No. 87-5625.United States Court of Appeals, Fifth Circuit.
March 2, 1989.
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Shirley Baccus-Lobel, Dallas, Tex., Christopher G. Caldwell, Los Angeles, Cal., for Allred, Haddad, Millhouse, Hansen
Donallco, Inc.
W. Ray Jahn, LeRoy Jahn, Asst. U.S. Attys., San Antonio, Tex., for plaintiff-appellee.
Appeals from the United States District Court for the Western District of Texas.
Before BROWN, JOHNSON, and DAVIS, Circuit Judges.
JOHNSON, Circuit Judge:
[1] Appellants William Allred, Antoine Haddad, Lou Milhous, Soren Hansen, Donallco, Inc. and six other Donallco owners, officers or employees[1] were charged with conspiring to defraud the United States in violation of 18 U.S.C. § 371.[2] Counts Two through Five charged Allred, Haddad andPage 859
Donallco with making false or fraudulent statements to an agency of the United States (the Air Force) in connection with contracts for surplus aircraft parts in violation of 18 U.S.C. § 1001.[3] The case was tried before a jury.
[2] Of the appellants, Allred was convicted on the conspiracy to defraud count and on three of the false statement counts. Haddad was convicted on all five counts. Milhous and Hansen were convicted only on the conspiracy count. Donallco, Inc. was convicted on all five counts. [3] Appellants, in a timely appeal to this Court, raise numerous issues. Having determined that no grounds for reversal have been demonstrated, we affirm. [4] I. FACTS AND PROCEDURAL HISTORYPage 860
which connects the drive shaft to the engine. Donallco was never licensed to engage in the manufacture of these parts; rather, Sundstrand continued to manufacture the parts for the C-130 aircraft because of the economic success of that line of products.
[9] Subsequent to the commencement of the licensing agreement, Shultz, who had retired from Pesco, informed Allred that he was able to obtain blueprints of unlicensed Sundstrand parts; Allred instructed Shultz to obtain the drawings, and to pay the source for any which were clandestinely removed from Sundstrand. Allred, at this point, functioned as both Donallco’s president and as the product manager for Pesco parts. Haddad served as Allred’s assistant, and later succeeded Allred as product manager. Either Allred or Haddad provided Shultz with part numbers for blueprints to be obtained from Sundstrand. Shultz estimated that he brought over 200 blueprints into Donallco with the aid of his source at Sundstrand.[5] [10] B. The Establishment of the DE, F, and H Part Numbering SystemPage 861
arrived at Donallco in one of three forms: a formal request for bids, a synopsis of the request prepared by the Department of Defense, or a request prepared by a private bid service. The procurement of aircraft parts at Kelly is initiated by the item manager within the Directorate of Material Management who forwards a purchase request to the Directorate of Contracting. The purchase request reflects the approved sources of the part. At Donallco, the request for bids was routed to the records section where the quantity of the parts in inventory would be recorded in the margin, along with the most recent prices quoted for the part.
[17] When preparing a checklist for Government bids, Haddad’s assistants would initially check the available inventory. If there were no available parts, and the part was one on which Donallco held no license to manufacture, the assistants would report that information to Haddad. Haddad, through his assistants, would refer to the red book to determine if Donallco was currently engaged in the manufacture of that item. If so, Haddad would determine the unit price, the delivery date, and the number to be bid.[9] This information, along with the designation that the part was “new, unused surplus,” was entered on the checklist. [18] The actual bids were prepared and submitted by the contract division based on the information contained in the checklist. The bids identified the parts as being originally manufactured by Pesco, and purchased by Donallco from the Norfolk Naval Air Station in Norfolk, Virginia. Before transmission to Kelly, all bids prepared by Haddad were forwarded to Haddad or Allred for review.[10] [19] Bids were either mailed or teletyped to the Government buyer at Kelly who forwarded them to the engineer in Material Management. The representation that the parts were manufactured by Pesco was accepted at face value. After determining that surplus parts were an acceptable commodity and setting the applicable inspection standard,[11] the Air Force drafted a purchase order for transmission to Donallco. Donallco, because it was selling “surplus” parts, was not bound by the MIL-I standard. However, the contracts awarded to Sundstrand for the manufacture of the same parts did require conformance to the MIL-I inspection standard.[20] 2. Count Two: Purchase Order SA53
[21] In 1982, the Government initiated a request to purchase eighty-three of the couplings numbered 0212312. The Contracts Directorate at Kelly arranged for a synopsis of the coupling requirement to be published in the Commerce Business Daily, a publication of the Department of Commerce which contains information on anticipated Government purchases so that contractors can tender bids. The Government directly solicited Sundstrand, the only approved source,[12] and received a bid of $187.37 each for the eighty-three couplings. Donallco received information about the Government solicitation through a commercial bid service.
