Full opinion text
HARTZ, Circuit Judge. Introduction. Defendant Koteswara Attaluri was president of Allied Environmental Services (Allied), which was hired to take petroleum-impacted wastewater from several Department of Defense installations and dispose of it properly. Allied employed Overholt Trucking, owned by Defendant DeWayne “Mac” Overholt, to perform hauling incident to the project. The gist of the charges against Defendants is that they unlawfully injected the wastewater into disposal wells and tried to cover up their crimes. Allied, Attaluri, and Overholt were convicted under 18 U.S.C. § 371 on a charge that they entered into a conspiracy with five objects: (1) improperly disposing of petroleum-impacted wastewater, in violation of the Safe Drinking Water Act (SDWA), 42 U.S.C. §§ 300h, et seq.; (2) transporting hazardous wastes without a manifest, in violation of the Resource Conservation and Recovery Act (RCRA), 42 U.S.C. § 6928(d)(1); (3) using the mails in the commission of a fraud, in violation of 18 U.S.C. § 1341; (4) using interstate wire communications in the commission of a fraud, in violation of 18 U.S.C. § 1343; and (5) defrauding the United States by obstructing the lawful environmental protection functions of the Environmental Protection Agency (EPA) and the Department of Defense. In five special verdicts, the jury found that they conspired to commit each of the alleged objects of the conspiracy. All three were also convicted of a substantive count of mail fraud. In addition, Overholt was convicted on two counts of discharging a pollutant into United States waters, in violation of the Clean Water Act (CWA), 33 U.S.C. §§ 1311(a), 1319(c)(2)(A); one count of illegally transporting hazardous waste, in violation of the RCRA; and one count of making false statements to the federal government in the course of an investigation, in violation of 18 U.S.C. § 1001. Although Allied and Attaluri were also charged on the two CWA counts, they were acquitted. Co-defendant Gary Bicknell, an Allied employee, was acquitted of all charges against him. Attaluri was sentenced to a 55-month prison term; Overholt received an 87-month sentence. Each was ordered to pay restitution of $1,265,078. Attaluri and Overholt raise numerous issues on appeal. (Allied did not appeal.) Attaluri claims that the jury instructions (1) did not accurately set forth the law regarding what wastes could be injected into the disposal wells used by Defendants, (2) misled the jury regarding what constitutes hazardous waste, and (3) improperly indicated that the offense of defrauding the United States did not require an intent to deceive. He also claims he was entitled to instructions that (4) the SDWA imposes criminal sanctions only on those who know the law they are violating and (5) the SDWA does not impose criminal penalties for violations committed in good faith ignorance of the law. In addition, Attaluri raises several challenges to the sufficiency of the evidence to support his conspiracy and mail fraud convictions; and Overholt challenges the sufficiency of the evidence to support any of his convictions except making false statements. Both Defendants also claim various errors regarding their sentences. Attaluri contends on several grounds that the restitution award was improper and excessive, and complains that the district court did not set a payment schedule. He also contests two factors used to enhance his sentence under the United States Sentencing Guidelines, contending that the district court miscalculated the loss from fraud when applying U.S.S.G. § 2F1.1 and should not have applied U.S.S.G. § 2Q1.2(b)(l)(A), because the waste was not discharged into the environment and did not contaminate the environment. Overholt contends that the district court improperly enhanced his sentence under U.S.S.G. § 3Bl.l(a) for his role as an “organizer or leader of a criminal activity” and improperly considered two misdemeanors when determining his criminal history category. Attaluri and Overholt appealed separately. We heard oral argument on Atta-luri’s appeal but, at the request of both the Government and Overholt, no oral argument was held in his case. Nevertheless, we consolidate these cases because of the overlap of facts and issues. We have jurisdiction under 28 U.S.C. § 1291. We reverse the mail fraud convictions and affirm all other convictions. We also affirm the sentences, except that we remand to the district court to set a payment schedule for restitution by Attaluri. I. Background. We begin with the factual background. Additional evidence will be described as needed in the discussion of the specific issues on appeal. The Defendants’ Businesses and Disposal Wells. In 1994 Allied successfully bid to become a subcontractor on four Department of Defense contracts for the removal of underground petroleum storage tanks (USTs) at various military sites throughout the Midwest. The primary contractor would unearth the UST and rinse out any remaining oil sludge or chemical residue. Allied was responsible for hauling the rinsewater to its treatment facility at Bonner Springs, Kansas, where it was to remove any refined petroleum product (which it could sell) and properly dispose of the treated wastewater. Allied hired independent trucking companies to fulfill its hauling needs. Over-holt Trucking was hired from November 1994 to May 1995. Although Allied made representations to the government contractors that it would haul wastewater from Bonner Springs to publicly owned wastewater treatment facilities, Overholt truckers were often instructed to inject untreated wastewater into disposal wells in Oklahoma. On some occasions Overholt truckers picked up the wastewater from tanks at Bonner Springs. At other times they would arrive at Bonner Springs and simply pick up loads directly from other trucks coming in from the government sites. And at still other times, they would go to the government sites themselves, pick up the rinsewater, and proceed directly to a disposal well, bypassing Bonner Springs altogether. Overholt acted to conceal his company’s use of the disposal wells by instructing his drivers to falsify bills of lading to misrepresent the origin and characteristics of the loads and by telling drivers to use the disposal wells at night. The well owners eventually refused admittance to Overholt’s drivers because of Overholt’s delinquencies in paying disposal fees and their suspicions that his drivers were dumping illegal wastes. As an alternative, Overholt used the Peko tank battery, a collection of a dozen above-ground oil storage tanks (OSTs) near Drumright, Oklahoma. Despite never receiving permission to use the tanks, Overholt began instructing his drivers to dump truckloads of wastewater there. In addition to hauling, Overholt had a side-business trading in “burner fuel,” a combustible product made from petroleum-based waste. Overholt would treat sludge built up in the bottom of OSTs with a chemical thinning agent, pump out the resulting “blended oil tank bottom” burner fuel, and sell it for use in industrial furnaces. The Hillside Dump. On December 31, 1994, one of Overholt’s drivers, Bob Fleming, transported a truckload of wastewater from a military site to Oklahoma for dumping in a disposal well. When he arrived at the well, Fleming was unable to empty the truck’s contents because the cold weather had frozen its exit valve. Fleming drove the truck to Over-holt’s property and left