Full opinion text
MANION, Circuit Judge. Joseph Pace, Anthony Besase, Christ Sa-vides, Donald Smith, John Cialoni, and Robert Wilson appeal their convictions of various cocaine distribution offenses committed between 1981 and 1987 as part of a continuing criminal enterprise headed by Sa-vides. The defendants raise a number of issues, most of which surround searches and seizures that occurred during the investigation of the enterprise. We affirm all the defendants’ convictions, but remand Savides’ case to the district court for resen-tencing. I. FACTS A. The searches and seizures On the evening of March 8, 1986, several Chicago police officers arrived at Savides’ condominium in Park Ridge, Illinois, to execute a search warrant authorizing them to search the condominium for evidence of gambling, including gambling records and money. Savides answered the door and allowed the officers to enter. Upon entering the condominium, the police saw Be-sase come out of the kitchen and Donald Greco (a co-defendant who pleaded guilty and did not appeal) come out of the condominium’s bedroom area. The officers found Pace in the den; he was carrying a paper bag, which one of the officers took from him. The officers detained the four men in the living room, patted them down for weapons, and then searched the apartment. The officers found nine one-kilogram packages of cocaine lying on a bed in the room that Greco had exited. The officers also found another kilogram package of cocaine in a kitchen drawer, and found $63,000 in United States currency in the room in which they had found Pace. Believing they had walked in on a major cocaine deal, the officers arrested Savides, Pace, Besase, and Greco, and searched them incident to the arrests. The officers discovered that the bag Pace had been carrying contained nearly $13,000 in cash. The officers also seized several items from Besase, including car keys and receipts from hotels in Daytona, Florida, and Lafayette, Indiana, that showed he had stayed at those hotels within the preceding few days. One of the officers found and cursorily examined Besaseis car in the parking garage beneath Savides’ condominium building that night; the search turned up no evidence. The next day, March 9, Chicago police officers returned to Savides’ condominium complex where they found Besase’s car and a car they believed Pace had driven the day before. The officers decided to seize the two cars pursuant to state and federal forfeiture statutes because they believed that Besase and Pace had used the cars to drive to the cocaine transaction at Savides’ condominium. Before taking Pace’s car away, an officer inventoried the property in the car pursuant to departmental procedure. During the inventory, the officer found a record book and a personal address book. The officer paged through both books; he noticed that the record book appeared to contain some type of cryptic drug records, and that the address book contained a list matching the code numbers in the record book with initials. Based on his observations and on the events of the day before, the officer concluded that the books were evidence of drug transactions, and seized the books. In the following days, officers read the books in detail. The officers transported Besase’s and Pace’s ears to a nearby police station. At the station, officers inventoried the contents of Besase’s vehicle and found and seized receipts that indicated that Besase had been in Georgia and Indiana a few days earlier. A few days later, on March 13, the police learned that Besase was a reputed member of a Toledo, Ohio organized crime syndicate, and that he had been in Florida, a known drug source state, shortly before his arrest. This information, along with the receipts suggesting that Besase had traveled from Florida to Chicago, led police to suspect that Besase had brought the cocaine found in Savides’ apartment from Florida. Suspecting that the car might still contain drugs or money in a secret compartment, the police brought Goldie, a trained narcotics-sniffing dog, to the car. Goldie alerted positively to the car’s rear seat, where the police discovered a secret compartment that turned out to contain traces of cocaine. Shortly after Savides’ release on bail following his arrest, members of the Chicago Organized Crime Intelligence Unit (the “Intelligence Unit”) determined that Savides was a likely candidate for assassination by the Chicago Organized Crime Syndicate because he had broken a syndicate rule against mixing gambling business with narcotics distribution. Because they suspected the syndicate might assasinate Savides, the Intelligence Unit officers decided to stake out Savides’ residence. About three weeks later, on April 3, 1986, surveillance officers saw a stranger, later identified as defendant Wilson, drive a Ford sedan regularly driven by Savides out of the parking garage beneath Savides’ condominium building. This struck the officers as suspicious because in their three weeks of surveillance they had seen nobody but Savides drive that car, except when Savides had been a passenger (and the officers had seen that but once). Because of their suspicions, the officers decided to follow Wilson. Wilson drove to a nearby restaurant and met another unknown man, later identified as defendant Smith. Wilson and Smith walked up and down the aisles of the parking lot and appeared to be peering into car windows. Wilson and Smith then entered the Ford and rode slowly up and down the parking lot aisles while again appearing to search the parked cars. To the officers, it appeared that Wilson and Smith were checking to see if anybody was watching them. After conducting their apparent counter-surveillance, Wilson and Smith stopped behind a car with out-of-state license plates. Smith left the car, took a suitcase from the out-of-state car’s trunk, and placed it in the Ford’s trunk. Smith then got into the out-of-state car and followed Wilson out of the parking lot. Wilson and Smith drove to the condominium complex. While turning into the complex, they apparently spotted the trailing officers, sped up, and made several turns; the officers considered Wilson’s and Smith’s driving maneuvers to be attempts to elude them. As they neared Savides’ building, Wilson and Smith split up, Wilson heading for an underground parking area and Smith heading for the parking lot. Wilson opened the electronic garage door and entered the garage; one of the officers, Michael Patton, pulled his car under the descending door to wedge it open. Patton drew his gun, approached the Ford, and announced he was a police officer. Wilson dropped the car keys to the floor, kicked them under the car, and told Patton, “This isn’t my car.” When Patton asked whose car it was, Wilson replied, “I wasn’t driving that car.” Another officer, Nick Nesis, who had followed and apprehended Smith, entered the garage with Smith. Based on what they had been told by the Intelligence Unit and on the suspicious activities of that day, Patton and Nesis believed that Wilson and Smith were hit men and that the suitcase possibly contained guns or explosives that could pose an immediate risk to the public. Nesis therefore recovered the keys, opened the Ford’s trunk, and carefully opened the suitcase. Nesis found no explosives or weapons in the suitcase; he did, however, find ten kilograms of cocaine. Patton and Nesis arrested Wilson and Smith and took them to police headquarters. After Wilson’s