Full opinion text
OPINION AND ORDER KOELTL, District Judge. The defendants in this case — Ahmed Abdel Sattar, a/k/a “Abu Omar,” a/k/a “Dr. Ahmed” (“Sattar”), Yassir Al-Sirri, a/k/a “Abu Ammar” (“Al-Sirri”), Lynne Stewart (“Stewart”) and Mohammed Yousry CYousry”) — were charged in a five-count indictment on April 8, 2002 (“Indictment”). The First Count of the Indictment charges Sattar, Al-Sirri, Stewart and Yousry, together with others known and unknown with conspiring to provide material support and resources to a foreign terrorist organization (“FTO”) in violation of 18 U.S.C. § 2339B. Count Two charges each of the defendants with providing and attempting to provide material support and resources to an FTO in violation of 18 U.S.C. §§ 2339B and 2. Count Three charges Sattar and Al-Sirri with soliciting persons to engage in crimes of violence in violation of 18 U.S.C. § 373. Count Four charges Sattar, Stewart and Yousry with conspiring to defraud the United States in violation of 18 U.S.C. § 371. Finally, Count Five charges Stewart with making false statements in violation of 18 U.S.C. §§ 1001 and 2. Defendants Sattar, Stewart and Yousry now move to dismiss the Indictment on various grounds. I. The Indictment alleges the following facts. At all relevant times, the Islamic Group, a/k/a “Gama’a al-Islamiyya,” a/k/a/ “IG,” a/k/a “al-Gama’at,” a/k/a “Islamic Gama’at,” a/k/a/ “Egyptian al-Gama’at al Islamiyya,” (“IG”), existed as an international terrorist group dedicated to opposing nations, governments, institutions, and individuals that did not share IG’s radical interpretation of Islamic law. (Ind-¶ 1.) IG considered such parties “infidels” and interpreted the concept of “jihad” as waging opposition against infidels by whatever means necessary, including force and violence. (Ind.H 1.) IG regarded the United States as an infidel and viewed the United States as providing essential support to other infidel governments and institutions, particularly Israel and Egypt. (Ind.112.) IG also opposed the United States because the United States had taken action to thwart IG, including by the arrest, conviction, and continued confinement of its spiritual leader Omar Ahmad Ali Abdel Rah-man, a/k/a “Omar Ahmed Ali,” a/k/a “Omar Abdel Al-Rahman,” a/k/a “The Sheikh,” a/k/a “Sheikh Omar” (“Sheikh Abdel Rahman”). (Ind.H 2.) IG has allegedly operated in the United States from the early 1990s until the date of the filing of the Indictment, particularly in the New York metropolitan area. (Ind. ¶ 12.) According to the Indictment, IG’s objectives in the United States include (1) the establishment of the United States as a staging ground for violent acts against targets in the United States and abroad; (2) the recruitment and training of members; and (3) fundraising for jihad actions in the United States and overseas. (Ind.H 12.) Since Sheikh Abdel Rahman’s imprisonment, the Indictment alleges that IG members in the United States have also functioned as a worldwide communications hub for the group, in part by facilitating communications between IG leaders and Sheik Abdel Rahman. (Ind.H 12.) IG was designated as a foreign terrorist organization by the Secretary of State on October 8, 1997 pursuant to Title 8, United States Code, Section 1189 and was redesignated as such on October 8,1999 and again on October 5, 2001. (Ind.K 18.) The Indictment alleges that Sheikh Ab-del Rahman has been one of IG’s principal leaders and a high-ranking member of jihad organizations based in Egypt and elsewhere since the early 1990s. (Ind.H 4.) Sheikh Abdel Rahman allegedly became an “emir” or leader of IG in the United States. (Ind.11 4.) Under his leadership, IG subordinates carried out the details of specific jihad operations while shielding Sheikh Abdel Rahman from prosecution. (Ind.1l 4.) The Indictment charges that Sheik Abdel Rahman, among other things, provided guidance about what actions, including acts of terrorism, were permissible or forbidden under his interpretation of Islamic law; gave strategic advice on how to achieve IG’s goals; recruited persons and solicited them to commit violent jihad acts; and sought to protect IG from infiltration by law enforcement. (Ind.f 4.) Sheikh Abdel Rahman was convicted in October 1995 of engaging in a seditious conspiracy to wage a war of urban terrorism against the United States, including the 1993 World Trade Center bombing and a plot to bomb New York City landmarks. (Ind.f 5.) He was also found guilty of soliciting crimes of violence against the United States military and Egyptian President Hosni Mubarak. (Ind.f 5.) In January 1996 Sheik Abdel Rahman was sentenced to life imprisonment plus 65 years. (Ind. ¶ 5.) His conviction was affirmed on appeal and, on January 10, 2000, the United States Supreme Court denied his petition for a writ of certiorari. (Ind.f 5.) Sheikh Abdel Rahman has been incarcerated at the Federal Medical Center in Rochester, Minnesota since in or about 1997. (Ind.f 5.) IG has allegedly taken repeated steps to win Sheikh Abdel Rah-man’s release. (Ind.ff 8-11.) Such steps include the issuance of a statement in response to Sheikh Abdel Rahman’s life sentence that warned that “[a]ll American interests will be legitimate targets for our struggle until the release of Sheikh Omar Abdel Rahman and his brothers” and that IG “swears by God to its irreversible vow to take an eye for an eye.” (Ind.f 8.) Also, on or about November 17, 1997, six assassins shot and stabbed a group of tourists at an archeological site in Luxor, Egypt killing fifty-eight tourists and four Egyptians. (Ind.f 9.) Before exiting, the Indictment charges, the assassins scattered leaflets calling for Sheikh Abdel Rahman’s release and inserted one such leaflet into the slit torso of one victim. (Ind.f 9.) The Bureau of Prisons, at the direction of the Attorney General, imposed Special Administrative Measures (“SAMs”) upon Sheikh Abdel Rahman. (Ind.f 6.) The SAMs limited certain privileges in order to protect “ ‘persons against the risk of death or serious bodily injury’ that might otherwise result.” (Ind.f 6.) The limitations included restrictions on Sheikh Abdel Rah-man’s access to the mail, the telephone, and visitors, and prohibited him from speaking with the media. (Ind.f 6.) All Counsel for Sheik Abdel Rahman were obligated to sign an affirmation acknowledging that they and their staff would abide fully by the SAMs before being allowed access to their client. (Ind.f 6.) In the affirmation, counsel agreed to “only be accompanied by translators for the purpose of communicating with the inmate Abdel Rahman concerning legal matters.” (Ind.f 7.) Since at least in or about May 1998, counsel agreed not to use “meetings, correspondence, or phone calls with Abdel Rahman to pass messages between third parties (including, but not limited to, the media) and Abdel Rahman.” (Ind.f 7.) Defendant Stewart was Sheikh Abdel Rahman’s counsel during his 1995 criminal trial and has continued to represent him since his conviction. (Ind.f 16.) The Indictment alleges that over the past several years, Stewart has facilitated and concealed messages between her client and IG leaders around the world in violation of the SAMs limiting Sheik Abdel Rahman’s communications from prison. (Ind.f 16.) During a May 2000 visit to Sheikh Abdel Rahman in prison, Stewart allegedly allowed defendant Yousry, who acted as the Arabic interpreter between Sheikh Abdel Rahman and his attorneys, to read letters from