it there, explaining the situation to Overholt. Overholt attempted to fix the valve by beating on it with a hammer. The frozen valve broke, and the truck’s contents started spilling down the adjacent hillside. Overholt waited for the spill to abate and replaced the valve. He finished his work around 4:00 a.m. and went to bed. Early the next morning a neighbor of Overholt’s awoke to find that the adjacent creek contained a black, smelly substance that gave off a “real forceful, pungent odor,” and stung his eyes and nose. The neighbor called the local deputy sheriff and the Army Corps of Engineers to investigate. The spill was traced to the hill abutting Overholt’s property, where a wide trail of dead vegetation led up the hill to Overholt’s tanker truck, still parked in his yard. When Overholt arose that morning, he found the investigators on his property. While repeatedly disclaiming responsibility for the spill, he offered to clean it up and proceeded to vacuum the waste out of the creek. As soon as the investigators left, the neighbor observed Overholt dumping the pollutants back into the creek. Four to five days after the spill, the neighbor drove to Lake Keystone at the end of the creek and observed oil collecting on the shore. No further investigation into this incident was conducted. The Carburetor-Cleaner Incident and Subsequent Investigation. In the conduct of his burner fuel business, Overholt sometimes used as a thinner a carburetor cleaner containing ortho-dichlorobenzene, a chlorinated solvent listed as a hazardous material under EPA regulations. See 40 C.F.R. § 261.33(f), Hazardous Waste No. U070 (1,2 dichloro-benzene). On May 9, 1995, an Overholt driver hauled a large quantity of the carburetor cleaner to Bonner Springs and put it into one of the tanks to help extract the sludge. With some carburetor cleaner still in his truck, the driver then loaded the contents from another Bonner Springs tank and took it to Peko. Later that day an Oklahoma Corporation Commission field inspector was driving past Peko when he noticed a tanker truck parked next to one of the tanks. Because he thought Peko had been abandoned, he decided to investigate. He saw a man next to the cab of the tanker truck, covered in open sores, working diligently to shovel dirt over a 10-foot puddle of a clear liquid that smelled like carburetor cleaner. The man said the liquid was oil. The inspector told the man that it was not oil and asked who owned it. The man said that he did not know. Frustrated with the man’s stonewalling, the inspector copied down the tanker’s license plate number and continued on his rounds. After the license check revealed that the truck was Overholt’s, the Oklahoma Department of Environmental Quality (ODEQ) launched an investigation. On May 12, ODEQ investigators first stopped at Peko, where vapor readings from the tanks’ hatches indicated the presence of organic solvents. The investigation team then proceeded to Overholt’s residence, where they noticed that one of the two tanker trucks parked there bore the license tag reported three days earlier. Ov-erholt told the investigators he was hauling gas, oil, and diesel fuel for Allied, and that he was going to use these materials to make burner fuel. He stated that the tanker with the reported license tag contained burner fuel. Although at first he said the other tanker was empty, he then said it contained diesel fuel. As an investigator was taking samples, however, Over-holt volunteered that he didn’t know what would be in the oil because “you know how the government is.” On May 15 an ODEQ investigator contacted Attaluri to inquire about Allied’s business relationship with Overholt Trucking. She asked him to provide documentation relating to that relationship. Two days later another ODEQ investigator followed up on the document request. Atta-luri agreed to fax the requested documents that day, but no fax was sent. That same day Attaluri telephoned Overholt’s residence and Overholt then telephoned one of his drivers to ask him to prepare a number of false, back-dated bills of lading indicating that he had hauled burner fuel from Bonner Springs to Peko every Wednesday between March 1,1995, and April 26, 1995. The driver complied. The Attaluri residence received a call from Overholt’s residence that evening. The next day Over-holt mailed the falsified bills of lading to Attaluri. On May 19 an ODEQ investigative team performed tests that revealed ortho-diehlo-robenzene contamination at Peko and at Overholt’s residence. The ODEQ executed a search warrant for Overholt’s residence on June 22. Additional soil samples confirmed the presence of ortho-dichloro-benzene. Six days later, investigators from the ODEQ and the Department of Defense interviewed Overholt at his home. Overholt told them that he had deposited 20 to 30 drums of carburetor cleaner into the two small OSTs on his property and that his drivers had taken some to Peko to clean out the tank bottoms there. The investigators told Overholt that the tanks contained ortho-dichlorobenzene, a hazardous material, and that he should not blend or otherwise dispose of anything in his tanker trucks or in the tanks on his property. When asked about the dead vegetation on his property and the appearance of a spill or a chemical dump, Overholt denied having knowledge of any chemical spills or dumps on his property. Immediately thereafter, Overholt called Industrial Oil Service, a waste-oil hauling company not licensed to carry hazardous materials, and made arrangements to empty the OSTs on his property. When the driver arrived two days later, he told Over-holt that he suspected the fluid in the OSTs was a solvent. Overholt insisted that it was diesel fuel. Before leaving, the driver required Overholt to sign a shipping manifest certifying that the tanker truck did not contain any hazardous wastes. An ODEQ investigator further questioned Overholt on July 25. Overholt admitted to previously letting rinsewater from his trucks run down the hillside but stated that he would release only five to ten gallons a week, and claimed that he had not done so in over a year. Shortly thereafter, he admitted he would occasionally release hundreds of gallons of rinse-water at a time. The investigator then asked Overholt about the status of the ortho-dichlorobenzene that he had been told not to move. After initially responding that it was still there, he stated that it might not be. He explained that he had hired an oil recycler to pick up some oil from a red tank on his property, but because he was not present when the driver arrived, the company might have taken waste from the tanker truck containing the ortho-dichlorobenzene. On November 15, 1995, an EPA investigative team obtained a warrant to search Allied’s office. They found a file folder containing a copy of the applicable federal regulations for disposal wells. They also found near Attaluri’s desk an envelope containing the false bills of lading prepared by Overholt’s driver. The envelope was postmarked from Oklahoma on May 18, 1995, addressed to Allied, with Over-holt and his wife listed on the return sticker. Attaluri told the investigators that Overholt was transporting usable oil, which he was free to process into burner fuel for himself. He said that the waste from this process was to be “deep-welled,” and that there were no hazardous wastes in anything Overholt was hauling. II. Challenges to the Convictions. A. The Conspiracy