Full opinion text
Opinion concurring in Part VI filed by Circuit Judge HENDERSON. Opinion concurring in the judgment in Part VII and dissenting from Part VIII filed by Circuit Judge ROGERS. Opinion concurring in part in, and dissenting in part from, Part II filed by Circuit Judge BROWN. PER CURIAM: Table of Contents I. Background 777 II. MEJA Jurisdiction/MEJA Jury Charge 778 A. Jurisdiction 778 B. Jury Charge 784 III. Venue 786 IV. New Trial Motion 789 A. Background 789 B. Analysis 790 V. Sufficiency of the Evidence 792 A. Liberty 792 B. Slatten 795 VI. Vindictive Prosecution 797 A. Background 798 B. Analysis 798 VII. Motion to Sever 801 A. Background 801 B. Hearsay and Its Exceptions 803 VIII. Eighth Amendment 811 A. Proportionality 811 B. Comparable Sentences 816 Nicholas Slatten, Paul Slough, Evan Liberty and Dustin Heard (“defendants”) were contractors with Blackwater Worldwide Security (“Blackwater”), which in 2007 was providing security services to the United States State Department in Iraq. As a result of Baghdad shootings that injured or killed at least 31 Iraqi civilians, Slough, Liberty and Heard were convicted by a jury of voluntary manslaughter, attempted manslaughter and using and discharging a firearm in relation to a crime of violence (or aiding-and-abetting the commission of those crimes); Slatten was convicted of first-degree murder. They now challenge their convictions on jurisdictional, procedural and several substantive grounds. For the following reasons, we hold that the Court has jurisdiction pursuant to the Military Extraterritorial Jurisdiction Act (“MEJA”), 18 U.S.C. §§ 3261 et seq., and that venue in the District of Columbia was proper. We further hold that the district court did not abuse its discretion in denying the defendants’ motion for a new trial based on post-trial statements of a government witness. Regarding the challenges to the sufficiency of the evidence, we hold that the evidence was sufficient as to all except one of Liberty’s attempted manslaughter convictions, and that the evidence was sufficient as to Slatten. We further hold that Slatten’s indictment charging first-degree murder did not constitute vindictive prosecution. The Court concludes, however, that statements made by a co-defendant shortly following the attack, statements asserting that he—not Slatten—fired the first shots on the day in question, were admissible. Accordingly, the Court concludes that the district court abused its discretion in denying Slatten’s motion to sever his trial from that of his co-defendants and therefore vacates his conviction and remands for a new trial. Moreover, the Court concludes that imposition of the mandatory thirty-year minimum under 18 U.S.C. § 924(c), as applied here, violates the Eighth Amendment prohibition against cruel and unusual punishment, a holding from which Judge Rogers dissents. The Court therefore remands for the resentencing of Slough, Liberty and Heard. I. Background On September 16, 2007, a car bomb exploded in Baghdad near a United States diplomat who was under the protection of Blackwater, a private security firm under contract with the State Department. The defendants were members of Blackwater’s Raven 23 team, which was sent to provide secondary support in the effort to evacuate the diplomat. Rather than meeting the primary team at the pre-arranged checkpoint, Raven 23 shift leader Jimmy Watson ignored his orders and directed the team to Nisur Square, a traffic circle in downtown Baghdad that Watson intended to “lock down.” A car bomb had exploded in Nisur Square earlier that year, in response to which Iraqi security had been dramatically increased, with multiple checkpoints at the Square’s entrances for potential threats. The Raven 23 convoy, which consisted of four armored vehicles, came to a stop at the south end of the Square, and together with Iraqi police they brought all traffic to a halt. Two or three minutes later, witnesses heard the “pops” of shots being fired, and a woman screaming for her son. The car that had been hit, a white Kia sedan, had been flagged days earlier by a Blackwater intelligence analyst as a type that might be used as a car bomb. According to the government, the Kia then rolled forward and lightly bumped the vehicle in front of it. The driver’s side of the Kia windshield had a hole in it and was splattered with blood. Two nearby Iraqi police officers approached the Kia on either side, and they saw the driver’s face full of blood, with a bullet wound in the middle of his forehead. One turned back to the convoy, waving his hands to indicate the shooting should stop, while the other made similar gestures as he tried to open the driver’s door. At that point, the vehicle in front of the Kia moved away, causing the Kia to roll forward again. Heavy gunfire erupted from the Raven 28 convoy into the Kia, and the Iraqi officers took cover behind their nearby kiosk. Multiple grenades were fired at the Kia, causing it to catch fire. The Kia passenger was shot and killed. Indiscriminate shooting from the convoy then continued past the Kia, to the south of the Square. Victims were hit as they sought cover or tried to escape, giving rise to the bulk of casualties that day. At some point a Raven 23 member radioed that they were taking incoming fire, but others could not locate any such threat. When the shooting died down, a radio call indicated one of the Raven 23 vehicles had been disabled and needed to be hooked up to another vehicle to be towed. During the hook-up, a member of the Raven 23 convoy saw an Iraqi shot in the stomach while his hands were up, by an unidentified Black-water guard who had exited his vehicle. Once the hook-up was complete, the Raven 23 convoy began moving slowly around the circle and north out of the Square, where isolated shootings continued both to the west and north. By the time the convoy finally exited the Square, at least thirty-one Iraqi civilians had been killed or wounded. In the immediate aftermath of the shootings, the State Department conducted mandatory de-briefing interviews of the Raven 23 team. Because the testimony of certain witnesses before the grand jury relied on those statements, the district court dismissed the case as tainted as to all defendants. United States v. Slough, 677 F.Supp.2d 112, 166 (D.D.C. 2009) (citing Kastigar v. United States, 406 U.S. 441, 92 S.Ct. 1653, 32 L.Ed.2d 212 (1972)). This Court agreed that the oral and written statements that resulted from the debriefings were compelled, and thus could not be used directly or indirectly by the government against the defendants who made them, but remanded the case for a more individualized analysis of the effect of the taint. United States v. Slough, 641 F.3d 544, 548, 554-55 (D.C. Cir. 2011). On remand, the government used a new prosecutorial team and convened a new grand jury, which returned indictments against the defendants for voluntary manslaughter, attempted manslaughter and using and discharging a firearm in relation to a crime of violence. Slatten moved to dismiss the charges against him as time-barred, which this Court ultimately granted by writ of mandamus. In