defendant Sattar and others regarding IG matters and to discuss with her client whether IG should continue to comply with a cease-fire that had been supported by factions within IG since in or about 1998. (Ind.ff 15-16.) According to the Indictment, Yousry provided material support and resources to IG by covertly passing messages between IG representatives and Sheik Abdel Rahman regarding IG’s activities. (IndJ 15.) The Indictment alleges that Stewart took affirmative steps to conceal the May 2000 discussions from prison guards and subsequently, in violation of the SAMs, announced to the media that Sheikh Abdel Rahman had withdrawn his support for the cease-fire. (IndJ 16.) The Indictment charges that in or about May 2000 Stewart submitted an affirmation to the United States Attorney’s Office for the Southern District of New York (the “May Affirmation”) that falsely stated, among other things, that she agreed to abide by the terms of the SAMs applicable to Sheikh Abdel Rahman and that she would not use her meetings, correspondence or phone calls with Sheikh Abdel Rahman to pass messages between Sheikh Abdel Rahman and third parties including but not limited to the media. (IndJ 30.) The Indictment also charges that Sattar is an active IG leader who serves as a vital link between Sheik Abdel Rahman and the worldwide IG membership. (IndJ 13.) The Indictment contends that Sattar operates as a communications center for IG from New York City through frequent telephonic contact with IG leaders around the world. (IndJ 13.) More specifically, the Indictment alleges that Sattar provides material support and resources to IG by relaying messages between IG leaders abroad and Sheik Abdel Rahman through visits and phone calls by Sheikh Abdel Rahman’s interpreter and attorneys; arranging and participating in three-way phone calls connecting IG leaders around the world to facilitate discussion and coordination of IG activities; passing messages and information from one IG leader and to other group leaders and members; and by providing financial support. (IndJ 13.) Defendant Al-Sirri was arrested in the United Kingdom in October 2001 until which time, the Indictment alleges, he was the head of the London-based Islamic Observation Center. (IndJ 14.) The Indictment charges that Al-Sirri, like Sattar, facilitated IG communications worldwide and provided material support and resources, including financial support, to the FTO. (IndJ 14.) Al-Sirri was allegedly in frequent telephone contact with Sattar and other IG leaders regarding the dissemination of IG statements on various issues. (IndJ 14.) The defendants make the following motions. Sattar and Stewart move to dismiss Counts One and Two on the ground that 18 U.S.C. § 2339B is unconstitutionally vague and overbroad. Sattar and Stewart also argue that these counts should be dismissed because the designation of IG as an FTO was unconstitutional and provides no way for a criminal defendant to challenge that designation. Stewart moves to dismiss all counts against her on the ground that the Government lacks authority to enforce the SAMs underlying her prosecution. Sattar moves to dismiss Count Three for failure to allege the essential elements of the offense charged with sufficient factual detail. Stewart moves to dismiss Count Five of the Indictment because she contends that the May Affirmation is an insufficient basis for a false-statement prosecution pursuant to 18 U.S.C. § 1001. Stewart and Sattar both seek severance and bills of particulars. Stewart moves to dismiss Counts One, Two, and Four as duplicitous. And finally, Stewart seeks an evidentiary hearing to determine whether the Government entered into a non-prosecution agreement that would preclude her prosecution under the Indictment. II. Title 18, United States Code, Section 2339B provides, in relevant part: Whoever, within the United States or subject to the jurisdiction of the United States, knowingly provides material support or resources to a foreign terrorist organization, or attempts or conspires to do so, shall be [guilty of a crime]. 18 U.S.C. § 2339B(a)(l). At all relevant times, “material support or resources” was defined as: currency or other financial securities, financial services, lodging, training, safehouses, false documentation or identification, communications equipment, facilities, weapons, lethal substances, explosives, personnel, transportation, and other physical assets, except medicine or religious materials. 18 U.S.C. §§ 2339A(b) & 2339B(g)(4). A foreign “terrorist organization” is defined as “an organization designated” under 8 U.S.C. § 1189 as a foreign “terrorist organization.” 18 U.S.C. § 2339B(g)(6). Section 2339B, which is alleged to have been violated in this case, requires only that a person “knowingly” “provides” “material support or resources” to a “foreign terrorist organization.” Section 2339A criminalizes the provision of “material support or resources” “knowing or intending that they are used in preparation for, or in carrying out,” a violation of various criminal statutes. No such specific criminal intent provision is included in § 2339B. Section 2339A defines “material support or resources” as indicated above. That definition includes no amount or other measure of magnitude and is carried over into § 2339B. The Indictment alleges that the defendants conspired to provide and provided communications equipment, personnel, currency, financial securities and financial services (currency, financial securities, and financial services hereinafter “currency”), and transportation to IG. (Ind.1ffl 20(a)-(d), 23.) A. The defendants argue that 18 U.S.C. § 2339B is unconstitutionally vague specifically with regard to the statute’s prohibition on “providing” material support or resources in the form of “communications equipment” and “personnel.” With respect to communications equipment, the Indictment alleges, among other things, that “the defendants and the unindicted co-conspirators provided communications equipment and other physical assets, including telephones, computers and telefax machines, owned, operated and possessed by themselves and others, to IG, in order to transmit, pass and disseminate messages, communications and information between and among IG leaders and members in the United States and elsewhere around the world-” (Ind.f 20(a).) The Government has argued that the defendants provided a communications pipeline by which they transmitted messages from Sheikh Abdel Rahman in prison to IG leaders and members throughout the world. Among the specific instances of the use of communications equipment, the Indictment points to the fact that Sattar had telephone conversations with IG leaders in which he related Sheikh Abdel Rahman’s instructions to IG leaders and Stewart released Sheikh Abdel Rahman’s statement to the press in which Sheikh Abdel Rahman withdrew his support from the then-existing cease-fire. (Ind.lffl 21(j)-(k).) With respect to the provision of personnel, the Indictment alleges that “the defendants and the unindicted co-conspirators provided personnel, including themselves, to IG, in order to assist IG leaders and members in the United States and elsewhere around the world, in communicating with each oth-er_” (Indffl 20(b).) The defendants argue that the statute fails to provide fair notice of what acts are prohibited by the prohibition against the provision of “communications equipment” and “personnel.” A criminal statute impheating First Amendment rights “must ‘define the criminal offense with sufficient definiteness that ordinary people can understand what conduct is prohibited and in a manner that does not encourage arbitrary and discriminatory enforcement.’ ” United States v. Rahman, 189 F.3d 88, 116 (2d Cir.1999) (quoting Kolender v. Lawson, 461 U.S. 352, 357, 103 S.Ct. 1855, 75 L.Ed.2d 903 (1983)). “In short, the statute must give notice of the forbidden conduct and set boundaries to prosecutorial discretion.” United States v. Handakas, 286 F.3d 92, 101 (2d Cir.2002). When analyzing a vagueness challenge, “[a] court must first determine whether the statute gives the person of ordinary intelligence a reasonable opportunity to know what is prohibited and then consider whether the law provides explicit standards for those who apply it.” Chatin v. Coombe, 186 F.3d 82, 87 (2d Cir.1999) (quoting United States v. Strauss, 999 F.2d 692, 697 (2d Cir.1993)); see also Handakas, 286 F.3d at 111 (“The principle that a statute must provide both ‘notice’ and ‘explicit standards’ to survive an ‘as-applied’ constitutional challenge based on vagueness is well established.”). A “void for vagueness” challenge does not necessarily mean that the statute could not be applied in some cases but rather that, as applied to the conduct at issue in the criminal case, a reasonable person would not have notice that the conduct was unlawful and there are no explicit standards to determine that the specific conduct was unlawful. See Handakas, 286 F.3d at 111-12; Chatin, 186 F.3d at 87. First, with regard to the “provision” of “communications equipment,” Sat-tar and Stewart argue that the Indictment charges them with merely talking and that the acts alleged in the Indictment constitute nothing more than using communications equipment rather than providing such equipment to IG. For example, the Indictment charges Sattar with participating in and arranging numerous telephone calls between IG leaders in which IG business was discussed, including the need for “a second Luxor.” (Indffl 21(w).) The Indictment describes numerous other telephone calls in which Sattar participated. {See, e.g., Ind. ¶¶ 21(cc)-(gg).) Stewart is charged with, among other things, providing communications equipment to IG by announcing Sheikh Abdel Rahman’s withdrawal of support for the cease-fire in Egypt and thereby making the statements of the otherwise isolated leader available to the media. (Indffl 21(k).) The defendants look to the legislative history of the statute as evidence that Congress did not intend § 2339B to criminalize the mere use of communications equipment, rather than the actual giving of such equipment to IG. The legislative history states: The ban does not restrict an organization’s or an individual’s ability to freely express a particular ideology or political philosophy. Those inside the United States will continue to be free to advocate, think and profess the attitudes and philosophies of the foreign organizations. They are simply not allowed to send material support or resources to those groups, or their subsidiary groups, overseas. H.R. Rep. 104-383 at 45 (emphasis added). Thus, the defendants argue, simply making a phone call or similarly communicate ing one’s thoughts does not fall within the ambit of § 2339B. The defendants are correct and by criminalizing the mere use of phones and other means of communication the statute provides neither notice nor standards for its application such that it is unconstitutionally vague as applied. The Government argued in its brief that the defendants are charged not merely with using their own phones or other communications equipment but with actively making such equipment available to IG and thus “providing” IG with communications resources that would otherwise be unavailable to the FTO. That argument, however, simply ignores the reality of the facts charged in the Indictment in which various defendants are accused of having participated in the use of communications equipment. The Government subsequently changed course and stated at oral argumént that the mere use of one’s telephone constitutes criminal behavior under the statute and that, in fact, “use equals provision.” (Transcript of Oral Argument dated June 13, 2002 (“Hearing Tr.”) at 53, 65.) The Government also argued that using the conference call feature on a person’s phone in furtherance of an FTO was prohibited. (Id. at 65.) Such changes in the Government’s interpretation of § 2339B demonstrate why the provision of communications equipment as charged in the Indictment is unconstitutionally vague: a criminal defendant simply could not be expected to know that the conduct alleged was prohibited by the statute. See Handakas, 286 F.3d at 104 (“a penal statute must speak for itself so that a lay person can understand the prohibition”). The defendants were not put on notice that merely using communications equipment in furtherance of an FTO’s goals constituted criminal conduct. Moreover, the Government’s evolving definition of what it means to provide communications equipment to an FTO in violation of § 2339B reveals a lack of prosecutorial standards that would “permit ‘a standard-less sweep [that] allows policemen, prosecutors, and juries to pursue their personal predilections.’ ” Kolender, 461 U.S. at 358, 103 S.Ct. 1855(quoting Smith v. Goguen, 415 U.S. 566, 575, 94 S.Ct. 1242, 39 L.Ed.2d 605 (1974)); accord Handakas, 286 F.3d at 107. For these reasons, § 2339B is void for vagueness as applied to the allegations in the Indictment. Second, the defendants argue, § 2339B is unconstitutionally vague as applied to the allegations in the Indictment relating to the “provision” of “personnel.” The defendants urge the Court to follow the Ninth Circuit Court of Appeals’ decision in Humanitarian Law Project v. Reno, 205 F.3d 1130, 1137 (9th Cir.2000), which found that “[i]t is easy to see how someone could be unsure about what [§ 2339B] prohibits with the use of the term ‘personnel,’ as it blurs the line between protected expression and unprotected conduct.” The Court of Appeals thus affirmed the district court’s finding that the use of the term “personnel” in § 2339B was unconstitutionally vague. The Government relies on United States v. Lindh, 212 F.Supp.2d 541, 574 (E.D.Va.2002), which rejected Humanitarian Law Project and found that the alleged plain meaning of personnel — “an employment or employment-like relationship between the persons in question and the terrorist organization” — gave fair notice of what conduct is prohibited under the statute and thus was not unconstitutionally vague. In that case, the court rejected a vagueness challenge in the context of a person who joined certain foreign terrorist organizations in combat against American forces. In defining the reach of the term personnel, the court found that it was not vague because it applied to “employees” or “employee-like operatives” or “quasi-employees” who work under the “direction and control” of the FTO. Lindh, 212 F.Supp.2d at 572-73. Whatever the merits of Lindh as applied to a person who provides himself or herself as a soldier in the army of an FTO, the standards set out there are not found in the statute, do not respond to the concerns of the Court of Appeals in Humanitarian Law Project, and do not provide standards to save the “provision” of “personnel” from being unconstitutionally vague as applied to the facts alleged in the Indictment. The fact