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checklist. Tabarez was trained to complete the checklist in this manner when the part was one which Donallco had no license to manufacture.
[23] Production run number 950400 for 250 pieces of the coupling was initiated in the Donallco machine shop on October 20, 1982. The following day, a teletyped message was sent to Kelly offering to sell eighty-three of the parts which were represented as new, unused surplus originally manufactured by Pesco. Prior to transmittal, the bid was routed to Allred.[14] [24] After approving acquisition from Donallco, the engineering section at Kelly placed an order for eighty-three of the couplings for a total cost of $10,458. A non-MIL-I inspection standard for surplus material was included in the order. When the order arrived at Donallco, it was coded “PE,” to reflect that the order was for an unlicensed part, and “DTH,” to indicate that only five of the couplings were in inventory. Contracts, which had a “DTH” code were routed not only to Haddad, but also to Allred. [25] Although a manufacturing run had been initiated at the time Donallco placed the initial bid, the first eighty-five parts in the lot were not completed until November 27, 1983, because of delays in the manufacturing process. Whenever the Government contacted Donallco requesting an explanation for the delay, Donallco employees, at Haddad’s direction, informed the officials that the parts were received from other sources in an unacceptable condition. [26] During this period, Jerry Layton served as the contract administrator at Donallco. Layton personally responded to some of the Government’s inquiries about the delay. According to Layton, after receiving an inquiry, he would approach Haddad, obtain the F part number, and seek out Hansen who was in charge of the machine shop. Hansen would give Layton a delivery date, and Layton would make up an excuse for the failure to deliver with which to pacify the Government inquisitors. Layton testified that he warned both Haddad and Hansen that their actions were fraudulent. [27] On December 12, 1983, ten initial samples were sent to Kelly to undergo nondestructive testing which consisted of inspecting the samples for corrosion or obvious damage. These parts were approved, and in March of 1984, Donallco shipped the balance of the eighty-three parts to Kelly. The inspection sheet for these shipments indicates that the parts were visually examined for “signs of wear, corrosion, damage, broken or missing parts resulting from storage and mishandling.” [28] 3. Count Three: Purchase Order SA58Page 863
[32] The engineering department at Kelly approved the acquisition of surplus parts under the lesser inspection system which had been utilized in the earlier purchase order. Because Donallco was unable to supply the full quantity of couplings, a split award was made. The balance of the parts was supplied by Sundstrand subject to the MIL-I inspection standard. [33] The contract was again coded DTH, indicating that it was routed to Allred. At the time that the contract was received, in February of 1984, production run number 950400 had been completed, but because of the earlier contract on couplings, only 121 of the necessary parts could be furnished from that run. However, in November of 1984, Donallco had initiated production run 950727 to manufacture an additional 150 of the couplings. [34] The drive shafts supplied to Kelly under this contract came from Donallco’s production run number 950231. Donallco’s records reflected that the parts were acquired from California Air Supply on February 26, 1982; actually, the parts were manufactured by Donallco under a DE number. After the drive shaft samples had been approved by Kelly, the remainder were sent to the base, along with the 121 couplings, on May 25, 1984. [35] 4. Count Four: Purchase Order SA70Page 864
[41] On January 17, 1985, Meekings, Hansen, Haddad and Guy met to discuss the couplings. Hansen informed Guy that the center groove of the coupling had not been cut deeply enough. Although the entire original batch had been lost, the problem had been detected early enough to correct it in the current batch. When Milhous joined the group, he informed the others that the blueprint had been altered to prevent the problem from reoccurring. Guy contacted Lieutenant Jeffcoat and assured Jeffcoat that Donallco would follow up the spline problem and notify the Air Force if there was anything that needed further attention.[16] Following this conversation, Guy expressed concern to Meekings about Donallco’s manufacture of parts on which it held no license to manufacture as well as Donallco’s representation of the parts as new, unused surplus. Meekings, in response, called Haddad into the office and instructed him to quit manufacturing parts and representing them as new, unused surplus. However, after Meekings left, Haddad explained to Guy that his loyalty ultimately lay with Allred. [42] During this period, Guy became familiar with the red book which cross-referenced the part numbers assigned by both Donallco and the legitimate manufacturer. Guy had the opportunity to examine the book after Haddad accidentally left the book in Guy’s office. Guy had also seen a production calendar in Haddad’s office which referred to the F numbered parts which were listed in the book. [43] Meekings was ultimately relieved of his responsibilities, and Guy resigned his position at Donallco shortly thereafter. At his departure, Guy took the red book with him. He also took the rejected couplings, the coupling blueprint which had been provided to Guy in connection with the measuring of the dimensions of the splines, and other records. The blueprint bore Sundstrand’s proprietary stamp.[44] 5. Count Five: Purchase Order SA40
[45] On March 13, 1985, the item manager at Kelly initiated an urgent request to acquire 520 of the drive shafts, part number 0212310. On June 10, 1985, the Government request was upgraded to emergency. The Donallco offer of 125 of the shafts represented that the parts were new, unused surplus originally manufactured by Pesco.[17] A special certification containing these allegations was prepared. The certificate also represented that Donallco did not have a blueprint of the shaft in its possession. A copy of the bid, which was located in Donallco’s files, bore Allred’s initials. The request for bids had been reviewed by Haddad.