Count. Attaluri and Overholt were both convicted of a conspiracy having five objects. The jury returned a general verdict of guilty of the conspiracy, and in five special verdicts stated that the Defendants conspired to achieve each of the alleged objects. Most of Defendants’ challenges to the conspiracy conviction relate to fewer than all the objects of the conspiracy— usually only one. As a result, we need not address every challenge. The conviction can be upheld if we find no error regarding the conviction as to any one of the conspiratorial objects. See United States v. McNutt, 908 F.2d 561, 565 (10th Cir.1990) (upholding defendant’s two-object conspiracy conviction when one of the charged objects was not a substantive violation of federal law, but the jury indicated by special verdict that it convicted on both objects). At the same time, however, we note that the sentencing determinations challenged by Attaluri relate to more than one object of the conspiracy. The challenged restitution award is predicated on conduct related to defrauding the government. One of the challenges to the enhancement of his sentence also relates to the commission of fraud against the government, but a second challenge relates to the improper injection of wastes into disposal wells. We therefore will address his challenges with respect to those two alleged objects of the conspiracy, but we need not address other challenges to the verdict on the conspiracy count. 1. Violation of SDWA. a. Class II Disposal Wells. Attaluri’s first challenge concerns the allegation that he conspired to inject a nonpermitted liquid waste into a Class II disposal well. He argues that the injection was lawful under the governing regulations issued by the Oklahoma Corporation Commission. We reject the argument because the Oklahoma regulations are no more permissive than the federal law on which the jury was instructed. Before addressing Attaluri’s contentions, we review the pertinent provisions of the SDWA. The SDWA established a federally mandated, state-administered regulatory scheme for the protection of natural sources of drinking water. See HRI, Inc. v. E.P.A., 198 F.3d 1224, 1282 (10th Cir.2000). The Act delegates primary enforcement responsibility to the states. Each state was required to submit for approval by the EPA an “underground injection control program” designed “to assure that underground injection will not endanger drinking water sources.” 42 U.S.C. § 300h-1(a)-(b). If the EPA did not approve a program, it was to fashion regulations applicable to the state. 42 U.S.C. § 300h-1(c). All state programs must meet the EPA minimum requirements published in the Code of Federal Regulations. 42 U.S.C. § 300h(a), (b). The EPA regulations divide underground injection wells into five classes, each defined by what may be injected into wells of that class. 40 C.F.R. § 144.6. The regulations establish minimum construction and maintenance standards for each class. 40 C.F.R. pt. 146. This case involves “Class II” wells, which are “[wjells which inject fluids: (1) Which are brought to the surface in connection with natural gas storage operations, or conventional oil or natural gas production and may be commingled with waste waters from gas plants which are an integral part of production operations, unless those waters are classified as a hazardous waste at the time of injection. (2) For enhanced recovery of oil or natural gas; and (3) For storage of hydrocarbons which are liquid at standard temperature and pressure.” 40 C.F.R. § 144.6(b). Oklahoma’s application for primary enforcement power over Class II wells was approved on December 2, 1981. See 40 C.F.R. § 147.1851. Oklahoma’s program delegates regulatory authority over Class II wells to the Oklahoma Corporation Commission (OCC). Id. The OCC regulations divide wells into four categories: (1) enhanced recovery injection wells, (2) disposal wells, (3) storage wells, and (4) simultaneous injection wells. Okla. Admin. Code [OAC] 165:10-5-1. Each category is a type of Class II well. Only the second category, “disposal wells,” is at issue in this case. “A disposal well is a well which injects, for purposes other than enhanced recovery, those fluids brought to the surface in connection with oil or natural gas production.” OAC 165:10-5-1(2). The SDWA provides criminal penalties for willful violation “of an applicable underground injection control program.” 42 U.S.C. § 300h-2(b). The Act defines “applicable underground injection control program” as “the program (or most recent amendment thereof) (1) which has been adopted by the State and which has been approved [by the EPA] under subsection (b) of this section....” 42 U.S.C. § 300h-1(d). Attaluri correctly contends that the .Oklahoma regulatory scheme is the “applicable underground injection control program” in this case. He further contends, however, that the Oklahoma program allows the allegedly unlawful injections by Defendants. In particular, he contends that the injection wells Overholt used were “commercial disposal wells,” which, in his view, could properly accept the injected chemicals. Attaluri’s brief-in-chief asserts (incorrectly, as we shall point out) that the following definition appears in the Oklahoma regulations at OAC 165:10-1-2: “Commercial disposal well” is one that: (a) is operated primarily for profit from the disposal of saltwater and/or other deleterious substances for a fee; and (b) disposes of saltwater and other deleterious substances transported by truck to the facilities used in conjunction with said disposal well or is a disposal well for which none of its owners is an owner in any of the oil and gas wells which produce the saltwater and/or other deleterious substances which will be disposed into said disposal well. Because the chemicals that a commercial disposal well may accept include “deleterious substances,” Attaluri infers that such a well can accept all deleterious substances. “[Djeleterious substances” are defined as “[a]ny chemical, salt water, oil field brine, waste oil, waste emulsified oil, basic sediment, mud, or injurious substance produced or used in the drilling, development, production, transportation, refining, and processing of oil, gas and/or brine mining.” OAC 165:10-1-2. Attaluri notes that Allied was in the business of recycling used oil, and that the Oklahoma regulations define “recycling” as “the reuse, processing, reclaiming, treating, neutralizing, or refining of materials and by-products into a product of beneficial use which, if discarded, would be deleterious substances.” OAC 165:10-1-2 (emphasis added). He concludes that because Allied was an oil recycler, the byproducts of the business were deleterious substances, which, by definition, could be injected into a commercial disposal well. Based on this argument, Attaluri challenges the following jury instruction given at trial: With reference to the conspiracy charged in Count 1, you are instructed that the government claims in Count 1 at page 7 that the defendants ... conspired to violate or cause to be violated Title 42, United States Code, section 300h-2(b)(2), which provides that: Any person who violates any requirement of an applicable underground injection control program ... if such violation is willful, such person ... shall be guilty of an offense against the laws of the United States. The applicable underground injection control program the government claims were violated are: Title 40, Code