone here" who was one
of Yousef's "friends." Ajaj agreed and assured Yousef that
proceeding in this manner was "better so that you don't jeopardize your
work." In sum, the government presented ample evidence to demonstrate
that Ajaj agreed to the essential nature of the conspiracy's plan. The
government's evidence went far beyond proving Ajaj's mere association with
terrorists and suspicious circumstances. The possibility that the
government's evidence at trial is subject to alternative inferences
consistent with Ajaj's innocence does not vitiate the reasonableness of the
jury verdict. [FN16] FN16. Contrary to Ajaj's argument, the
government was not required to prove that Ajaj agreed to bomb a
"populated structure in an urban area." None of the four criminal
objectives charged in the indictment required the government to prove that
the defendant was aware of the specific target of the bombing. See 18 U.S.C.
§§ 33, 844(d), 844(f), and 844(i) (collectively referring to crimes
against "any" building, vehicle, or property); e.g., United
States v. Carlson, 561 F.2d 105, 108 (1st Cir.1977) (rejecting defendant's
argument under 18 U.S.C. § 844(d) that "the Government needed to
establish his specific intent to bomb the exact three targets named in the indictment");
see also United States v. Eisenberg, 596 F.2d 522, 526 (2d Cir.1979) (the
government is not required to prove any greater knowledge of the substantive
offenses that comprise the conspiracy's objectives than that required to
prove the commission of the substantive offenses themselves). Nor was the government required to prove
that Ajaj knew that (a) the bombing target was used in interstate commerce,
(b) the property was owned, used by or leased to the United States and its
departments or agencies, or (c) that the explosives were transported across
state lines. These aspects of the conspiracy's criminal objectives are
jurisdictional, not substantive, elements. See, e.g., United States v.
Barton, 647 F.2d 224, 233 (2d Cir.1981) (interstate commerce element of
§ 844(i) is "jurisdictional, rather than substantive"); United
States v. Davis, 98 F.3d 141, 144 (4th Cir.1996) (under § 844(f),
requirement of use by United States is jurisdictional), cert. denied, 520
U.S. 1129, 117 S.Ct. 1274, 137 L.Ed.2d 351 (1997); United States v.
Berberian, 851 F.2d 236, 238-39 (9th Cir.1988) (government not required to
prove that defendant, under 18 U.S.C. § 844(d), knew that explosives
crossed state lines). [*155] Furthermore, there was sufficient evidence to convict
Ajaj of the substantive counts charged in the indictment. With respect to
Ajaj's vicarious criminal liability on Counts Two to Six and Eight to Ten
under the Pinkerton doctrine, the terrorist manuals and anti-American
propaganda materials discovered in Ajaj's possession at Kennedy Airport
constituted sufficient evidence for the jury to conclude that the crimes
arising from the World Trade Center bombing were committed in furtherance of
and were reasonably foreseeable consequences of the bombing conspiracy.