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where the parts were located. Haddad responded that the parts were “[i]n the back; I make them.” Record Vol. 43 at 101. He then confirmed that he could deliver 125 of the shafts in thirty days. Maldonado, following Kehoe’s instructions, drafted a letter to the buyer agreeing to shorten the delivery date. Maldonado expressed to Teresa Allred her concern over the misrepresentation. She described Donallco’s activities as “fraud.” The next day, Teresa Allred and Maldonado had a similar conversation with Kehoe; Maldonado resigned shortly thereafter.
[49] Donallco was informed that it had been awarded a contract to supply 125 surplus drive shafts. When this award was received, Maldonado’s successor was told to execute Donallco’s right to cancel the contract.[18] At Haddad’s suggestion, a teletype was sent to the Government claiming that the shafts were received in California from Donallco’s warehouse in Oklahoma, but that they were not the correct drive shaft. [50] D. The Government InvestigationPage 866
a conviction for the uncharged offense of conspiracy to manufacture unlicensed aircraft parts.
[58] This broad scale attack on the convictions under Count One does not contain sufficient substance to withstand scrutiny. As their initial support for the allegation, appellants point to a statement by the district court during voir dire. At this early phase of the proceedings, the district court erroneously indicated to the jury that the defendants were charged with a conspiracy to manufacture unlicensed aircraft parts. This misstatement did occur. However, appellants’ assertion that this statement was never corrected is in error. When the misstatement was brought to the court’s attention, the court attempted to correct the characterization of the charged offense. However, one of the defense counsel interrupted the court’s reading of the first and charging paragraph of the indictment, stating “[t]hat satisfies the need at this time.” Record Vol. 18 at 81. Having frustrated the court’s attempt to clarify the misstatement, defense counsel must shoulder any resulting lack of clarity, and cannot now be heard to complain.[19] [59] In addition to the reference to the district court’s misstatement, appellants also argue that Count One failed to state an offense under 18 U.S.C. § 371 because “as depicted by the evidence at trial, unlicensed manufacturing was the core of Defendants’ course of conduct, and any resulting fraud on the government was wholly incidental.” Appellants’ Brief at 30. As a corollary to this argument, appellants assert that evidence of unlicensed manufacturing was introduced without the necessary linkage to false government bidding. [60] Appellants correctly conclude that the evidence introduced at trial is indicative of a conspiracy to manufacture unlicensed aircraft parts. However, appellants are incorrect when they state that the fraud on the Air Force, pertaining to the sale of new parts as surplus, was wholly incidental to the manufacturing and, consequently, unable to support a conviction for fraud pursuant to United States v. Haga, 821 F.2d 1036 (5th Cir. 1987). I Haga, a panel of this Court reversed a conviction under section 371 because of a fatal variance between the charge set out in the indictment and the offense established at trial. [61] In Haga, the appellant was charged with conspiring “to commit offenses against the United States” in violation of 18 U.S.C. § 371. Haga had been hired by two pharmacists, who were operating an illicit enterprise revolving around the black market sale of prescription drugs, to take orders as well as package and mail the goods. After a trial to the bench, Haga appealed on the ground that he was convicted of conspiring to defraud the United States rather than of conspiring to commit offenses against the United States.[20] In reversing the conviction, this Court noted that the language of section 371 provides that it is a crime “either to commit any offense against the United States or to defraud the United States.” In a situation where the charging paragraph alleges the former and yet the descriptive paragraphs describe the latter, the conviction must be reversed. In Haga, the district court concluded that the defendant engaged in a business involving the secretive and unauthorized sale of prescription drugs resulting in fraud on an agency of the United States, namely the Food and Drug Administration. This Court reversed the conviction, determining that the variance between the indictment and the proven offense was fatal. [62] Appellants would have us now analogize the situation before us today to that described in Haga. While we fail to see ho Haga provides decisive authority for appellants’ claim, we feel compelled to note that the Haga decision provides an adequatePage 867
springboard for our discussion of section 371. In Haga, the Court noted that the Supreme Court, in circumscribing the reach of the predecessor to section 371, explained some of the boundaries of the “conspiracy to defraud” statute.