and Smith’s arrests, the police continued their surveillance of Sa-vides. As a result of that surveillance, an Assistant United States Attorney (AUSA) presented to Magistrate Weisberg an affidavit to support a warrant to search Room 102 of a building at 1400 Renaissance Drive in Park Ridge. The affidavit, prepared by a DEA agent, included information about Savides’ prior cocaine dealing, including his use of an office at 1400 Renaissance Drive. It also detailed the police’s surveillance of Savides since March 8, 1986. The surveillance revealed an almost daily routine: Sa-vides would drive circuitously to the Renaissance Drive office building, go into Room 102 (an office for which there was no phone number and which the building’s directory showed no business or connection to Savides) for a brief period, leave the office, make calls on a pay phone, and meet people (some of whom were known cocaine dealers) at restaurants, bars, and parking lots. Magistrate Weisberg studied the affidavit, conferred with his law clerk and the AUSA for an extended period, and finally informed the AUSA that he believed the affidavit did not establish probable cause to search the office. Shortly after Magistrate Weisberg ruled, the AUSA presented the affidavit to Chief Magistrate Balog. The AUSA told Chief Magistrate Balog that Magistrate Weisberg said he did not object to another magistrate reviewing the affidavit. The chief magistrate reviewed the affidavit, and issued a warrant to search Room 102. The search uncovered 200 grams of cocaine and assorted cocaine paraphernalia. DEA agents also found Sa-vides’ fingerprints in 18 locations in the office. B. Statements by John Cialoni Defendant John Cialoni was a bit player in Savides’ cocaine distribution enterprise during the early 1980’s. In early May 1986, the DEA learned that Cialoni was facing state criminal charges and was looking to barter information in hopes of obtaining leniency in his state case. On May 12, Cialoni met with two DEA agents. Cialoni told the agents what he wanted in exchange for information. The agents rejected Cialoni’s demands and told him that if he offered truthful and accurate information that would lead to detailed leads, they would make the state prosecutor aware of his cooperation. The meeting then ended. The agents again met with Cialoni on May 22. The agents rejected another series of demands by Cialoni and read him his Miranda rights. Cialoni then admitted his long-time involvement with Savides in various gambling and cocaine distribution operations. As the meeting ended, Cialoni agreed to keep in contact with the agents and provide more detailed information. Cialoni, however, did not provide any further information. As a consequence, the agents did not contact the state prosecutor about Cialoni’s pending case. C. District Court Proceedings A grand jury returned a multi-count indictment against Pace, Besase, Savides, Smith, Cialoni, and Wilson, alleging various narcotic distribution offenses. The indictment also charged Savides with conducting a continuing criminal enterprise (CCE), 21 U.S.C. § 848. Before trial, the defendants moved to suppress evidence found in the various searches. For the most part, the district court denied these motions, issuing a series of published opinions. See 658 F.Supp. 1399; 661 F.Supp. 1024; 664 F.Supp. 1544; 664 F.Supp. 1555; and 665 F.Supp. 686. The district court also denied Cialoni’s motion to sever his trial. See 661 F.Supp. at 1028-29. Besase and Pace pleaded guilty on the condition that they be allowed to appeal the denials of their motions to suppress. See Fed.R.Crim.P. 11(a)(2). Savides, Cialoni, Wilson, and Smith proceeded to trial, where a jury found them guilty of all counts charged. In addition, the jury returned a special forfeiture verdict against Savides. II. ANALYSIS A. Savides, Wilson, and Smith 1. Savides’ motion for an evidentiary hearing pursuant to Franks v. Delaware. The Chicago police obtained a warrant to search Savides’ condominium based on the affidavit of Officer Harry McKenna. That affidavit essentially stated that McKenna and his partner were sitting in an undisclosed place when they witnessed a man walk up to a pay telephone, pull out a betting form, dial a phone number and begin to place wagers on basketball games. The police officers then approached the man, who is not named in the affidavit, identified themselves and asked the man what transpired on the phone. The unidentified man told the officers he had placed a bet with his bookmaker. The police officers asked the man if he would call again and place another wager. The man, after receiving assurance he would not be arrested if he cooperated, agreed to allow the officers to observe him dial two different numbers, identify himself, and place wagers. One of the two phone numbers the man dialed was subsequently traced through phone company records to Christ Savides at his Park Ridge apartment. 658 F.Supp. at 1403. Savides contends that McKenna falsified information in the affidavit; specifically, Savides contends that the informant (the hapless phone caller) mentioned in the affidavit never existed. Savides moved the district court to hold an evidentiary hearing to determine if McKen-na intentionally or recklessly submitted false information in the affidavit. The district court denied Savides’ motion. In Franks v. Delaware, 438 U.S. 154, 98 S.Ct. 2674, 57 L.Ed.2d 667 (1978), the Supreme Court held that intentionally or recklessly submitting false statements in a warrant affidavit violates the Fourth Amendment. Id. at 164-65, 98 S.Ct. at 2680-81. The Court further held that in certain limited situations, a defendant may obtain a hearing to present evidence to challenge the warrant affidavit’s truth. To obtain an evidentiary hearing, the defendant must make a “substantial preliminary showing” that the affiant has intentionally or recklessly included a false statement in the warrant affidavit, and that the false statement is material, in the sense that it is necessary to find probable cause. Id. at 155-56, 171-72, 98 S.Ct. at 2676-77, 2684-85. In this case, Savides submitted several items in his attempt to make the substantial preliminary showing that Franks requires. Included among those were twenty-nine affidavits from Chicago vice officers that were similar to the affidavit that McKenna filed to obtain the warrant in this case. McKenna or his partner, Officer John Noonan, had filed a number of these affidavits. Savides also submitted court records of state court cases in which similar warrants had been held invalid for vagueness. Savides also submitted an affidavit from his brother, Dino, concerning his arrest for gambling activities, and his own affidavit stating that he never accepted any bets over the phone number that McKenna purportedly saw the informant dialing, that that number was not registered to his condominium, and that his phone number was unlisted. After reviewing these materials and hearing oral argument, the district court denied Savides’ motion for a Franks hearing. See 658 F.Supp. at 1403. Savides contends that he made the necessary showing under Franks and that the district court should have held an evidentiary hearing. The first issue we face is the proper standard for reviewing the district court’s decision. Savides insists that de novo review is appropriate; the government counters that we should review the district court’s decision for clear error. This circuit