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United States v. Elliott, 10th Cir. (2017)

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FILED

United States Court of Appeals


UNITED STATES COURT OF APPEALS Tenth Circuit

FOR THE TENTH CIRCUIT April 5, 2017


_________________________________________
Elisabeth A. Shumaker
Clerk of Court
UNITED STATES OF AMERICA,

Plaintiff - Appellee,

v. No. 15-8138
(D. Wyo.)
JOEL S. ELLIOTT, (D.C. No. 1:15-CR-00042-SWS-1)

Defendant - Appellant.
_________________________________________

ORDER AND JUDGMENT *


_________________________________________

Before HARTZ, BACHARACH, and MORITZ, Circuit Judges.


_________________________________________

In 2014, Mr. Joel Elliott bombed a building owned by Sheridan

County, leading to his conviction on charges that included arson of a

building owned or possessed by an entity receiving federal funds. See 18

U.S.C. 844(f)(1)-(2) (2012). 1 Mr. Elliott appeals, raising issues about

how the government investigated the bombing and whether the buildings

occupant was receiving federal funds at the time of the bombing.

*
Our order and judgment does not constitute binding precedent except
under the doctrines of law of the case, res judicata, and collateral estoppel.
Fed. R. App. P. 32.1(a); 10th Cir. R. 32.1(A).
1
Mr. Elliott was also convicted of using a firearm during and in
relation to a crime of violence, possessing an unregistered firearm, and
making a false declaration to a grand jury.
The government obtained evidence by using an undercover informant

(Mr. Robert Weber) to elicit and record incriminating admissions from Mr.

Elliott. At that time, Mr. Elliott was allegedly represented by an attorney

on the matter under investigation. In light of the alleged legal

representation, Mr. Elliott alleges an ethical violation and argues that his

incriminating statements should have been suppressed. We disagree for two

reasons:

1. Mr. Elliotts argument is waived. At a minimum, Mr. Elliott


forfeited the argument in district court and then waived the
argument on appeal by failing to request plain-error review.

2. His argument fails on the merits. Even if we credit Mr. Elliotts


factual allegations, the Assistant U.S. Attorney did not violate
an ethical rule. 2

Mr. Elliott challenges not only the ethics of the Assistant U.S.

Attorneys conduct but also the applicability of the federal statute that

criminalizes arson of a building owned or possessed by an entity receiving

federal funds. The building that Mr. Elliott bombed was occupied by the

Sheridan County Attorneys Office and owned by Sheridan County. When

Mr. Elliott bombed the building, the county attorneys office was not

receiving federal funds, but the county itself was. In our view, this funding

triggered the criminal statute for arson of a building owned or possessed

2
In explaining that Mr. Elliotts argument fails on the merits, we do
not suggest that we would have reversed here even though Mr. Elliott had
waived his appeal point. We simply explain that the appeal point suffers
two defects: It is both (1) waived and (2) invalid.

2
by an entity receiving federal funds. As a result, we reject Mr. Elliotts

challenge to the applicability of the arson statute.

I. Ethical Conduct

Mr. Elliott urges use of the Courts supervisory power to order

suppression of his incriminating statements, claiming that an Assistant

U.S. Attorney violated state ethical rules in authorizing the undercover

investigation. 3 We reject this contention for two reasons. First, at a

minimum, Mr. Elliott forfeited his present argument in district court and

subsequently waived the argument on appeal by failing to request plain-

error review. Second, Mr. Elliotts argument fails on the merits because

the Assistant U.S. Attorneys alleged conduct would not have violated state

ethical rules.

1. Waiver

In district court, Mr. Elliott filed a motion to suppress and supporting

memorandum that relied on the Fifth Amendment, omitting any mention of

an ethical rule or an ethical violation. At a hearing on the motion to

suppress, Mr. Elliott proffered an excerpt of the American Bar

Associations Annotated Model Rules of Professional Conduct. The

3
In district court, Mr. Elliott asserted that he had known that Mr.
Weber was acting as a government agent. The court rejected this assertion.
In this appeal, Mr. Elliott does not address whether he had known that Mr.
Weber was working for the government.

3
government objected based on relevance. Responding to the objection, Mr.

Elliott made two references to the Model Rules:

1. I would direct your attention to page 432 and following [of the
excerpt]. It talks about statement, federal prosecutions, and
theres some case law citations there that talk about
represented criminal defendants in other matters and so forth.
So Im offering that to the Court . . . as some authority that the
Court can certainly take a look at if there are questions related
to those issues.

2. Model Rule 4.2 and the annotations that are contained on page
432 do have some applicability here.

R. vol. III, at 203, 208. These are the only references to an ethical rule that

Mr. Elliott made in district court.

On appeal, Mr. Elliott drops his Fifth Amendment argument for

suppression. Instead, Mr. Elliott argues that his incriminating statements

should have been suppressed because the Assistant U.S. Attorney had

violated state ethical rules.

The threshold issue is whether Mr. Elliott failed to preserve this

argument in district court. Appellants can fail to preserve an argument

through forfeiture or waiver. Forfeiture occurs when the appellant fails to

timely and adequately present the argument in district court. See United

States v. Olano, 507 U.S. 725, 733 (1993). Waiver can occur when the

appellant intentionally relinquishes or abandons the argument in district

court. See id. At the least, Mr. Elliott failed to timely and adequately

present his ethical argument when urging the district court to suppress the

4
evidence; thus, at a minimum, the present argument was forfeited in

district court. 4 See Ave. Capital Mgmt. II, L.P. v. Schaden, 843 F.3d 876,

884 (10th Cir. 2016).

We can consider forfeited arguments under the plain-error standard.