that the “hard core” conduct in Lindh fell within the plain meaning of providing personnel yields no standards that can be applied to the conduct by alleged “quasi-employees” in this case. Cf. Broadrick v. Oklahoma, 413 U.S. 601, 608, 93 S.Ct. 2908, 37 L.Ed.2d 830 (1973) (“... even if the outermost boundaries of [the statute] may be imprecise, any such uncertainty has little relevance here, where appellants’ conduct falls squarely within the ‘hard core’ of the statute’s proscriptions....”) It is not clear from § 2339B what behavior constitutes an impermissible provision of personnel to an FTO. Indeed, as the Ninth Circuit Court of Appeals stated in Humanitarian Law Project, “Someone who advocates the cause of the [FTO] could be seen as supplying them with personnel.” Humanitarian Law Project, 205 F.3d at 1137. The Government accuses Stewart of providing personnel, including herself, to IG. In so doing, however, the Government fails to explain how a lawyer, acting as an agent of her client, an alleged leader of an FTO, could avoid being subject to criminal prosecution as a “quasi-employee” allegedly covered by the statute. At the argument on the motions, the Government expressed some uncertainty as to whether a lawyer for an FTO would be providing personnel to the FTO before the Government suggested that the answer may depend on whether the lawyer was “house counsel” or an independent counsel — distinctions not found in the statute. (Hearing Tr. at 61-62.) The Government concedes that the statute does not prohibit mere membership in an FTO, and indeed mere membership could not constitutionally be prohibited without a requirement that the Government prove the defendants’ specific intent to further the FTO’s unlawful ends. See NAACP v. Claiborne Hardware Co., 458 U.S. 886, 920, 102 S.Ct. 3409, 73 L.Ed.2d 1215 (1982) (“For liability to be imposed by reason of association alone, it is necessary to establish that the group itself possessed unlawful goals and that the individual held a specific intent to further those illegal aims.”); see also Boim v. Quranic Literacy Inst. and Holy Land Fnd. for Relief and Dev., 291 F.3d 1000, 1021-24 (7th Cir.2002). The Government attempts to distinguish the provision of “personnel” by arguing that it applies only to providing “employees” or “quasi-employees” and those acting under the “direction and control” of the FTO. But the terms “quasi-employee” or “employee-like operative” or “acting at the direction and control of the organization” are terms that are nowhere found in the statute or reasonably infera-ble from it. Moreover, these terms and concepts applied to the prohibited provision of personnel provide no notice to persons of ordinary intelligence and leave the standards for enforcement to be developed by the Government. When asked at oral argument how to distinguish being a member of an organization from being a quasi-employee, the Government initially responded “You know it when you see it.” (Hearing Tr. at 58.) While such a standard was once an acceptable way for a Supreme Court Justice to identify obscenity, see Jacobellis v. Ohio, 378 U.S. 184, 197, 84 S.Ct. 1676, 12 L.Ed.2d 793 (1964) (Stewart, J. concurring), it is an insufficient guide by which a person can predict the legality of that person’s conduct. See Handakas, 286 F.3d at 104 (“It is not enough to say that judges can intuit the scope of the prohibition if [the defendants] could not.”) Moreover, the Government continued to provide an evolving definition of “personnel” to the Court following oral argument on this motion. Added now are “those acting as full-time or part-time employees or otherwise taking orders from the entity” who are therefore under the FTO’s “direction or control.” (Gov. Letter dated June 27, 2003 at 2 n. 1 (“Gov. June 27 Letter”) (quoting the United States Attorneys’ Manual definition of “personnel”).) The Government argues, moreover, that the Court should construe the statute to avoid constitutional questions. However, the Court “is not authorized to rewrite the law so it will pass constitutional muster.” Humanitarian Law Project, 205 F.3d at 1137-38 (rejecting Government’s suggestion to construe “personnel” as used in § 2339B as “under the direction or control” of an FTO). The Government also suggested at oral argument that perhaps a heightened scienter standard should be read into the statute, in some circumstances, in defining the provision of personnel. (Hearing Tr. at 62-64.) But that specific intent is not contained in the statute and thus could not give notice to persons about their allegedly prohibited conduct. Moreover, the Government subsequently withdrew its suggestion after oral argument. (Gov. June 27 Letter at 3 n. 3.) The statute’s vagueness as applied to the allegations in the Indictment concerning the provision of personnel is a fatal flaw that the Court cannot cure by reading into the statute a stricter definition of the material support provision than the statute itself provides. See Handa-kas, 286 F.3d at 109-110 (“If the words of a criminal statute insufficiently define the offense, it is no part of deference to Congress for us to intuit or invent the crime.”). The Government now contends that if the Court finds that the terms “provision” of “communications equipment” or “provision” of “personnel” are unconstitutionally vague as applied to the defendants, the Court need not dismiss Counts One and Two of the Indictment. The Government argues that because the Grand Jury used the conjunctive form in charging the defendants with conspiring to provide and providing material support or resources in the form of communications equipment, personnel, currency and transportation, the necessary implication is that the Grand Jury would have returned the Indictment had the charges relating to personnel and communications equipment not been included. The Government relies on cases such as United States v. Mastelotto, 717 F.2d 1238, 1249 n. 10 (9th Cir.1983), in which the Ninth Circuit Court of Appeals explained: “... the failure of the jury instruction to require the jury to find the existence of a particular allegation of the indictment did not prejudice the defendant, since it was certain that, even without the deleted allegation, the grand jury would have indicted on the charge at issue.” See also United States v. Hobson, 519 F.2d 765, 774 (9th Cir.1975). More recently, the Supreme Court made it clear that “[a]s long as the crime and the elements of the offense that sustain the con-vietion are fully and clearly set out in the indictment, the right to a grand jury is not normally violated by the fact that the indictment alleges more crimes or other means of committing the same crime.” United States v. Miller, 471 U.S. 130, 136, 105 S.Ct. 1811, 85 L.Ed.2d 99 (1985). In Miller, the Supreme Court found that it was error to reverse a conviction where the trial court had dismissed one of three counts and the defendant was convicted of the remaining two counts even though the trial proof supported only a significantly narrower and more limited, though included, fraudulent scheme. In this case, however, there is no reasonable way to redact the first two counts of the Indictment to excise the allegations relating to the conspiracy and related substantive offense of providing communications equipment and personnel to an FTO which are unconstitutionally vague as applied to the circumstances of this case. The Government has consistently presented