has not decided the proper standard for reviewing a district court’s decision to deny a Franks hearing. The Ninth Circuit has held, in numerous cases, that de novo review is the proper standard. E.g., United States v. Whitworth, 856 F.2d 1268, 1280 (9th Cir.1988); United States v. Johns, 851 F.2d 1131, 1133 (9th Cir.1988); United States v. Perdomo, 800 F.2d 916, 920 (9th Cir.1986). The First Circuit, on the other hand, has broadly indicated that a more deferential standard is appropriate. See United States v. Mastroianni, 749 F.2d 900, 909, 910 (1st Cir.1984); United States v. Rumney, 867 F.2d 714, 720 (1st Cir.1989); United States v. Southard, 700 F.2d 1, 10-11 (1st Cir.1983). We conclude that the more deferential clearly erroneous standard is proper. Savides contends that since the district court’s decision involved no credibility determinations, this court is in just as good a position as the district court to decide the issue, so that de novo review rather than more deferential review is appropriate. But deferential review does not depend merely on the district court's ability to view witnesses and judge their credibility. Determining the proper standard of appellate review also requires us to examine the different roles of the district and appellate courts, and the efficient use of judicial resources, which includes the rational division of labor between the district and appellate courts. See Mars Steel Corp. v. Continental Bank N.A., 880 F.2d 928, 933-34 (7th Cir.1989). There are several reasons that lead us to conclude that it would make little sense for this court to redo the district court’s work in deciding whether to hold a Franks hearing. First, in determining whether to hold a Franks hearing, the district court’s task involved sorting through the materials Savides submitted, weighing the possible inferences those materials raised, and determining the likelihood that Noonan lied in his warrant affidavit. This task involved essentially the same process as fact-finding. It is the type of task that district courts do every day. With this repetition comes expertise, an expertise the courts of appeals do not have. Cf. Anderson v. Bessemer City, 470 U.S. 564, 574-75, 105 S.Ct. 1504, 1511-12, 84 L.Ed.2d 518 (1985). Thus, it is unlikely that de novo review will lead to more “correct” decisions over the run of cases. Second, while Fourth Amendment rights are valuable, a search’s illegality does not make the evidence gathered in that search any less probative or reliable. Cf. Stone v. Powell, 428 U.S. 465, 489-91, 96 S.Ct. 3037, 3050-51, 49 L.Ed.2d 1067 (1976); People v. Lucente, 116 Ill.2d 133, 107 Ill.Dec. 214, 220, 506 N.E.2d 1269, 1275 (1987). Thus, even if de novo review is more likely to catch and correct more “mistakes” by the district courts in denying Franks hearings, those mistakes do not go to a defendant’s actual guilt or innocence. Third, “the adequacy of a [Franks] proffer may depend on the circumstances of each case.” Lucente, 107 Ill.Dec. at 222, 506 N.E.2d at 1277. Such case-specific determinations are unlikely to produce precedents to guide future cases. See Mars Steel, 880 F.2d at 934. In such case-specific determinations, where more deferential review is not likely to lead to a significantly greater number of “correct” decisions in the long run, and where mistakes do not go to guilt or innocence, de novo review imposes too great a cost for the benefits it might obtain. Review for clear error does not mean no review. Where this court reaches a “firm and definite conviction” that the district court has erred, we will reverse that court’s decision. See Anderson, 470 U.S. at 574, 105 S.Ct. at 1511. But where the district court has reasonably and conscientiously reviewed the defendant’s Franks proffer, and has properly applied the law, its decision should stand even if we, as an original matter, would have ordered the hearing. Cf. Lucente, 107 Ill.Dec. at 222, 506 N.E.2d at 1277 (district court’s decision whether or not to hold a Franks hearing is “to a degree ... final”; appellate court should not disturb the district court’s decision if that court has exercised its judgment “within permissible limits”). On the record before us, we conclude that the district court did not clearly err in refusing to hold a Franks hearing. While the affidavits’ similarity could raise an inference of falsity, it could also be “merely indicative of a standard investigative approach,” 658 F.Supp. at 1403, and an example of police officers using language that courts had approved in earlier warrant applications. There were also significant differences in many of the affidavits, which could help dispel fears of fabrication. Savides’ self-serving statement in his affidavit that he never accepted bets on the number listed in the warrant affidavit is not sufficient to require a Franks hearing, see United States v. McDonald, 723 F.2d 1288, 1294 (7th Cir.1983), and the fact that his number was unlisted ignores that police have access to phone numbers that private citizens do not. Furthermore, that other warrants based on similar affidavits were held invalid for vagueness has nothing to do with whether the facts stated in Noo-nan’s affidavit were false. Savides contends that an evidentia-ry hearing was necessary so he could question Noonan. Savides told the district court that he would only ask Noonan to name his informant. 1 Tr. at 16. Savides could not tell the court what Noonan’s answer would be; he could only speculate that Noonan would say either that he never took the name or that he had lost the name. Savides’ request to question Noonan was nothing more than “a mere desire to cross-examine,” an insufficient reason to hold a Franks hearing. See Franks, 438 U.S. at 171, 98 S.Ct. at 2684. It was thus not clear error to deny Savides a hearing to introduce that testimony. 2. April 3, 1986 search of the suitcase. Savides, Wilson, and Smith contend that the district court should have suppressed the cocaine police found when searching the suitcase in the trunk of the car Wilson was driving. According to the defendants, the police had no basis for detaining Wilson and Smith, and had neither probable cause nor a warrant to search the suitcase. The district court held that the police were justified in stopping Wilson and Smith and that probable cause existed to believe that the suitcase contained potentially dangerous objects (guns or explosives), so that it was reasonable to search the suitcase without a warrant. We agree. Officers Patton and Nesis, the officers who stopped Wilson and Smith and found the cocaine in the suitcase, had been staking out Savides’ condominium for three weeks. They knew that their surveillance efforts were extraordinary, and they knew the reason for this special commitment of resources: experienced members of the Chicago Intelligence Unit had determined that Savides was a likely assassination target because he had broken crime syndicate rules by mixing gambling and cocaine distribution. When they saw somebody other than Savides driving Savides’ car, without Savides in the car (an event they had never before seen), the officers became justifiably suspicious. The officers then followed Wilson to a restaurant, where he met Smith, and where Wilson and Smith made what appeared to be efforts to make sure they were not being watched. The officers saw Smith transfer a suitcase from his car to Wilson’s and saw the two drive off together to Savides’ condominium