Id. at 885. But Mr. Elliott has not asked for plain-error review of his

argument. Therefore, even if Mr. Elliott had merely forfeited his argument

in district court, he has waived the argument while on appeal. See

4
Mr. Elliott may even have committed two separate waivers of the
argument in district court.

First, Mr. Elliott may have waived the argument in district court by
failing to mention a potential ethical violation in his motion to suppress.
This omission implicates Federal Rule of Criminal Procedure 12(c)(3). In
two unpublished opinions, we have held that under Rule 12(c)(3), waiver
occurs when a defendant fails to adequately present an argument in a
motion to suppress. In these cases, we found waivers without determining
whether the omission was intentional or inadvertent. See United States v.
Shrader, No. 15-5073, 2016 WL 4497984, at *4 (10th Cir. Aug. 26, 2016)
(unpublished); United States v. Franco, 632 F. Appx 961, 963-64, 963 n.1
(10th Cir. 2015) (unpublished). But see United States v. Soto, 794 F.3d
635, 648-52, 655 (6th Cir. 2015) (concluding that under the 2014
amendments to Federal Rule of Criminal Procedure 12, an untimely pretrial
motion listed in Rule 12(b)(3) no longer constitutes a waiver); United
States v. Sperrazza, 804 F.3d 1113, 1119 (11th Cir. 2015) (same).

Second, Mr. Elliott may have intentionally abandoned the ethical


argument later in the proceedings. During the hearing on the motion to
suppress, the government challenged Mr. Elliott to flesh out his allegation
of an ethical violation, and Mr. Elliott failed to do so. This failure
arguably constituted an intentional abandonment of the argument.

But we need not decide whether Mr. Elliott waived his argument in
district court. Even if Mr. Elliott had only forfeited the argument in
district court, he waived the argument on appeal by failing to request
plain-error review. See pp. 4-7.

5
McKissick v. Yuen, 618 F.3d 1177, 1189 (10th Cir. 2010) ([E]ven if [the

appellants] arguments were merely forfeited before the district court, her

failure to explain in her opening appellate brief . . . how they survive the

plain error standard waives the arguments in this court.).

In the appeal, the government has not argued forfeiture or waiver.

Thus, the government has arguably waived the issue of Mr. Elliotts

waiver. See, e.g., United States v. Heckenliable, 446 F.3d 1048, 1049 n.3

(10th Cir. 2006). Nevertheless, we have discretion to raise Mr. Elliotts

waiver sua sponte. See United States v. Rodebaugh, 798 F.3d 1281, 1314

(10th Cir. 2015) ([T]he waiver of the waiver principle is discretionary,

not mandatory.).

In deciding whether to raise this issue sua sponte, we may weigh the

relative harm from each partys failure to adequately present an argument.

See id. at 1314-17 (assuming for the sake of argument that the government

forfeited or waived the appellants forfeiture and then comparing the

consequences of each partys failure to adequately present an argument).

We conclude that Mr. Elliotts failure created greater harm by impeding

the development of the record on key factual issues. We therefore raise Mr.

Elliotts waiver sua sponte.

Mr. Elliotts argument depends on five alleged facts:

1. The Assistant U.S. Attorney authorized the undercover


investigation of the bombing.

6
2. Mr. Weber served as the Assistant U.S. Attorneys agent during
the investigation.

3. Mr. Elliott was represented by counsel on the matter under


investigation.

4. The Assistant U.S. Attorney knew that Mr. Elliott was


represented by counsel on the matter under investigation.

5. Mr. Weber communicated with Mr. Elliott about the matter


under investigation.

On appeal, Mr. Elliott urges us to accept these alleged facts.

Most of these factual issues arose in district court, but only in the

context of an alleged Fifth Amendment violation. In that context, the

parties barely discussed the Assistant U.S. Attorneys role in the

investigation and the district court did not address the scope of Mr.

Elliotts legal representation.

Mr. Elliott had an opportunity to develop the record concerning these

factual issues. For example, in the hearing on the motion to suppress, the

government invited Mr. Elliott to develop his argument regarding a

violation of the ethical rules: If [Mr. Elliott is] making a professional

responsibility argument, thats a whole nother subject, and . . . I will

represent to the Court that its one that the Government is more than

willing to take on. R. vol. III, at 204. If Mr. Elliott had taken this

invitation, the district court could have elicited evidence on these factual

issues. But Mr. Elliott declined, leaving us with a deficient appellate

7
record. By contrast, the governments omission did not affect the appellate

record, which makes Mr. Elliotts waiver readily apparent.

* * *

In our view, Mr. Elliott has waived his argument for suppression

based on an ethical violation. Thus, even if his argument were meritorious,

we would not reverse.

2. Discretion to Independently Affirm on the Merits

Having rejected Mr. Elliotts argument based on waiver, we could

stop our analysis. But we need not do so. Instead, we may provide an

additional, independent basis for affirming: His argument fails on the

merits.

The Supreme Court has held that [t]he matter of what questions may

be taken up and resolved for the first time on appeal is one left primarily

to the discretion of the courts of appeals, to be exercised on the facts of

individual cases. Singleton v. Wulff, 428 U.S. 106, 121 (1976); accord

Abernathy v. Wandes, 713 F.3d 538, 552 (10th Cir. 2013) ([T]he decision

regarding what issues are appropriate to entertain on appeal in instances of

lack of preservation is discretionary.); see also Planned Parenthood of

Kan. & Mid-Mo. v. Moser, 747 F.3d 814, 837 (10th Cir. 2014) (Waiver

. . . binds only the party, not the court.).