re Slatten, No. 14-3007 (D.C. Cir. Apr. 18, 2014). The government thereafter obtained an indictment charging Slatten with first-degree murder. The defendants were tried jointly in the summer of 2014, and after seven weeks of deliberation, the jury returned guilty verdicts on all counts except three. The district court sentenced Slatten to life imprisonment, and it sentenced Slough, Liberty and Heard to the mandatory term of imprisonment of thirty years for their convictions under 18 U.S.C. § 924(c), plus one day on all of the remaining counts. II. MEJA Jurisdiction/MEJA Jury Charge We begin with the defendants’ challenges to the applicability of MEJA. The defendants argue that they are entitled to acquittal on all counts because MEJA does not authorize their prosecution. Alternatively, even if their actions do fit within MEJA’s scope, the defendants maintain that the jury was erroneously instructed regarding MEJA. On both claims, we disagree. A. Jurisdiction 1. History Historically, civilians accompanying American armed forces overseas were subject to military court-martial for crimes committed in a host country. See Reid v. Covert, 354 U.S. 1, 3-4, 77 S.Ct. 1222, 1 L.Ed.2d 1148 (1957) (plurality op.). In a pair of opinions, however, the United States Supreme Court put an end to that practice, deeming it unconstitutional because the courts-martial failed to provide civilians with certain constitutional rights guaranteed by the Fifth and Sixth Amendments. Id. at 5, 77 S.Ct. 1222 (“[W]e reject the idea that when the United States acts against citizens abroad it can do so free of the Bill of Rights.”); Kinsella v. Singleton, 361 U.S. 234, 249, 80 S.Ct. 297, 4 L.Ed.2d 268 (1960) (civilian defendant “is protected by the specific provisions of Article III and the Fifth and Sixth Amendments and ... her prosecution and conviction by court-martial [was] not constitutionally permissible”). Thereafter, many crimes committed by civilians overseas fell into a jurisdictional vacuum as generally our country’s criminal statutes do not apply extraterritorially and, “[a]lthough host foreign nations [did] have jurisdiction to prosecute such acts committed within their nation, they frequently decline[d] to exercise jurisdiction when an American [was] the victim or when the crime involve[d] only property owned by Americans.” H.R. Rep. No. 106-778, Pt. 1, at 5 (2000); accord United States v. Arnt, 474 F.3d 1159, 1161 (9th Cir. 2007). In 2000, the Congress began to address the “jurisdictional gap” by enacting MEJA. H.R. Rep. No. 106-778, at 5. In its original version, MEJA authorized the prosecution of extraterritorial crimes committed by civilians employed by the Department of Defense (DOD) or its contractors. See 18 U.S.C. § 3267(1)(A) (2000). Following a series of high-profile offenses committed by non-Defense Department contractors—including those committed by private contractors employed by the United States Interior Department at the Abu Ghraib prison in Baghdad, Iraq—the Congress expanded MEJA’s scope. See 150 CONG. REC. S6863 (daily ed. June 16, 2004). Indeed, then-United States Senator Jeff' Sessions—the chief sponsor of the 2004 amendment—acknowledged that the amendment’s purpose was to address a jurisdictional gap through which “private contractors who may not have in every instance been directly associated with the Department of Defense ... might not be prosecutable under [MEJA].” Id. Sessions noted that the gap “highlighted [the Congress’s] need to clarify and expand the coverage of the act” by giving “the Justice Department authority to prosecute civilian contractors employed not only by the Department of Defense but by any Federal agency that is supporting the American military mission overseas.” Id. Senator Charles Schumer likewise noted that the proposed amendment addressed “a dangerous loophole in our criminal law that would have allowed civilian contractors who do the crime to escape doing the time.” Id. at S6864. 2. Text As amended, then, two key sections of MEJA work together to authorize the prosecution of qualifying offenses committed by a civilian overseas: Section 3261 and Section 3267. See 18 U.S.C. §§ 3261, 3267. 18 U.S.C. § 3261 provides: (a) Whoever engages in conduct outside the United States that would constitute an offense punishable by imprisonment for more than 1 year if the conduct had been engaged in within the special maritime and territorial jurisdiction of the United States— (1) while employed by or accompanying the Armed Forces outside the United States shall be punished as provided for that offense. 18 U.S.C. § 3267 sets out alternative definitions of “employed by the Armed Forces outside the United States” depending on the defendant’s employment status. Section 3267(l)(A)(iii)(II) applies to the defendants and provides as follows: (1) The term “employed by the Armed Forces outside the United States” means— (A) employed as ... (iii) an employee of a contractor (or subcontractor at any tier) of ... (II) any ... Federal agency ... to the extent such employment relates to supporting the mission of the Department of Defense overseas When Section 3267(1)(A)(iii)(II) applies, we believe there are two preliminary questions posed by MEJA’s text: 1) whether the defendant’s criminal conduct occurred “while employed by” a non-DOD contractor; and 2) whether his employment (not his conduct) “relates to supporting” the DOD overseas mission. See 18 U.S.C. §§ 3261, 3267. The latter question, however, is subject to an additional restriction. Section 3267(l)(A)(iii)(II)’s “to the extent” clause operates as a temporal limitation applicable only to non-DOD contractors. See id. That is, because MEJA authorizes the prosecution of only those crimes a defendant commits “while” employed by a non-DOD contractor and “to the extent” such employment relates to a DOD mission, it applies only if the defendant’s employment at the time of the offense relates to supporting a DOD mission. See id. (emphasis added). Although the United States Supreme Court has yet to address Section 3267(l)(A)(iii)(II)’s “relates to” language, it has interpreted similar language broadly. For example, in Smith v. United States, the Supreme Court concluded that “[t]he phrase ‘in relation to’ is expansive,” noting that “ [according to Webster’s, ‘in relation to’ means “with reference to’ or ‘as regards.’” 508 U.S. 223, 237-38, 113 S.Ct. 2050, 124 L.Ed.2d 138 (1993). Likewise, in District of Columbia v. Greater Washington Board of Trade, the Supreme Court interpreted “relate to,” as used in the Employee Retirement Income Security Act of 1974, to include any law that “has a connection with or reference to” a covered benefit plan, thereby “giv[ing] effect to the ‘deliberately expansive’ language chosen by Congress.” 506 U.S. 125, 129, 113 S.Ct. 580, 121 L.Ed.2d 513 (1992) (emphasis added) (some internal quotation marks omitted) (quoting Pilot Life Ins. Co. v. Dedeaux, 481 U.S. 41, 46, 107 S.Ct. 1549, 95 L.Ed.2d 39 (1987); Shaw v. Delta Air Lines, Inc., 463 U.S. 85, 97, 103 S.Ct. 2890, 77 L.Ed.2d 490 (1983)); accord Morales v. Trans World Airlines, Inc., 504 U.S. 374, 383, 112 S.Ct. 2031, 119 L.Ed.2d 157 (1992) (“For purposes of the present case, the key phrase, obviously, is ‘relating to.’ The ordinary meaning of these words is a broad one—‘to stand in some relation; to have bearing or concern; to pertain; refer; to bring into association with or connection with[.]’” (citing Black’s Law Dictionary 1158 (5th ed. 1979)). Circuit precedent, too, employs a broad interpretation. We have noted that the “ordinary meaning” of “relating to” is a “broad one,” see Friedman v. Sebelius, 686 F.3d 813, 820 (D.C. Cir. 2012) (internal quotation marks omitted) (quoting Morales, 504 U.S. at 383, 112 S.Ct. 2031), and that “a statutory provision containing the phrase therefore has ‘broad scope,’ ” id. (quoting Metro. Life Ins. Co. v. Mass., 471 U.S. 724, 739, 105 S.Ct. 2380, 85 L.Ed.2d 728 (1985)). 3. Application Having addressed both MEJA’s required elements and expansive scope, we next consider whether the evidence was sufficient to support jurisdiction under MEJA. The district court denied the defendants’ motion for judgment of acquittal on this ground and the Court must affirm so long as any reasonable factfinder could conclude that the evidence, viewed most favorably to the government, satisfied each element beyond a reasonable doubt. United States v. Kayode, 254 F.3d 204, 212 (D.C. Cir. 2001); see Jackson v. Virginia, 443 U.S. 307, 319, 99 S.Ct. 2781, 61 L.Ed.2d 560 (1979). We begin with two unchallenged elements. It is undisputed that all of the charges against all four defendants are within MEJA’s scope as it relates to included offenses. See supra 778-79; 18 U.S.C. § 3261(a). Moreover, all four defendants were employed by Blackwater Security Consulting, LLC, a contractor of the United States Department of State. JA 3743, 3760, 3776, 3794, 1228-29. At the time of the Nisur Square attack, they were therefore “employee[s] of a contractor (or subcontractor at any tier) of ... [a] Federal agency.” See 18 U.S.C. § 3267(l)(A)(iii)(II). The remaining question is whether that employment, at the time of the attack, related to supporting DOD’s mission. The government sufficiently established the DOD’s overseas mission. By 2007, “the mission of the Department of Defense overseas”—specifically, in Iraq— went beyond military operations against the insurgency. Id. Witnesses testified that the Defense Department mission was to rebuild the war-torn country, including the fostering of economic and political stability. United States Army Colonel Michael Tarsa testified that the military’s goal was to “stimulat[e] local governance” by “identifying local leaders [and] trying to organize them.” JA 1374. Tarsa also recounted that the military sought to improve the Iraqis’ “quality of life” by “restoring essential services, sewer, water, electricity [and] trash removal” and by “foster[ing] economic development,” all with the hope that such restoration would “dissuad[e] people from joining the insurgency.” JA 1373-77. Tarsa’s testimony was echoed by United States Marine Corps Officer Shelby Lasater, who testified that, as the United States’ presence in Iraq continued, the mission became “to rebuild the country and set up a government.” JA 1478-79. Then-Deputy Secretary of Defense Gordon England affirmed that the Defense Department “strategy” was to “help the Iraqi people build a new Iraq with constitutional representative government that respects civil rights and has security forces sufficient to maintain domestic order and keep Iraq from becoming a safe haven for terrorists.” JA 2949. The government also produced abundant evidence that the defendants’ Blackwater employment supported the Department of Defense’s expanded mission at the time of the Nisur Square attack. Paralleling the testimony of Tarsa, Lasater and England, Blackwater guard Matthew Murphy testified that Blackwater’s “clients ... the State Department [were] trying to bring along the country, ... trying to mentor the Iraqi government and ... get them up and running.” JA 1044. England also testified that the “U.S. Government had to rely on all of its departments and agencies in order to achieve the mission in Iraq.” JA 2950. The State Department was an important part of the rebuilding effort the Defense Department was engaged in; its diplomats were helping the Iraqis restore their country. Blackwater employed the defendants to provide security for the diplomats whose work plainly supported the DOD mission. The defendants’ employment, then, “relate[d] to”—that is, had a “connection with or reference to,” see Greater Wash. Bd. of Trade, 506 U.S. at 129, 113 S.Ct. 580 (internal quotation marks omitted)—supporting the Defense Department’s rebuilding mission. In addition, the defendants’ contracts required them to complete unspecified “ser curity-related duties requested by Black-water or [the State Department] in support of the Engagement.” JA 3761. This necessarily requires consideration of the types of duties that Blackwater or the State Department in fact requested in order to determine whether they “relate[ ] to supporting the mission of the Department of Defense.” 18 U.S.C. § 3267(l)(A)(iii)(II). The evidence showed that, consistent with this contract provision, Blackwater employees were assigned to assist distressed military units during firelights, train Army security escorts and provide escorts to Provincial Reconstruction Teams when Army escorts were unavailable. JA 1622-23, 1762-64, 2956. Although it may be true that the defendants did not themselves participate in these assignments, this evidence nevertheless illustrated for the jury the types of “security-related duties” within the scope of the defendants’ employment. JA 3761. The defendants’ employment “relatefd] to supporting the [DOD overseas] mission” in another way; it allowed military personnel previously responsible for providing State Department security to concentrate exclusively on their rebuilding mission. See 18 U.S.C. § 3267(l)(A)(iii)(II). Tarsa affirmed that the Defense Department was “able to reduce the amount of [its] platoons .... dedicated for Department of State security convoy missions” as “Blackwater took the majority of those tasks.” JA 1381. The platoons were then able to return to, inter alia, “the continued development of the Iraqi security forces.” JA 1382. United States Army Lieutenant Peter Decareau and England corroborated Tarsa’s testimony. JA 2581 (testimony of Army Lieutenant Peter De-careau) (agreeing that “from roughly February 2007 going forward, [Decareau’s] company and platoons within it did not need to provide [State Department] escort service missions anymore,” allowing his platoon “to focus on what [he] described as civil affairs and ... night operation missions”); JA 2952 (testimony of Deputy Secretary Gordon England) (before Black-water’s arrival, State Department “was draining personnel from the DOD mission”). Again, then, the defendants’ employment, which increased the manpower available to the military by replacing military personnel previously assigned to guard State Department personnel, had some “bearing or concern” regarding— that is, “relate[d] to”—supporting the Defense Department mission. See Morales, 