complex. Upon realizing they were being followed, Wilson and Smith sped up and appeared to try to elude the officers. Based on these findings, which were not clearly erroneous, we agree with the district court that “Patton and Nesis possessed at least a reasonable suspicion that Wilson and Smith might be assassins on their way to make an attempt on Savides’ life.” 665 F.Supp. at 690. Because of this reasonable suspicion, Patton and Nesis were entitled to stop and briefly detain Wilson and Smith to investigate and resolve their suspicions. See Terry v. Ohio, 392 U.S. 1, 88 S.Ct. 1868, 20 L.Ed.2d 889 (1968); see also Michigan v. Long, 463 U.S. 1032, 1045-52, 103 S.Ct. 3469, 3479-82, 77 L.Ed.2d 1201 (1983). The defendants contend that Patton’s warrantless entry into the garage to detain Wilson violated the Fourth Amendment because the garage was part of the “curtilage” to Wilson’s home. (Wilson lived in the condominium complex.) Generally, police may not enter a person’s home to arrest that person without a warrant. Payton v. New York, 445 U.S. 573, 100 S.Ct. 1371, 63 L.Ed.2d 639 (1980). A home’s “curtilage” is the area outside the home itself but so close to and intimately connected with the home and the activities that normally go on there that it can reasonably be considered part of the home. See United States v. Dunn, 480 U.S. 294, 300, 107 S.Ct. 1134, 1139, 94 L.Ed.2d 326 (1987). Assuming without deciding that the garage was part of the curtilage of Wilson’s condominium, we conclude that Patton did not violate the Fourth Amendment by entering the garage to detain Wilson. Payton is distinguishable; it involved a “routine” arrest in a person’s home, and the Court specifically declined to decide any issues other than the one before it. See 445 U.S. at 582-83, 100 S.Ct. at 1377-78. In this case, Patton was pursuing a man whom he reasonably suspected might be an assassin on his way to do his work, and who took what Patton considered to be evasive action upon discovering he was being followed. When Wilson entered the garage, Patton had to decide whether to pursue Wilson to investigate his suspicion or whether to let Wilson go despite the threat he might have posed to Savides. If Patton had decided to let Wilson go, and if his suspicion had been correct, the consequences could have been drastic. Terry’s touchstone is the Fourth Amendment’s general reasonableness requirement. See 392 U.S. at 21-22, 88 S.Ct. at 1879-80. Balancing the need for Patton’s action (to investigate a possible threat to Savides’ life) against the intrusion on Wilson’s privacy (a brief detention, in a garage, to allay his suspicions), along with the circumstances surrounding that intrusion, see id. at 21, 88 S.Ct. at 1879; Long, 463 U.S. at 1046, 103 S.Ct. at 3479, we conclude that Patton’s entry into the garage was reasonable and thus did not violate the Fourth Amendment. When Patton approached Wilson (with gun drawn, which in itself was not unreasonable given what Patton suspected Wilson was up to), Wilson responded by throwing the car keys under the car and denying that he had any interest in the car or that he had ever even driven the car. This behavior was bizarre: in common parlance, Wilson behaved like a child “caught with his hands in the cookie jar.” This bizarre behavior was sufficient to elevate Patton's and Nesis’s suspicion to a reasonable belief — that is, probable cause — that Wilson and Smith were the hit men they had been looking for. That leaves the question of whether Patton and Nesis were justified in removing the suitcase from the trunk and searching the suitcase without a warrant. Patton and Nesis had seen Smith and Wilson put the suitcase in the trunk. Given that Patton and Nesis had probable cause to believe that Wilson and Smith were hit men, it was reasonable for them to believe that Wilson and Smith were carrying the tools of their trade. It was also reasonable to conclude, given their observation of Wilson’s and Smith’s activities at the time they transferred the suitcase to the trunk, that those tools would be in that suitcase. Common sense — something we do not have to ignore in determining whether probable cause exists in a particular case — strongly suggests that those tools could include explosives. Cf. Illinois v. Gates, 462 U.S. 213, 238, 103 S.Ct. 2317, 2332, 76 L.Ed.2d 527 (1983). Placing explosives in victims’ cars is certainly not an uncommon way for assassins to kill people. We agree with the district court that the situation justified entering the trunk and opening the suitcase without a warrant under the exigent circumstances exception to the warrant requirement. Compare United States v. Moschetta, 646 F.2d 955, 959 (5th Cir.1981) (upholding a warrantless search under similar facts, and stating that “In light of the [officers’] belief, it would be foolhardy ... to delay a search of such containers.”) Since the cocaine was in plain view when Nesis opened the suitcase, he was entitled to seize it. See United States v. Edwards, 885 F.2d 377, 389 (7th Cir.1989). Thus, the district court did not err by denying Sa-vides’, Wilson’s, and Smith’s motions to suppress the cocaine found in the suitcase. 3. The January 3, 1987 search of Sa-vides’ office. Savides contends that the district court erred by denying his motion to suppress the cocaine and other evidence found when DEA agents searched his Park Ridge office on January 8, 1987. Savides first contends that the court should have suppressed the evidence from the search because it was improper for the government to submit DEA Agent Morley’s warrant affidavit to Chief Magistrate Balog after Magistrate Weisberg had denied the government’s application for a warrant based on the same affidavit. Savides claims that Magistrate Weisberg’s determination that the affidavit failed to demonstrate probable cause was final and binding and estopped the government from resubmitting the same affidavit, without more, to another magistrate. The Fourth Amendment commands that searches not be “unreasonable,” and that “no warrants shall issue, but upon probable cause....” Years ago, Justice Jackson set forth the basic policy behind the warrant requirement: The point of the Fourth Amendment ... is not that it denies law enforcement the support of the usual inferences which reasonable men draw from evidence. Its protection consists in requiring that those inferences be drawn by a neutral and detached magistrate instead of being judged by the officer engaged in the often competitive enterprise of ferreting out crime. Johnson v. United States, 333 U.S. 10, 13-14, 68 S.Ct. 367, 368-69, 92 L.Ed. 436 (1946). Savides does not contend that Chief Magistrate Balog had an interest in this ease or was biased towards the government, or was otherwise not the “neutral and detached magistrate” that the Fourth Amendment demands. Cf. Coolidge v. New Hampshire, 403 U.S. 443, 449-53, 91 S.Ct. 2022, 2029-31, 29 L.Ed.2d 564 (1971) (warrant issued by state attorney general, who was acting as justice of the peace and empowered to issue warrants under state law, was invalid because not issued by a “neutral and detached magistrate”). Nor does Savides assert that DEA Agent Morley falsified information in the warrant, the evil the Court faced in Franks v. Delaware. Savides does assert that Morley’s affidavit did not show that probable cause existed, and that the government deliberately withheld material information from Chief Magistrate Balog (another evil