of Federal Regulations, Part 144.11, which provides: Any underground injection, except into a well authorized by rule or except as authorized by permit ... is prohibited. And, Title 40, Code of Federal Regulations, Part 144.6(b)(1), which provides that Class II injection wells are classified as follows: Wells which inject fluids ... Which are brought to the surface in connection with natural gas storage operations, or conventional oil or natural gas production and may be commingled with waste waters from gas plants which are an integral part of production operations, unless those waters are classified as a hazardous waste at the time of injection. He argues that the instruction improperly refers to federal regulations rather than to Oklahoma law, which he contends was less restrictive, and that the district court should have given the following tendered instruction: The government has alleged that the defendants conspired to commit the crime of Wilful Injection of Liquid Waste Into a Class II Disposal Well without authority. The government must prove as to each defendant that he intended to break this law by agreeing to commit the following four (4) essential elements beyond a reasonable doubt: (1) Injected or caused to be injected (2) A non-permitted liquid waste (3) Into a Class II disposal well in Oklahoma (4) Without authority from the Oklahoma Corporation Commission The defendant must have wilfully agreed to commit each of the elements of the offense, [emphasis added] Before addressing Attaluri’s arguments, we note the standard of review. The argument on appeal was not raised below. Attaluri points to nothing in the record, nor have we found anything, indicating an objection by any defendant to the instruction given by the court. As for the proposed instruction, it does not suggest that the Oklahoma regulations are more permissive than the federal regulations. Nor have we been directed to, or found, any indication in the record that anyone so argued in district court. Therefore, we review for plain error. See United States v. Fabiano, 169 F.3d 1299, 1302-03 (10th Cir.1999) (failure to object to a given instruction, even when the defendant offers his own instruction, does not put the district court “clearly on notice as to the asserted inadequacy,” and thus plain-error review is appropriate). Following Johnson v. United States, 520 U.S. 461, 466-67, 117 S.Ct. 1544, 137 L.Ed.2d 718 (1997), we have held: Under [the plain-error] standard, [the appellant] must show: (1) an error, (2) that is plain, which means clear or obvious under current law, and (3) that affects substantial rights. If these three requirements are met, then we may exercise discretion to correct the error if it seriously affects the fairness, integrity, or public reputation of judicial proceedings. Id. at 1303 (internal quotation marks, citation, and brackets in original omitted). The district court’s instruction defined the “applicable underground injection control program” as the prohibitions mandated in the EPA regulations, and it specifically incorporated the definition of a Class II well as expressing what could legally be injected into the wells at issue in this case. The given instruction informed the jury that Defendants violated the law if they injected into these wells anything but “fluids ... [w]hich are brought to the surface in connection with natural gas storage operations, or conventional oil or natural gas production and may be commingled with wastewaters from gas plants which are an integral part of production operations, unless those waters are classified as a hazardous waste at the time of injection.” Although it may have been preferable for the instruction to refer to the Oklahoma regulations, the instruction did not mislead the jury because, as we now explain, the substantive standard set forth in the instruction conforms to the Oklahoma regulations. As previously stated, the Oklahoma regulation defines a “disposal well” as “a well which injects, for purposes other than enhanced recovery, those fluids brought to the surface in connection with oil or natural gas production.” OAC 165:10-5-1(2). Comparing this definition to the definition of a Class II well in the jury instruction, it is clear that nothing can be injected into a disposal well that cannot be injected into a Class II well. In fact, Class II is a broader category of wells than disposal wells. We are not persuaded by Attaluri’s claim that a different result must follow because the wells here are “commercial disposal wells.” Attaluri fails to recognize that commercial disposal wells are a subclass of disposal wells. The actual definition of “commercial disposal wells” in the Oklahoma regulations (not the misquote in Attaluri’s brief-in-chief) is: “Commercial disposal well” means a disposal well which: (A) Is operated primarily for profit from the disposal of salt water and/or other deleterious substances for a fee; and (B) Disposes of salt water and/or other deleterious substances transported by truck to the facilities used in conjunction with said disposal well or is a disposal well for which none of its owners is an owner in any of the oil and gas wells which produce the salt water and/or other deleterious substances which will be disposed into said disposal well. OAC 165:10-1-2 (emphasis added). (Atta-luri’s misquote replaced “a disposal well” by “one,” an alteration that could lead to the misconstruction that a commercial disposal well is not necessarily a disposal well.) The reference to “deleterious substances” in the definition of “commercial disposal well” does not imply that such a well can accept all deleterious substances. Because the well is a disposal well, it can accept only those deleterious substances that can be accepted by disposal wells. A disposal well can accept “fluids brought to the surface in connection with oil or natural gas production ....” OAC 165:10-5-1(2). These fluids may well contain deleterious substances, as recognized by subpart (B) of the definition of “commercial disposal well,” which speaks of “a disposal well for which none of its owners is an owner in any of the oil and gas wells which produce the salt water and/or other deleterious substances which will be disposed into said disposal well.” OAC 165:10-1-2 (emphasis added). But only deleterious substances from oil or gas production are permitted to be injected. Our construction of the Oklahoma regulations is based on the natural reading of the language. Moreover, we would be loath to adopt an interpretation of the Oklahoma regulations that, as with Attalu-ri’s interpretation, would make them more permissive than the minimum requirements set by the EPA, which all state programs are obliged to satisfy. Thus, we find no plain error in the jury instruction setting forth what substances could be injected into the wells at issue. Finally, we note that Attaluri devotes several pages of his brief-in-chief to a discussion of United States v. Lewis, No. CR-99-50-B, a case from the United States District Court for the Eastern District of Oklahoma. The defendant in Lewis was also prosecuted on a charge of improperly disposing of fluids down a commercial disposal well. The district court in that case dismissed the charge, apparently adopting the view Attaluri urges here regarding what substances are permitted to be injected into such wells in Oklahoma. Because this court is not bound by that decision, see Abeyta ex rel. Martinez v. Chama