We have frequently exercised this discretion by rejecting appellate

challenges on the merits even after finding the appellate challenges

8
forfeited or waived. See, e.g., United States v. Norman T., 129 F.3d 1099,

1106 & n.3 (10th Cir. 1997); Bones v. Honeywell Intl, Inc., 366 F.3d 869

877-78 (10th Cir. 2004); United States v. Luke-Sanchez, 483 F.3d 703,

706-07 (10th Cir. 2007); United States v. Pursley, 577 F.3d 1204, 1228-29

(10th Cir. 2009); United States v. Cooper, 654 F.3d 1104, 1127-29 (10th

Cir. 2011); Harvey v. United States, 685 F.3d 939, 946 (10th Cir. 2012);

Fulghum v. Embarq Corp., 785 F.3d 395, 408-09 (10th Cir.), cert. denied,

136 S. Ct. 537 & 136 S. Ct. 538 (2015); Mitchell v. Commr, 775 F.3d

1243, 1248-49 n.3 (10th Cir. 2015); Lexington Ins. Co. v. Precision

Drilling Co., 830 F.3d 1219, 1224-25 (10th Cir. 2016) (Bacharach, J.,

concurring, joined by McHugh, J.); Rife v. Okla. Dept of Pub. Safety, 846

F.3d 1119, 1135 (10th Cir. 2017). We elect to do the same here,

independently affirming on the merits even though Mr. Elliott has waived

his challenge.

In deciding whether to independently reject Mr. Elliotts challenge

on the merits, we are guided here by two factors:

1. Would rejection on the merits serve the public interest?

2. May we reject the argument, with certainty, purely as a matter


of law? 5

5
In other cases, different factors may affect whether to independently
reject a waived argument on the merits.

9
We first examine whether rejecting the waived argument on the

merits would serve the public interest. See Carlson v. Green, 446 U.S. 14,

17 n.2 (1980) (deciding an unpreserved argument on the merits because

doing so would serve the interests of judicial administration); Bylin v.

Billings, 568 F.3d 1224, 1231 (10th Cir. 2009) (indicating that we may

consider issues not raised or argued in the district court when the public

interest is implicated); Sussman v. Patterson, 108 F.3d 1206, 1210 (10th

Cir. 1997) (deciding to reach the merits of a forfeited issue, in part

because of the important public policy concerns raised by the issue).

The ethical issue here involves a states no-contact rule. A no-

contact rule prohibits an attorney from knowingly communicating with

individuals who are known to be represented by counsel. Caleb Mason, The

Police-Prosecutor Relationship & the No-Contact Rule: Conflicting

Incentives After Montejo v. Louisiana & Maryland v. Shatzer, 58 Clev. St.

L. Rev. 747, 755 (2010). Some version of this rule has long existed in

every state. See Frank O. Bowman, III, A Bludgeon by Any Other Name:

The Misuse of Ethical Rules Against Prosecutors to Control the Law of

the State, 9 Geo. J. Legal Ethics 665, 722 n.265 (1996). Uncertainty

regarding the scope of these rules can chill prosecutors use of legitimate

investigative techniques. See John G. Douglass, Jimmy Hoffas Revenge:

White-Collar Rights Under the McDade Amendment, 11 Wm. & Mary Bill

Rts. J. 123, 137-38 & 138 n.117 (2002). By rejecting Mr. Elliotts waived

10
argument on the merits, we can mitigate this chilling effect within our

circuit. Doing so will serve the public interest.

The second factor is whether we may reject the waived argument,

with certainty, purely as a matter of law. See United States v. Lyons, 510

F.3d 1225, 1238 (10th Cir. 2007); United States v. Jarvis, 499 F.3d 1196,

1202 (10th Cir. 2007).

As discussed above, Mr. Elliotts argument depends on five alleged

facts. See pp. 6-7, above. If we assume that these alleged facts are true, the

resulting issue would be purely legal: Under the no-contact rule, could a

prosecutor who knows that a suspect is represented by counsel on a

particular matter use an undercover informant to elicit incriminating

admissions from the suspect on that matter? As discussed below, the

answer is clearly yes. See pp. 11-22, below. This consideration favors

rejecting Mr. Elliotts argument based on the merits as well as on waiver.

Considering the two factors, we conclude that it is appropriate to

reject Mr. Elliotts waived argument on the merits.

3. Rejecting Mr. Elliotts Argument on the Merits

On the merits, we conclude that the Assistant U.S. Attorney did not

commit an ethical violation.

As a general rule, an Assistant U.S. Attorney is bound by the ethical

rules of the state where he or she practices. 28 U.S.C. 530B(a) (2012).

When the government was investigating Mr. Elliott in 2015, the Assistant

11
U.S. Attorney was practicing in the State of Wyoming. Consequently, he

was bound by Wyomings ethical rules as they existed in 2015.

Rule 4.2 of Wyomings ethical rules was a no-contact rule. It stated:

In representing a client, a lawyer shall not communicate about


the subject of the representation with a person or entity the
lawyer knows to be represented by another lawyer in the
matter, unless the lawyer has the consent of the other lawyer or
is authorized to do so by law or a court order.

Wyo. Rules of Profl Conduct R. 4.2 (2015). The text of Wyomings

version of Rule 4.2 was nearly identical to the text of the American Bar

Associations version. The sole difference was that the ABAs version used

the word person rather than the phrase person or entity. See Model

Rules of Profl Conduct R. 4.2 (2015).

As the text of Wyomings version of Rule 4.2 rule indicates, this rule

generally prohibited attorneys from knowingly communicating with a

person represented by another attorney about the subject of the

representation. Wyo. Rules of Profl Conduct R. 4.2 (2015). This

prohibition applied even if the communication had taken place through an

intermediary. See Wyo. Rules of Profl Conduct R. 8.4(a) (2015). But an

exception existed for communications authorized by law. Wyo. Rules of

Profl Conduct R. 4.2 (2015).

The issue here is whether Rule 4.2 prohibited the Assistant U.S.

Attorney from using an undercover informant to elicit incriminating

admissions from Mr. Elliott, who was allegedly represented by an attorney

12
on the matter under investigation. We answer no because the authorized

by law exception applied.

In addressing this issue, we are guided by

the historical development of Wyomings version of Rule 4.2,

the ways that other courts have interpreted Rule 4.2 and its
predecessor, Disciplinary Rule 7-104(A)(1) of the ABAs
Model Code of Professional Responsibility, and

policy considerations, previously recognized by our circuit,


supporting the use of undercover informants in pre-indictment
investigations.