prohibited by Franks, as we shall see). But these are separate issues from Savides’ estoppel argument, and for purposes of analyzing that argument we can assume that Chief Magistrate Balog’s finding of probable cause was correct, and that the government did not withhold material information. Savides, in essence, is asking us to suppress evidence from a search conducted pursuant to a warrant issued by a “detached and neutral magistrate” who properly (we presume) found that probable cause existed to search, simply because another magistrate had refused to issue a warrant based on the same showing by the government. But, assuming that probable cause actually existed and the government withheld no material information, the government did all the Fourth Amendment required. Agent Morley did not depend on his own discretion in deciding to search, see Johnson, 333 U.S. at 14, 68 S.Ct. at 369; instead, he sought, and received, approval from a judicial officer. The Fourth Amendment on its face does not prohibit the government from seeking a second magistrate’s approval to search when another magistrate denies a search warrant. The Fourth Amendment commands only that a “neutral and detached magistrate” determine that probable cause exists. Thus, the important questions, from a Fourth Amendment standpoint, are whether the magistrate really was “neutral and detached,” and whether probable cause actually existed, not how many magistrates the government applied to before finally obtaining a warrant. Franks v. Delaware supports this approach. In Franks, the Court held that even where a defendant makes a substantial showing that the government recklessly or deliberately lied to the magistrate, no hearing is required if the other material in the warrant affidavit suffices to show probable cause. Franks, 438 U.S. at 171-72, 98 S.Ct. at 2684-85. Submitting false material to the magistrate subverts the Fourth Amendment’s warrant requirement because deliberately falsified information could mislead a magistrate into finding probable cause and issuing a warrant where he might otherwise not do so. See id. at 167-68, 98 S.Ct. at 2682-83. Yet, the Court is willing to let a warrant stand if absent the false information probable cause still exists, even though the magistrate himself might have thought the facts important in finding probable cause. There is even less reason to suppress evidence from a search pursuant to a warrant issued by a magistrate who properly found probable cause based strictly on facts that the warrant affiant honestly and reasonably believed. This approach in no way lessens the Fourth Amendment’s protections: if the second magistrate’s decision to issue the warrant was incorrect, a reviewing court can eventually suppress the evidence. See 2 Wayne R. LaFave, Search and Seizure, § 4.2(e), at 164-65 (1987). Savides contends that allowing the government to resubmit a rejected warrant application to a second magistrate will lead to “magistrate shopping,” thus deprecating the magistrate’s role and diminishing the warrant requirement to a mere rubber-stamping process. As a practical matter, the kind of “magistrate shopping” Savides envisions probably does not create a great problem. The parties have been able to uncover only one reported opinion (and we have found no other) besides the district court’s opinion in this case that has even addressed the issue of resubmitting a warrant application to a second magistrate. See United States v. Davis, 346 F.Supp. 435, 442 (S.D.Ill.1972). Moreover, the defendant can still assert that probable cause did not exist to issue the warrant (a challenge Savides has made here), or that the applying officer knew that the second magistrate was not the “detached, neutral magistrate” the Fourth Amendment requires. See generally La-Fave, supra, § 4.2. A blanket rule barring the government from resubmitting a warrant application to a second magistrate would do little, if anything, to protect Fourth Amendment values. Such a rule would, however, cause courts to suppress evidence found in searches pursuant to warrants issued on probable cause. The district court correctly rejected such an approach. Savides contends that even if it was proper to submit the warrant application to Chief Magistrate Balog, the district court should have suppressed the evidence found in the search because Agent Morley’s affidavit did not support a finding that probable cause existed to search his apartment. The district court rejected this contention; so do we. Agent Morley’s affidavit contained information concerning Savides’ past cocaine dealing, including the circumstances surrounding his arrest on March 8, 1986, the results of the search of the car Wilson was driving on April 3, 1986 (which turned up ten kilograms of cocaine), and Savides’ contacts with other known cocaine dealers, including Wilson, Pace, and Besase. The affidavit also revealed that Savides had used a “stash pad” to store cocaine. According to the affidavit, a former customer of Savides told the DEA that before Sa-vides’ March arrest, he would often pick up cocaine from Savides in restaurants and parking lots near 1400 Renaissance Drive in Park Ridge. That customer also told the DEA that Savides kept a stash of cocaine in a location that only Savides knew. The affidavit also contained information about the surveillance conducted on Sa-vides after his March 8, 1986 arrest. Sa-vides had an almost daily ritual. He would drive evasively to an office building at 1400 Renaissance Drive, and enter Room 102 of the office building for a brief period. Sa-vides would frequently use a pay phone outside the building shortly before entering or after leaving. Telephone company records revealed no phone number listed for Room 102, and the building’s office directory listed no business in Room 102 or any connection between Savides and the room. Moreover, the surveillance revealed no indication that Savides had any lawful employment. According to the affidavit, after leaving the building Savides would routinely make frequent, short stops at various restaurants, bars, motels, business buildings, and currency exchanges. Savides would usually stay at these places just long enough to meet with people, some of whom were known or suspected cocaine dealers, in the parking lots. The affidavit ended by revealing that between January 2 and January 7, 1987, Savides continued to follow his usual routine; the affidavit then detailed Savides’ activities on January 7. Savides contends that there are three reasons why Agent Morley’s affidavit does not show probable cause to search on January 8. First, Savides contends that much of the information (including the information about Savides’ past cocaine dealing) was stale. Second, Savides contends that the affidavit improperly tries to paint probable cause by Savides’ association with other cocaine dealers. Finally, Savides contends that most of Savides’ observed activities were, by themselves, innocent; therefore, according to Savides, the surveillance did not establish probable cause. The problem with Savides’ argument is that it takes different components of the probable cause showing and views them in isolation. Determining whether or not probable cause exists involves “a practical, common-sense decision whether, given all the circumstances set forth ..., there is a fair probability that contraband or evidence of a crime will be found in a particular place.” Illinois v. Gates, 462 