504 U.S. at 383, 112 S.Ct. 2031 (internal quotation marks omitted) (citing Black’s Law Dictionary 1158 (5th ed. 1979)). Providing security to State Department personnel who themselves acted jointly with the Defense Department to aid the Iraqi people and whose protection would have continued to require military personnel but for the defendants’ employment necessarily “relate[d] to” supporting the Defense Department’s mission. k. Defendants’ Arguments The defendants attempt to narrow MEJA’s scope by reading the “to the extent” language of 18 U.S.C. § 3267(l)(A)(iii)(II) and the “while employed” language of 18 U.S.C. § 3261 as more than a temporal limitation. They argue that MEJA applied “only in the limited capacities or at those limited times” when Blackwater guards actively and directly supported the Defense Department mission. Joint Appellants’ Br. 59. That is, they claim that MEJA required the jury to consider not their employment but instead their challenged actions to determine whether those actions—that is, securing Nisur Square—supported the Defense Department mission. Id. at 41, 58-60. But, as noted, MEJA’s scope is not so narrow. Instead, the most natural conjunctive reading of “while employed by,” as used in 18 U.S.C. § 3261, and “to the extent,” as used in 18 U.S.C. § 3267, is one that interprets these provisions as establishing that the point in time when the defendants’ actions occurred is the benchmark by which their employment’s relation to a DOD mission is measured. See supra 780. The defendants’ misreading of the statute to require that their challenged actions must relate to a Defense Department mission violates both MEJA’s text and its purpose. MEJA’s goal, after all, was to close “a dangerous loophole in our criminal law that would have allowed civilian contractors who do the crime to escape doing the time.” 150 Cong. Rec. S6863. Alternatively, the defendants maintain that we should look not to their on-the-ground actions but only to their Blackwa-ter contract to determine whether they were “employed by the Armed Forces outside the United States.” Joint Appellants’ Br. 50-52. Because their contract required them to provide security for State Department personnel, rather than to further a Defense Department mission, they argue that MEJA does not authorize their prosecution. Id. at 53. We decline to take such a cramped view of MEJA’s text given the “deliberately expansive” language used by the Congress. See Greater Wash. Bd. of Trade, 506 U.S. at 129, 113 S.Ct. 580. Finally, the defendants insist that the rule of lenity requires construing MEJA in their favor. The rule of lenity, however, applies only if, “after considering text, structure, history, and purpose, there remains a grievous ambiguity or uncertainty in the statute such that the Court must simply guess as to what Congress intended.” Maracich v. Spears, — U.S. —, 133 S.Ct. 2191, 2209, 186 L.Ed.2d 275 (2013) (internal quotation marks omitted) (quoting Barber v. Thomas, 560 U.S. 474, 488, 130 S.Ct. 2499, 177 L.Ed.2d 1 (2010)); accord Reno v. Koray, 515 U.S. 50, 65, 115 S.Ct. 2021, 132 L.Ed.2d 46 (1995) (rule of lenity applies “only if ... [the Court] can make no more than a guess as to what Congress intended” (internal quotation marks omitted)). “The rule [of lenity] comes into operation at the end of the process of construing what Congress has expressed, not at the beginning as an overriding consideration of being lenient to wrongdoers.” Maracich, 133 S.Ct. at 2209 (alteration in original) (quoting Callanan v. United States, 364 U.S. 587, 596, 81 S.Ct. 321, 5 L.Ed.2d 312 (1961)). Although the phrase “relates to” gives MEJA a broad scope, breadth does not equal ambiguity. See Penn. Dep’t of Corr. v. Yeskey, 524 U.S. 206, 212, 118 S.Ct. 1952, 141 L.Ed.2d 215 (1998) (“[T]he fact that a statute can be applied in situations not expressly anticipated by Congress does not demonstrate ambiguity. It demonstrates breadth.” (internal quotation marks omitted)). Moreover, to the extent—if any— that MEJA’s text is ambiguous, MEJA’s “context, structure, history, and purpose resolve it.” Abramski v. United States, — U.S. —, 134 S.Ct. 2259, 2272 n.10, 189 L.Ed.2d 262 (2014); see supra at 778-80. We conclude that the rule of lenity is inapplicable here. B. Jury Charge The defendants also challenge the district court’s jury instructions regarding MEJA. “Whether the district court properly instructed the jury is ‘a question of law that we review de novo.’ ” United States v. Ring, 706 F.3d 460, 465 (D.C. Cir. 2013) (quoting United States v. Orenuga, 430 F.3d 1158, 1166 (D.C. Cir. 2005)). Our responsibility is to “determine whether, taken as a whole, [the instructions] accurately state the governing law and provide the jury with sufficient understanding of the issues and applicable standards.” United States v. DeFries, 129 F.3d 1293, 1304 (D.C. Cir. 1997) (alteration in original) (emphasis added); accord Ring, 706 F.3d at 465. An “improper instruction on an element of the offense violates the Sixth Amendment’s jury trial guarantee.” Neder v. United States, 527 U.S. 1, 13, 119 S.Ct. 1827, 144 L.Ed.2d 35 (1999). The district court instructed the jury on the meaning of “employed by the Armed Forces outside the United States” as follows: [T]he definition of ‘employed by the Armed Forces outside the United States’ includes not only a direct employee or contractor of the Armed Forces of the United States, but also a contractor (including a subcontractor at .any tier) or an employee of a contractor (or subcontractor at any tier) of any Federal agency of the United States Government to the extent: (1) such employment relates to supporting the mission of the Department of Defense overseas .... [T]he Government may prove that the defendant was ‘employed by the Armed Forces’ by establishing that: (a) the defendant was employed as a contractor, or an employee of a contractor (including a subcontractor at' any tier) of any federal agency, and (b) that the defendant’s employment related to supporting the mission of the Department of Defense overseas. JA 497-98. The challenged jury instruction was not erroneous. First, it quoted MEJA’s “to the extent” clause verbatim: “‘[E]mployed by the Armed Forces outside the United States’ includes ... an employee of a contractor ... of any Federal agency of the United States Government to the extent ... such employment relates to supporting the mission of the Department of Defense overseas.” Id. (emphasis added); see 18 U.S.C. §§ 3261, 3267. Granted, the instruction also stated that the government could establish jurisdiction if the jury found “the defendant’s employment related to supporting the [DOD] mission,” JA 498; taken out of context, a juror could conceivably understand the latter statement to mean jurisdiction would exist if “the defendant’s employment [at any time] related to supporting the mission” of DOD, see id. But we “do not read the language thus criticized in isolation.” Jones v. United States, 404 F.2d 212, 215-16 (D.C. Cir. 1968); see also Cupp v. Naught-en, 414 U.S. 141, 147-48, 94 S.Ct. 396, 38 L.Ed.2d 368 (1973). To the contrary, we have “long recognized