Valley Indep. Sch. Dist., No. 19, 77 F.3d 1253, 1257 (10th Cir.1996), we have not reviewed the transcript of that trial (attached as part of the appendix to Attaluri’s brief-in-chief) to determine whether the facts distinguish that ease from this one. See also Boone v. Carlsbad Bancorporation, Inc., 972 F.2d 1545, 1549 n. 1 (10th Cir.1992) (court of appeals will not review documents not before the district court). To the extent that the reasoning of that court is persuasive, Attaluri was, of course, free to present that reasoning on this appeal. Otherwise, that decision has no bearing here. b. Jury Instruction on Willfulness. In defining the alleged conspiratorial object of violating the SDWA, the district court’s instruction to the jury stated: Any person who violates any requirement of an applicable underground injection control program ... if such violation is willful, such person ... shall be guilty of an offense against the laws of the United States. (emphasis added). Attaluri claims that the district court improperly instructed the jury on the meaning of “willful.” The jury instruction given at trial states that an act was committed “willfully” if it “was committed voluntarily and purposefully, with the specific intent to do something the law forbids; that is with bad purpose either to disobey or disregard the law.” Attaluri submitted an instruction that reads: “To commit a crime willfully requires knowledge of the reporting or permit requirement and a specific intent to commit the crime, i.e., a purpose to disobey the law.” In other words, Attaluri would require that the government prove not only that he acted “with bad purpose either to disobey the law or disregard the law,” but also that he knew the specific provision of the law he violated. The Supreme Court’s jurisprudence concerning the state of mind required for a criminal offense does not provide the clearest of guidance in construing criminal statutes. See generally Note, Mens Rea in Federal Criminal Law, 111 Harv. L.Rev. 2402 (1998). In particular, the word “willfully” has been interpreted to have different meanings in different statutes. See Spies v. United States, 317 U.S. 492, 497, 63 S.Ct. 364, 87 L.Ed. 418 (1943) (“willful ... is a word of many meanings”). Attaluri would have us apply the definition of the term adopted in Ratzlaf v. United States, 510 U.S. 135, 114 S.Ct. 655, 126 L.Ed.2d 615 (1994). In that case, Ratzlaf needed to pay a $160,000 gambling debt to a Nevada casino. Id. at 137, 114 S.Ct. 655. He planned to make a $100,000 cash payment, but a casino official informed him that federal and state law would require the casino to report any cash payment exceeding $10,000. Id. The official and others suggested that Ratzlaf could pay the debt without triggering the reporting requirements if he used his cash to obtain cashiers checks of $10,000 or less from a variety of banks. Id. Ratzlaf did so, after the casino supplied a limousine to take him to the banks. Id. Ratzlaf was charged under 31 U.S.C. §§ 5322(a) and 5324(3) for violating the Currency and Foreign Transactions Reporting Act by willfully structuring a transaction to evade the Act’s reporting requirements. Id. The Supreme Court held that the statutory requirement of willfulness required proof that the defendant knew that his conduct was unlawful. Id. at 145-49, 114 S.Ct. 655. It was not enough to know the reporting requirement and intend to circumvent it by structuring the transaction into sub-$10,000 transactions; the defendant must also have known that the law prohibited such structuring. Id. Attaluri states: “The opinion in Ratzlaf expressed concern that persons engaged in ‘small businesses’ conducting activities ‘not inevitably nefarious’ could unintentionally become criminally liable for violating ‘the complex of provisions’ in which currency structuring laws ‘are embedded.’ This rationale applies to this case.” Reply Br. at 13-14 (citation and miscitation omitted). He proceeds to argue that environmental regulations are now more complex than the tax laws and that the government’s interpretation of willfulness would impose an improper risk on all people — from truckers to warehousemen to clerks — who “have anything to do with environmental related activities.” Id. at 15. We reject Attaluri’s argument. He reads too much into Ratzlaf and fails to distinguish contrary authority. First, Rat-zlaf must be understood in light of the specific statutory language involved. Two statutory provisions had to be construed together. Section 5824, which at the time contained no criminal penalty, made it unlawful to structure a transaction “for the purpose of evading a financial institution’s reporting requirement.” Ratzlaf, 510 U.S. at 136, 114 S.Ct. 655. Section 5322 made it a crime to “willfully violat[e]” § 5324 and several other statutory provisions. The Supreme Court stated that the willfulness requirement of § 5322 would be rendered mere surplusage if the only required intent were an intent to evade the reporting requirements, because that intent was already required in § 5324. Id. at 140-41, 114 S.Ct. 655. The Court pointed out that the willfulness requirement of § 5322 had been given content by lower courts with respect to violations of other sections referenced in § 5322, id. at 141-42, 114 S.Ct. 655, and noted the general rule that “[a] term appearing in several places in a statutory text is generally read the same way each time it appears.” Id. at 143, 114 S.Ct. 655. It was in this context that the Court said that it “view[ed] §§ 5322(a) and 5324(3) mindful of the complex of provisions in which they are embedded.” Id. at 141, 114 S.Ct. 655. The Court’s reference to the “complex of provisions” was not, as presented in Attaluri’s brief, a suggestion that it was imposing the strict mens rea requirement because the law governing reporting financial transactions was complex. To be sure, later in the opinion the Ratzlaf Court supported its interpretation of “willfully” by noting that “currency structuring is not inevitably nefarious.” Id. at 144, 114 S.Ct. 655. But that discussion does not assist Attaluri, because his jury (unlike Ratzlaf s, see United States v. Ratzlaf, 976 F.2d 1280, 1282-(9th Cir.1992)) was instructed that he was required to act “with bad purpose either to disobey the law or disregard the law” — which makes the conduct nefarious. Rather than following Ratzlaf, we look to the Supreme Court’s most recent opinion addressing the meaning of willful. In Bryan v. United States, 524 U.S. 184, 118 S.Ct. 1939, 141 L.Ed.2d 197 (1998), the defendant was convicted of willfully dealing in firearms without a federal license and conspiring to do so. Id. at 189, 118 S.Ct. 1939. The jury was instructed: A person acts willfully if he acts intentionally and purposely and with the intent to do something the law forbids, that is, with the bad purpose to disobey or to disregard the law. Now, the person need not be aware of the specific law or rule that his conduct may be violating. But he must act with the intent to do something that the law forbids. Id. at 190, 118 S.Ct. 1939. The Supreme Court endorsed the instruction. It acknowledged Ratzlaf, as well as several tax-evasion cases, such as Cheek v. United States, 498 U.S. 192, 111 S.Ct. 604, 112 L.Ed.2d 617 (1991), which required the jury to “find that the defendant was aware of the specific provision of the tax code that he was charged with violating.” 