Full opinion text
HENRY, Circuit Judge. Boutaem Chanthadara was convicted of robbery (pursuant to the Hobbs Act, 18 U.S.C. § 1951(a)) and use of a firearm in a crime of violence under circumstances constituting first-degree murder (pursuant to 18 U.S.C. § 924(j)(l)). For the first of these crimes, he has been sentenced to twenty years in prison. For the second crime, Mr. Chanthadara has been sentenced to death. Mr. Chanthadara’s case comes before us on direct appeal from his convictions and sentences. We exercise jurisdiction under 18 U.S.C. §§ 3595(a) and 3742(a) and 28 U.S.C. § 1291. I. BACKGROUND Mr. Chanthadara faces the death penalty for his involvement in a 1994 robbery of a restaurant in Wichita, Kansas. Viewed in the light most favorable to the government, the evidence at trial established the following series of events. Mr. Chanthadara and four codefend-ants — Phouc Nguyen, Khammouk Nam-phengsone, Piyarath Kayarath, and Som-lith Soukamneuth — gathered at Mr. Namphengsone’s apartment during a party. The five decided to rob the Mandarin Chinese Restaurant in hopes of getting cash and gold jewelry. The five men left the party in two cars, one stolen and one borrowed. They had two guns amongst them: Mr. Kayarath carried a 9mm pistol (the murder weapon) and Mr. Nguyen carried a .32 caliber revolver. When the five arrived at the targeted restaurant, they noted that customers were still eating and decided to wait until only the owners were present. To pass time, the men continued on to a nearby shopping mall. In the mall parking lot, Mr. Nguyen broke into several cars. When one of the car owners confronted him, Mr. Nguyen punched him several times, and Mr. Kayarath hit him on the head with the butt of the 9mm pistol. Sufficient time having elapsed, the friends split up. Mr. Soukamneuth waited in a nearby parking lot in the borrowed car with which they planned to drive away from the robbery. The other four men drove the stolen car to the restaurant. Approaching the restaurant, Mr. Nguyen donned a black ski mask. The three others remained unmasked. Mr. Mark Sun, the owner of the Mandarin Chinese Restaurant, testified that he first became aware of the robbery when he heard a loud crash in the front. As he went to investigate, a masked man, Mr. Nguyen, put a knife to his throat and forced him to the cash register. He opened the register and emptied its contents. Mrs. Barbara Sun (a co-owner of the restaurant), a waiter, and the Sun’s two children were also present in the restaurant. Mr. Namphengsone bound Mrs. Sun and Mr. Wong with shoelaces behind the bar. The robbers ordered the children to lay down. Mr. Kayarath guarded the four at gunpoint. Mr. Nguyen grabbed Mrs. Sun by her hair and neck and dragged her upstairs to a safe, which had been installed in the restaurant before the Suns bought it. Mr. Chanthadara accompanied them, and Mr. Kayarath soon followed. The safe was locked and empty, and the Suns did not know the combination. The robbers knew only that it was docked. Mr. Namphengsone remained downstairs guarding the four prisoners. The only evidence about the sequence of events leading to Mrs. Sun’s' death came from Mr. Namphengsone, who testified that within minutes of having followed Mr. Nguyen upstairs, Mr. Chanthadara returned downstairs to check on Mr. Namphengsone. At that time, Mr. Chanthadara carried the 9mm pistol. Satisfied with the situation downstairs, he returned upstairs. Some time later, the three men returned from upstairs. Now, Mr. Nguyen carried the .32 caliber pistol, Mr. Chanthadara carried the 9mm pistol, and Mr. Kayarath was unarmed. Mr. Namphengsone heard Mr. Nguyen announce, “He shot her.” Rec.- vol. 40, at 2113. Leaving the restaurant, Mr. Chantha-dara tried to retrieve something from a glass display case and tipped it over. His palm print was later matched to a palm print on the broken glass of the case. The four men met Mr. Soukamneuth, still waiting in the borrowed car. Mr. Soukamneuth testified that Mr. Chantha-dara held the 9mm pistol. He also testified that, on the ride back to Mr. Nam-phengsone’s apartment, Mr. Nguyen, Mr. Namphengsone, and Mr. Kayarath were all yelling at Mr. Chanthadara. According to Mr. Soukamneuth, Mr. Chanthadara responded by putting the 9mm to his own head and asking whether he should shoot himself. Mr. Soukamneuth further stated that he did not know at the time why the other men were angry with Mr. Chantha-dara, but “later on” he determined it was because Mr. Chanthadara “shot the lady.” Rec. vol. 40, at 2006-07. , Finally, before reaching the apartment, Mr. Chanthadara threw the 9mm pistol into a river. Mr. Namphengsone initially told FBI investigators that he heard nothing about anyone being hurt and that the 9mm pistol was taken back to his apartment, not thrown off the bridge. He subsequently changed this story to correspond with Mr. Soukamneuth’s. - FBI investigators would later search the area, but the gun was never recovered. Mrs. Sun’s body was discovered upstairs in the restaurant in front of the locked safe. She had been shot five times. Four of the gunshot wounds would have been fatal by themselves. Mrs. Sun had also been beaten. Nearby was a broken pool cue, which tested positive for traces of Mrs. Sun’s blood. The FBI investigation into the murder initially centered on Arisack Phongmany. From a photo spread, the victim of the parking lot assault (Mr. Bryan Kiser) had identified Mr. Phongmany as one of the participants. The FBI soon determined that the same 9mm pistol had been used in a drive-by shooting a few weeks before the robbery. Mr. Phongmany pleaded guilty to the drive-by shooting and admitted to having used the 9mm pistol. Once arrested for the drive-by shooting, Mr. Phongmany invoked his Miranda rights and refused to speak to agents investigating the restaurant robbery and killing. The FBI interviewed Mr. Nampheng-sone after identifying his fingerprint on a table top at the restaurant. He expressed a willingness to cooperate. Based upon his story, the United States Attorney charged Mr. Namphengsone, Mr. Soukam-neuth, Mr. Kayarath, Mr. Nguyen, and Mr. Chanthadara with robbery and homicide. Two of the defendants, Mr. Nampheng-sone and Mr. Soukamneuth, pleaded guilty and testified for the government at trial. Mr. Namphengsone was sentenced to twenty-two years in prison, and Mr. Souk-amneuth was sentenced to twenty years. In contrast, Mr. Kayarath, Mr. Nguyen, and Mr. Chanthadara pleaded not guilty and proceeded to trial. The government sought the death penalty against the latter two men. After jury trials, Mr. Kayarath and Mr. Nguyen were convicted on both the robbery and murder counts and sentenced to life in prison. Mr. Chanthadara was also convicted on both counts. He was sentenced to twenty years in prison on the robbery charge and to death on the homicide. II. DISCUSSION Mr. Chanthadara presents the following challenges to his convictions: (1) prejudice by exposure of jurors to a newspaper article reporting the trial judge’s characterization of his defense; (2) a Jeneks Act violation; (3) a violation of his rights under the Vienna Convention; (4) an unconstitutional jury selection plan; (5) district court errors in the jury instruction on malice and in the court’s refusal to instruct the jury on second-degree murder as a lesser included offense; (6) an unconstitutional instruction on the Hobbs Act interstate commerce element; and (7) violations of 18 U.S.C. § 201(c)(2) as a