that one ambiguous part of an instruction may be made clear by another unambiguous part of the same instruction,” United States v. Gaviria, 116 F.3d 1498, 1510 (D.C. Cir. 1997), and the “to the extent” language unambiguously precludes an erroneous, all-or-nothing understanding of the statute, see John Hancock Mut. Life Ins. Co. v. Harris Trust & Sav. Bank, 510 U.S. 86, 104-05, 109, 114 S.Ct. 517, 126 L.Ed.2d 524 (1993). The defendants’ challenge to the instruction largely repeats their argument against the applicability of ME JA itself. For example, they argue the district court erred in failing to instruct the jury that it could consider only their contract employment to determine whether they were “employed by the Armed Forces .... ” Joint Appellants’ Br. 66-68. The defendants also revive their claim that, even if the jury could consider evidence aliunde their employment contract, it should have been instructed that ME JA applied only when the defendants were acting within the scope of their employment and only if their specific acts supported the DOD mission. Id. at 64-66. To that end, they proposed the following instruction: [I]f you find that part of a defendant’s contract employment for the Department of State related to supporting the mission of the Department of Defense, and part of his contract employment did not relate to supporting the mission of the Department of Defense, you must consider whether the work the defendant was performing at the time of the conduct charged in the indictment related to supporting the mission of the Department of Defense in Iraq. For purposes of this case, a Defendant is ‘employed by the Armed Forces of the United States’ only if the contract employment he was performing at the time of the charged conduct related to supporting the mission of the Department of Defense in Iraq. JA 473. In construing MEJA’s text, the Court earlier rejected the premise underlying the defendants’ instruction, see supra 782-83, and continues to do so in this context. The defendants’ remaining argument is that the district court “grievously erred” by failing to instruct the jury expressly that diplomatic security is a State Department responsibility. Joint Appellants’ Br. 68. They note that 22 U.S.C. §§ 4801-02 assigns to the Secretary of State responsibility for “the security of diplomatic operations ... abroad,” id. § 4801(b)(1), and requires the Secretary to implement measures “to provide for the security of United States Government operations of a diplomatic nature,” id. § 4802(a)(1). For the defendants, there is a “fundamental conflict between that statutory assignment of responsibility [to the State Department] and MEJA’s requirement that the defendants’ contract employment relate to supporting the Defense Department’s mission.” Joint Appellants’ Br. 74-75. The defendants offered the following instruction: The Defendants in this case were independent subcontractors employed by the Department of State to provide personal security to State Department personnel in Baghdad, Iraq. By law, the provision of personal security to State Department personnel overseas is the responsibility of the Department of State. JA 475. The defendants fail to recognize, however, that State Department contractors— and their employees—could help meet the State Department’s duty to provide security for diplomatic operations abroad and, at the same time, support the Defense Department’s overseas mission. Blackwater without question employed the defendants to protect State Department personnel, see, e.g., JA 1169-74, 1853-54, 3861; the critical question for the jury, however, was whether, in carrying out that responsibility, the defendants’ employment also “relate[d] to supporting the mission of the Department of Defense overseas,” see 18 U.S.C. § 3267(1)(A)(iii)(II). We agree with the district court that the defendants’ proposed instruction “would just be confusing to the jury.” JA 3279-80. The district court’s charge, “taken as a whole ... accurately state[d] the governing law and provide[d] the jury with sufficient understanding of the issues and applicable standards.” DeFries, 129 F.3d at 1304. III. Venue The defendants next complain the District of Columbia was an improper venue for their trials. On November 18, 2008, the United States District Court for the District of Columbia issued an arrest warrant for Ridgeway, and Ridgeway voluntarily flew to Washington, D.C. from California. Once he arrived in Washington, he was met by an FBI agent, formally booked and taken to district court to plead guilty to one count of voluntary manslaughter and one count of attempted voluntary manslaughter. While Ridgeway was not put in handcuffs when apprehended by the FBI, he testified he believed he was under arrest. After pleading guilty, Ridgeway was permitted to return to his home. If an offense is committed outside the United States and involves charges against multiple people, Congress has declared venue to be proper in the district where any of the joint offenders are first arrested. 18 U.S.C. § 3238. The defendants argue the government improperly used the arrest of Jeremy Ridgeway, one of the other turret gunners who fired in Nisur Square, to satisfy the venue statute because (1) Ridgeway was not arrested in connection with their charged offenses, (2) he was not a “joint offender” with the defendants and (3) the government imper-missibly manufactured venue in the District of Columbia. Since the parties dispute the meaning of the phrases “joint offender” and “is arrested” in the venue statute, we focus on the statute’s text. Section 3238 states, “[t]he trial of all offenses begun or committed ... out of the jurisdiction of any particular State or district ] shall be in the district in which the offender, or any one of two or more joint offenders, is arrested.” Id. “The Government bears the burden of establishing by a preponderance of the evidence that venue is proper with respect to each count charged against the defendant[s].” United States v. Morgan, 393 F.3d 192, 195 (D.C. Cir. 2004). When reviewing whether venue was properly established, this Court views the evidence “in the light most favorable to the Government.” Id. In order to assure the case would be heard in the District of Columbia, the government entered into a plea agreement with Ridgeway and arranged for him to travel to the District of Columbia from his home in California to be arrested. While this Court has not specifically defined “arrested” in the context of Section 3238, our sister circuits have consistently interpreted it to mean situations ‘“where the defendant is first restrained of his liberty in connection with the offense charged.’ ” United States v. Wharton, 320 F.3d 526, 537 (5th Cir. 2003) (quoting United States v. Erdos, 474 F.2d 157, 160 (4th Cir. 1973)). We believe this definition is correct and that the test is easily satisfied here. The record shows the district court issued the arrest warrant for Ridge-way. On the same day, he was arrested by the FBI in the District of Columbia and formally booked. The defendants argue Ridgeway’s freedom was never restrained because he voluntarily flew across the country from California and was never put in handcuffs or confined in a cell, but this misconstrues the meaning of arrest. Supreme Court precedent makes clear an arrest can either be carried out with “physical force [against a suspect] ... or, where that is absent, submission to the assertion of authority.” California v. Hodari D., 499 U.S. 621, 626, 111 S.Ct. 1547, 113 L.Ed.2d 690 (1991). What really mat ters is whether a “reasonable person would have believed that he was not free to leave.” United States v. Mendenhall, 446 U.S. 544, 554, 100 S.Ct. 1870, 64 L.Ed.2d 497 (1980). Here, Ridgeway testified he understood himself to be under arrest when he was seized by the FBI upon arrival in the District of Columbia. Any reasonable person in Ridgeway’s position would have understood he was not free to leave. Ridgeway was first arrested in the District of Columbia; and that arrest established venue here. The defendants interpret the phrase “joint offender” to mean each offender must possess “a mutual intent” with others to commit a crime. Joint Appellants’ Br. 97-98. Because Ridgeway did not form this mutual intent, they claim he was not a joint offender. They rely primarily on the fact that many of the cases examining Section 3238 have involved collaborative criminal schemes. See, e.g., United States v. Levy Auto Parts of Can., 787 F.2d 946, 948-49 (4th Cir. 1986) (involving a conspiracy to sell munitions); United States v. Hong Vo, 978 F.Supp.2d 49, 64 (D.D.C. 2013) (involving a conspiracy to commit visa fraud). However, this interpretation impermissi-bly narrows Section 3238 to one category of offenses. As noted by the district court, Black’s Law Dictionary defines a joint offense as a crime “committed by the participation of two or more persons.” Black’s Law Dictionaky 838 (6th ed. 1990). While the defendants are certainly correct that a joint crime can be committed by several defendants with a mutual intent to achieve a criminal goal, this is not the only type of crime in which a group may participate. In fact, Federal Rule of Criminal Procedure 8(b) allows multiple defendants to be charged with the same offense “if they are alleged to have participated in the same act or transaction, or in the same series of acts or transactions, constituting an offense or offenses.” Accordingly, instead of limiting “joint offender” to one category of offenses that requires participation by multiple people, a more natural reading of the statutory text encompasses not only people with a mutual intent to commit a crime, but also anyone who has joined others in participating in the same act or transaction constituting a crime or crimes. This interpretation is further supported by this Court’s preference for joint trials in cases involving multiple defendants. See United States v. Manner, 887 F.2d 317, 324 (D.C. Cir. 1989). We have explained joint trials “promote efficiency” and noted that “this preference is especially strong when the respective charges require presentation of much the same evidence, testimony of the same witnesses, and involve [multiple] defendants who are charged ... with participating in the same illegal acts.” United States v. Wilson, 605 F.3d 985, 1015, 1016 (D.C. Cir. 2010). These rationales are especially compelling in a case like this. Ridgeway was working in the relevant convoy on the day of the Nisur Square attack, and, with other defendants, he opened fire on the civilians in Nisur Square. Thus, in order to convict Ridge-way, the government would be required to present the same evidence and to rely upon testimony from the same witnesses as they would for the other defendants. Also, concerns for efficiency are especially compelling here because many of the witnesses reside in Iraq. Multiple trials would mean arranging multiple international trips for the witnesses, which would likely be both difficult to schedule and costly. Thus, our interpretation of Section 3238 is consistent with both the text of the statute and the general preference for joint trials. We conclude “joint offenders” encompasses all defendants who participated in the same act or transaction constituting the charged crimes. Thus, it is clear Ridgeway was a joint offender. Testimony at trial established Ridgeway was present in Nisur Square as a member of the Raven 23 convoy and that he fired at civilians to the south, to the west and finally to the north. Ridgeway participated in the “same series of acts or transactions” that gave rise to the prosecution, Fed. R. Crim. P. 8(b), which makes him a joint offender. The defendants’ emphasis on personal participation in every count returned by the grand jury focuses on the wrong thing. Although it is true that the government must show that “venue is proper with respect to each count charged,” United States v. Lam Kwong-Wah, 924 F.2d 298, 301 (D.C. Cir. 1991), it does not follow that Ridgeway must have personally participated in each act giving rise to each count. Section 3238 requires that Ridgeway be a “joint offender,” which is satisfied by his participation in the same series of acts or transactions giving rise to those counts, ie., Ridgeway’s persistent, multi-directional shooting throughout the entire Nisur Square attack. 18 U.S.C. § 3238; see also Fed. R. Crim. P. 8(b) (“All defendants need not be charged in each count.”). Because Ridgeway clearly did participate in the Nisur Square shootings, he was a joint offender within the meaning of Section 3238. Likewise, the defendants’ claim that the government manufactured venue, while appealing on an intuitive level, fails in light of the congressional design of Section 3238. The text of the statute gives the government a choice regarding prosecution of an extraterritorial crime: either arresting a cooperative defendant in a jurisdiction of the government’s choosing or seeking an indictment in the district where a defendant resides. See 18 U.S.C. § 3238 (stating venue “shall be in the district in which the offender, or any one of two or more joint offenders, is arrested”); see also United States v. Gurr, 471 F.3d 144, 155 (D.C. Cir. 2006) (reading Section 3238’s clauses disjunctively). Thus, by choosing to arrest Ridgeway in the District of Columbia, the government simply exercised the choice given to it under the statute. Something more is required to sustain a claim that venue has been manufactured. See United States v. Spriggs, 102 F.3d 1245, 1250-51 (D.C. Cir. 1996). For example, “where the key events occur in one district, but the prosecution, preferring trial elsewhere, lures a defendant to a distant district for some minor event simply to establish venue,” a claim of manufactured venue might have traction. Id. at 1251. However, Section 3238 forecloses that scenario here by explicitly allowing the government to choose where to arrest a cooperative joint offender. Thus, venue was proper in the District of Columbia. TV. New Trial Motion A. Background The defendants say the district court abused its discretion in denying a new trial based on the victim impact statement (“VIS”) from Officer Monem that appeared to contradict his testimony at trial. During the trial, the