524 U.S. at 194, 118 S.Ct. 1939. But it distinguished those cases because they “involved highly technical statutes that presented the danger of ensnaring individuals engaged in apparently innocent conduct.” Id. “As a result,” the Court continued, “we held that these statutes ‘carv[e] out an exception to the traditional rule’ that ignorance of the law is no excuse and require that the defendant have knowledge of the law.” Id. at 194-95, 118 S.Ct. 1939 (quoting Cheek, 498 U.S. at 200, 111 S.Ct. 604). Then, in a sentence that applies equally to this case, the Court said, “The danger of convicting individuals engaged in apparently innocent activity that motivated our decisions in the tax cases and Ratzlaf is not present here because the jury found that this petitioner knew that his conduct was unlawful.” Id. at 195, 111 S.Ct. 604. In our view, the charge against Attaluri does not belong within the exception to the rule that ignorance of the law is no excuse. First, as in Bryan itself, the willfulness instruction here eliminated “[tjhe danger of convicting individuals engaged in apparently innocent activity ... because the jury found that [Attaluri] knew that his conduct was unlawful.” Id. at 195, 118 S.Ct. 1939. Moreover, when addressing laws like the SDWA, the Supreme Court has been particularly resistant to requiring proof of knowledge of the law. In United States v. Int’l Minerals & Chem. Corp., 402 U.S. 558, 91 S.Ct. 1697, 29 L.Ed.2d 178 (1971), the charge was that the defendant had shipped sulfuric and hydrofluosilieic acid in interstate commerce but knowingly failed to describe the acids properly on the shipping papers. The Court rejected the argument that the government must prove that the defendant knew the regulation it was accused of violating. The opinion concluded, “[Wjhere ... dangerous or deleterious devices or products or obnoxious waste materials are involved, the probability of regulation is so great that anyone who is aware that he is in possession of them or dealing with them must be presumed to be aware of the regulation.” Id. at 565, 91 S.Ct. 1697. We assume that Attaluri is correct when he asserts that environmental regulations are now the most complex of federal regulations, exceeding even tax regulations. But we strongly doubt that as the federal government has sought to protect the environment by imposing more and more restrictions on those handling dangerous chemicals, Congress has intended to reduce the burden on such persons to inform themselves of what the law requires. In short, we have no reason to believe that the word “willful” in 42 U.S.C. § 300h-2(b)(2) requires proof of knowledge of the regulation allegedly violated. We have no occasion to consider whether less is required than was set forth by the jury instruction in this case. c. Good Faith Instruction. Attaluri requested a “mistake of law” or “good faith” instruction with respect to all objects of the alleged conspiracy. The district court gave a good faith instruction with respect to the allegations of fraud but otherwise refused the request. On appeal Attaluri challenges the failure to instruct on the defense that he in good faith misunderstood the law regarding what liquid waste could be injected into Oklahoma disposal wells. “A defendant is entitled to a good faith instruction when he has interposed the defense of good faith, has requested the instruction, and when there is sufficient evidence to support it.” United States v. Janusz, 135 F.3d 1319, 1322 (10th Cir.1998). We have held that when those conditions are met, a good faith instruction is required, even if an instruction on willfulness has been given. United States v. Hopkins, 744 F.2d 716, 718 (10th Cir.1984) (en banc). On this issue we are an outlier. See United States v. Sirang, 70 F.3d 588, 594 (11th Cir.1995) (comparing the 1st, 4th, 5th, 8th, and 11th Circuits, which do not require a good faith instruction for specific intent crimes, with the 10th Circuit, which does); see also Green v. United States, 474 U.S. 925, 106 S.Ct. 259, 88 L.Ed.2d 266 (1985) (White, J., dissenting from denial of certiorari and noting the circuit split on the issue). We therefore assume that such an instruction would be required here if the factual predicates were present. Attaluri relies on the testimony of several witnesses to support his claim. The evidence, however, establishes only the ivitnesses’ opinions regarding the law, not Attaluri’s. Three of these witnesses described conversations that occurred during the investigation of Overholt’s hillside dump, yet nothing in the record suggests Attaluri ever knew about any of the'conversations. Another witness was a former owner of a Class II well who testified that he generally understood that such wells could accept refined petroleum products, but, contrary to an assertion in Attaluri’s brief, there was no evidence that he communicated his belief to Attaluri. A fifth witness was an Allied employee who stated that she signed bills of lading directing refined petroleum products to be delivered to disposal wells because she thought there was nothing wrong with such disposal. Finally, when Attaluri cites to testimony by an OCC employee who opined that it was difficult to know what could legally be put into a disposal well, he fails to note that the testimony was in a different trial. Absent from Attaluri’s discussion is any evidence that he personally believed that the unlawful injection of chemical wastes into the Oklahoma disposal wells was actually lawful. Thus, he failed to satisfy the final element of the Janusz test and the district court was not required to give a mistake-of-law/good-faith-defense instruction. See Janusz, 135 F.3d at 1322-23. 2. Defrauding the United States. One of the alleged objects of the conspiracy was “to defraud the United States by impeding, impairing, obstructing, and defeating the lawful function of the United States Environmental Protection Agency and the United States Department of Defense.” Attaluri complains that the jury instruction and verdict form could lead the jury to believe that conduct, “even though done honestly or without deceitful purpose, that nevertheless impeded or created difficulties for a government agency, qualified as a federal crime.” Br. at 37. The argument is unfounded. The pertinent jury instruction was as follows: With further reference to the conspiracy charged in Count 1, you are instructed that the government claims the defendants ... also conspired to defraud the United States by impeding, impairing, obstructing, and defeating the lawful functions of the Environmental Protection Agency and the United States Department of Defense to limit environmental contamination, to enforce environmental protection standards and to dispose of military wastes properly. In regard to this allegation, you are instructed that the government must prove beyond a reasonable doubt that the conspiracy had as a purpose to obstruct a lawful function of the government by deceitful or dishonest means and at least one act in furtherance of such purpose was accomplished, [emphasis added] The instruction clearly conveys the requirement of deceit or dishonesty. As for the verdict form, it stated simply: VERDICT FORM # 1 as to KOTESWARA ATTALURI Count 1 NOT GUILTY _ GUILTY If you have found the defendant, KOTESWARA ATTALURI, guilty of Count 1, please indicate whether you unanimously find the defendant conspired to commit: Defrauding the United States by Impeding, Impairing, Obstructing, and Defeating the Lawful Functions of the Environmental Protection Agency or the United States Department of Defense. Yes_ No_ The purpose of the verdict form is not to repeat the elements of the offense. The language on the form serves only to identify where the jury should indicate its verdict on each count or, in the case of the special verdicts, on each alleged object of the conspiracy. The form nowhere indicates the elements of a conspiracy charge, or even names the offenses in the other counts. The jury could not possibly have been misled into believing that it could ignore the elements instruction. As we have stated before: “The instructions submitted to the jury contained the language he argues should have been in the verdict form. The fact that the question on the verdict form does not contain the language the instructions contain is immaterial.” Sanjuan v. IBP, Inc., 160 F.3d 1291, 1301 (10th Cir.1998). 