result of the government’s grant of lenity in exchange for the testimony of accomplices. Additionally, he raises the following challenges to his death sentence: (1) district court errors in submitting certain aggravating factors to the jury; (2) prejudice by exposure of jurors to newspaper articles during the penalty phase; (3) erroneous exclusion of jurors for cause based on their death penalty views; and (4) district court error in admission of emotionally charged victim impact evidence during the penalty phase. We first address the challenges to the guilt phase of Mr. Chanthadara’s trial. Finding no prejudicial error, we affirm his convictions. As to Mr. Chanthadara’s death sentence, we conclude there is a reasonable probability that the jurors’ exposure to the trial judge’s comment referring to Mr. Chanthadara’s defense as a “smoke screen” influenced the jury’s determination. Additionally, under the standards set forth in Witherspoon v. Illinois, 391 U.S. 510, 88 S.Ct. 1770, 20 L.Ed.2d 776 (1968), and Wainwright v. Witt, 469 U.S. 412, 105 S.Ct. 844, 83 L.Ed.2d 841 (1985), we conclude that the district court erred in excluding a venire member for cause based solely on her responses to a questionnaire. Accordingly, we vacate Mr. Chanthadara’s death sentence on both grounds. We remand the case for re-sentencing consistent with this opinion. A. Challenges to the Conviction 1. Prejudice From Midtrial Publicity Mr. Chanthadara’s defense theory was that Mr. Phongmany committed the charged crimes. According to an FBI report, Mr. Kiser identified Mr. Phongmany as “the subject with the handgun that assaulted him.” Rec. vol. 42 at 2502. Investigators determined that the 9mm firearm used to kill Mrs. Sun had been used in a drive-by shooting a few weeks prior to the robbery of the Mandarin Chinese Restaurant. Mr. Phongmany pleaded guilty to having fired the same 9mm firearm in the drive-by shooting incident. Agents investigating the robbery and homicide arrested Mr. Phongmany, but he invoked his Miranda rights and refused to answer questions. Prior to Mr. Chanthadara’s trial, the government filed a motion in limine to exclude all evidence relating to Mr. Phong-many and his links to the murder weapon. When the defense was ready to present evidence on these issues, the district court judge ordered them to call the seven relevant witnesses, outside the jury’s presence, to determine admissibility. After the hearing, the judge ruled that the evidence was admissible. However, the judge commented that “I don’t for a minute believe it, that this Arisack Phongmany committed the crime. I think it’s a smoke screen. I mean, may as well just say what it is. It’s a smoke screen, but I don’t find ... that I have any right to make the judgment on that issue.” Rec. vol. 42, at 2477. He described the proffered evidence as “what I consider to be a totally bogus offer,” and “just a way to mislead the jury.” Id. at 2479. The jury was called back to the courtroom and allowed to hear the evidence. When court adjourned, the jurors were sent home, as they had not been sequestered. The judge failed to consider the presence of journalists in the courtroom. The following morning, a local newspaper (The Wichita Eagle) ran an article on the judge’s comments. The headline read: “JUDGE IN MURDER CASE CALLS DEFENSE STORY A ‘SMOKE SCREEN.’” Add’m to Alpt’s Br., doc. I. Before the jurors were called in that morning, defense counsel requested that the judge question them as to whether they had seen the article. The judge noted that the jurors would have violated his instructions if they had seen the article, but he granted the request. In speaking to the jurors, the judge confirmed the article was accurate. He said, “In the paper this morning there was an article regarding this case that reflected some comments that I made outside your presence.” Rec. vol. 43, at 2718-19. Six of twelve jurors admitted to having seen the headline, but each of them denied having read any further. The judge gave a curative instruction stating “anything that I say or do is not evidence and is not to be considered by you as reflecting my judgment on the case or what your verdict should be.” Id. at 2719. He then individually questioned the six jurors who admitted to having seen the headline as to whether they understood the instruction and whether they thought their exposure to the headline would in any way affect their ability to render a decision based solely on the evidence admitted in court. Each of the six jurors confirmed that he or she understood the instructions and assured the court he or she would not be affected by exposure to the headline. The defense moved for a mistrial, arguing the exposure destroyed any credibility the defense might otherwise have enjoyed. The judge denied the motion, and the trial continued through the presentation of a single remaining witness. The court then dismissed the jury for deliberation. On the same day, it returned a verdict of guilt. After the verdict was read, the judge again asked the jurors, individually, whether “anything about what you saw in the headline influence[d] your deliberations or your verdict in any way.” Rec. vol. 43 at 2785. Each reassured him that it had not. Mr. Chanthadara now argues the district court’s refusal to grant a mistrial violated his Fifth Amendment due process rights, his Sixth Amendment rights to counsel and a fair trial, and his rights under the Eighth Amendment. We review for an abuse of discretion a trial court’s denial of a motion for a mistrial based on juror bias. See United States v. Thompson, 908 F.2d 648, 650 (10th Cir.1990). “Under the abuse of discretion standard, a trial court’s decision will not be disturbed unless the appellate court has a definite and firm conviction that the lower court has made a clear error of judgment or exceeded the bounds of permissible choice in the circumstances.” Id. (quoting United States v. Ortiz, 804 F.2d 1161, 1164 n. 2 (10th Cir.1986)). Here, it is uncontested that six of twelve jurors were exposed to external information about the case in contravention of court instructions. “A rebuttable presumption of prejudice arises whenever a jury is exposed to external information in contravention of a district court’s instructions.” United States v. Davis, 60 F.3d 1479, 1484-85 (10th Cir.1995) (citations and internal quotation marks omitted). This presumption is not conclusive. See id. However, it is the government’s burden to establish that such contact was harmless. See id. In assessing harmlessness, we first examine the external information to which the jurors were exposed. Next, we consider whether the prejudice caused by that information was outweighed by the judge’s curative instructions, see United States v. Filani, 74 F.3d 378, 386 (2d Cir.1996) (considering the effect of the court’s curative instructions but concluding that they could not cure prejudice); United States v. Cisneros, 491 F.2d 1068, 1075-76 (5th Cir. 1974) (same), or by the jurors’ assurances that they remained impartial, see United States v. Angiulo, 897 F.2d 1169, 1186 (1st Cir.1990) (relying on jurors’ statements of continued impartiality). Finally, we examine the record as a whole, asking whether the evidence of the defendant’s guilt was overwhelming, such that the jurors’ exposure to the external information was ultimately harmless. In this case, the allegedly prejudicial information to which the jurors were exposed was the trial judge’s