[FN17] Moreover, in light of Ajaj's travel to the United States from Pakistan
with the terrorist materials, and his denial of Yousef at Kennedy Airport,
the evidence was sufficient to convict Ajaj under Count Seven for violating
the Travel Act, 18 U.S.C. § 1952. As a final point, we reject Ajaj's
argument that, as a matter of law, his incarceration on passport fraud
charges constituted his withdrawal from the bombing conspiracy. To the
contrary, we have held that "imprisonment for an offense unrelated to
the conspiracy charged does not, standing alone, entitle a defendant to a
directed verdict with respect to his withdrawal.... Thus, whether an
imprisonment constitutes withdrawal from a conspiracy must be decided by the
jury." Panebianco, 543 F.2d at 454 n. 5. [FN18] FN17. The government also argued in the
alternative that Ajaj was criminally liable on Counts Two to Six and Eight to
Ten on an aiding and abetting theory. As we conclude that there was
sufficient evidence to convict Ajaj on those counts under the Pinkerton
doctrine, we do not reach this argument. FN18. Ajaj, for the first time on appeal,
argues that on January 4, 1993, Attorney Morris, acting pursuant to Ajaj's
direction, requested that the government deliver Ajaj's belongings to his
immigration attorney in Houston, Texas. Ajaj argues that this action
constituted an affirmative act of withdrawal as it defied Yousef's earlier
December 29, 1992 request for the terrorist materials. This argument is made
for the first time on appeal and there is no evidence in the trial record to
support this contention. We therefore do not consider it here with respect to
Ajaj's sufficiency challenge. C. Abouhalima Abouhalima argues that the evidence presented at trial does not
support a finding that he was a participant in the conspiracy to bomb the
World Trade Center, but instead shows only that he knew the other defendants
in this case and was present when they were taking some of the actions that
furthered the conspiracy. The indictment charged Abouhalima with the same
substantive offenses arising from the World Trade Center bombing (Counts Two
to Six and Eight to Ten) and participation in the same conspiracy (Count One)
as Ajaj, see supra Part VII.B., and, like Ajaj, he was convicted on all of
these counts. Abouhalima is correct that these convictions would be
unsupported in the absence of an adequate showing that he was in fact a
participant in the conspiracy. "[M]ere association with those implicated
in an unlawful undertaking is not enough to prove knowing involvement"
in that criminal activity. Nusraty, 867 F.2d at 764; see also, e.g., United
States v. Rios, 856 F.2d 493, 496 (2d Cir.1988). Moreover, mere presence while
actions are being taken in furtherance of a conspiracy is likewise
insufficient to prove "knowing conspiratorial agreement." Nusraty, 867 F.2d at 764;
see also United States v. Vilhotti, 452 F.2d 1186, 1189 (2d Cir.1971). Contrary to Abouhalima's claims, however, the government
presented more than enough evidence from which the jury could have concluded
beyond a reasonable doubt that Abouhalima was a knowing member of the
conspiracy and was guilty, either directly or on a Pinkerton theory, on all
of the substantive counts with which he was charged. [*156] First, there was testimony that Abouhalima helped Salameh
and Yousef find the apartment at 40 Pamrapo. And the evidence that 40 Pamrapo
was intended to and did serve as a bomb factory was strong. The location fit
the recommendation in Ajaj's terrorist materials that a base of terrorist activities
should be located in a ground floor apartment so as to facilitate easy escape
if it should become necessary to flee the premises. The apartment had bluish
stains on the walls and rust on the inside door knob and hinges of the back
bedroom door, both consistent with the fumes generated by mixing explosives
such as urea nitrate and nitroglycerine. Most important, samples of these two
chemicals were found in scrapings taken from various items in the apartment.
[FN19] FN19. Evidence was also presented from which
the jury could have drawn an inference that, once Salameh and Yousef had
moved into the apartment, Abouhalima was a frequent visitor there. To take
only a single example, a witness, Carl Butler, testified that on one occasion
a man fitting Abouhalima's description sat outside the apartment building in
a Lincoln Town Car (a type of vehicle to which Abouhalima, a limousine
driver, had access) and yelled something—in a foreign language that
Butler did not understand—to a tenant of the apartment who fit
Salameh's description. Apparently in response to shouted instructions from
the man in the car, the tenant of the apartment, who had been carrying five
gallon buckets out of the building, ran back inside, reemerged with another
such bucket, and drove away, with the man in the car following him. Second, a receipt entered into evidence showed that Abouhalima
was the purchaser of a refrigerator that bore Yousef's fingerprint and
contained traces of nitroglycerine. The government presented evidence that the
40 Pamrapo apartment had not been equipped with a refrigerator when Salameh
and Yousef moved in, and also pointed to passages in Ajaj's terrorist manuals
that recommended stabilizing nitroglycerine by freezing it. Although
Abouhalima's refrigerator was recovered from another location, there was
sufficient information to permit the jury to infer that Abouhalima supplied
the refrigerator to Yousef and Salameh at the 40 Pamrapo apartment as a
storage facility for nitroglycerine, and that the refrigerator was
subsequently removed and taken to the location where it was later discovered.