U.S. 213, 238, 103 S.Ct. 2317, 2332, 76 L.Ed.2d 527 (1983). It is improper to focus on isolated aspects of a probable cause showing, artificially separating those aspects from other facts presented to the magistrate. Cf. id,., 462 U.S. at 234-35, 103 S.Ct. at 2330-31. As in many evidentiary questions, the whole of a probable cause showing often is greater than the sum of its parts. Even seemingly innocent behavior might arouse suspicion in light of other circumstances. See id. at 243-44 n. 18,103 S.Ct. at 2334-35 n. 18. Viewed as a whole, Morley’s affidavit is sufficient to support the magistrate’s probable cause finding. The information about Savides’ past cocaine dealing established his connection to cocaine dealing and to certain other dealers, and his method of operating, including his use of a “stash pad.” The information from his former customer established a connection between that cocaine dealing and the area near 1400 Renaissance Drive. The surveillance, including his contacts with cocaine dealers he had dealt with in the past, and his suspicious use of Room 102, raised the reasonable inference that Savides’ cocaine dealing continued, and that Room 102 probably was the “stash pad” referred to by other informants. From all this information, Chief Magistrate Balog could reasonably make the “practical, common-sense determination” that “a fair probability” of finding cocaine in Room 102 existed. Savides finally contends that the district court should have suppressed the evidence found in the January 8 search because the government deliberately or recklessly withheld material information from Chief Magistrate Balog. The rule of Franks v. Delaware, prohibiting a police officer from deliberately or recklessly presenting false material information in a warrant application, also prohibits the officer from deliberately or recklessly omitting material information from the application. United States v. Williams, 737 F.2d 594, 604 (7th Cir.1984). Thus, if Savides showed that Agent Morley and the AUSA deliberately or recklessly failed to disclose facts to Magistrate Balog, and if those facts are material — in the sense that “if the fact were included, the affidavit would not support a finding of probable cause,” id. —he would, under Franks, be entitled to suppression of the evidence found in the January 8 search. According to Savides, there were three material omissions. First, Savides asserts that the government did not tell the Chief Magistrate that Magistrate Weisberg earlier had denied the same warrant application. But as our earlier discussion shows, the important questions for Fourth Amendment purposes are whether the warrant application shows probable cause and whether the issuing magistrate is truly “detached and neutral,” not whether another magistrate had found the same showing deficient. We thus do not think that the fact that Magistrate Weisberg had denied a warrant on the same showing is material in the sense Franks requires; even had it included this fact, Morley’s affidavit would still have been sufficient to show probable cause. Savides also contends that while the affidavit alleged that on January 7 he entered a friend’s home with a suspicious-looking white bag (attempting to raise the inference that the bag contained cocaine), the affidavit did not disclose that a subsequent search of that home uncovered only plastic bags that contained suspected cocaine residue. We fail to see how this alleged omission was material; if anything, the fact that the search turned up plastic bags containing possible cocaine residue would seem to strengthen, rather than weaken, any inference that Savides delivered cocaine to the home. In any event, even if this information was material, it could not have been a deliberate or reckless omission because the search Savides refers to occurred on January 9, two days after Agent Morley and the AUSA submitted the warrant application. Savides finally contends that Agent Morley’s affidavit failed to disclose that police had detained and searched him on January 7 and found no cocaine. However, Savides submitted nothing in the district court other than his bald assertion to show that Agent Morley knew about the January 7 search. Moreover, we agree with the district court that this information was not material. Even if the affidavit had included information about the January 7 search, the affidavit still would have been sufficient to support a probable cause finding. Since it did not violate the Fourth Amendment to submit the warrant affidavit to the second magistrate, and since Agent Morley’s affidavit was sufficient to show probable cause and deliberately or recklessly omitted no material facts, the district court did not err in not suppressing the evidence found in the January 8 search. 4. Sufficiency of the evidence to convict on Counts Two, Three, Four, and Six. Count Two of the indictment charged Savides with delivering approximately two kilograms of cocaine in August 1982. Count Three charged Savides with delivering approximately one kilogram of cocaine “on or about” December 7, 1985. Count Four charged Savides with delivering approximately one kilogram of cocaine “on or about” December 14, 1985. The government’s proof on Count Two rested primarily on the testimony of Paul Meeghan, the man to whom Savides made the delivery alleged in Count Two. Similarly, the government’s proof on Counts Three and Four rested primarily on the testimony of Barry Litberg, the man to whom Savides made the deliveries in those counts. Sa-vides argues that both Meeghan and Lit-berg were cocaine dealers and users, that both witnesses’ testimony was impeached, that both had been convicted and therefore had a motive to lie (the motive being possible leniency in sentencing), and that both witnesses’ testimony was uncorroborated. Therefore, says Savides, Meeghan’s and Litberg’s testimony was inherently unbelievable and does not support guilt beyond a reasonable doubt. The argument based on “inherent unbelievability” need not detain us long. We have reviewed the testimony, and nothing in that testimony is inherently unbelievable — there is nothing in the testimony that contradicts the laws of nature or other indubitably true evidence. See United States v. Dunigan, 884 F.2d 1010, 1013-14 (7th Cir.1989). Meeghan and Litberg might not have been the most reliable witnesses, but credibility determinations are for the jury. Savides had the opportunity to make the same arguments to the jury that he makes to us. The jury chose to believe Meeghan and Litberg; that was the jury’s right. Regarding Count Two, the delivery to Meeghan, Savides makes two more specific arguments. First, he notes that Cialoni made the physical delivery and that there was no evidence to link Savides to that delivery. However, Meeghan testified at length about his past cocaine dealings with Cialoni and Savides, the relationship between Cialoni and Savides, and the circumstances surrounding the charged delivery. The jury could reasonably infer from this testimony that Savides was involved in the delivery charged in Count Two. Second, Savides argues that the government failed to present expert testimony that the substance delivered to Meeghan contained cocaine. But the government does not have to present expert testimony; circumstantial evidence will suffice. See United States v. Murray, 753 F.2d 612, 615 (7th Cir.1985). In his reply brief, Savides expands on his argument, claiming that the