its theory of the case in such a way that the allegations regarding the provision of personnel and communications equipment are not only central to the charges in Counts One and Two but also dwarf the allegations "with respect to the provision of transportation and currency. The Government has painted a picture in the Indictment, at oral argument, and in its briefs, which the Government has said can be taken as a bill of particulars, of a communications pipeline staffed by the defendants that enabled Sheikh Abdel Rahman and other IG leaders around the world to communicate with one another. Allegations about the provision of currency and transportation play only a minuscule role in that plot. The number of overt acts relating to the provision of travel or currency is relatively small and none of them explicitly refer to Stewart or Yousry. Further, although Stewart and Yousry are charged in Count Two with substantive violations of § 2339B, and aiding and abetting, that Count provides no details but refers to the allegations in Count One, and there are no allegations in Count One that Stewart or Yousry provided currency or transportation to an FTO or aided and abetted such provision. In this case, there is no reasonable way to redact the Indictment and charge only a conspiracy to provide currency and transportation or the related substantive offense. This is simply not a case where the elimination of counts or paragraphs can be done in such a way as to leave Counts One and Two of the Indictment as returned by the Grand Jury fundamentally intact. Cf. Miller, 471 U.S. at 145, 105 S.Ct. 1811 (one count struck from indictment did not broaden the indictment or violate defendant’s right to be tried pursuant to indictment returned by grand jury); United States v. Morrow, 177 F.3d 272, 297 (5th Cir.1999) (deletion of alleged act did not modify essential elements of charged offense or broaden indictment and therefore “amendment” did not subject defendant to trial on charges not brought in indictment or change factual basis of indictment). For the reasons explained, Counts One and Two are therefore dismissed. B. The defendants also argue that § 2339B is unconstitutionally overbroad and therefore Counts One and Two should be dismissed on that ground as well. However, § 2339B’s prohibitions are content-neutral and its purpose of deterring and punishing the provision of material support or resources to foreign terrorist organizations — a purpose aimed not at speech but at conduct — is, of course, legitimate. The Supreme Court has instructed that: facial overbreadth adjudication is an exception to our traditional rules of practice and [ ] its function, a limited one at the outset, attenuates as the otherwise unprotected behavior that it forbids the State to sanction moves from ‘pure speech’ toward conduct and that conduct — even if expressive — falls within the scope of otherwise valid criminal laws that reflect legitimate state interest in maintaining comprehensive controls over harmful, constitutionally unprotected conduct. Broadrick, 413 U.S. at 615, 93 S.Ct. 2908. Therefore, “particularly where conduct and not merely speech is involved, we believe that the overbreadth of a statute must not only be real, but substantial as well, judged in relation to the statute’s plainly legitimate sweep.” Id. The Supreme Court has recently reaffirmed this principle and explained that because “there are substantial social costs created by the overbreadth doctrine when it blocks application of a law to constitutionally unprotected speech, or especially to constitutionally unprotected conduct.... we have insisted that a law’s application to protected speech be ‘substantial,’ not only in an absolute sense, but also relative to the scope of the law’s plainly legitimate applications.” Virginia v. Hicks, — U.S. -, -, 123 S.Ct. 2191, 2197, 156 L.Ed.2d 148, - (2003) (emphasis in original) (quoting Broadrick, 413 U.S. at 615, 93 S.Ct.2908). Therefore, § 2339B is not violative of the overbreadth doctrine unless the law, “taken as a whole, is substantially overbroad judged in relation to its plainly legitimate sweep.” Id. at 2198 (emphasis in original). Section 2339B prohibits the provision of material support or resources to an FTO in many forms, including currency, safe-houses, false documentation or identification, weapons, lethal substances, explosives and other physical assets. See 18 U.S.C. §§ 2339A(b) & 2339B(g)(4). Prohibiting the supply of such tangible forms of material support is clearly a legitimate exercise of Congress’ power. Indeed, the legislative history reflects a concentration on prohibiting “terrorist fundraising in the United States”, H.R. Rep. 104-383 at 43, an aspect of the statute that has not been challenged on the present motions and which has appropriately been upheld against First Amendment challenges. See Humanitarian Law Project, 205 F.3d at 1133-35; see also Boim, 291 F.3d at 1026. Judged in comparison to the law’s plainly legitimate applications, the defendants have failed to meet their burden of demonstrating “from the text of [the law] and from actual fact that substantial over-breadth exists.” Hicks, — U.S. at -, 123 S.Ct. at 2198 (internal quotation marks and punctuation omitted) (alteration in original). The defendants point to the possible application of the potentially broad definition of the provision of “personnel” and “communications equipment.” But theses applications of the statute have not been shown to be a substantial part of the plainly legitimate scope of the statute. The motion to dismiss on overbreadth grounds is therefore denied. C. The defendants also seek dismissal of Counts One and Two by making various challenges to the designation of IG as an FTO pursuant to 8 U.S.C. § 1189 as it affects their prosecution under § 2339B, particularly the provision of 8 U.S.C. § 1189(a)(8) that provides that a “defendant in a criminal action ... shall not be permitted to raise any question concerning the validity of the issuance of such designation or redesignation as a defense or an objection at any trial or hearing.” Title 8, United States Code, Section 1189 authorizes the Secretary of State to designate an organization as an FTO if the Secretary finds that (1) the organization is a foreign organization; (2) that engages in terrorist activity or retains the capability or intent to engage in terrorist activity or terrorism; and (3) the organization’s terrorist activity or terrorism threatens the security of United States nationals or the national security of the United States. 8 U.S.C. § 1189(a)(1)(A)-(C). In so doing, the Secretary must provide notice to Congressional leaders and publish the designation in the Federal Register seven days thereafter. 8 U.S.C. § 1189(a)(2)(A)(i)-(ii). In making a designation, the Secretary must create an administrative record and may consider classified information. 8 U.S.C. § 1189(a)(3)(A)-(B). A designation as an FTO is effective for a period of two years and the Secretary may redesignate a foreign organization as an FTO for additional two-year periods. 8 U.S.C. § 1189(a) (4) (A)-(B). An organization designated as an FTO may seek judicial review of the designation in the United States Court of Appeals for the District of Columbia Circuit no later than 30 days after publication of the designation in the Federal Register. 8 U.S.C. § 1189(b)(1). Review is based solely on the administrative record, although the Government may submit classified information used in making the designation for ex parte and in camera review. 