[FN20] FN20. In any event, there was strong
evidence that the refrigerator was employed by the conspirators as part of
their bomb-making project, whether at 40 Pamrapo or elsewhere. Third, there was testimony that, in the weeks preceding the
bombing, Abouhalima, a limousine driver, made several unsuccessful attempts
to secure the use of a van from his employer. The jury was entitled to
conclude, in the light of the other evidence linking Abouhalima to the
conspiracy, that Abouhalima sought to obtain such a vehicle in order to
transport the bomb or otherwise to further the aims of the conspiracy, and
that the co-conspirators were forced to rent the Ryder van because Abouhalima
was unable to do so. Fourth, one of Abouhalima's dress shoes, recovered from his
apartment after the bombing, was found to have a burn that contained high
levels of sulfate ions. The presence of such ions was shown to be consistent
with having been burned by sulfuric acid, an ingredient in nitroglycerine.
Moreover, a crystal of magnesium sulfate was found on the shoe. This
substance can be made by mixing sulfuric acid and magnesium (an element that
can enhance the destructive capacity of a urea nitrate bomb like the one used
on the World Trade Center). Fifth, in addition to the shoe, a copy of "Rapid
Destruction and Demolition" was discovered at Abouhalima's home.
Abouhalima's fingerprint was recovered from a page in this publication
providing a formula for making explosives that could be used to destroy
buildings. (Another copy of this same item was recovered from Ajaj at Kennedy
Airport when Ajaj was stopped by United States customs officials as he
attempted to enter the country with his terrorist materials.) Sixth, there was evidence that Abouhalima purchased a can of
"Hodgdon" brand smokeless powder, a substance similar to that used
in the detonator of the bomb planted at the World Trade Center. After the
bombing, a Hodgdon smokeless powder can was found in the storage shed along
with the conspirators' other remaining chemicals. (The can had [*157] been emptied
and then refilled with magnesium, another bomb ingredient.) Seventh, the government offered telephone records for a calling
card that belonged to Abouhalima. These revealed that Abouhalima was in
frequent contact with the other defendants. Moreover, the card was used to
make various calls to chemical companies and garden supply stores. These
establishments sold ingredients that could be used to make the explosives
employed in the World Trade Center bomb. [FN21] FN21. On the day of the bombing, Abouhalima
contacted the telephone company to report that all of the calls that had been
made on the calling card were unauthorized. He claimed at trial that he had
also called the telephone company to cancel the card some two and one-half
weeks earlier. A telephone company representative stated, however, that no
such request appeared in the phone company's records. Under these
circumstances, the jury was entitled to reject Abouhalima's explanation of
the charges to the calling card, and to infer that the calls made on it were
either made by Abouhalima or, if made by the other conspirators, were
authorized by Abouhalima. Eighth, a gas station attendant identified Abouhalima as the
driver of a Lincoln Town Car (to which Abouhalima had access in the course of
his employment as a limousine driver) that accompanied the Ryder van carrying
Salameh and Yousef (and presumably also the bomb) early in the morning of the
day on which the bomb was detonated. The attendant stated that Abouhalima
paid to fill the gas tanks of both vehicles. Finally, on the day following the bombing, Abouhalima made
arrangements to flee the country. On March 2, 1993, leaving his family behind,
Abouhalima traveled from the United States to the Sudan without any luggage
and with only a one-way ticket. The jury was entitled to infer consciousness
of guilt from the facts surrounding this flight. See United States v.