assessment of Mr. Chanthadara’s defense. The nature of that information — the presiding authority’s evaluation of evidence that the jury was required to independently evaluate — raises serious concerns. The Supreme Court has recognized that “[t]he influence of the trial judge on the jury is necessarily and properly of great weight and his lightest word or intimation is received with deference, and may prove controlling.” Quercia v. United States, 289 U.S. 466, 470, 53 S.Ct. 698, 77 L.Ed. 1321 (1933) (internal quotation marks omitted); see also United States v. Williams, 809 F.2d 1072, 1086 (5th Cir.1987) (“[A] trial judge has enormous influence on the jury and therefore must act with a corresponding responsibility.”); United States v. Brandom, 479 F.2d 830, 834 (8th Cir.1973) (“The trial court commands the attention and respect of the jury. Great care must be exercised so as to avoid the appearance of advocacy for a particular party.”) (internal quotation marks omitted); United States v. Marion, 477 F.2d 330, 332 (6th Cir.1973) (“A jury composed of laymen will be greatly influenced by a judge’s opinion of credibility.”); United States v. Womack, 454 F.2d 1337, 1343 (5th Cir.1972) (“It is well known, as a matter of judicial notice, that juries are highly sensitive to every utterance by the trial judge, the trial arbiter, and that some comments may be so highly prejudicial that even a strong admonition by the judge to the jury, that they are not bound by the judge’s views, will not cure the error.”). In light of their potential influence upon the jury, the law places certain restrictions upon statements made by judges about evidence and arguments when jurors are present. Although federal judges may comment on the evidence, they “should not become an advocate and argue the case for either side.” Filará, 74 F.3d at 385. If a judge does express an opinion about the facts, he or she must explain to the jurors that it is their responsibility to arrive at an independent determination of those facts and that they owe absolutely no deference to the judge’s assessment. See id. “The point should never be reached where it appears to the jury that the judge believes the accused is guilty.” Id. This circuit has applied these principles to conclude that a trial judge’s statements deprived the defendant of a fair trial. In Davis v. United States, 227 F.2d 568 (10th Cir.1955), the judge gave the jury the following instruction: I feel also it is my duty to state to you that a lot of people don’t realize what a heinous crime it is to fool with drugs and defendant might not realize it when he did, but it is a crime. I think you should consider the fact within your knowledge of the ease or the difficulty of proving a transaction of the crime charged. I feel obligated to say to you that under this evidence, I am of the opinion, beyond a reasonable doubt, that the defendant did commit the act as charged, and I say that so that in the event you come to the same conclusion, you will know that I am of the same opinion, and at the time I say it, I don’t take away from you at all your sole right as the judges of the facts, and if you don’t agree with me it is your duty to follow your own conscience, and if you did, I am inclined to believe it would put a reasonable doubt in my mind, but I feel from my experience I have a duty in this kind of a case to so express an opinion and I have done it, and at the same time I caution you to use your own judgment and not put any greater weight on it than it should have. If you have a reasonable doubt as to the guilt of this defendant, it would be your duty to acquit him. Id. at 569 (emphasis added). Noting that the judge’s power to comment on the evidence “should be exercised cautiously and only in exceptional cases” and that the crucial facts were disputed, we held that the defendant was entitled to a new trial. Id. at 570. We reached a similar conclusion in McBride v. United States, 314 F.2d 75, 76 (10th Cir.1963). There, the judge concluded his instructions to the jury with an assessment of the evidence: Now at this point I should like to say, as the third member or thirteenth member of the jury, that this is a rather simple case. The facts are clear in my mind that this little corporation was organized but for one purpose, and that is to use the mails and to defraud people, little people, out of money. ... I can’t help but believe that [the accused’s defense of good faith is not true ].... Now I don’t know. He says that he did it in good faith and that he was employed and that he worked as an employee, that he reported these things in order that somebody might, the company might make these loans. I can’t help but believe that the accused here knew well when he started out that he was going to make a commission and whether or not he ever saw those poor people or not made little or no difference to him. My views are that it’s pretty serious business when we permit the people to use our mails and take advantage of our people. Now what I have said to you is simply my views and you must disregard it. I have nothing to say except that I can make the remarks as I have; but you must disregard what I have said about this case. You are the sole jurors of this case. You must pass upon this evidence yourself, so I am asking you to disregard what I have said to you with reference to my views. Disregard it completely. Do not consider anything I have said to you. Id. (emphasis added). Interpreting these comments as “a statement of the court that the accused was guilty,” we reversed the conviction and remanded for a new trial. Id. at 77. Other circuits have taken a similar approach. See, e.g., Filani, 74 F.3d at 385-87 (reversing conviction when the judge’s extensive cross-examination of the defendant and his repeated interference with defense counsel’s cross-examinations gave the jury “a powerful impression that the district court agreed with the government that the defendant was guilty of the crime charged”); United States v. Diharce-Estrada, 526 F.2d 637, 642 (5th Cir.1976) (reversing conviction after judge denied the defendant’s motion for judgment of acquittal in the presence of the jury). But see United States v. Hester, 140 F.3d 753, 758 (8th Cir.1998) (concluding that the trial judge’s sua sponte ruling on the admissibility of coconspirator evidence before the jury, which included a statement that the evidence was sufficient to find by a preponderance of the evidence that the defendant was a member of the charged conspiracy, did not warrant a new trial); United States v. Martin, 740 F.2d 1352, 1357 (6th Cir.1984), appeal after remand, 757 F.2d 770 (6th Cir.1985) (concluding that judge’s remark at bench conference that the defendant was guilty, overheard by one juror, did not constitute plain error). In the instant case, the judge’s statements resemble the statements of the judges in Davis and McBride in important respects. The characterization of Mr. Chanthadara’s defense as a “smoke screen” directly concerns the dispositive issue before the jury, whether he committed the charged crimes. Significantly, the headline to which the jurors were exposed could be reasonably interpreted as not limited to a particular contention but to Mr. Chanthadara’s defense generally. Cf. United States v. Hardwell, 80 F.3d 1471, 1493 (10th Cir.1996) (holding the trial court’s comments on the evidence were not prejudicial because “although they may have attacked counsel’s