Because the issue involves Wyoming law, we examine the decisions

of the Wyoming Supreme Court. ACE Fire Underwriters Ins. Co. v.

Romero, 831 F.3d 1285, 1289 (10th Cir. 2016). That court has not yet

interpreted the authorized by law exception under Wyomings current

version of Rule 4.2. Thus, we must predict how the Wyoming Supreme

Court would interpret the exception. Balknap v. IASIS Healthcare, 844

F.3d 1272, 1295 (10th Cir. 2017). To make this prediction, we follow

Wyomings rules of statutory construction and all relevant sources that

would inform the Wyoming Supreme Courts decision. See United States v.

Ruiz, 589 F.3d 1310, 1313-14 (10th Cir. 2009) (following state rules of

construction); Rock Island Improvement Co. v. Helmerich & Payne, 698

F.2d 1075, 1079 (10th Cir. 1983) (using all relevant sources that would

inform the state supreme courts decision).

13
In interpreting a prior version of Rule 4.2, the Supreme Court of

Wyoming has examined not only the text and commentary of the rule, but

also the ways that other courts and secondary sources understand Rule 4.2

and Disciplinary Rule 7-104(A)(1). See Strawser v. Exxon Co., U.S.A., 843

P.2d 613, 617-23 (Wyo. 1992). To predict how the Wyoming Supreme

Court would interpret the current version of Rule 4.2, we follow the same

approach.

Wyomings version of Rule 4.2 has generally tracked the American

Bar Associations version, which also uses the word person. See Model

Rules of Profl Conduct R. 4.2 (2015). Both versions closely resemble the

ABAs earlier version of the no-contact rule, Disciplinary Rule 7-

104(A)(1) of the ABAs Model Code of Professional Responsibility. See

Model Code of Profl Responsibility DR 7-104(A)(1) (1969). Unlike Rule

4.2, Disciplinary Rule 7-104(A)(1) prohibited communications with a

party rather than a person. Id. But like Rule 4.2, Disciplinary Rule 7-

104(A)(1) contained an exception for communications authorized by law.

Id.

In interpreting Disciplinary Rule 7-104(A)(1), many courts held that

the rule did not apply when a prosecutor used an informant, prior to

indictment, to communicate with a suspect. See, e.g., United States v.

Cope, 312 F.3d 757, 773 (6th Cir. 2002) (stating that the defendant has

cited no authority, nor have we found any, to support his contention that

14
the governments working with confidential informants to elicit

incriminating information from a represented defendant violates

Disciplinary Rule 7-104(A)(1)). Some courts, like ours, arrived at this

holding based largely on the rules limitation to communications with a

party. See, e.g., United States v. Ryans, 903 F.2d 731, 739-40 (10th Cir.

1990); accord State v. Smart, 622 A.2d 1197, 1214 (N.H. 1993). Other

courts relied, at least in part, on the exception for communications

authorized by law. See, e.g., United States v. Hammad, 858 F.2d 834,

839 (2d Cir. 1988); State v. Lang, 702 A.2d 135, 137 (Vt. 1997); see also

United States v. Heinz, 983 F.2d 609, 618 (5th Cir. 1993) (Parker, J.,

concurring in part and dissenting in part) (asserting that [t]he use of

informants to gather evidence against a suspect will generally, if not

almost always, fall within the ambit of the authorized by law exception

to Disciplinary Rule 7-104(A)(1)).

In 1983, the ABA replaced Disciplinary Rule 7-104(A)(1) with Rule

4.2 of the Model Rules of Professional Conduct. See ABA Ctr. for Profl

Responsibility, A Legislative History: The Development of the ABA Model

Rules of Professional Conduct, 1982-2013, at vii, 555, 558 (Art Garwin

ed., 2013). The new rule was virtually identical to the old rule. Id. at 558.

Like its predecessor, Rule 4.2 generally prohibited attorneys from

communicating with a party about the subject of the representation.

Model Rules of Profl Conduct R. 4.2 (1983). And like its predecessor,

15
Rule 4.2 contained an exception for communications authorized by law.

Id.

Interpreting Rule 4.2, most courts continued to hold that the rule did

not apply when prosecutors used informants to communicate with

represented suspects. United States v. Balter, 91 F.3d 427, 436 (3d Cir.

1996) (Alito, J.) (stating that virtually every federal appellate court to

address the issue had held that pre-indictment criminal investigations did

not violate Rule 4.2 because (1) the rule was limited to communications

with a party or (2) such communications were authorized by law);

Colo. Bar Assn Ethics Comm., Formal Op. 96: Ex Parte Communications

with Represented Persons During Criminal and Civil

Regulatory/Investigations and Proceedings, 23 Colo. Law. 2297, 2298

(1994) (Most courts interpreting Rule 4.2 or its predecessor [Disciplinary

Rule] 7-104(A)(1) have reached the conclusion that [the use of informants

is] authorized by law.).

In 1995, the ABA amended the rule, changing the word party to

person. Model Rules of Profl Conduct R. 4.2 (1995). Eleven years later,

Wyoming followed suit, amending Rule 4.2 to cover persons or entities

rather than parties. Wyo. Rules of Profl Conduct R. 4.2 (2006).

Mr. Elliott seizes on this change. He argues that the change

broadened the rule, prohibiting prosecutors from using informants to

16
communicate with represented suspects at the investigation stage. We

disagree.

When amending the rule, the ABA indicated that the change from

party to person would not create new ethical constraints for

prosecutors using informants to communicate with represented suspects.

Shortly before the amendment, the ABA issued a formal opinion, which

acknowledged the case law holding that the use of informants fell within

the authorized by law exception:

[T]he Committee recognizes that there is a body of decisional


law that in effect concludes that the public interest in
investigating crime may outweigh the interests served by [Rule
4.2] in the criminal context, at least where the contacts are
made with represented persons who have been neither arrested
nor formally charged, and the contacts are made by undercover
agents or informants and not by the government lawyers
themselves (or by agents acting so closely under the lawyers
direction as to be their alter egos). Accordingly, the
Committee believes that so long as this body of precedent
remains good law, it is appropriate to treat contacts that are
recognized as proper by such decisional authority as being
authorized by law within the meaning of that exception stated
in [Rule 4.2].