[63] Hammerschmidt v. United States, 265 U.S. 182, 44 S.Ct. 511, 512, 68 L.Ed. 968 (1924). [64] This Court, in Haga, noted that a typical section 371 “conspiracy to defraud” indictment includes language indicating that the fraud was perpetrated by active interference with some specific function in a specified manner. Here, the indictment charged appellants with conspiring to defraud the United States and its agencies:To conspire to defraud the United States means primarily to cheat the government out of property or money, but it also means to interfere with or obstruct one of its lawful governmental functions by deceit, craft or trickery, or at least by means that are dishonest. It is not necessary that the government shall be subjected to property or pecuniary loss by the fraud, but only that its legitimate official action and purpose shall be defeated by misrepresentation, chicane, or the overreaching of those charged with carrying out the governmental intention.
[65] Within the scope of the conspiracy count, it is alleged that appellants manufactured parts for which they held no manufacturing license and that, by selling these parts to the Air Force as new, unused surplus, appellants bypassed “the inspection system established by the United States to insure the quality” of newly manufactured parts. Based on the summation set out i Haga, the indictment in this case was wholly typical, and more than sufficient to charge an offense.[21] [66] Appellants also point to the language in Haga indicating thatincluding but not limited to the United States Department of Defense and Department of the Air Force, of its right to honest and faithful performance of government supply contracts, free from trickery, deceit and fraud, and by obtaining purchase orders and contracts from the United States of America by means of false and fraudulent pretenses, representations, and promises.
[w]hile it is not altogether clear whether a “conspiracy to defraud” indictment must specifically allege that the conspiracy had as its object interfering with a particular, specific governmental function, it nevertheless seems plain that, for a section 371 conspiracy to stand, the essence of the conspiracy must at least involve a showing of more than inadvertent contact with a governmental agency or incidental infringement of governmental regulations.[67] Id. at 1041. [68] Appellants, relying on this portion of Haga, assert that the evidence at trial indicates that any fraud on the United States which occurred was wholly incidental to the clandestine manufacturing of unlicensed aircraft parts, and, consequently, cannot support a conviction under section 371. In support of this assertion, appellants point to United States v. Dennis, 384 U.S. 855, 86 S.Ct. 1840, 16 L.Ed.2d 973 (1966). This Court, i Haga, pointed to Dennis to support the conclusion that a charge of conspiracy to defraud must reflect “the essence of the alleged offense.” Haga, 821 F.2d at 1041. In Dennis, the defendants alleged that because the National Labor Relations Board had to accept certain affidavits as true, there was no intention to defraud the Government through a conspiracy to submit false affidavits. The Supreme Court rejected this argument, stating that this “allocation of responsibility relating to the sanctions attached to false affidavits does not alter the character or legal consequences of petitioners’ alleged actions.” Dennis, 384 U.S. at 862, 86 S.Ct. at 1845. [69] This Court has indicated that whatever other intent a defendant had when a crime is committed, does not alter the legal effect of his actions. Once the intent for the crime charged has been established,
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it is immaterial that the defendant may also have had a second intent. See, e.g., United States v. Douglass, 476 F.2d 260, 262 (5th Cir. 1973). That the evidence may in fact support a conclusion that appellants had a parallel intent to deceive Sundstrand as well as the United States does not nullify the propriety of their convictions.