Sanchez, 790 F.2d 245, 252 (2d Cir.1986). All of this evidence was more than sufficient, when taken
together, to establish beyond a reasonable doubt that Abouhalima was a
knowing and active participant in the conspiracy to bomb the World Trade
Center; that he, himself, committed at least some of the substantive offenses
in the indictment; and, to the extent that he did not directly participate in
the substantive acts, that he was nonetheless liable under the Pinkerton
doctrine. VIII. UNFAIR TRIAL—DUE PROCESS Ajaj argues that the cumulative effect of the district court's
errors, in addition to the prejudicial circumstances that hindered the
presentation of his defense, resulted in a fundamentally unfair trial that
violated his right to due process. See Taylor v. Kentucky, 436 U.S. 478, 487
& n. 15, 98 S.Ct. 1930, 56 L.Ed.2d 468 (1978) ("[C]umulative effect
of the potentially damaging circumstances of this case violated the due
process guarantee of fundamental fairness."); United States v. Rivera,
900 F.2d 1462, 1477 (10th Cir.1990) ( "Courts have ... found fundamental
unfairness when error is considered in conjunction with other prejudicial
circumstances within the trial, even though such other circumstances may not
individually rise to the level of error."); United States v. Diharce-Estrada, 526 F.2d 637, 642
(5th Cir.1976). In addition to the district court's commission of a number of
legal errors, Ajaj argues that his trial counsel did not have an adequate
opportunity to prepare Ajaj's defense. Ajaj's trial counsel was appointed to
represent Ajaj on June 21, 1993 and had less than three months to prepare
before trial commenced on September 14, 1993. Ajaj argues that his attorney
did not have enough time to conduct an international investigation in the
Middle East or to translate and review critical Arabic documents and tapes.
Compounding the difficulties, Ajaj's defense was hampered by Ajaj's poor
English, his imprisonment, ill health, and the government's failure to
provide critical items of discovery material in a timely manner. We disagree. The record does not support Ajaj's claim that the
circumstances of his trial were so prejudicial that his right to due process
was denied. We conclude that Ajaj overstates the impact, if any, that his
health and English-speaking ability had on the effective presentation of his
defense. Moreover, [*158] Ajaj's contention that his attorney did not have
an adequate opportunity to prepare his defense, given the speed with which
his case was brought to trial and the government's discovery delays, is
undermined by the failure of his attorney ever to seek a continuance. In sum,
we conclude that Ajaj received a fair trial. IX. POST-TRIAL MOTIONS A. New Trial (Ajaj) Ajaj moves for a new trial based on, inter alia, allegedly newly
discovered evidence. [FN22] FN22. He also claims ineffective assistance
of counsel, which we address below. See infra Part IX.B. This motion is before us in an unusual procedural posture. After
the initial judgments of conviction (March 24, 1994) and sentences (May 24,
1994) were entered, the appellants filed their respective notices of appeal.
Briefing was set, and appellants' briefs were due by June 30, 1995. On June
23, 1995, Abouhalima and Ajaj independently filed motions to remand the
proceedings to the district court. One of the grounds for Ajaj's motion was
the alleged discovery of new evidence. If the district court ruled favorably
on some of the newly raised post-trial claims, it was reasoned, the appeals
might be rendered moot. A panel of this court, consisting of (now) Chief
Judge Winter, and Judges Calabresi and Cabranes, heard oral argument on the
motion July 18, 1995, at which counsel for Ayyad and Salameh were also in
attendance (the "Remand Motion"). At oral argument of the Remand Motion, counsel for Ajaj argued
that the fact-dependent nature of Ajaj's new trial motion also militated in
favor of resolution of the motion in the first instance by the district
court, which was well-versed in the complexity of the case. In addition,
counsel made clear that, since she was newly appointed, she required more
time to complete the post-trial motion. Based on the consent of all four
appellants, we granted the motions to remand, but denied Abouhalima's request
for their reassignment to a different district judge. We therefore dismissed
the appeals, but made clear that when the district court had decided the
post-trial motions, the appeals would be automatically reinstated, without
the need to file new notices of appeal. See United States v. Jacobson, 15 F.3d 19, 22 (2d
Cir.1994). The order was filed the same day oral argument was heard. Later that month, on July 26, the district court held a
conference with respect to the post-trial motions. At this conference, Judge
Duffy expressed skepticism with respect to the newly discovered evidence,
reiterating that "I don't see anything new." Because Judge Duffy
apparently believed that the meat of the post-trial motions lay in the
ineffective assistance of counsel claims—the arguments that appeared
ripe for presentation—he immediately scheduled an August argument date.