ABA Comm. on Ethics and Profl Responsibility, Formal Op. 95-396, at 11

(1995). The ABA then amended the rules commentary to acknowledge

the case law that ha[d] limited the application of anti-contact

prohibitions in the context of pre-indictment, non-custodial contacts,

principally by undercover investigative agents. ABA Ctr. for Profl

17
Responsibility, A Legislative History: The Development of the ABA Model

Rules of Professional Conduct, 1982-2013, at 559 (Art Garwin ed., 2013).

Wyoming took the same approach, commenting that the authorized

by law exception may include the use of investigative agents before

criminal proceedings begin. Wyo. Rules of Profl Conduct R. 4.2 cmt. 5

(2015). This commentary signaled that undercover criminal investigations

may have been authorized by law. But were they? We answer yes

based on prevailing case law and policy considerations favoring the use of

informants prior to an indictment.

In United States v. Ryans, we held that prosecutors could use

informants to communicate with represented suspects even though

Disciplinary Rule 7-104(A)(1) prohibited communications with a party

represented by an attorney. 903 F.2d 731, 739-40 (10th Cir. 1990). We

reaffirmed this view in United States v. Mullins, again applying a version

of the no-contact rule that used the term party rather than person. 613

F.3d 1273, 1288-89 (10th Cir. 2010).

We did not squarely apply the authorized by law exception in those

cases. But other courts have applied this exception, concluding that the use

of informants prior to indictment is generally authorized by law. See

pp. 14-16, above. For example, Justice Alito, while serving as a judge on

the Third Circuit Court of Appeals, observed in 1996 that virtually every

federal appellate court to address the issue had held that Rule 4.2 does not

18
apply to pre-indictment criminal investigations. United States v. Balter, 91

F.3d 427, 436 (3d Cir. 1996) (Alito, J.). Writing for a Third Circuit panel,

he explained that even if a criminal suspect were a party within the

meaning of [Rule 4.2], pre-indictment investigation by prosecutors is

precisely the type of contact exempted from [Rule 4.2] as authorized by

law. Id.

Then-Judge Alito reasoned in part that a contrary approach would

significantly hamper legitimate law enforcement operations. Id. We

employed similar reasoning in Ryans, stating that broad application of the

no-contact rule would unduly hinder investigators. United States v. Ryans,

903 F.2d 731, 739-40 (10th Cir. 1990). We explained that the government

should be able to capitalize on suspects misplaced trust in others:

A broader interpretation of the rule to cover this type of


investigative activity would seem inconsistent with the general
view expressed by the Supreme Court in Hoffa v. United States,
385 U.S. 293, 87 S. Ct. 408, 17 L.Ed.2d 374 (1966). As the
District of Columbia Circuit observed in [United States v.
Lemonakis, 485 F.2d 941, 955-56 (D.C. Cir. 1973)]:

[W]e cannot say that at this stage of the


Governments investigation of a criminal matter,
the public interest does not . . . permit advantage
to be legally and ethically taken of a wrongdoers
misplaced belief that a person to whom he
voluntarily confides his wrongdoing will not reveal
it.

Under Ryans view of the rule, once the subject of an


investigation retains counsel, investigators would be unduly
restricted in their use of informants to gather additional
evidence.

19
Id. (second alteration in original) (citation omitted).

Similarly, in United States v. Hammad, the Second Circuit Court of

Appeals expressed concern that applying the no-contact rule in criminal

investigations would impede legitimate investigatory practices, for

career criminals with permanent house counsel [would be able to]

immunize themselves from infiltration by informants. 858 F.2d 834, 839

(2d Cir. 1988).

Academics have echoed this concern. See, e.g., Geoffrey C. Hazard,

Jr. & Dana Remus Irwin, Toward a Revised 4.2 No-Contact Rule, 60

Hastings L.J. 797, 811, 817-18 (2009); Pamela S. Karlan, Discrete and

Relational Criminal Representation: The Changing Vision of the Right to

Counsel, 105 Harv. L. Rev. 670, 701 (1992). For instance, Professor

Karlan has observed that

[r]ead literally, the no-contact rule could quite obviously


impede the investigation of complex crime. A potential
defendant could retain an attorney, announce to federal and
state prosecutors that he was represented by counsel with
regard to all matters, and thereby prevent all governmental
operatives (including informants and undercover agents) from
eliciting statements from him. Moreover, corporations and
other formal entities would be able to use their regular counsel
to monitor and thus perhaps deter subordinate employees
contacts and cooperation with investigators. Such preclusion
would be rendered particularly effective by a singular aspect of
the no[]-contact rule: the lawyer, not the client, must consent to
the direct contact. Thus, control over waiver would rest, at
least in the first instance, in the enterprise counsel, because
investigators would often be unable to determine whether an
individual whom they wished to contact was actually a client of

20
an attorney who announced that his client did not wish to be
contacted directly.

A broad interpretation of the no-contact rule would


provide a powerful incentive for criminal actors to seek
relational representation because having an ongoing
relationship with an attorney could insulate them from several
of the most effective law enforcement techniques for
investigating complex crime.