government produced no evidence that the substance delivered to Meeghan (and, for that matter, to Litberg) contained cocaine. The first problem with this broader argument is that it comes too late: a reply brief is not the proper place to introduce new arguments. See Ippolito v. WNS, Inc., 864 F.2d 440, 455 n. 12 (7th Cir.1988). At all events, both Meeghan and Litberg were familiar with cocaine (both as users and dealers), and had extensive cocaine dealings with Savides. The jury could reasonably infer from this, and from the price charged for the substances Mee-ghan and Litberg received, that those substances included cocaine. Cf. Murray, 753 F.2d at 615; United States v. Blanton, 884 F.2d 973, 977 (7th Cir.1989). Savides also challenges the sufficiency of the evidence to convict him on Count Six. Count Six charged Savides with possessing the ten kilograms of cocaine found when Chicago police stopped Wilson and Smith on April 3, 1986 and searched the suitcase found in the car Wilson was driving. Since Savides did not actually possess the cocaine in the suitcase, the jury could find him guilty only if it could conclude that he constructively possessed it or aided and abetted Wilson’s and Smith’s possession. See 18 U.S.C. § 2. “ ‘To establish constructive possession, the government must produce evidence demonstrating ownership, dominion, or control over the contraband.’ ” United States v. Moya-Gomez, 860 F.2d 706, 756 (7th Cir.1988). To establish that a person aided and abetted a crime, the government must show that the person “ ‘encouraged or assisted another in committing the offense, and ... had the intent to aid its commission.’ ” Id. Viewing the evidence in the light most favorable to the government, we conclude that a reasonable jury could have found Savides guilty of constructive possession or aiding and abetting. The evidence established that the car Wilson used to transport the cocaine was owned by a car dealership that Savides controlled. In three weeks of surveillance, the police had seen somebody other than Savides drive the car only once; and, that time, Savides had ridden in the car as a passenger. Thus, the jury could have reasonably concluded that Savides controlled who did and did not use the car, and that Wilson was driving the car with Savides’ permission. Wilson was a long-time employee of Savides’ cocaine distributing enterprise. Phone records showed that Sa-vides had called both Wilson and Smith within weeks before the April 3 incident. The jury could have concluded that Savides loaned his car to Wilson to pick up the cocaine Smith was bringing in from Florida. From all this evidence, a reasonable jury could have concluded that Wilson was acting as Savides’ agent. Therefore, the jury could reasonably conclude that Sa-vides constructively possessed the cocaine in the suitcase or that he was aiding and abetting Wilson’s and Smith’s possession. 5. Sufficiency of the evidence to support forfeiture. The jury found that $63,500 found on a shelf in Savides’ den on March 8, 1986, and a Mercedes Benz that Savides had driven on January 7, 1987, were subject to forfeiture pursuant to 21 U.S.C. § 853. Savides contends that the evidence did not support the forfeiture verdict. Savides was convicted of conducting a continuing criminal enterprise (CCE) under 21 U.S.C. § 848, and thus was subject to criminal forfeiture proceedings under § 853. See 21 U.S.C. § 848(a). Section 853 provides, in part, that the following property is subject to forfeiture: (1) any property constituting, or derived from, any proceeds the person obtained, directly or indirectly, as the result of [violating the CCE provision]; [and,] (2) any ... property used, or intended to be used, in any manner or part, to commit, or to facilitate the commission of such violation.... The court’s instructions and the special verdict forms instructed the jurors that to find the money subject to forfeiture, they had to find beyond a reasonable doubt that the money was “acquired or obtained with [Sa-vides’] profits from the continuing criminal enterprise, or was ... knowingly used and intended to be used to facilitate the commission of the continuing criminal enterprise.” The instructions and verdict forms told the jurors that to find the Mercedes subject to forfeiture, they had to find beyond a reasonable doubt that the Mercedes “was knowingly used to facilitate the commission of the continuing criminal enterprise.” Viewing the evidence and all reasonable inferences in the light most favorable to the government, we conclude that the government carried its burden of showing that the money and the Mercedes were subject to forfeiture. As to the money, the jury could have reasonably found that Chicago police found the money in Savides’ apartment on March 8, 1986, during a major cocaine transaction involving ten kilograms of cocaine that had just arrived from Florida. The jury could have found that the cocaine was being delivered to Savides at that time. From these facts, the jury could reasonably have concluded that Savides was to use the money to pay for the cocaine, or that Savides had received the money in payment for the cocaine, and thus that Savides intended to use the money to facilitate his continuing criminal enterprise. Savides argues that “[t]he mere propinquity of the money to the cocaine found in the apartment does not ipso facto make the money forfeitable,” citing United States v. $38,600 In U.S. Currency, 784 F.2d 694 (5th Cir.1986). That case, however, is distinguishable. In $38,600, the government sought forfeiture of money found in a car that also contained a pipe with marijuana residue. Id. at 696. The court held that the fact that the money was found in the same car as the pipe was not sufficient to show that the money was used or intended to be used to buy or sell drugs. Id. at 697-999. In $38,600, however, the money was not found during a major drug transaction, as in this case, nor was there any other evidence, as in this case, of large-scale drug dealing by the money’s owner. See id. at 698. This case involves much more than the money’s mere proximity to cocaine. Savides also contends that the circumstances in this case indicate that the money was related to his gambling activities rather than any cocaine transaction. According to Savides, the money was intermingled with assorted gambling paraphernalia, including records evidencing substantial bets. But while the jury could have inferred that the money was related to gambling, not cocaine, the jury could have also inferred that the money was related to the cocaine transaction. The choice of which inference to draw was for the jury, and we will not disturb that choice. As to the Mercedes, the evidence showed that between December 1986 until January 7,1987, Savides used the Mercedes while performing his almost daily ritual of driving to the office at 1400 Renaissance Drive, staying for a short time, and then leaving to meet with various people, including cocaine dealing associates. The evidence also showed that the January 8 search of the office turned up 200 grams of cocaine and assorted other items, including empty plastic bags containing cocaine residue, a scale, and a large quantity of small envelopes. Finally, the evidence indicated that Savides had no lawful employment, and that the office had no legitimate use. From all this, the jury could reasonably conclude that Savides’ trips to his office and his related activities were to further his cocaine dealing enterprise. Since Sa-vides used the Mercedes on January 7 to drive to his office and to various meetings, the jury could conclude that Savides used the Mercedes on January 7 to facilitate his cocaine dealing enterprise, and thus that the Mercedes was subject to forfeiture. 