[70] Similar reasoning supports our conclusion that the evidence relating to unlicensed manufacturing was properly admitted. The procedure whereby the fraud was perpetrated, the representation of newly manufactured parts as new, unused surplus, is necessarily inextricably intertwined with the clandestine manufacture of those very parts. Consequently, under these facts it is nonproductive to suggest that evidence of the manufacture of unlicensed aircraft parts cannot be used as evidence of a conspiracy to defraud the United States government. One brick does not make a wall; the unlicensed manufacturing evidence is seen as one brick in a very complex wall of conspiracy. The falsity of appellants’ representation that the parts were manufactured by Pesco was demonstrated by establishing that the parts did not fall within Donallco’s licensing agreement. To demonstrate that the Government inspection system was bypassed, it was necessary to show that the parts were counterfeited under a false record system, indicating an attempt to disguise their source and thereby confuse government quality control examiners. Knowledge and intent of the appellants was demonstrated by establishing the record system that had been set up within the company. All of these “bricks” were deemed necessary to form a picture for the jury of the method and means by which the appellants conspired to defraud the Government. [71] Appellants further contend that the district court erred by refusing to take protective measures to insure that the jury understood the distinction between the manufacture of unlicensed aircraft parts and a conspiracy to defraud the United States. Specifically, appellants argue that they were prejudiced by the district court’s refusal to submit appellants’ profferred instruction which reads as follows:[Y]ou must consider that a defendant does not necessarily agree to further this illegal object [of the conspiracy charged in Count One] merely because he aids or assists in manufacturing or marketing parts sold by Donallco to the government, even if the defendant believed that Donallco was not licensed by the Sundstrand Corporation to manufacture those parts. Thus, if you find that actions were taken by a defendant that involved an intent to mislead the Sundstrand Corporation, then you are instructed that this is not evidence of an intent to mislead, deceive, or defraud the government.[72] Record Vol. 2 at 501-02. [73] A district judge has broad discretion in formulating the charge so long as the charge accurately reflects the law and the facts of the case. United States v. Harrelson, 705 F.2d 733, 736 (5th Cir. 1983). This Court shoulders the responsibility of determining whether the trial court’s charge, taken as a whole, is adequate when considered in the full context of the trial. United States v. Chavis, 772 F.2d 100, 108 (5th Cir. 1985). Furthermore, a district court may properly decline to give a requested instruction “which incorrectly states the law, is without foundation in the evidence, or is stated elsewhere in the instructions.” United States v. Robinson, 700 F.2d 205, 211
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of the crime of conspiracy, that mere presence or similarity of conduct does not establish membership, that the indictment charged a conspiracy to defraud the Government, that each appellant could be convicted only if he “knew that some co-conspirators sought to defraud the Government and that with knowledge of this unlawful purpose the Defendant wilfully agreed to join a co-conspirator’s scheme to defraud the Government,” on the definition of “intent to defraud,” that good faith was a defense, that each defendant’s guilt was to be considered separately, and that the defendants were not on trial for any act not alleged in the indictment. The trial court’s instruction did not misstate the law in this case. Had the jury believed the intention was to defraud Sundstrand rather than the United States, it would have been compelled to render a verdict of acquittal. No error was committed by refusing to give the profferred instruction.
[76] In sum, the indictment properly charged an offense, evidence pertaining to that offense was properly admitted, and the court’s charge relating to Count One was not in error. [77] B. Denial of a Fair and Impartial TrialPage 870
establishments would be influenced by the relationship. When the court’s interrogation suggested that a juror held a bias, the juror was excused from service. No abuse of the district court’s discretion has been indicated. The court’s examination was both adequate and sufficiently thorough to reveal any latent prejudice.[24]
[82] In a more specific line of attack, appellants contend that the court’s refusal to excuse juror Augustus Rojas constituted an abuse of discretion. After trial commenced, it became known that Rojas had a social acquaintance with an agent of OSI, the investigatory agency which was present throughout the trial. An in camera hearing was held, after which the district court determined that there was no need to excuse Rojas. This decision did not constitute an abuse of discretion in light of the evidence revealed at the in camera hearing. The hearing established that the children of the two men skated together six nights a week, that the two men had no allegiance to one another, and that Rojas did not even know the agent’s last name. Furthermore, the men decided that they would not socialize with each other during the course of the trial. The trial court has discretion to determine if an out of court contact or communication relates to a matter pending before the court and whether the defendant was prejudiced by it. Remmer v. United States, 347 U.S. 227, 74 S.Ct. 450, 98 L.Ed. 654 (1954). The court properly conducted an investigation which indicated nothing more prejudicial than a social contact with an investigatory agent based on a children’s skating club. Based on the record before us, we fail to see how the district court can be said to have abused its discretion. [83] C. Posse Comitatus Act ViolationsPage 871
that military involvement does not constitute a violation of the Act “unless it actually regulates, forbids, or compels some conduct on the part of those claiming relief.” Bissonette v. Haig, 776 F.2d 1384, 1390 (8th Cir. 1985), adhered to on rehearing, 788 F.2d 494 (1986) (en banc), cert. granted, 479 U.S. 1083, 107 S.Ct. 1283, 94 L.Ed.2d 141 (1987); United States v. McArthur, 419 F. Supp. 186, 194 (D.N.D.), aff’d sub nom. United States v. Casper, 541 F.2d 1275 (8th Cir. 1976) cert. denied, 430 U.S. 970, 97 S.Ct. 1654, 52 L.Ed.2d 362
(1977).