Pamela S. Karlan, Discrete and Relational Criminal Representation: The

Changing Vision of the Right to Counsel, 105 Harv. L. Rev. 670, 701

(1992) (footnotes omitted); 6 see also Geoffrey C. Hazard, Jr. & Dana

Remus Irwin, Toward a Revised 4.2 No-Contact Rule, 60 Hastings L.J. 797,

811 (2009) ([E]ffective law enforcement could be severely hampered by

strict application of Rule 4.2.); 2 Restatement (Third) of the Law

Governing Lawyers 99 cmt. h (2000). 7

6
The Wyoming Supreme Court has consulted law review articles when
they are considered persuasive. E.g., Yates v. State, 723 P.2d 37, 41 (Wyo.
1986).
7
The Restatement commentary provides:

Law-enforcement officials traditionally have resorted to


undercover means of gathering important evidence. If retention
of a lawyer alone precluded direct prosecutorial contact, a
knowledgeable criminal suspect could obtain immunity from
otherwise lawful forms of investigation by retaining a lawyer,
while unsophisticated suspects would have no similar
protection. Moreover, nonlawyer law-enforcement personnel
such as the police are not subject to the rule of this Section.
Rigidly extending the anti-contact rule to prosecutors would
create unfortunate incentives to eliminate them from
involvement in investigations.

21
In applying the authorized by law exception, we are guided by the

near-unanimity of opinions applying this exception and policy

considerations previously embraced by our circuit. Both lead us to

conclude that the authorized by law exception allowed the Assistant U.S.

Attorney to use an undercover informant, prior to indictment, to elicit

incriminating admissions from Mr. Elliott. For this reason, Mr. Elliotts

argument fails on the merits.

* * *

In sum, we reject Mr. Elliotts argument for two reasons:

1. Mr. Elliotts argument is waived. At a minimum, he forfeited


the argument in district court and then waived the argument on
appeal by failing to ask for plain-error review. Therefore, even
if Mr. Elliotts underlying argument had been meritorious, it
would not support reversal.

2. Mr. Elliotts argument fails on the merits. Even if we were to


credit his factual allegations, the Assistant U.S. Attorney
would not have violated Wyomings ethical rules.

II. Federal Funding of the Buildings Owner: The Sufficiency of the


Evidence and the Correctness of a Jury Instruction

Focusing on the conviction for arson, Mr. Elliott also argues that

the evidence was insufficient for a finding of guilt and

a jury instruction misstated the law.

2 Restatement (Third) of the Law Governing Lawyers 99 cmt. h (2000);


see also Jones v. Union Carbide Corp., 577 F.3d 1234, 1245 (10th Cir.
2009) (In our view, . . . it would be too adventurous on our part to assume
that Colorado would depart from the Restatements.).

22
These arguments involve the nature of the federal funding.

A. Sufficiency of the Evidence

On the challenge involving sufficiency of the evidence, we engage in

de novo review, considering whether a rational jury could find Mr. Elliott

guilty. United States v. Austin, 231 F.3d 1278, 1283 (10th Cir. 2000). We

conclude that sufficient evidence existed for a finding of guilt.

Mr. Elliott does not question

the use of the building by the county attorneys office or


ownership by the county itself or

the countys receipt of federal funds at the time of the


bombing.

But Mr. Elliott points out that at the time of the bombing, the federal funds

were not being directed to the building or to the county attorneys office.

The resulting question is a legal one: Does the arson statute apply

even when federal funds are not being directed to the building that was

bombed or to the entity that was occupying the building? In our view, the

arson statute applies in this situation.

The statute expressly covers arson of any building owned by an

entity receiving federal funds:

Whoever maliciously damages or destroys, . . . by means of fire


or an explosive, any building, vehicle, or other personal or real
property in whole or in part owned or possessed by, or leased
to, . . . any institution or organization receiving Federal
financial assistance, shall be imprisoned for not less than 5

23
years and not more than 20 years, fined under this title, or
both.

18 U.S.C. 844(f)(1) (2012). This statute applies here, for the building

was owned by the county, which was receiving federal funds at the time of

the bombing.

We addressed similar facts in United States v. Apodaca, 522 F.2d 568

(10th Cir. 1975). There the defendant bombed a police car that was owned

by Fremont County and possessed by the Fremont County Sheriffs Office.

Apodaca, 522 F.2d at 569-71. At the time of the bombing, the county and

the county sheriffs office were receiving federal funds. Id. at 571-72.

The defendant contended that 18 U.S.C. 844(f) did not apply

because the police car had not been purchased with federal funds. Id. at

572. We explained that this fact did not matter because [t]he clear and

unambiguous language of the statute provides that it applies to any

property owned, possessed, used by or leased to any organization receiving

federal financial assistance. Id. Under this language, the statute applied

because the police car had been owned by the county and possessed by the

county sheriffs office. Id. at 571.

In our view, the Apodaca court would have arrived at the same result

even if the county sheriffs office had not possessed the police car. The

statutory language was disjunctive when Apodaca was decided, covering

property owned, possessed, or used by, or leased to, . . . any institution or

24
organization receiving Federal financial assistance. Id. (emphases added)

(quoting the contemporaneous version of 18 U.S.C. 844(f)(1)); see

United States v. ODriscoll, 761 F.2d 589, 597 (10th Cir. 1985) (When the

term or is used, it is presumed to be used in the disjunctive sense unless

the legislative intent is clearly contrary.). Thus, the countys ownership

of the car was dispositive in Apodaca.

Ownership is also dispositive here. The statutory language remains

disjunctive, covering property owned or possessed by, or leased to, . . .

any institution or organization receiving Federal financial assistance. 18

U.S.C. 844(f)(1) (2012) (emphases added). The building was owned by

Sheridan County, which was receiving federal funds when the bombing

took place. Therefore, the statute applies under Apodaca.

Mr. Elliott suggests that we overrule Apodaca and follow United

States v. Hersom, 588 F.3d 60 (1st Cir. 2009). In Hersom, the First Circuit

took a narrower view of 18 U.S.C. 844(f) than we had taken in Apodaca.

See Hersom, 588 F.3d at 67 ([I]n the case of organizations receiving

federal financial assistance related to specific property, we construe

section 844(f) as limited in general to arson of that particular property.).

But [w]e are bound by the precedent of prior panels absent en banc

reconsideration or a superseding contrary decision by the Supreme Court.