8 U.S.C. § 1189(b)(2). The reviewing court shall hold unlawful and set aside a designation that the court finds to be (1) arbitrary, capricious, an abuse of discretion, or otherwise not in accordance with the law; (2) contrary to constitutional right, power, privilege, or immunity; (3) in excess of statutory jurisdiction, authority, or limitation, or short of statutory right; (4) lacking substantial support in the administrative record taken as a whole or in classified information submitted to the court; or (5) not in accord with the procedures required by law. 8 U.S.C. § 1189(b)(3)(A)-(E). However, “a defendant in a criminal action ... shall not be permitted to raise any question concerning the validity of the issuance of such designation or redesig-nation as a defense or an objection at any trial or hearing.” 8 U.S.C. § 1189(a)(8). In a prosecution under § 2339B the Government must prove that the defendant provided material support to an FTO, which is defined as a organization that has been so designated. 18 U.S.C. § 2339B(g)(5). The defendants raise several objections to this statutory scheme. However, the defendants have not argued that delegation of the right to designate IG as an FTO to the Secretary of State violates the principles of separation of powers. This argument has been raised in other cases and correctly rejected by other courts. See, e.g., Humanitarian Law Project, 205 F.3d at 1137; see also Touby v. United States, 500 U.S. 160, 164-68, 111 S.Ct. 1752, 114 L.Ed.2d 219 (1991) (no violation of nondelegation doctrine when Congress delegated authority to Attorney General to designate drug as controlled substance); United States v. Bozarov, 974 F.2d 1037, 1041-45 (9th Cir.1992) (no violation of the nondelegation doctrine when Congress delegated listing on the Commodity Control List to Secretary of Commerce under the Export Administration Act). The defendants urge the Court to follow United States v. Rahmani 209 F.Supp.2d 1045 (C.D.Ca.2002), and dismiss Counts One and Two on the ground that the Indictment relies on a designation obtained in violation of due process. In Rahmani the court found that although the question of whether an organization was an FTO was an unreviewable political question, once the decision to designate had been made a court could scrutinize the designation procedure for conformance with the Constitution. Id. at 1051-52. The court then found that the Court of Appeals for the District of Columbia was not the sole venue for judicial review of a § 1189 designation. Id. at 1058-54. Having so determined, the court found that “Section 1189 violates the defendants’ due process rights because defendants, upon a successful Section [2339B] prosecution, are deprived of their liberty based on an unconstitutional designation they could never challenge. Accordingly, I believe defendants may raise the constitutionality of Section 1189 as a defense.... ” Id. at 1054-55. Upon review of the statute, the court concluded that the pertinent provisions of § 1189 admit of no other interpretation but that the organization to be designated is precluded from challenging the facts contained in the administrative record or presenting evidence to rebut the proposition that it is a terrorist organization. Such provisions are unconstitutional as violative of due process and render Section 1189 facially invalid. Id. at 1058. “Therefore,” the court found, “it follows that a designation pursuant to Section 1189 is a nullity since it is the product of an unconstitutional statute.” Id. Rahmani is not binding on this Court and is unpersuasive. First, the statute clearly provides a procedure by which IG can challenge its designation in the Court of Appeals for the District of Columbia. See 8 U.S.C. § 1189(b). Organizations designated as FTOs have availed themselves of this process. See, e.g., People’s Mojahedin Org. of Iran v. Dept. of State, 327 F.3d 1238, 1241-44 (D.C.Cir.2003) (hereinafter PMOI) (no due process violation by Secretary of State when designating defendant as an FTO); National Council of Resistance of Iran v. Dept. of State, 251 F.3d 192, 209 (D.C.Cir.2001) (“Secretary must afford the limited due process available to putative foreign terrorist organization prior to the deprivation worked by designating that entity as such with its attendant consequences, unless he can make a showing of particularized need”); People’s Mojahedin Org. of Iran v. United States Dept. of State, 182 F.3d 17, 21-25 (D.C.Cir.1999) (allowing judicial review of determination under § 1189 that organization is foreign and engages in terrorist activity but finding determination that such activity threatens the security of the United States under § 1189(a)(1)(C) a non-justiciable political question). The statute is equally explicit that a defendant in a criminal action may not raise any question of the validity of the designation as a defense or objection at any trial or hearing. See 8. U.S.C. § 1189(a)(8). Moreover, the Government argues correctly that it is for IG, not the defendants, to raise IG’s due process concerns before a court as provided for under the statute. Litigants, including the defendants, “never have standing to challenge a statute solely on the ground that it failed to provide due process to third parties not before the court.” Center for Reproductive Law and Policy v. Bush, 304 F.3d 183, 196 (2d Cir.2002) (quoting Haitian Refugee Ctr. v. Gracey, 809 F.2d 794, 809 (D.C.Cir.1987)). The designation of IG as an FTO had no effect on the defendants. While the defendants can challenge the allegation that they violated § 2339B by providing material support to an FTO or could contest that IG was, in fact, designated as an FTO, they cannot assert the due process claims of the FTO and challenge the underlying designation. The element at issue in this case is simply whether IG was designated as an FTO, and the defendants thereafter knowingly provided, or conspired to provide, material support or assistance to it, not whether the Secretary of State correctly designated IG as an FTO. The defendants argue that 8 U.S.C. § 1189 is unconstitutional because it does not allow criminal defendants to challenge the designation of IG as an FTO pursuant to § 1189(a)(8). Thus, the defendants contend, the statutory structure deprives them of their right to prove that IG was improperly designated as an FTO. Instead, the defendants claim, they are entitled to the evidence that the Secretary used in maMng the designation and should be able to litigate the validity of the designation in this Court. Stewart argues that she should be entitled to review the entire administrative record of the designation of IG as an FTO. The Government argues, however, that under § 2339B, it must prove at trial only that the defendants provided material support or resources to an organization designated as an FTO and not that the FTO designation was valid. Stewart relies on Dickinson v. United States, 346 U.S. 389, 74 S.Ct. 152, 98 L.Ed. 132 (1953), and United States v. Mendoza-Lopez, 481 U.S. 828, 107 S.Ct. 2148, 95 L.Ed.2d 772 (1987), in which the defendants were allowed to challenge the administrative orders that formed the basis for their prosecution although the relevant statutes did not provide for judicial review. In Dickinson, the defendant, a selective service registrant, was convicted for refusing to submit