3. Sufficiency of the Evidence. a. Attaluri Challenge. Attaluri challenges the sufficiency of the evidence of fraud against the government if Overholt’s injection of wastes into Class II wells was lawful. Because we affirm that the injection was unlawful and Attalu-ri concedes that such a ruling would moot this challenge, we need not address it further. b. Overholt Challenge. Overholt argues that his conspiracy conviction must be overturned because there was insufficient evidence to prove he knew of the conspiracy’s alleged common goal or objective. Stating that “[t]he conspiracy’s goal was to receive payment from the federal government for services that Allied did not render properly,” Br. at 20, he asserts that he was unaware of Allied’s specific contractual obligations to the government and hence could not have had the goal of defrauding the United States by illegally disposing of the waste. His only interest, he asserts, was to make a profit by transporting the waste wherever Allied instructed. This argument, however, relates to only the “fraud” objects of the alleged conspiracy. He does not challenge the sufficiency of the evidence with respect to the objects of violating the SDWA or RCRA. Therefore, we need not consider the argument’s merits. See McNutt, 908 F.2d at 565. B. Mail Fraud (Overholt and Attalu-ri). To convict of mail fraud, it is necessary to prove a use of the mails. The government relied on Overholt’s mailing of fraudulent bills of lading to Attaluri on May 18, 1995. Defendants contend that this mailing did not satisfy the requirements of the mail fraud statute. Overholt challenges his mail fraud conviction on the ground that there was insufficient evidence to establish that the bills of lading were false or that they were used or intended to be used to defraud anyone. Attaluri claims that he was an innocent recipient of Overholt’s false bills of lading. We review the sufficiency of the evidence de novo. United States v. Hanzlicek, 187 F.3d 1228, 1239 (10th Cir.1999). The test is “whether taking the evidence— both direct and circumstantial, together with the reasonable inferences to be drawn therefrom — in the light most favorable to the government, a reasonable jury could find the defendant guilty beyond a reasonable doubt.” Id. (internal quotation marks omitted). On May 15, 1995, an ODEQ investigator contacted Attaluri to inquire about Allied’s business relationship with Overholt Trucking. She asked Attaluri to provide her with documentation regarding the relationship. Two days later, ODEQ investigator Michael Freeman telephoned Attaluri and asked for “shipping papers of any materials that he had shipped to Mr. Overholt.” Although Attaluri agreed to fax the requested documents to Freeman later in the day, the fax never came. At 3:18 p.m. on the same day, Attaluri telephoned Ov-erholt’s residence. The content of that conversation is unknown. At 5:55 p.m. Overholt telephoned one of his drivers, Bob Fleming. Fleming testified that Ov-erholt “wanted to know if I’d make him up some bills [of lading] for each Wednesday from one certain date to another and put on it burner fuel, because he said the OCC was coming to check his paperwork.” Fleming did so, but testified that “these are fake bill[s] of lading[],” and that he never made the hauls referred to in the documents. At 7:27 that evening Overholt placed a telephone call to the Attaluri residence. The next day, May 18, Overholt mailed the falsified bills of lading to Atta-luri at Allied. When EPA investigators searched Allied’s offices on November 15, 1995, they found the bills of lading on Attaluri’s desk, in a postmarked envelope with Overholt as the return addressee. Fleming’s testimony is sufficient for the jury to find beyond a reasonable doubt that the bills of lading were false and that Overholt had the requisite intent to defraud. Likewise, the timing of the mailing in relation to Freeman’s telephone call to Attaluri, particularly in light of the telephone calls made within a few hours of Freeman’s call, could properly establish that Attaluri was a knowing participant in this part of the scheme to defraud. Nevertheless, we must reverse the convictions for mail fraud. There is no evidence that Defendants ever used the fraudulent bills of lading. Perhaps this is merely fortuitous. Attaluri may have intended to provide them to Freeman or any other ODEQ investigator who followed up on Freeman’s call, but no one followed up. Regardless, the jury was instructed that “[t]he government must prove beyond a reasonable doubt, however, that the use of the mails farthered, or advanced, or carried out, in some way, the scheme or plan to defraud.” Although we are not certain whether the instruction accurately states the law — the mail fraud statute says that the mailing must be “for the purpose of executing such scheme or artifice or attempting so to do,” 18 U.S.C. § 1341 (emphasis added), which suggests that it suffices to have the purpose of advancing the scheme when the mailing occurs, but see United States v. McClain, 934 F.2d 822, 835 (7th Cir.1991) (mail fraud conviction overturned because defendants never used the phony credentials obtained through the mail) — the government has not challenged the instruction at trial or on appeal, so we adopt it as the law of the case. See United States v. Romero, 136 F.3d 1268, 1271-73 (10th Cir.1998). Despite our setting aside the convictions for mail fraud, the sentences are not thereby affected. Elimination of the mail fraud conviction would not change the ultimate offense level under the Sentencing Guidelines for either Defendant. Also, because our setting aside the mail fraud conviction would not compel the sentencing court to change in any way its assessment of the substance of Defendants’ misconduct, we do not think it is a realistic possibility that eliminating the mail fraud conviction would alter the sentencing court’s exercise of discretion in fixing the sentence within the guideline range. C. Discharging Pollutant into Waters of the United States (Over-holt). Overholt contends that there was insufficient evidence to convict him of the alleged Clean Water Act violation because the Government did not prove that the oily substance he dumped down the hillside entered the “waters of the United States.” He does not challenge the definition of “Waters of the United States” in 40 C.F.R. § 122.2, which includes: (c) All other waters such as intrastate lakes, rivers, streams (including intermittent streams) ... or natural ponds the