government called Sarhan Dheyab Abdul Monem, an Iraqi police officer, to testify about his observations ¾ Nisur Square during the attack. Before the shooting began, Monem was stationed at a traffic kiosk located close to where the Raven 23 caravan had stopped. Monem testified that, after he heard shots being fired from the Raven 23 caravan, he heard a scream coming from the Kia, so he approached the vehicle. As he neared the Kia, he saw its driver had been shot in the head. After examining the driver’s injury, Monem testified he moved in front of the convoy and attempted to tell them to stop shooting by speaking to them in Arabic and waving his hands. When this had no effect, Monem stated he returned to the Kia and attempted to help the Kia’s passenger, who was weeping and holding the body of the driver. According to Monem, the car began to slowly move forward, which caused the Raven 23 squad to begin firing at the Kia again. When the second burst of gunfire erupted, Monem fled back to his kiosk and hid behind it to shield himself from the bullets. After the defendants were convicted, the government solicited victim impact evidence from Iraqis who were present in Nisur Square on the day of the attack, including Monem. The purpose of this evidence was to allow victims and witnesses to describe how the Nisur Square shootings had affected them, including “feelings of anger, rage, blaming self, ... helplessness, [and] vulnerability.” JA 4032. In his VIS, Monem wrote about his guilt for not being able to help the Kia’s occupants; but, he also painted a different picture of what happened that day. Contrary to his testimony at trial, Monem’s VIS stated he “remained in [his] traffic cabin unable to move nor think.” JA 637. The VIS also stated Monem heard the driver of the Kia pleading with his mother to get out of the car before they were both killed. When the government produced Monem’s VIS to the court and defense counsel four days later, the defendants raised concerns about the inconsistency of the VIS with Monem’s trial testimony. This prompted the government to conduct an ex parte telephone conversation with Monem regarding his VIS. The government did not record this conversation and instead submitted notes to the district court summarizing Monem’s responses. According to these notes, Monem allegedly-stated he did not understand his VIS to be a factual statement but rather an “expression” of what he imagined it was like to be the Kia driver. The notes also indicated Monem reaffirmed key portions of his trial testimony, including that he approached the Kia and saw the driver was dead. The defendants moved for a new trial based upon this newly-discovered evidence, but the district court denied their motions without conducting a hearing. United States v. Slough, 144 F.Supp.3d 4, 5 (D.D.C. 2015). The defendants now appeal, claiming the district court committed reversible error by denying their motions for a new trial. Slatten argues the VIS provides direct evidence of his innocence by establishing that the person he was convicted of murdering was alive after the shooting in Nisur Square began, thus disproving the government’s theory of the case. Additionally, the other defendants argue the VIS shows Monem committed perjury at trial and that this new account refutes many facts vital to the government’s case. Finally, all defendants argue the district court reversibly erred by failing to hold a hearing to examine Monem regarding the conflict his VIS created with his testimony at trial. B. Analysis Trial courts have broad discretion when deciding whether to grant a new trial based on newly-discovered evidence. Thompson v. United States, 188 F.2d 652, 653 (D.C. Cir. 1951). A district court’s denial of a new trial is reviewed for abuse of discretion. United States v. Oruche, 484 F.3d 590, 595 (D.C. Cir. 2007). In order to obtain a new trial because of newly-discovered evidence, the party seeking a new trial must prove: (1) the evidence was discovered after the trial; (2) the party acted diligently in its attempts to procure the newly-discovered evidence; (3) the evidence relied on is not “merely cumulative or impeaching,” (4) the evidence is “material to the issues involved” in the case and (5) the evidence is “of such nature that in a new trial it would probably produce an acquittal.” Thompson, 188 F.2d at 653. “[W]hen perjury by a prosecution witness is discovered after trial and when the prosecution did not know of the perjury until then,” a defendant is entitled to a new trial only if he can prove he “would probably be acquitted on retrial.” United States v. Williams, 233 F.3d 592, 594 (D.C. Cir. 2000). We begin by noting the unusual nature of the allegedly exculpatory evidence upon which the defendants rely. In homicide eases, victim impact statements are typically used during the sentencing phase of a trial. They allow the government to either offer a “quick glimpse” into a life taken by the defendant or to “de-monstrare] the loss to the victim’s family and to society which has resulted from the defendant’s homicide.” Payne v. Tennessee, 501 U.S. 808, 822, 111 S.Ct. 2597, 115 L.Ed.2d 720 (1991). Nothing in the record suggests the government intended to use the VIS in this case as substantive evidence of guilt. See JA 637 (asking Monem to describe how the crime affected him); cf. Payne, 501 U.S. at 856, 111 S.Ct. 2597 (Stevens, J., dissenting) (stating victim impact statements “shed[] no light on the defendant’s guilt or moral culpability”). However, this is exactly the purpose for which the defendants now seek to use Monem’s VIS. Monem’s statements viewed in isolation could be seen as puzzling if not contrary to his testimony at trial, as the defendants suggest. Considered in context, however, as responses to the specific questions posed by the government in preparing for sentencing after the jury had returned its verdicts finding the defendants guilty, his statements take on another cast. Still, the Court is troubled by the government’s conduct upon discovery of what might appear to contradict his trial testimony. Instead of inviting defense counsel to participate in the phone call with Monem or—at a minimum—recording the phone conversation, the government conducted an ex parte phone call and offered nothing but its own notes as evidence of what was said during the call. Because the Court has no way of verifying what was said, we do not believe the notes constitute a repudiation of Mon-em’s contradictory statements. However, even if we view the statements in the light most favorable to the defendants and consider them to be an admission of perjury and a recantation of Monem’s trial testimony, we do not believe the district court abused its discretion in declining to grant a new trial. In order to succeed on their claims, the defendants must prove Monem’s VIS would probably result in an acquittal at a new trial. Thompson, 188 F.2d at 653. “This is a high bar to cross.” United States v. Celis, 608 F.3d 818, 848 (D.C. Cir. 2010). Here, even if Monem’s statements did constitute a recantation of his trial testimony, we do not believe they meet this high