In re Smith, 10 F.3d 723, 724 (10th Cir. 1993) (per curiam). Mr. Elliott has

not identified any Supreme Court opinions conflicting with Apodaca, and

25
we have not reconsidered Apodaca en banc. Thus, we remain bound by

Apodaca.

Mr. Elliott also raises four arguments to distinguish Apodaca. We

reject each argument.

First, Mr. Elliott asserts that the federal funds in Apodaca were

targeted for crime control, while none of the moneys received by

Sheridan County in 2012, 2013 and 2014 [had been] targeted to crime

control, law enforcement or the building in which the County Attorney

resided. Appellants Opening Br. at 13. This difference is irrelevant;

Apodaca held that if an entity receives federal funds, 18 U.S.C. 844(f)

applies if the entity owns the property that is bombed. Apodaca, 522 F.2d

at 572.

Second, Mr. Elliott argues that the county attorneys office received

only minimal federal funding in 2011. For this argument, Mr. Elliott

apparently assumes that

an entity receiving minimal federal funding is not covered by


18 U.S.C. 844(f),

the funding at issue in Apodaca was not minimal, and

the county attorneys office is separate from the county for


purposes of 18 U.S.C. 844(f).

We need not determine whether these assumptions are correct

because Mr. Elliotts argument would fail anyway. Mr. Elliott bombed a

building owned by the county, which received millions in federal funds


26
from 2011 to 2014. These funds constituted a substantial portion of the

countys yearly budget. For example, in the year of the bombing, the

countys federal funding (roughly $2.6 million) comprised about 12% of

the countys entire budget. This amount of federal funding was not

minimal.

Third, Mr. Elliott contends that the Fremont County Sheriffs Office

received direct assistance. Appellants Opening Br. at 13. In making this

contention, Mr. Elliott apparently assumes that

entities receiving federal funds through indirect channels are


not covered by 18 U.S.C. 844(f) and

the Sheridan County Attorneys Office received federal funds


only indirectly.

We reject Mr. Elliotts contention and conclude that Apodaca

governs. Mr. Elliott bombed a building owned by Sheridan County, not a

building owned by the Sheridan County Attorneys Office. He has not

alleged that Sheridan Countys federal funding was indirect or explained

why the arson statutes applicability would turn on the directness of the

federal funding.

Fourth, Mr. Elliott emphasizes that the Fremont County Sheriffs

Office received federal funds in the same year that the bombing occurred.

He points out that the Sheridan County Attorneys Office did not receive

any federal funds in the three years before the bombing. This argument

27
fails because Sheridan County, which owned the building, was receiving

federal funds when the bombing took place.

Under Apodaca, we reject Mr. Elliotts challenge to the sufficiency

of the evidence.

B. Jury Instruction 24

In district court, Mr. Elliott objected to Jury Instruction 24,

contending that it misstated the law. The district court overruled this

objection. On appeal, Mr. Elliott again argues that the jury instruction was

flawed. But even if the jury instruction had misstated the law, the error

would have been harmless.

Jury Instruction 24 stated that

[i]n determining whether the property at issue was in whole or


in part owned by an organization receiving federal financial
assistance, it is sufficient if the Government proves beyond a
reasonable doubt that the property was owned by Sheridan
County at the time and that, during the time of its ownership of
the property, Sheridan County received federal financial
assistance.

R. vol. I, at 468 (emphasis added). Mr. Elliott challenges the jury

instruction because it deviated from the language of 18 U.S.C. 844(f).

The instruction used the word received, but 18 U.S.C. 844(f) uses the

word receiving. In Mr. Elliotts view, the deviation is significant

because the building and the county attorneys office had not received

federal funds in the three years before the bombing.

28
Unlike Jury Instruction 24, another instruction on the elements used

the statutory term receiving. Id. at 464. Nonetheless, we may assume for

the sake of argument that the word receiving should also have been used

in Jury Instruction 24. Even with this assumption, the error would have

been harmless 8 because it is immaterial when the county attorneys office

received federal funds; what matters is when the owner of the building, the

county, received federal funds. When the building was bombed, the county

was receiving federal funding. Thus, even if Jury Instruction 24 had used

the word receiving rather than received, any reasonable jury would

still have found that the owner of the building was receiving federal funds

when Mr. Elliott committed the bombing. In these circumstances, any error

in Jury Instruction 24 would have been harmless.

III. Conclusion

In Mr. Elliotts view, the Assistant U.S. Attorney violated

Wyomings ethical rules by authorizing the undercover investigation. Mr.

Elliott argues that the ethical violation should have led to suppression of

his incriminating statements. This argument fails for two reasons. First, the

argument is waived, for Mr. Elliott did not adequately present the argument

8
The government does not argue harmlessness. In our view, however,
the alleged error is certainly harmless. Thus, we raise the issue of
harmlessness sua sponte. See United States v. Holly, 488 F.3d 1298, 1308
(10th Cir. 2007) (raising harmlessness sua sponte because the harmlessness
was readily apparent and certain).

29
in district court and he has not asked us for plain-error review. Second,

Mr. Elliotts argument fails on the merits. Even if we accept Mr. Elliotts

factual allegations as true, the Assistant U.S. Attorney would not have

violated Wyomings ethical rules. Rule 4.2s authorized by law

exception allowed the Assistant U.S. Attorney to use an undercover

informant, prior to indictment, to elicit incriminating admissions from Mr.

Elliott. For both reasons, we reject Mr. Elliotts challenge to the denial of

his motion to suppress.

We also reject his challenges involving sufficiency of the evidence

and the correctness of a jury instruction. Mr. Elliott bombed a building

owned by Sheridan County, which was then receiving federal funding.

Therefore, Mr. Elliott could be convicted of arson of a building owned or

possessed by an entity receiving federal funds. Because the nature of the

federal funding was undisputed, the alleged error in Jury Instruction 24

would have been harmless.

Affirmed.

Entered for the Court

Robert E. Bacharach
Circuit Judge

30
No. 15-8138, United States v. Elliott

MORITZ, J., concurring.