But this was before Ajaj's counsel had had the opportunity to complete her
full motion, which, as she had explained to the Remand Motion panel, would
require some time. Disenchanted with the district court's accelerated schedule,
Ajaj returned to our court in August seeking a petition for mandamus to order
the district court "(1) to review and decide the defendant's
applications related to preliminary steps necessary to the finalizing of the
defendant's motion for a new trial; (2) to then permit the filing of a
completed motion for a new trial; and (3) to rule on the propriety of an
evidentiary hearing and to issue a decision on the motion for a new trial in
a manner susceptible of review by [our] Court." On August 9, 1995, we denied Ajaj's mandamus petition (the
"Denial of Mandamus Order"), but did so with leave to renew if the
district court failed: (1) to receive the government's written responses to
the post-trial motions; (2) to conduct such an evidentiary hearing as it may
determine necessary no earlier than 30 days following the date the responses
were received; and (3) to rule [*159] specifically on each issue raised by
the post-trial motions. Pursuant to this August order, and our original remand
instructions, Ajaj's counsel filed her completed post-trial motion that
October. The government filed a response on November 16, and the district
court scheduled a conference the next day. At this November conference, Judge
Duffy inquired whether counsel would be prepared to proceed to a hearing in
fewer than thirty days (as specified by our Court's order), given the
then-imminent sentencing in one of the related proceedings. Counsel declined,
and were told that they would consequently have to wait "at least a
year" to have their post-trial hearing. While the parties waited for a post-trial hearing date, in April
of 1996, Ajaj filed a Reply Brief to the government's answer to his
post-trial motion. For reasons that are not altogether clear, Ajaj also filed
a motion in this Court to reinstate the appeals that had been initially
remanded at his request. On April 29, 1996, another motions panel of our Court heard oral
argument, and again summoned all parties' counsel (the "Reinstatement
Motion"). Ajaj argued that because one of the original reasons for
delaying the direct appeal (inadequate time to prepare) no longer existed,
the case should proceed to the Court of Appeals. No mention was made of one
of the other arguments originally pressed by Ajaj for remand—that the
district court was the appropriate forum for initial resolution of the new
trial motion. This Reinstatement Motion was heard by then-Chief Judge Newman,
and Judges McLaughlin and Cabranes. In a published opinion, we granted the
motion to reinstate the appeals. See United States v. Salameh, 84 F.3d 47, 51 (2d
Cir.1996). The Reinstatement Motion panel expressly addressed the issue of
the still-unadjudicated post-trial motions, and the ability (and propriety)
of passing on them at the appellate level in the first instance. It resolved
the issue so as to maximize the flexibility of the panel that would
ultimately hear the appeals—this panel: We believe that concern [of the appellate panel's fitness to
resolve the fact-dependent post-trial motions in the first instance] can be
adequately dealt with by the merits panel to which these appeals will be
assigned. In granting the motion to reinstate the appeals, we restore to our
jurisdiction only the appeals for which notices of appeal were previously
filed, i.e., the appeals from the four judgments of conviction. It will be up
to the panel hearing those appeals to determine, upon proper application,
whether appellate jurisdiction should be exercised to any additional extent
and to what extent, if any, matters inserted into the record after the
judgments of conviction should be considered. Id. As a result, the question before us is simply to what extent (if
any) our panel should reach out and exercise jurisdiction over the
yet-to-be-addressed post-trial motions. After carefully reviewing the claims
of the appellants, and the procedural posture of this case, we decline to
consider Ajaj's motion for a new trial at this time. As the convoluted procedural history of this case demonstrates,
Ajaj's motion for a new trial is grounded largely in newly discovered
evidence. Indeed, as was originally argued to the Remand Motion panel, the
complexity and fact-sensitivity of the claims require resolution of this
motion, in the first instance, by the district court. For example, Ajaj cites
such post-trial evidence as an interview with his Texas immigration lawyer
and statements that arose at the Abdel Rahman trial. We think that the best
solution for a motion that deals with post-trial matters of this sort is that
it be addressed, as such motions normally are, by the district court first.