integrity, they did not indicate a belief in the defendants’ guilt”); Williams, 809 F.2d at 1092-93 (considering a newspaper article’s “effect on [the defendant’s] legal defenses” and concluding the court erred in failing to voir dire the jury regarding possible exposure because the content of the article was such that it “place[d] the judge’s official imprimatur on the credibility of [the government witness’s] testimony” and, therefore, “raise[d] serious questions of possible prejudice”). The judge’s reference to the “defense story [as a] ‘a smoke screen’ ” could be reasonably viewed by the jurors as condemning a variety of arguments offered by Mr. Chanthadara. Cf. United States v. Jaynes, 75 F.3d 1493, 1503 (10th Cir.1996) (noting that, although common law tradition allows the trial judge to comment on the evidence, “[t]he court’s comments on the evidence should not mislead or be one-sided.”). With regard to the effect of the curative instructions, however, there is a difference between this case and' Davis and McBride. In Davis, even though the judge reminded the jurors that they had an obligation to reach an independent determination as to the defendant’s guilt, he also told them in the same sentence that it was his duty to state that he thought the defendant was guilty. See Davis, 227 F.2d at 569. Moreover, in stating his opinion, the judge referred to his experience, thus suggesting that the jurors should give weight to his views. See id. Similarly, in McBride, the admonishment to the jury not to take the judge’s views into account was substantially undercut by the boldness of those views, as well as the fact that he prefaced his remarks by identifying himself as the “thirteenth member of the jury.” McBride, 314 F.2d at 76. In contrast, in this case, the court went to some lengths to cure any prejudice resulting from the jurors’ exposure. As noted above, the court gave thorough and immediate instructions informing the jury that its decision should be based solely on the evidence presented at trial. Unlike the judges in Davis and McBride, the judge here informed the jury that it should not interpret the article as an expression of his opinion about the case. At issue, then, is whether these curative measures effectively eradicated the prejudice presumed from the jurors’ external exposure. Generally, we assume that jurors follow the judge’s instructions. See United States v. Powell, 469 U.S. 57, 66, 105 S.Ct. 471, 83 L.Ed.2d 461 (1984) (“Jurors ... take an oath to follow the law as charged, and they are expected to follow it.”). Nevertheless, in some instances, instructions are insufficient to cure the prejudice resulting from extraneous information received by jurors. See, e.g., United States v. Saenz, 134 F.3d 697, 713 (5th Cir.1998) (stating that “[s]ome comments [by the trial judge] may be so prejudicial that even good instructions will not cure the error”); Filani, 74 F.3d at 386 (concluding that curative instructions to the jury stating that they could decide what version to believe as sole judges of credibility did not cure the prejudice resulting from the judge’s extensive questioning of witnesses); Cisneros, 491 F.2d at 1075-76 (holding that the trial judge’s negative comments on the credibility of a key witness “were simply too harmful to be cured by the other instructions given to the jury”); United States v. Hoker, 483 F.2d 359, 368 (5th Cir.1973) (holding that “[n]o amount of boiler plate instructions to the jury — not to draw any inferences as to the judge’s feelings about the facts from his asking questions, or that they are free to disregard factual comment by the judge, or as to the presumption of innocence— could be expected to erase from a jury’s mind the part taken in this trial by the district judge,” who extensively cross-examined the defendant). In our view, the district court’s curative instructions, although commendably detailed and promptly given, were insufficient to overcome the prejudice caused by its sweeping denunciation of Mr. Chantha-dara’s defense. When spoken by the official vested with the power of the United States government and controlling the trial, the vivid, memorable “smoke screen” characterization is the sort of comment that a reasonable juror, even though properly instructed and acting in good faith, would find extremely difficult to disregard. The assurances of the individual jurors that the judge’s statement would not affect their deliberations do not alter this conclusion. Compare United States v. Williams, 568 F.2d 464, 471 (5th Cir.1978) (concluding that, when determining jury bias, individual assurances in response to the judge’s voir dire regarding exposure to publicity may be considered but are not controlling), and Waldorf v. Shuta, 3 F.3d 705, 711 (3d Cir.1993) (“Recognizing that the effect of exposure to extrajudicial, collateral information on a juror’s deliberations may be substantial even though it is not perceived by the juror himself and recognizing that a juror’s good faith may not be sufficient to counter this effect, courts have concluded that such assurances from jurors may not be adequate to eliminate the harm done by exposure to prejudicial information, including news reports.”); with United States v. Angiulo, 897 F.2d 1169, 1186 (1st Cir.1990) (relying on juror’s statement of continued impartiality when articles to which jurors were exposed were not prejudicial), and United States v. Butler, 822 F.2d 1191, 1196 (D.C.Cir.1987) (concluding that a juror’s statement that an improper contact would have no bearing was reliable when the contact was “innocuous”). Nonetheless, the prejudice presumed, even if not cured by subsequent instructions and juror assurances of impartiality, may be proven harmless if the government can establish there was overwhelming evidence of the defendant’s guilt. See Davis, 60 F.3d at 1485 (“[T]he most common means of demonstrating the harmlessness of an extraneous contact is to show the existence of overwhelming evidence of the defendant’s guilt.”) (internal quotation marks omitted). Accordingly, we must examine the record to determine whether the evidence presented by the government comports with this high standard. In one count, Mr. Chanthadara was charged with violating 18 U.S.C. § 924(j)(l), which requires proof that he “caused the death of the victim while using a firearm to commit a crime of violence.” In this regard, it is significant that he was also charged, pursuant to 18 U.S.C. § 2, with aiding and abetting the commission of a § 924(J)(1) violation. Thus, the jury was not required to find that Mr. Chanthadara himself killed Mrs. Sun. Instead, it could convict Mr. Chanthadara under an aiding and abetting theory if someone else committed the crime but he “1. [k]new that the crime charged was to be committed ... 2. [k]nowingly did some act for purpose of aiding ... the commission of the crime; and 3. [a]cted with the intention of causing the crime charged to be committed.” Add’m to Aplt. Br., doc. J, at Jury Instr. 23. Moreover, one is guilty under 18 U.S.C. § 924(j)(l) if, during the course of a violation of § 924(c), he causes the death of a person through the use of a firearm and if that killing constituted a murder as defined in 18 U.S.C. § 1111. Mrs. Sun was killed during the course of a robbery. This killing constitutes a felony murder under § 1111(a). “We have interpreted § 1111(a) and the felony murder doctrine to mean that a person who commits a dangerous felony, such as a robbery, ‘is guilty of murder if a death occurs during the commission of [the] felony.’ ” Nguyen, 155 F.3d at 1225 (quoting Montoya v. United States Parole Comm’n, 908 F.2d 635, 638 (10th Cir. 1990)). “[B]ecause § 924(j) incorporates § 1111 and its felony murder doctrine, a principal can violate § 924(j) even absent a specific intent to kill.” United States v. Kayarath, 962 F.Supp. 1399, 1402 (D.Kan. 1997). Therefore, “[i]t follows that aiding and abetting does not require such an intent and that, like a principal, an aider and abettor can be liable for murder based upon his intent to commit robbery if a co-participant in the robbery causes the death of the victim through the use of a firearm.” Id.; see also Nguyen, 155 F.3d at 1225 (concluding that, to convict a defendant of aiding and abetting a § 924(j)(l) violation, the government need only prove he “intended to commit the robbery and that a killing occurred in the course of that robbery” and that “no additional proof of state of mind is necessary”). Thus, pursuant to the principles of aiding and abetting and the felony murder doctrine, we consider the strength of the evidence establishing Mr. Chanthadara willfully participated in a robbery during which a killing occurred. Upon review of the record, we conclude that the government’s evidence was overwhelming. Several witnesses recalled hearing Mr. Chanthadara discuss a robbery during the party at Mr. Nampheng-sone’s duplex on the night the Mandarin Chinese Restaurant robbery took place. One of these witnesses specifically overheard Mr. Chanthadara arguing with Mr. Nguyen over who was going to hold the gun. Another witness claimed to see Mr. Chanthadara handling a gun at the party as well. Others testified they observed Mr. Chanthadara leave the party with Mr. Nguyen, Mr. Namphengsone, and Mr. Kayarath just prior to the robbery. The four men returned with a gun, a pile of money, and a cellular phone that had not previously been seen at the party. Mr. Sun testified that approximately $200 and a cellular phone were taken from the restaurant during the robbery. In addition to witness testimony, investigators located a palm print in the restaurant following the robbery and identified it as Mr. Chanthadara’s. Cf. Jones v. Hoffman, 86 F.3d 46, 47-48 (2d Cir. 1996) (concluding there was “ample evidence” to support the conclusion that the defendant aided and abetted the robbery, and therefore could be found liable for felony murder, where defendant met his co-defendants at a party on the night of the robbery murder, all three were armed, he accompanied his co-defendants after being explicitly advised of their plans to rob someone and steal a ear, and defendant’s palm print whs found .at crime scene on the fender of a car near the victim’s body). At the very least, the government established from all of this evidence that Mr. Chanthadara aided and abetted a robbery during which a killing occurred. See, e.g., Chaney v. Brown, 730 F.2d 1334, 1350 (10th Cir.1984) (holding that an error arising from undisclosed evidence inferring defendant did not commit the murders was harmless because, in light of aiding and abetting theory and felony murder doctrine, the defendant’s conviction for first-degree murder was supported by overwhelming circumstantial evidence establishing he participated at least as an aider and abettor in the kidnapping, in the course of which the victim’s murder occurred). Mr. Chanthadara was also charged with violating 18 U.S.C. § 1951(a), commonly knowm as the Hobbs Act. Section 1951(a) provides, in relevant part, that “[wjhoever in any way or degree obstructs, delays, or affects commerce or the movement of any article or commodity in commerce, by robbery” shall be guilty of an offense against the United States. Mr. Chanthadara was additionally charged under 18 U.S.C. § 2 with aiding and abetting a Hobbs Act violation. Because we have already concluded there existed overwhelming evidence that Mr. Chanthadara aided and abetted the robbery, we must proceed to consider whether there was overwhelming evidence that the robbery of the Mandarin Chinese Restaurant affected interstate commerce “in any way or degree.” 18 U.S.C. § 1951(a). In Nguyen, we reiterated that a violation of the Hobbs Act requires proof of only a de minimis effect on interstate commerce. We have held that a depletion of assets potentially affecting interstate commerce constitutes a sufficient nexus to interstate commerce under the Hobbs Act. To establish this de minimis effect on interstate commerce the government must show that the crime depleted the assets of a business engaged in interstate commerce, thereby curtailing the victim’s potential as a purchaser of goods. Nguyen, 155 F.3d at 1228 (emphasis added); see also United States v. Zeigler, 19 F.3d 486, 495 (10th Cir.1994) (“The Hobbs Act’s jurisdictional predicate can be satisfied if a mere de minimis effect on interstate commerce is shown.”). We further held that the jury could consider Mrs. Sun’s death and the money stolen from her purse in assessing the effect on interstate commerce. See id. at 1227. Mr. Chanthadara does not dispute that approximately seven percent of the Mandarin restaurant’s total expenses was comprised of out-of-state food purchases and that the restaurant’s revenues included those generated through the use of interstate credit cards. He also does not dispute that, following the robbery, the police ordered the restaurant to be closed for twenty-two days for investigation. Both Mr. Sun and the FBI’s accounting expert testified that the restaurant’s revenues and interstate purchases dropped markedly after the robbery, causing the previously profitable business to close five months after it re-opened. Mr. Chanthadara concedes “the lengthy police closure order and the decision of some people to dine elsewhere may have had an eventual impact on the restaurant’s level of out of state purchasing.” Aplt’s Br. at 78. Because the government only needed to prove the robbery had a de minimis effect on interstate commerce, we conclude there was overwhelming evidence establishing this element of the crime. See United States v. Balsam, 203 F.3d 72, 89 (1st Cir.2000) (erroneous instruction on Hobbs Act count was harmless where defendant did not dispute overwhelming evidence establishing businesses at issue sold goods that moved in interstate commerce). Thus, the evidence supporting both of Mr. Chanthadara’s convictions was overwhelming. Accordingly, the jurors’ exposure to the judge’s smoke screen comment was harmless beyond a reasonable doubt as to Mr. Chanthadara’s convictions. 2. Jencks Act John Massey, a fingerprint expert employed by the FBI, identified the palm print found on the broken glass from the display case in the restaurant as Mr. Chanthadara’s. After Mr. Massey testified, the defense moved pursuant to the Jencks Act for production of all transcripts in the government’s possession of Mr. Massey’s prior expert testimony. The Assistant United States Attorney stated that he had “no transcripts of [Mr. Massey’s] testimony in any other trial in any other district during any of [Mr. Massey’s] tenure as an expert.” Rec. vol. 41, at 2348. The district court denied the motion. Under the Jencks Act, “[a]fter a witness called by the United States has testified on direct examination, the court shall, on motion of the defendant, order the United States to produce any statement ... of the witness in the possession of the United States which relates to the subject matter as to which the witness has testified.” 