6. Sentencing. The district court sentenced Savides to ten years imprisonment on his conspiracy conviction, to be served consecutively to a sentence of ten years imprisonment on his CCE conviction. The court also fined Sa-vides $100,000 on his conspiracy conviction, and $100,000 on his CCE conviction. (To simplify, we have omitted the rest of Sa-vides’ sentence, which is not relevant to the sentencing issue in this case.) Savides contends that the district court erred in imposing cumulative sentences for his CCE and conspiracy convictions. According to Sa-vides, the Supreme Court’s decision in Jeffers v. United States, 432 U.S. 137, 155-57, 97 S.Ct. 2207, 2218-20, 53 L.Ed.2d 168 (1977) holds that a district court may not impose cumulative sentences for both the conspiracy and the CCE counts, and that the fines and consecutive prison sentences imposed on him are cumulative sentences. The government first responded to this contention by stating that in Moya-Gomez, 860 F.2d at 753-54 (7th Cir.1988), and United States v. Bond, 847 F.2d 1233, 1238-39 (7th Cir.1988), this court had held that a court may impose concurrent sentences for conspiracy and CCE. From this premise, the government asserted (without explanation) that the consecutive sentences the district court imposed in this ease were proper. After Savides pointed out in his reply brief the difference between concurrent and consecutive sentences, the government threw up its hands and confessed error, conceding that the district court improperly sentenced Savides on the conspiracy conviction. We accept the government’s confession of error, and thus hold the district court could not impose consecutive prison sentences for conspiracy and CCE or fine Sa-vides on both convictions. This does not mean, however, that we must necessarily order Savides' sentence reduced to ten years in prison and a $100,000 fine (the sentence imposed on the CCE conviction). As for the prison sentence, the judge thought ten years the appropriate term for the CCE conviction. However, he came to this conclusion under the impression that he could impose a consecutive prison term for conspiracy. This impression turned out to be mistaken. But it is possible the judge would have imposed a longer term on the CCE conviction had he known he could not impose a consecutive sentence on the conspiracy conviction. The judge could have imposed a much longer sentence: the maximum prison term for CCE at the time of sentencing (as it is now) was life without parole. “ ‘[Sentencing should not be a game in which the wrong move by the judge means immunity for the prisoner.’ ” United States v. Shue, 825 F.2d 1111, 1114 (quoting United States v. DiFrancesco, 449 U.S. 117, 135, 101 S.Ct. 426, 436, 66 L.Ed.2d 328 (1980)). The district court should have an opportunity to reconsider the prison sentence it imposed for Savides’ CCE conviction. There is no double jeopardy problem in doing so. See Shue, 825 F.2d at 1114-15; see also Pennsylvania v. Goldhammer, 474 U.S. 28, 106 S.Ct. 353, 88 L.Ed.2d 183 (1985). Similarly, the district judge should have an opportunity to reconsider the fine he imposed on Savides. However, the analysis regarding the fine is a bit more complicated because a question exists as to the maximum fine allowable for a CCE conviction at the time Savides was sentenced. Before October 27, 1986, the maximum allowable fine for a CCE conviction of an individual first offender (Savides being, as far as we can tell, a first offender) was $100,000. On October 27, 1986, Congress passed the Anti-Drug Abuse Act of 1986, Pub.L. 99-570, 100 Stat. 3207. That Act raised the maximum fine for an individual first offender of the CCE Act to $2,000,000. Id., § 1252(1), codified at 21 U.S.C. § 848(a) (Supp. V 1987). If the old maximum applies in this case, the most the district court could fine Savides would be $100,000, and remand would be pointless; if the new maximum applies, the district judge could have imposed a larger fine on the CCE conviction. Which maximum applies raises two questions. The first — when did the new maximum become effective? — is easy to answer. Since there is no special effective date provision for the part of the Anti-Drug Abuse Act that increased the CCE fines, that increase became effective on October 27, 1986, the date of the Act’s enactment. See United States v. York, 830 F.2d 885, 892 (8th Cir.1987). Given that the increased maximum fine became effective in October 1986, the second question is whether applying that increased maximum would violate the ex post facto clause of the Constitution, Art. I, § 9. A law that increases the punishment for a crime committed before the law was passed violates the clause. Miller v. Florida, 482 U.S. 423, 429, 107 S.Ct. 2446, 2450, 96 L.Ed.2d 351 (1987); Lindsey v. Washington, 301 U.S. 397, 57 S.Ct. 797, 81 L.Ed. 1182 (1937); Calder v. Bull, 3 U.S. (3 Dall.) 386, 390, 1 L.Ed. 648 (1798). But Savides was charged with conducting a continuing criminal enterprise from 1981 until January 9, 1987, well past the date Congress increased the maximum fine. The evidence was sufficient to show that the enterprise did, in fact, last until January 1987. A statute increasing the penalty for conspiracy does not violate the ex post facto clause when applied to a conspiracy begun before the increase that continued on after the increase. See, e.g., United States v. Todd, 735 F.2d 146, 150-51 (5th Cir.1984); Leyvas v. United States, 371 F.2d 714, 717 (9th Cir.1967); United States v. Borelli, 336 F.2d 376, 386 n. 5 (2d Cir.1964); see also United States v. Campanale, 518 F.2d 352, 365 (9th Cir.1975). Professors LaFave and Scott state the principle more generally: “If the conduct ... continues after the enactment or amendment of the statute in question, this statute may be applied without violating the ex post facto prohibition.” Wayne R. LaFave and Austin W. Scott, Jr., 1 Substantive Criminal Law § 2.4(b), at 142 (1986). CCE and conspiracy, while not the same, are similar crimes. Both punish agreements to commit crimes (such as running a drug enterprise); CCE, unlike conspiracy, also punishes the agreement’s success. See Bond, 847 F.2d at 1238. Most important, CCE, like an ongoing conspiracy, involves continuing conduct. Thus, there is no reason not to apply to a CCE conviction the general principle that an increased penalty may apply to a continuing crime. Therefore, applying the increased maximum fine to Savides would not violate the ex post facto clause. Since the increased maximum fine under the CCE statute properly applied to Sa-vides, the district judge could have fined Savides more than $100,000 on the CCE count. It is possible, however, that the judge may not have been aware of the increased maximum fine. He might have imposed a higher fine but for the mistaken impressions that the maximum fine for CCE was only $100,000 and that he could also fine Savides on the conspiracy conviction. Therefore, the district court should have an opportunity to reconsider the fine it imposed. We therefore vacate Savides’ sentence and remand to the district court for resentencing. In resentencing, the judge should keep in mind th