[FN23] FN23. Similarly, to the extent that
Abouhalima also raises claims of newly discovered evidence—the record
suggests that his counsel filed a letter dated November 24, 1995, that
referenced "Other New Evidence Under Investigation"—these too
should be resolved in an orderly manner before the district court on remand. The parties, on both sides, have spilt much ink over who is
using and who is abusing the [*160] procedural machinery of the district
court and of the Court of Appeals. And we also recognize that several
comments made by Judge Duffy, taken out of context, might be read to suggest
some hostility toward the newly discovered evidence claims. Some tension is
perhaps unavoidable in a case of this difficulty and significance. We are
confident, however—now that a large number of previous concerns over
timing have been rendered moot—that the district court will be able to
schedule proceedings expeditiously, and that the parties will assist that
court by clarifying any issues that remain. [FN24] After that, as we
indicated in our order denying mandamus, the district court may issue its
order granting or denying some or all of the relief that is sought, and
specifying the reasons for its conclusions. At that point, and only after the
district court has ruled on the claims, should further application for
appellate review be made by the parties. FN24. We note that the law of the case will
now foreclose some of the arguments advanced for post-trial relief. B. Ineffective Assistance of Counsel Three of the four appellants, Abouhalima, Ajaj, and Ayyad, have
made arguments regarding ineffective assistance of counsel. The procedural
postures of these motions are varied: First, Abouhalima's ineffective
assistance claims are not directly advanced on this appeal. [FN25] Second,
Ajaj links some of his ineffectiveness claims to his new trial claims, which
we have just concluded should best be decided by the district court. Finally,
Ayyad presses his ineffectiveness claims on this direct appeal, preferring to
have our court reach the merits forthwith. FN25. At oral argument, however, counsel
indicated that he would be willing to have our panel consider his claims if
we elected to address similar ones of his co-defendants. Generally, Courts of Appeals are reluctant to address
ineffectiveness claims on direct review. The rationale for this policy is
that the constitutional sufficiency of counsel's performance is usually
unripe for seasoned retrospection until after the trial and whatever appeal
may follow. For this reason, many courts forbid a claim of ineffective
assistance of counsel to be raised on direct appeal. See, e.g., United
States v. McGill, 952 F.2d 16, 19 (1st Cir.1991); see also United States v.
Cronic, 466 U.S. 648,
667 n. 42, 104 S.Ct. 2039, 80 L.Ed.2d 657 (1984) (noting the argument of the
Solicitor General that ineffectiveness claims are more properly brought in 28
U.S.C. § 2255 petitions than on direct review). Similarly, there is
generally no procedural bar that follows a failure to bring an
ineffectiveness claim on direct review. See Billy-Eko v. United States, 8 F.3d 111, 114
(2d Cir.1993). Our own Circuit does permit direct review of such claims in
certain narrow circumstances. See id. at 114-15 (describing this as a
"narrow category of cases" in which the defendant has a new counsel
on appeal and argues no ground of ineffectiveness that is not fully developed
in the trial record). And in such circumstances, the specter of procedural
forfeit, if the claim is not raised, does exist. See id. Because, however, Ajaj's ineffectiveness claims appear, at least
in part, to intertwine with his newly discovered evidence allegations, and
because Abouhalima's claims are not pressed on direct appeal, the only
appellant to whom Billy-Eko arguably might apply is Ayyad. But Ayyad, while
devoting much of his appellate brief to the ineffectiveness of his trial
counsel, never explains why, given our disinclination to grant direct review
of such allegations, we should hear his claims at this early juncture. Moreover, the government's passing footnote reference to
Billy-Eko hardly suffices to induce us to hear the claim at this time. [FN26]