18 U.S.C. § 3500(b). “Violations of the Jencks Act are subject to harmless error analysis.” United States v. Woodlee, 136 F.3d 1399, 1412 (10th Cir.1998). “The hope is that these statements will afford the defense a basis for effective cross-examination of government witnesses and the possible impeachment of their testimony without overly burdening the government with a duty to disclose all of its investigative material.” United States v. Johnson, 200 F.3d 529, 534 (7th Cir.2000). Mr. Chanthadara cites no authority for his contention that prior trial testimony of an expert witness is Jencks material. Several circuits have held that prior trial testimony is not within the scope of the Jencks Act because the witness statements contained therein are a matter of public record rather than being secreted within the government’s files. See United States v. Albanese, 195 F.3d 389, 393 (8th Cir.1999) (“[The government witness] gave his prior testimony at a public proceeding, so the government’s failure to turn over a transcript of prior testimony violated neither [Brady v. Maryland, 373 U.S. 83, 83 S.Ct. 1194, 10 L.Ed.2d 215 (1963),] nor the Jencks Act”); United States v. Jones, 160 F.3d 473, 479 n. 5 (8th Cir.1998) (stating that matters of public record are “not within the scope of the Jencks Act”); United States v. Chen, 131 F.3d 375, 378 (4th Cir.1997) (holding government’s failure to provide defendants with transcript copy of witness’s prior testimony in juvenile proceeding did not violate Jencks Act because government did not have custody of transcript of sealed juvenile proceedings); United States v. Isgro, 974 F.2d 1091, 1095 (9th Cir.1992) (holding that “trial testimony is not within the scope of the Jencks Act”); United States v. Hensel, 699 F.2d 18, 39-40 (1st Cir.1983) (stating that “a transcript of a witness’s testimony in a prior trial does not come within the language of the Jencks Act”); United States v. Lurz, 666 F.2d 69, 79 (4th Cir.1981) (concluding no Jencks violation by the government where the defendant was unable to obtain a transcript of a government witness’s prior testimony because the transcript was in the possession of the court reporter, who is not an agent of the government); United States v. Harris, 542 F.2d 1283, 1293 (7th Cir.1976) (“[A] transcript of a witness’s testimony in a prior trial is not within the Jencks Act.”); United States v. Munroe, 421 F.2d 644, 645 (5th Cir.1970) (same). In accordance with the reasoning of our sister circuits, we similarly conclude transcripts of prior testimony are not Jencks material. As a result, the district court did not err in finding Mr. Chanthadara was not entitled under the Jencks Act to transcripts of all of Mr. Massey’s prior testimony. 3. Vienna Convention Mr. Chanthadara is a Laotian national. Laos and the United States are both parties to the Vienna Convention on Consular Relations, a treaty signed under the authority of the United States. Article 36 of the Vienna Convention provides: [I]f he so requests, the competent authorities of the receiving State shall, without delay, inform the consular post of the sending State if, within its consular district, a national of that State is arrested or committed to prison or to custody pending trial or is detained in any other manner. Any communication addressed to the consular post by the person arrested, in prison, custody, or detention shall also be forwarded by said authorities without delay. The aid authorities shall inform the person concerned without delay of his rights under this sub-paragraph. Vienna Convention on Consular Relations, April 24, 1963, 21 U.S.T. 77, 101 T.I.A.S. No. 6820. Mr. Chanthadara argued in a post-trial motion that the failure to notify him of his rights under this Article, and the failure to notify the Laotian consulate, violated the Vienna Convention and therefore constituted reversible error. Because he did not raise this issue until, after his trial, we review for plain error. See Fed.R.Crim.P. 52(b). The government contends Mr. Chantha-dara does not have standing to raise this issue. It asserts the Vienna Convention gives rights and duties to the party nations, but not the individuals affected. In support of its argument, the government cites Breard v. Greene, 523 U.S. 371, 118 S.Ct. 1352, 140 L.Ed.2d 529 (1998), for the proposition that “neither the text nor the history of the Vienna Convention clearly provides a foreign nation a private right of action in the United States’ courts to set aside a criminal conviction and sentence for a violation of consular notification provisions.” Id. at 1356 (emphasis added). In Breard, the Supreme Court refused to grant habeas relief when the Paraguayan government sought to stay the execution of a Paraguayan national. The government also suggests the absence of clear textual support in the Convention for an individual right establishes that no such right exists. Contrary to the government’s position, the Supreme Court in Breard “treated the issue of whether the provision creates any judicially enforceable rights as an open question, stating ... that the Vienna Convention ‘arguably’ creates individual rights.” United States v. Lomberar-Camorlinga, 206 F.3d 882, 885 (9th Cir.2000) (en banc) (citing Breard, 118 S.Ct. at 1355). In our view, it is neither appropriate nor necessary to decide this unresolved issue under the facts presented here. See id. at 886 (“[Ajssuming that some judicial remedies are available for the violation of Article 36, the exclusion in a criminal prosecution of evidence obtained as the result of post-arrest interrogation is not among them.”); United States v. Li, 206 F.3d 56, 60 (1st Cir.2000) (“holding] that irrespective of whether or not the [Vienna Convention] ereate[s] individual rights to consular, notification, the appropriate remedies do not include suppression of evidence or dismissal of the indictment”). Even presuming the Vienna Convention creates individually enforceable rights, Mr. Chanthadara has not demonstrated that denial of such rights caused him prejudice. Mr. Chanthadara lived in the United States since he was six years old. He has not lived in Laos since he was three. He speaks fluent English and has indicated no link to Laos other than technical citizenship. As the district court noted, Mr. Chanthadara never requested officials to contact the Laotian consulate. See United Slates v. Ademaj, 170 F.3d 58, 67 (1st Cir.), cert, denied, 528 U.S. 887, 120 S.Ct. 206, 145 L.Ed.2d 173 (1999) (rejecting Fifth Amendment due process claim, based on violation of Vienna Convention, on plain error review because appellant had not shown prejudice due to the alleged violation). Therefore, he cannot establish plain error in the district court’s denial of his post-trial motion for acquittal on this ground. 