I join the majoritys resolution of the issues relating to Elliotts arson

conviction. See supra Part II. But unlike the majority, I wouldnt reach the merits of

Elliotts thrice-waived suppression argument. Accordingly, I decline to join Part I of

the majority opinion.

Although it doesnt heed its own ruling, the majority thoroughly and

persuasively explains why, even assuming Elliott merely forfeited his suppression

argument in the district court, he waived it on appeal by failing to argue for plain-

error review. The majority also identifies two compelling bases for finding waiver in

the district court. See Maj. Op. 5 n.4. First, Elliott declined the governments express

invitation to argue for suppression based on alleged ethical violations. When an

argument was intentionally relinquished or abandoned in the district court, rather

than simply inadvertently overlooked, we usually deem it waived and refuse to

consider it. Richison v. Ernest Grp., Inc., 634 F.3d 1123, 1127-28 (10th Cir. 2011).

Second, even if Elliott only inadvertently overlooked his new argument, weve

previously held that, regardless of intent, a suppression argument raised for the first

time on appeal is waived (i.e., completely barred) absent a showing of good cause for

why it was not raised before the trial court. United States v. Burke, 633 F.3d 984,

988 (10th Cir. 2011).1 And while the majority notes that we have discretion in some

1
We decided Burke under a previous version of Fed. R. Crim. P. 12(c)(3). But as
the majority notes, see Maj. Op. 5 n.4, weve since held in two unpublished opinions that
instances to resolve waived arguments, see Maj. Op. 8-11, Burke unequivocally

stated that [w]hen a motion to suppress evidence is raised for the first time on

appeal, we must decline review. Id. at 987 (emphasis added) (quoting United States

v. Brooks, 438 F.3d 1231, 1240 (10th Cir. 2006)). Moreover, even if we have

discretion to consider this belated suppression argument, I would decline to do so

here where Elliott hasnt even attempted to show good cause for his failure to raise

this suppression argument below. Cf. id. at 988 (noting that showing good cause is

single, narrow exception to suppression-argument waiver rule).

Accordingly, while one waiver would suffice, Elliott has waived his

suppression argument on three independent grounds. And as weve noted in another

context, three strikes are more than enough to allow [a] court to call a litigant out.

Lee v. Max Intl, LLC, 638 F.3d 1318, 1321 (10th Cir. 2011). But instead, the

majority hypothesizes about what would have happened on the next pitch.2 I would

Burkes reasoning survives Rule 12s amendment. See United States v. Shrader, No. 15-
5073, 2016 WL 4497984, at *4 & n.6 (10th Cir. Aug. 26, 2016) (unpublished); United
States v. Franco, 632 F. Appx 961, 963-64 & 963 n.1 (10th Cir. 2015) (unpublished).
2
Because it insists on answering the ethical question, the majority is forced to
predict how the Wyoming Supreme Court would decide this unresolved issue. See Maj.
Op. 13-14; Belnap v. Iasis Healthcare, 844 F.3d 1272, 1295 (10th Cir. 2017). But
longstanding principles of comity and judicial restraint counsel against the majoritys
gratuitous prognostication. Cf. United Mine Workers v. Gibbs, 383 U.S. 715, 726 (1966)
(Needless decisions of state law should be avoided both as a matter of comity and to
promote justice between the parties, by procuring for them a surer-footed reading of
applicable law.); Michigan v. Long, 463 U.S. 1032, 1039 (1983) (explaining that out of
[r]espect for the independence of state courts, as well as avoidance of rendering advisory
opinions, . . . we do not wish to continue to decide issues of state law that go beyond the
opinion that we review).
2
refrain from doing so for yet another reason: the rarity with which we employ the

power that Elliott asks us to exercise in the first instance.

Although the majority fails to say so, both parties recognize that Elliotts

suppression argument calls for us to exercise our supervisory power to exclude

evidence based on willful disobedience of the law. See Aplt. Br. 23 (citing United

States v. Hammad, 858 F.2d 834, 841 (2d Cir. 1988)); Aplee. Br. 21 ([Elliott] asks

this court to take the extraordinary step of exercising its supervisory power[] to

suppress his statements . . . .). We recently emphasized our circumspect approach

to the exercise of the supervisory power. United States v. Lilly, 810 F.3d 1205, 1219

(10th Cir. 2016); see also United States v. Payner, 447 U.S. 727, 734-35 (1980)

(noting Courts restrained application of the supervisory power, which Court

applie[s] with some caution).3 We dont take lightly the assertion that a prosecutor

has violated his ethical duties, and suppressing evidence is a stiff penalty. Thus, we

typically demand full development of these issues in the district court. Cf. United

States v. Thomas, 474 F.2d 110, 112 (10th Cir. 1973) (holding that [t]he problem is

initially one for the trial courts).4 We lack the benefit of that development here.

In short, where a party has both waived an argument below and on appeal, I

question the majoritys decision to analyze itespecially when that argument asks us

3
Because the majority resolves the ethical question in the governments favor, it
ultimately declines to exercise our supervisory power. But that resolution doesnt
retroactively justify the majoritys willingness to even consider exercising this rarely
used authority despite Elliotts multiple waivers of the issue.
4
I couldnt locate a single case, and the parties cite none, where this court
considered a supervisory power argument for the first time on appealand certainly not
after we found that argument clearly forfeited or waived.
3
to exercise our supervisory power. Moreover, because the government has declined

to fully brief the merits of this issue, the majority is forced to act as both advocate

and arbiter in reaching and deciding this issue. Instead, I would wait until this issue is

squarely presented to us, with adequate development below and adequate briefing by

both parties on appeal. Cf. Vasquez v. Los Angeles (LA) Cty., 487 F.3d 1246, 1250

(9th Cir. 2007) (noting that effective advocacy sharpens the presentation of issues

upon which the court so largely depends for illumination and thus improves judicial

decision-making (quoting Baker v. Carr, 369 U.S. 186, 204 (1962))).

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