It must be remembered that the [*161] Billy-Eko doctrine is discretionary,
and, given the baseline aversion to resolving ineffectiveness claims on
direct review, see, e.g., United States v. Workman, 80 F.3d 688, 701
(2d Cir.1996), it should not be invoked lightly. [FN27] FN26. Ayyad is in no way to be criticized
for raising his ineffective assistance claims, however. As we made clear in
Billy-Eko, counsel are encouraged to err on the side of including an
ineffectiveness claim on direct review (even if it is unripe) to preclude the
possibility of procedural forfeiture. See Billy-Eko, 8 F.3d at 116. FN27. The government's "consent"
to hear this claim on direct appeal is of no significance. While the
Billy-Eko rule is not jurisdictional, it is nonetheless inappropriate to
permit the parties to "confer" jurisdiction on the Court of
Appeals. The preference for hearing ineffectiveness claims on collateral
review is, in part, a prudential measure that has underpinnings in judicial
efficiency and deliberative integrity. As such, it cannot be dictated solely
by the agreement of the parties. Accordingly—and also taking into account the fact that
Ayyad's co-defendants are having their ineffective-assistance claims remanded
for adjudication by the district court—we decline to exercise our
discretion to hear Ayyad's similar claims on direct review. We therefore add
these to the arguments that are to be addressed first by Judge Duffy. X. SENTENCING [173] Link to KeyCite Notes All the defendants seek vacatur of
their sentences on the ground that the district court erred in allowing them
to proceed pro se at their sentencing hearing. After renouncing their trial
counsel, the four defendants participated in their May 24, 1994, sentencing
proceeding without counsel. The government admits that the record does not
reflect a knowing, intelligent and voluntary waiver of the defendants' right
to counsel as mandated by Faretta v. California, 422 U.S. 806, 834, 95
S.Ct. 2525, 45 L.Ed.2d 562 (1975), and does not object to vacatur. We have
reviewed the record and agree that the defendants do not appear to have
waived their right to counsel at the sentencing hearing. Accordingly, we
vacate and remand for resentencing. Although Abouhalima has at times indicated that we should
consider reassigning the remanded proceedings to a different judge, such a
measure is rarely taken. See United States v. Gaviria, 49 F.3d 89, 92 (2d
Cir.1995) ("[R]emanding to a different district judge is an
extraordinary remedy ... [to] be reserved for the extraordinary case.")
(internal quotation marks and citation omitted; alteration in original). More
important, at oral argument all four appellants were expressly asked if they
had any objection to matters being returned to Judge Duffy, and no such
objections were raised. Under the circumstances, we believe the sentences in
all four cases should be vacated and the matter remanded to Judge Duffy.
[FN28] FN28. We leave it up to the district court
whether it prefers to defer resentencing until after it has adjudicated the
post-trial motions, and, if it does so elect, whether it deems it appropriate
to certify any grants or denials of post-conviction relief to us in order to
expedite potential appellate review. These administrative matters are for the
parties' scheduling conference. We hope, however, that such matters may be
clarified in advance to avoid some of the procedural confusions that have
plagued these appeals. CONCLUSION We have conducted a thorough review of all the arguments raised
by appellants, and find no basis for reversal in any of them. Accordingly,
and for the reasons presented above, we AFFIRM the judgments of conviction as
to all four defendants, we DISMISS and REMAND their post-trial motions as
premature for appellate consideration (acknowledging our previous Order
Denying Mandamus), and we VACATE appellants' sentences and REMAND for
resentencing. Brief for
Appellant Mahmoud Abouhalima Brief for
Appellant Nidal Ayyad Brief for
Defendant-Appellant Ahmad Mohammed Ajaj Volume 1: Statement of Facts Brief
for Defendant-Appellant Ahmad Mohammed Ajaj Volume 2: Legal Argument |