4. The Kansas Jury-Selection System Mr. Chanthadara asserts the jury-selection system in the District of Kansas systematically excludes blacks and Hispanics from the jury pool in violation of the Sixth Amendment and the Jury Selection and Service Act of 1968, 28 U.S.C. § 1861-78. This court has recently rejected a nearly identical challenge to the same jury-selection system. See United States v. Shinault, 147 F.3d 1266, 1270-73 (10th Cir.), cert. denied, 525 U.S. 988, 119 S.Ct. 459, 142 L.Ed.2d 411 (1998). We review the factual findings of the district court for clear error, and the court’s legal determination of whether a prima facie violation was established de novo. See id. at 1271. The District of Kansas creates its Master Jury Wheel, from which potential jurors will be randomly selected, from actual voter lists. Blacks account for 7.90% of the over-seventeen population of the district. Yet in the Master Jury Wheel blacks account for 4.67%. Thus, there is an absolute disparity between the over-seventeen black population and the black representation in the Jury Wheel of 3.23%. Hispanics account for 2.74% of the over-seventeen population in the district, and for 1.14% of the jury wheel. The absolute disparity between the over-seventeen Hispanic population and Hispanic representation on the Jury Wheel is 1.60%. In order to establish a prima facie violation of the Sixth Amendment fail cross-section requirement, the defendant must show: (1) that the group alleged to be excluded is a “distinctive” group in the community; (2) that the representation of this group in venires from which juries are selected is not fair and reasonable in relation to the number of such persons in the community; and (3) that this underrepresentation is due to systematic exclusion of the group in the jury-selection process. Duren v. Missouri, 439 U.S. 357, 364, 99 S.Ct. 664, 58 L.Ed.2d 579 (1979). The government concedes, as it did in Shi-nault, that the first requirement is met— blacks and Hispanics each are distinctive groups in the community. As to the second requirement, the government argues Mr. Chanthadara has not shown that blacks and Hispanics were sufficiently under-represented to establish a prima facie violation. “In this circuit, absolute disparity ... is the starting place for all other modes of comparison.” Shinault, 147 F.3d at 1273 (quotation omitted). “Absolute disparity measures the difference between the percentage of the group in the general population and its percentage in [the group qualified for jury service].” Id. at 1272. Yet absolute disparities are of a limited value when considering small populations. See id. at 1273 (noting that “even the complete exclusion of the groups would result in absolute disparities of less than 6%”). Comparative disparities present similar problems. They assess the “decreased likelihood that members of an underrepresented group will be called for jury service, in contrast to what their presence in the community suggests it should be.” Id. at 1272. Comparative disparities are determined “by dividing the absolute disparity of the group by that group’s percentage in the general population.” Id. “While these numbers may be more indicative of a Sixth Amendment violation, they too are distorted by the small population of the different minority groups.” Id. The importance of the comparative disparity figure, therefore, is directly proportional to the size of the group relative to the larger community. We must consider both absolute and comparative disparities to determine whether a violation has occurred. The Shinault court determined that comparative disparities of 59.84, 50.09, and 48.63% failed to establish a prima facie violation where the groups in question comprised 1.27, 5.11, and 2.92% of the population, respectively. In the present case, Mr. Chanthadara presents evidence that blacks, who account for 7.9% of the district’s population, have a comparative disparity of 40.89%, while Hispanics, who make up 2.74% of the district’s population, have a comparative disparity of 58.39%. These proportions of relative group size and comparative disparity here do not establish a prima facie violation. But see LaRoche v. Perrin, 718 F.2d 500, 502-03 (1st Cir.1983) (prima facie violation established where comparative disparity was 68.22% and group comprised 38.4% of population), overruled on other grounds by Barber v. Ponte, 772 F.2d 982 (1st Cir.1985). Finally, Mr. Chanthadara argues the further calculus of standard deviations, not presented in Shinault, should establish a prima facie violation. Standard deviations are not helpful in this ease. Here, such calculations merely represent a manipulation of the same numbers that we have held were not sufficient to establish a prima facie violation of the Sixth Amendment. Shinault is controlling. Therefore, the district court did not err in denying Mr. Chanthadara’s motion to dismiss and quash the petit jury venire on this ground. 5. Jury Instructions a. Second-Degree Murder Instruction Mr. Chanthadara argues that the district court erred in refusing to give a lesser included offense instruction for second-degree murder. His argument requires us to determine whether, under federal law, second-degree murder is a lesser included offense of felony murder, the crime with which Mr. Chanthadara was charged. We engage in de novo review of that legal question. See United States v. Duran, 127 F.3d 911, 914 (10th Cir.1997). This circuit has established a four-part test to determine whether a lesser included offense instruction is warranted: [A] lesser included offense instruction is to be given when [1] there is a proper request for one; [2] the lesser included offense consists of some, but not all, the elements of the offense charged; [3] proof of the element or elements differentiating the lesser and greater offenses is a matter in dispute; and [4] a jury could rationally convict on the lesser offense and acquit on the greater offense. United States v. Abeyta, 27 F.3d 470, 473 (10th Cir.1994); see also Beck v. Alabama, 447 U.S. 625, 635, 100 S.Ct. 2382, 65 L.Ed.2d 392 (1980) (“In the federal courts, it has long been ‘beyond dispute that the defendant is entitled to an instruction on a lesser included offense if the evidence would permit a jury rationally to find him guilty of the lesser offense and acquit him of the greater.’ ” quoting Keeble v. United States, 412 U.S. 205, 208, 93 S.Ct. 1993, 36 L.Ed.2d 844 (1973)). As to the second inquiry, the Supreme Court has held that “one offense is not ‘necessarily included’ in another unless the elements of the lesser offense are a subset of the elements of the charged offense.” Schmuck v. United States, 489 U.S. 705, 716, 109 S.Ct. 1443, 103 L.Ed.2d 734 (1989). To be a “subset” of the greater offense, “the lesser [offense] must be such that it is impossible to commit the greater without first having committed the lesser.’ ” Id. at 719, 109 S.Ct. 1443 (quoting Giles v. United States, 144 F.2d 860, 861 (9th Cir.1944) (internal quotation marks omitted)). Accordingly, when “the lesser offense requires an element not required for the greater offense, no instruction is to be given.” Id. at 716, 109 S.Ct. 1443. In this case, count 2 of the indictment charged Mr. Chanthadara with use of a firearm during a crime of violence under circumstances constituting first-degree murder as defined in 18 U.S.C. § 1111(a). See Add’m to Aplt. Br., doc. A; 18 U.S.C. §§ 924(c)(1), 924(j)(l). The government chose to proceed under a felony murder theory to first-degree murder under § 1111(a), which includes in the definition of first-degree murder “every murder ... committed in the perpetration of ... robbery.” Therefore, the jury was instructed that, in order to convict Mr. Chanthadara on Count 2, it had to find the following elements beyond a reasonable doubt: (1) the defendant robbed the restaurant, as charged in count one; (2) the defendant knowingly used or carried a firearm during and in relation to the robbery; (3) during the robbery, the defendant directly caused the death of Mrs. Sun by use of the firearm; (4) the killing was murder, “that is, the unlawful killing of a human being with malice aforethought.” See Aplt. Add’m at J, Guilt Phase Jury Instruction No. 17. In contrast to first-degree felony murder, second-degree murder requires the government to prove: (1) the unlawful killing of a human being, and (2) malice aforethought. See United States v. Pearson, 203 F.3d 1243, 1271 (10th Cir.2000). Mr. Chanthadara thus argues that second-degree murder is a lesser included offense of felony murder because it consists of some, but not all, of the same elements. Under a literal reading of the federal statute, “malice aforethought” is an element of every type of murder. See 18 U.S.C. § 1111(a) (stating generally that “murder is the unlawful killing of a human being with malice aforethought”). However, the meaning of “malice aforethought” differs with respect to each kind of murder. Because the malice aforethought required for second-degree murder is different in kind, as opposed to degree, than the malice required for felony murder, we cannot conclude that second-degree murder is necessarily subsumed by felony murder. As to first degree felony murder, “to prove the ‘malice aforethought’ element ..., the prosecution only need show commission of the specified felony.” United States v. Pearson, 159 F.3d 480, 485 (10th Cir.1998); see also Pearson, 203 F.3d 1243, 1271 (10th Cir.2000); Nguyen, 155 F.3d at 1225-26. Because malice aforethought is proved by commission of the felony, there is no actual intent requirement with respect to the homicide. In contrast, the “malice aforethought” that must be established for second-degree murder requires proof of malice with respect to the homicide. “Second-degree murder’s malice aforethought element is satisfied by: (1) intent-to-kill without the added ingredients of premeditation and deliberation; (2) intent to do serious bodily injury; (3) a depraved-heart; or (4) commission of a felony when the crime does not fall under the first-degree murder paragraph of § 1111(a).” See Pearson, 203 F.3d at 1271. In light of this difference in the meaning of “malice aforethought” in felony murder and second-degree murder, “the lesser offense [second-degree murder] requires an element not required for the greater offense [felony murder].” See Schmuck, 489 U.S. at 716, 109 S.Ct. 1443. The only case of which we are aware that specifically addresses whether second-degree murder is a lesser included offense of felony murder under § 1111(a) is United States v. Chischilly, 30 F.3d 1144, 1159-60 (9th Cir.1994). Applying the elements test adopted in Schmuck, the Ninth Circuit concluded: Unlike second-degree murder, conviction for felony murder under 18 U.S.C. § 1111 requires the commission of an enumerated felony with the requisite mens rea for the underlying offense. Obversely, second-degree murder requires proof that defendant acted with malice aforethought, whereas under a felony murder charge the commission of the underlying offense substitutes for malice aforethought. Therefore, the elements of second-degree murder are not a subset of the elements of first-degree felony murder, for “each offense requires proof of an element that the other does not.” Id. (quoting Whalen v. United States, 445 U.S. 684, 693 n. 7, 100 S.Ct. 1432, 63 L.Ed.2d 715 (1980)). Although our decision in Franks v. Alford, 820 F.2d 345 (10th Cir.1987) does not concern the federal murder statutes, its reasoning supports the Ninth Circuit’s view in Chischilly. There, we held that, in downgrading a felony murder conviction under state law, the Oklahoma Court of Criminal Appeals had proceeded under the erroneous assumption that second-degree murder was a lesser included offense of first-degree felony murder. Noting that second-degree murder under Oklahoma law requires proof of depraved mind, we stated that “[second degree] murder is not a lesser included offense of felony murder because it requires proof of a mental state that felony murder does not.” Id. at 347. That principle applies with force here. Just as under Oklahoma law, second-degree murder under federal law requires proof of malice towards the homicide whereas felony murder does not. The fact that the Oklahoma felony murder statute states that the death may occur “regardless of malice” does not make the reasoning of Franks inapplicable. Regardless of the differences in wording between the Oklahoma felony murder statute and felony murder under 18 U.S.C. § 1111(a), both statutes “permit[ ] a conviction for murder when a death occurs in connection with a defendant’s commission of an underlying felony[,]” and “[t]he defendant’s state of mind with respect to the death is irrelevant.” Id. at 347. For these reasons we hold that second-degree murder is not a lesser included offense of felony murder under § 1111(a). See Chischilly, 30 F.3d at 1159-60; cf. Franks, 820 F.2d at 347. Accordingly, Mr. Chanthadara was not entitled to an instruction on second-degree murder. b. Malice Instruction Mr. Chanthadara also challenges the court’s instruction on malice, arguing that it set a lesser standard than required by the applicable law. In defining “malice aforethought,” the court instructed the jury it would be present if there was intent to kill or if the killing “results from the commission of a robbery.” See Add’m to Aplt. Br., doc. J, Guilt Phase Jury Instruction No. 19. The district court’s instruction comports with well-established Tenth Circuit law as well as the common law of felony murder. See Pearson, 159 F.3d at 485 (“ ‘[M]alice aforethought’ is a term of art which has several definitions, including, in the felony murder context, proof of commission of the specified felony.”) (citing Wayne R. LaFave & Austin W. Scott, Jr., Criminal Law §§ 7.1(a), 7.5(e)-(h) (2d ed.1986)). Therefore, the jury instruction defining malice aforethought was not erroneous. c. Hobbs Act Instructions Mr. Chanthadara further challenges his conviction on grounds that the jury instructions on the interstate element required for a Hobbs Act violation were erroneous. We review the legal correctness of these instructions de novo and refusal to deliver a particular instruction for abuse of discretion. See United, States v. Voss, 82 F.3d 1521 (10th Cir.1996). Mr. Chanthadara first challenges the instruction stating that the element is satisfied when interstate commerce is “actually or potentially delayed, obstructed, or affected in any way or degree.” Add’m to Aplt’s Br., doc. J, Guilt Phase Jury Instruction No. 11. He maintains that this instruction improperly allows a conviction for a Hobbs Act violation for acts beyond Congress’ Commerce Clause power to regulate. We have expressly rejected this argument. See United States v. Bolton, 68 F.3d 396, 399 (10th Cir.1995); Nguyen, 155 F.3d at 1226-27. Absent an intervening change in the law, which is not present in this case, or en banc review, we cannot review the judgment of another panel of this court. See In re Smith, 10 F.3d 723, 724 (10th Cir.1993). Mr. Chanthadara further argues the reference to a “potential” effect on interstate commerce in the instruction would be permissible only if the government had pursued a conviction under an attempt theory, which it did not. This argument is also precluded by Nguyen. See Nguyen 155 F.3d at 1228 n. 3 (“Defendant’s argument that the use of the potential or probable language is limited to extor