[89] 10 U.S.C. § 806(d)(1). Considering the Posse Comitatus Act’s own indication that it should be interpreted in light of the co-existing statutory framework, it seems clear that Major Held’s participation in no way violates the Act’s provisions.[26] [90] D. Sufficiency of the EvidenceA judge advocate who is assigned or detailed to perform the functions of a civil office in the Government . . . may perform such duties as may be requested by the agency concerned, including representation of the United States in civil and criminal cases.
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conspiracy. United States v. Wheeler, 802 F.2d 778 (5th Cir. 1986), cert. denied sub nom. Strauder v. United States, 480 U.S. 908, 107 S.Ct. 1354, 94 L.Ed.2d 524 (1987). Although the Government must prove knowledge of and intent to join the conspiracy, it is not necessary to prove that the defendant knew all the details of the conspiracy. United States v. Bland, 653 F.2d 989 (5th Cir.), cert. denied, 454 U.S. 1055, 102 S.Ct. 602, 70 L.Ed.2d 592 (1981).
[93] In the instant case, the evidence indicated that both men helped to make the determination as to whether Donallco had sufficient expertise to manufacture the counterfeit parts. Two employees of the company testified that they had conversations with the men which indicated their participation in the scheme. Additionally, the evidence indicates that both men were present at a conference where concern was expressed over a pending inspection by the Air Force during which the clandestine manufacturing scheme might be discovered. Hansen, at times, issued instructions for certain parts to be removed from the manufacturing floor and hidden when visitors were on the premises. Milhous was in charge of the machine shop and initially obtained the conversion numbers in 1973. His signature appears throughout the production records on blueprints, blueprint changes, and production records. Along with Hansen, Milhous sat on the quality review board, and made the determination as to whether parts, including those at issue here, were of a quality to be routed to the Government. [94] In finding the existence of a conspiracy, the jury may consider presence or association, United States v. Natel, 812 F.2d 937Formal proceedings commenced in January of 1987 when Allred, Haddad and Donallco were charged in a fifteen-count indictment with mail fraud and false statement violations in violation of 18 U.S.C. §§ 1341 and 1001 respectively. Teresa Allred and Joe Kehoe were also charged, Kehoe on all counts and Teresa Allred on two counts. A superceding indictment filed in May of 1987 charged all of the appellants in a sixteen-count indictment. This indictment charged a conspiracy to defraud the United States in addition to the substantive violations charged in the original indictment. Teresa Allred, Ted Allred, Arthur Meekings, John Stegura, Curt Bardeaux, and Emmet Shultz were also charged. Joe Kehoe was not charged. A second superceding indictment, on which appellants were brought to trial, was returned July 29, 1987.
Following a trial which commenced on August 4, 1987, a jury in the United States District Court for the Western District of Texas at San Antonio returned its verdict. As to the indictees not included in this appeal, Shultz entered a plea of guilty prior to trial, and the remainder of the defendants were granted judgments of acquittal at the conclusion of the Government’s case in chief.
When the Government acquires surplus parts, a lesser inspection standard is utilized. In the instant case, the officer in charge of acquisitions believed that the government surplus had already surpassed the MIL-I hurdle at the production phase. Therefore Donallco was only required to submit a small number of samples. The parts were physically examined for rust, corrosion, or other physical damage. Additionally, the inspection involved an examination of dimensional conformance to the drawing. Consequently, Donallco was never subjected to the rigorous constraints of the MIL-I standard.
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