to induction into the armed services after his claim of eligibility for a ministerial exemption under § 6(b) of the Universal Military Training and Service Act, which exempts regular and duly ordained ministers of religion from military training and service but not from registration, was denied. Id. at 390-91, 74 S.Ct. 152. The Act did not provide direct judicial review of selective service classification orders. Id. at 394, 74 S.Ct. 152. The Supreme Court noted, however, that a court could determine whether the local draft board acted without jurisdiction because there was no basis in fact for the classification and further found that Dickinson had shown that he was eligible for the exemption pursuant to the statute. Id. at 394-95, 74 S.Ct. 152. The Court explained, “[t]he task of the courts in cases such as this is to search the record for some affirmative evidence to support the local board’s overt or implicit finding that a registrant has not painted a complete or accurate picture of his activities. We have found none here.” Id. at 396, 74 S.Ct. 152. The Supreme Court thus reversed the registrant’s conviction. Similarly, in Mendoza-Lopez, two Mexican nationals prosecuted under 8 U.S.C. § 1326 for illegal re-entry following deportation were allowed to argue the invalidity of the underlying deportation order as a defense to the criminal proceeding. The respondents argued that they were denied fundamentally fair deportation hearings because the Immigration Law Judge inadequately informed them of their right to counsel and accepted their unknowing waivers of their right to apply for suspension of deportation. Mendoza-Lopez, 481 U.S. at 831, 107 S.Ct. 2148. The Court concluded that there was no congressional intent to allow defendants to challenge deportation orders in § 1326 proceedings. Id. at 834-37, 107 S.Ct. 2148. However, the Court found: Our cases establish that where a determination made in an administrative proceeding is to play a critical role in the subsequent imposition of a criminal sanction, there must be some meaningful review of the administrative proceeding. This principle means at the very least that where the defects in an administrative proceeding foreclose judicial review of that proceeding, an alternative means of obtaining review must be made available before the administrative order may be used to establish conclusively an element of a criminal offense.... Depriving an alien of the right to have the disposition in a deportation hearing reviewed in a judicial forum requires, at a minimum, that review be made available in any subsequent proceeding in which the result of the deportation proceeding is used to establish an element of a criminal offense. Id. at 837-838, 107 S.Ct. 2148 (internal citations and footnotes omitted) (emphasis in original). Dickinson and Mendoza-Lopez differ from the case before this Court, however, because under the facts of those cases the defendants were the sole parties who could challenge the validity of the administrative determination underlying their prosecutions. Moreover, it was the defendants in the criminal cases who had been subject to the prior judicial proceedings, the draft board proceeding in Dickinson and the deportation proceeding in Mendozctr-Lopez. Raising the defense in the criminal cases provided those defendants the only meaningful review of the administrative proceeding affecting them. In this case, it is clear that Congress provided IG with judicial review of its own designation. The administrative determination of the designation of an FTO is potentially subject to extensive judicial review but that review is not to occur as a defense in a criminal proceeding. See 8 U.S.C. § 1189(a)(8). The defendants also rely on Touby v. United States, 500 U.S. 160, 111 S.Ct. 1752, 114 L.Ed.2d 219 (1991). In Touby, the Supreme Court held that it was not an unconstitutional delegation of powers for the Controlled Substances Act to authorize the Attorney General to schedule controlled substances on an expedited and temporary basis, even though the temporary scheduling order was not subject to judicial review. The Attorney General in turn delegated his temporary scheduling authority to the Drug Enforcement Administration. In the context of a criminal prosecution for manufacturing and conspiring to manufacture a drug temporarily designated as a controlled substance, the Supreme Court rejected the argument that the statutory provision that a temporary scheduling order is not subject to judicial review violated the nondelegation doctrine. Touby, 500 U.S. at 168, 111 S.Ct. 1752. The Court did so because “another section of the Act plainly authorizes judicial review of a permanent scheduling order.... Thus, the effect of [the preclusion of judicial review of temporary scheduling orders] is merely to postpone legal challenges to a scheduling order for up to 18 months, until the administrative process has run its course.” Id. The Court also noted that the Government did not dispute that an individual facing criminal charges could bring a challenge to a temporary scheduling order as a defense to prosecution and “[t]his is sufficient to permit a court to ascertain whether the will of Congress has been obeyed.” Id. at 168-69, 111 S.Ct. 1752 (internal quotation marks omitted). Touby does not support the defendants’ arguments. First, the issue in Touby was whether there was sufficient judicial review to comply with the nondelegation doctrine such that Congressional standards were followed. The defendants here have not relied on any argument based on an impermissible delegation of powers. Second, the Supreme Court noted the existence of judicial review for permanent scheduling orders as sufficient after the temporary scheduling orders had run their course. See id. at 168, 111 S.Ct. 1752. The judicial review procedure cited by the Court provides for review in the United States Court of Appeals for the District of Columbia or the Court of Appeals for the circuit in which an aggrieved person’s principal place of business is located. See 21 U.S.C. § 877. There is no suggestion that the judicial review for a permanent scheduling order was permitted as a defense in a criminal prosecution, and the challenge to a temporary scheduling order in a criminal prosecution was the only place where a challenge could occur. In this case, like the challenge to a permanent scheduling order, Congress has provided an explicit place for judicial review— in the Court of Appeals for the District of Columbia. The statutory language of 8 U.S.C. § 1189(b) makes clear that Congress intended for judicial review of FTO designations to occur solely within the Court of Appeals for the District of Columbia within 30 days of publication of the designation in the Federal Register. See Humanitarian Law Project, 205 F.3d at 1137 (challenge to designation must be raised in an appeal from a decision to designate a particular organization). Centralized review under the statute is important because FTO designations have significant foreign relations implications that Congress could reasonably conclude should be resolved by a court that is able to develop a unified body of relevant law. The inability to raise as a defense in this case the correctness of the Secretary’s determination that IG is an FTO is not itself a violation of the defendants’ rights to due process. The element of the offense is the designation of IG as an FTO, not the correctness of the