use, degradation, or destruction of which would affect or could affect interstate or foreign commerce including any such waters: (1) Which are or could be used by interstate or foreign travelers for recreational or other purposes; [and] (e) Tributaries of waters identified in paragraphs (a) through (d) of this definition .... Nor does he deny that Keystone Lake, an intrastate body of water, is a “water[ ] of the United States.” Overholt’s argument appears to be simply that there was no evidence that the spill entered the lake. The argument fails on two grounds. First, it was unnecessary for the government to prove that the spill entered the lake. Under the regulation, the creek, too, constituted “Waters of the United States,” because it was a tributary of the lake. See Quivira Mining Co. v. E.P.A., 765 F.2d 126, 129-30 (10th Cir.1985) (noting cases holding that nonnavigable streams are “Waters of the United States” if they are tributaries of navigable waters). Overholt admits that several witnesses testified that the spill entered the creek. Second, there was sufficient evidence for the jury to find that the spill entered Keystone Lake itself. An Overholt neighbor testified that he drove to the end of the creek four or five days after the spill and saw oil collecting on the shores of Keystone Lake. Hence Overholt’s conviction on this count must stand. D. Transporting Hazardous Waste to Facility Without a Permit (Over-holt). The indictment charged Overholt with knowingly causing the transportation of hazardous materials (carburetor cleaner) to a facility that was not permitted to accept them. He argues that there was insufficient evidence to convict him on this count because the Government failed to prove he knew that the facility where he sent the carburetor cleaner lacked a hazardous waste permit. The RCRA provides criminal penalties for “any person who ... knowingly transports or causes to be transported any hazardous waste identified or listed under this subchapter to a facility which does not have a permit under this subchapter .... ” 42 U.S.C. § 6928(d)(1). Although this circuit has not spoken directly on the issue, those courts that have considered the “knowingly” requirement under this statute agree that the Government must show that the defendant knew the facility did not have a hazardous waste permit. See United States v. Speach, 968 F.2d 795, 796 (9th Cir.1992); United States v. Hayes Int’l Corp., 786 F.2d 1499, 1504 (11th Cir.1986). Because the government does not argue otherwise on this appeal, we assume without deciding that the government had to prove that Overholt knew the hazardous waste was being transported to a facility without a permit. ODEQ inspectors told Overholt that his storage tanks contained ortho-dichloroben-zene (a component of the carburetor cleaner) and instructed him not to remove it. Despite the inspectors’ warnings, Overholt promptly arranged to dispose of the hazardous material. He called a trucking company, falsely telling it that he needed 3,000 gallons of diesel fuel hauled away. The trucking company did not have a permit to haul or store hazardous materials. Two days later, when the driver sent to do the job asked Overholt whether the tanks contained some kind of solvent, Overholt insisted that the substance was diesel fuel. Overholt signed a manifest stating that the load contained no hazardous materials. He did not ask anyone at the trucking company whether it carried a hazardous waste permit for its trucks or disposal facility. When Overholt was questioned a month later by an ODEQ investigator about what had happened to the hazardous material, he told a series of lies. The jury could properly find beyond a reasonable doubt that Overholt would have had no reason to engage in his consistent pattern of deceit unless he knew the trucking company lacked a proper permit. See United States v. Self, 2 F.3d 1071, 1088 (10th Cir.1993) (“Certainly, the government may prove a defendant had actual knowledge of a material and operative fact by proving deliberate acts committed by the defendant from which actual knowledge can be logically inferred.”) (internal quotation marks omitted). III. Sentencing Issues. A. Overholt Challenges. 1. Absence of Factual Findings. United States Sentencing Guideline (U.S.S.G.) § 3Bl.l(a) provides for an increase in offense level if the defendant was the “organizer or leader of a criminal activity.” Overholt objects to the application of this provision by the sentencing court because it failed to make specific findings of fact. He relies on Federal Rule of Criminal Procedure 32(c)(1), which states that at the sentencing hearing, “[f] or each matter controverted, the court must make either a finding on the allegation or a determination that no finding is necessary because the controverted matter will not be taken into account in, or will not affect, sentencing.” (Emphasis added). Overholt cannot invoke this rule, however, because he did not properly “controvert” the assertion that he was an organizer or leader. The probation office delivered Overholt’s presentence report (PSR) to him on February 28, 2000. Yet he raised no objections to the PSR until his sentencing hearing on April 11, 2000 — 42 days later. Under Federal Rule of Criminal Procedure 32(b)(6)(B), objections to the PSR must be submitted within 14 days of receipt; the probation office must then submit the PSR, together with an addendum responding to any unresolved objections, at least seven days before the sentencing hearing. Fed. R.Crim.P. 32(b)(6)(C). Because Over-holt’s objections were untimely, the sentencing court could properly proceed as if no objection had been made. The court was entitled to rely upon the PSR without making independent factual findings. See United States v. Hardwell, 80 F.2d 1471, 1500 (10th Cir.1996) (district court not required to hear government’s objections to PSR first raised at sentencing hearing); United States v. Chung, 261 F.3d 536, 538-39 (5th Cir.2001) (district court not required to hear defendant’s objections to PSR first raised at sentencing hearing). 2. Criminal History Calculation. Overholt next challenges the determination of his criminal history category under the Sentencing Guidelines. The sentencing court set the category at level II based on two 1987 misdemeanor convictions in Oklahoma: (1) dispensing nonintoxicating alcoholic beverages without a license and (2) contributing to the delinquency of a minor. Overholt asserts that consideration of these offenses violated the Guidelines. In calculating a defendant’s criminal history category, the sentencing court must consider not only all felonies but also all misdemeanors and petty offenses, except as provided in U.S.S.G. § 4A1.2(c). Section 4A1.2 (c)(1) lists fifteen offenses that “are counted only if (A) the sentence was a term of probation of at least one year or a term of imprisonment of at least thirty days, or (B) the prior offense was similar to an instant offense.” Section 4A1.2 (c)(2) lists six offenses that are never considered: hitchhiking, juvenile status offenses and truancy, loitering, minor traffic infractions, public intoxication, and vagrancy. Any prior offense that is “similar” to a listed offense in either category is also excluded. U.S.S.G. § 4A1.2(c)(l)-(2). Because Overholt failed to raise his challenge in district court, we review only for plain error. United States v. Whitney, 229 F.3d 1296, 1308 (10th Cir.2000). Overholt’s two offen