determination, and the Government would be required to prove at trial that IG was in fact designated as an FTO. In Bozarov, the Ninth Circuit Court of Appeals denied a defendant’s claim that a statute rendering a criminal defendant unable to challenge the Secretary of Commerce’s export controls implemented through a Commodity Control List (“CCL”) violated his due process rights. In that case, the defendant was indicted under the Export Administration Act, 50 U.S.C. § 2401 et seq., for conspiring to export computer equipment without a license that the Secretary had placed on the CCL. Under the statute, “all functions exercised under the Act are explicitly excluded from judicial review....” Bozarov, 974 F.2d at 1039. The Ninth Circuit Court of Appeals found that the lack of judicial review did not violate the defendant’s due process rights. Id. at 1045-46. In so doing, the Court of Appeals relied on United States v. Spawr Optical Research Inc., 864 F.2d 1467, 1473 (9th Cir.1988), and United States v. Mandel, 914 F.2d 1215, 1221 (9th Cir.1990), in which the court found no due process violations from the lack of judicial review because the Secretary’s decision whether or not to list a product was not an element of the criminal offense charged. Bozarov, 974 F.2d at 1045-46. The court noted that the decision to control a commodity “does not involve the defendant’s individual rights and is not an element of the criminal offense in the pending case.” Id. at 1046 (internal quotation omitted). In this case, the Government need prove only that the defendants conspired to provide or provided material support or resources to an organization designated as an FTO. The correctness of the designation itself is not an element of the offense and therefore the defendants’ right to due process is not violated by their inability to challenge the factual correctness of that determination. Stewart makes an additional argument that IG’s designation violates her First Amendment associational rights. However, it is clear that what the statute “prohibits is the act of giving material support, and there is no constitutional right to facilitate terrorism by giving terrorists the weapons and explosives with which to carry out their grisly missions. Nor, of course, is there a right to provide resources with which terrorists can buy weapons and explosives.” Humanitarian Law Project, 205 F.3d at 1133; accord PMOI, 327 F.3d at 1244-45. The statute does not interfere with Stewart’s First Amendment rights because the material support restriction “is not aimed at interfering with the expressive component of [Stewart’s] conduct but at stopping aid to terrorist groups.” Humanitarian Law Project, 205 F.3d at 1135; accord PMOI, 327 F.3d at 1244. III. Stewart seeks to dismiss the Indictment based on the alleged invalidity of the SAMs imposed on Sheik Abdel Rahman as they apply to the charges against her. Stewart also argues that the Government’s attempt to force her to comply with the SAMs violates her First Amendment free speech rights and her right to practice her profession. In addition, she claims that the Government has no authority to enforce the attorney affirmation that she signed in which she agreed to abide by the SAMs. The SAMs in question were authorized pursuant to 28 C.F.R. § 501.3 which, at all relevant times, provided: Upon direction of the Attorney General, the Director, Bureau of Prisons, may authorize the Warden to implement special administrative measures that are reasonably necessary to protect persons against the risk of death or serious bodily injury. These procedures may be implemented upon written notification to the Director, Bureau of Prisons, by the Attorney General ... that there is a substantial risk that a prisoner’s communications or contacts with persons could result in death or serious bodily injury to persons, or substantial damage to property that would entail the risk of death or serious bodily injury to persons. These special administrative measures ordinarily may include housing the inmate in administrative detention and/or limiting certain privileges, including, but not limited to, correspondence, visiting, interviews with representatives of the news media, and use of the telephone, as is reasonably necessary to protect persons against the risk of acts of violence or terrorism.... 28 C.F.R. 501.3(a) (June 20,1997). Beginning in 1997, the Bureau of Prisons imposed SAMs upon Sheikh Abdel Rahman that, among other things, limited his access to the mail, media, telephone and visitors “for the purpose of protecting persons against the risk of death or serious bodily injury that might otherwise result.” (Ind. ¶ 6 (internal quotation marks omitted).) As of April 7, 1997, the SAMs provided that Sheikh Abdel Rahman “will not be permitted to talk with, meet with, correspond with, or otherwise communicate with any member, or representative, of the news media, in person, by telephone, by furnishing a recorded message, through the mails, through his attorney(s), or otherwise.” (Ind-¶ 6.) The Second Circuit Court of Appeals has said that the use of similar SAMs does not violate a prisoner’s right to due process. See United States v. El-Hage, 213 F.3d 74, 76, 78, 81 (2d Cir.2000) (per curiam). On May 16, 2000 Stewart signed an affirmation pursuant to 28 U.S.C. § 1746 in which she acknowledged having read the “Notification of Special Administrative Measures” for Omar Abdel Rahman “dated December 10, 2000 and consisting of eight (8) pages.” (Affirmation of Lynne Stewart dated May 16, 2000 (“Stewart Aff.” or “May Affirmation”) attached as Ex. A to Stewart Memorandum in Support of Motion to Dismiss.) She agreed to “abide by its terms” and (a) not patch any calls by Sheikh Abdel Rahman through to third parties or otherwise transfer such calls; (b) not leave a translator alone with Sheikh Abdel Rahman and only be accompanied by translators for the purpose of communicating with her client concerning legal matters; and (c) not forward mail from her client to third parties or use meetings, correspondence, or phone calls with Sheikh Abdel Rahman to pass messages between third parties (including, but not limited to, the media) and her client. (May Affirmation.) She affirmed that she understood “that the Bureau of Prisons is relying upon my sworn representations as a member of the bar in this affidavit in affording inmate Abdel Rahman the opportunity to meet and/or speak and/or correspond with me and my office and ihat any violation of these understandings could, among other things, result in further limitation (or even elimination) of inmate Ab-del Rahman’s ability to contact me or my office.” (May Affirmation.) The Indictment charges that Stewart violated the SAMs by facilitating and concealing communications from Sheikh Abdel Rahman in jail to IG leaders throughout the world, including on or about May 19 and 20, 2000 when she visited Sheikh Ab-del Rahman in prison accompanied by Yousry. (Ind-¶¶ 16, 21(h)-(i).) Stewart allegedly allowed Yousry to converse with Sheikh Abdel Rahman about strategic matters, including whether IG should continue to comply with the cease-fire in Egypt. (Ind.1ffl 21(h)-(i).) The Indictment charges that Stewart helped conceal the conversations, which she knew to be in violation of the SAMs, in part by making extraneous comments in English to mask the conversation in Arabic between Yousry and Sheikh Abdel Rahman. (Ind-¶¶ 21(h)-(i).) In further violation of the SAMs, Ste