bar. This holds especially true for Liberty, Slough and Heard, whose convictions regarding victims to the south, east, west and north of Nisur Square did not depend on Mon-em’s testimony regarding the first moments of the shooting attack. Regarding Dr. Al-Khazali, the Kia passenger, other evidence corroborated Monem’s testimony that the Kia was stopped when the first shots were fired, and Officer Al-Hamidi testified about his own efforts to stop the shooting independent of Monem’s. The only defendant with even a slight chance of a different outcome based on Monem’s contradictory VIS statements was Slatten. However, even if we were to assume that Monem would reaffirm his VIS testimony, acquittal would still not be likely due to the other record evidence that al-Rubia’y was killed instantly. As discussed in more detail below, testimony from Officer Al-Hamidi established that al-Rubia’y was shot in the head, killing him instantly. Only then did the car begin rolling forward unguided. Comparing this consistent testimony from Officer Al-Hamidi with this new testimony from Monem, which only came to light after he was prompted to describe “feelings of anger, rage, blaming self, ... helplessness, [and] vulnerability” resulting from the Nisur Square shootings, JA 4032, there is little reason to believe the outcome of the ease would have been any different. Thus, it was hardly an abuse of discretion for the district court to refuse to grant a new trial based on evidence unlikely to produce a different outcome. Furthermore, the district court did not abuse its discretion in declining to hold an evidentiary hearing regarding Monem’s VIS. This Court gives a trial judge “broad discretion in ruling on a motion for a new trial, both in his actual decision and in what he considers before making that decision.” Lam Kwong-Wah, 924 F.2d at 308. “A motion for a new trial can ordinarily be decided ... without an evidentiary hearing, and a district court’s decision not to hold such a hearing may be reversed only for abuse of discretion.” United States v. Kelly, 790 F.2d 130, 134 (D.C. Cir. 1986); see also United States v. Kearney, 682 F.2d 214, 219 (D.C. Cir. 1982) (noting the need for a hearing is diminished “where the trial judge has had an opportunity to observe the demeanor and weigh the credibility of the witness at trial”). Here, the district court judge presided over the entirety of this multiple-week trial and observed Monem’s testimony when it was given. Also, Monem’s testimony was subject to thorough cross-examination by several defense attorneys and— unlike the VIS—was largely corroborated by other evidence presented at trial. All of these factors combined made the district court “well qualified to rule on the motion for a new trial” based solely on the written motions and the evidence submitted. Kear-ney, 682 F.2d at 220. While we agree with the defendants that a hearing would have been helpful to clarify what Monem meant when he wrote his VIS, we cannot say it was an abuse of discretion for the district court to decide the motion without a hearing. V. Sufficiency of the Evidence Liberty and Slatten challenge the sufficiency of the evidence supporting their convictions. The Court must affirm if, “after viewing the evidence in the light most favorable to the prosecution, any rational trier of fact could have found the essential elements of the crime beyond a reasonable doubt.” Jackson, 443 U.S. at 319, 99 S.Ct. 2781. The jury is “entitled to draw a vast range of reasonable inferences from evidence, but may not base a verdict on mere speculation.” United States v. Harrison, 103 F.3d 986, 991 (D.C. Cir. 1997) (quoting United States v. Long, 905 F.2d 1572, 1576 (D.C. Cir. 1990)). Applying this “highly deferential” standard, United States v. Williams, 836 F.3d 1, 6 (D.C. Cir. 2016), the Court concludes that the evidence supporting the convictions was sufficient, with the exception of one of Liberty’s attempted manslaughter convictions. A. Liberty Liberty, the driver of the third vehicle in the four-vehicle convoy of Black-water guards, was convicted of eight counts of voluntary manslaughter, twelve counts of attempted manslaughter and a Section 924(c) weapons count. The jury was also instructed, in view of the charges under 18 U.S.C. § 2, that it could convict on each of these counts if it determined that Liberty aided and abetted their commission. Liberty contends that there was insufficient evidence that he unjustifiably fired his weapon at, or caused the death of, any victim, or that he took some action to aid another defendant’s unjustifiable shooting at any specific victim. First, Raven 23 member Jeremy Krueger’s testimony provided evidence from which the jury could find that Liberty fired at the white Kia in which the passenger, Dr. Al-Khazali, was killed. Krueger, who was in the vehicle in front of Liberty’s, testified that each member of the Raven 23 team had been assigned roles and that he was responsible for securing one sector of Nisur Square. Krueger testified that he saw shots fired at the Kia from the vehicle behind by “someone sitting in the driver’s position, and [he] assumed it to be Mr. Liberty, just based on [his] knowledge of -[Liberty’s] position that day, [of the team members’] assignments.” 8/5/14 (PM) Tr. 34:3-9. Although Krueger was not in a position to see the shooter’s face, he inferred that the shooter was the driver because the shooter was “sitting with his back against the driver’s seat” like a- driver would ordinarily sit. 8/5/14 (PM) Tr. 91:10-12. Liberty maintains that this evidence could just as plausibly describe Jimmy Watson, the Raven 23 leader, who testified that he leaned across Liberty’s body and shot into the Kia from the passenger seat. This, however, ignores that Krueger testified the shooter was sitting with his back “up against the [driver’s] seat,” 8/5/15 (PM) Tr. 91:17-20, and that the shooter’s upper body was above the steering wheel, not “tilting down or out” of the vehicle like someone who was leaning across the driver’s body. Id. at 35:25-36:11. Watson also described Liberty as having his back “up against the seat.” 7/28/14 (PM) Tr. 79:14-15. Although Watson testified that Liberty did not shoot into the Kia “at that time,” 7/28/14 (PM) Tr. 50:4-6, the jury could have reasonably disbelieved him because Watson’s testimony was inconsistent on other key points, such as whether Slatten shot first, and what Liberty did when he exited the vehicle during the tow hook-up. Compare, e.g., 7/28/14 (PM) Tr. 30:18-22, with id. at 30:23-31:20; id. at 95:12-16, with id. at 95:25-96:13. Further, even if the jury credited Watson’s testimony on that point, it could reasonably have understood his other testimony that, after the initial burst of shooting, he told Liberty “to open the door again and fire again,” id. at 50:13-14, to show that Liberty had taken part in the second burst of shooting at the Kia. Given the close proximity of the convoy to the Kia, 7/1/14 (PM) Tr. 138:4, the jury could reasonably find that Liberty’s shots hit Dr. Al-Khazali, contributing to her death. With regard to the victims shot to the south, Watson testified that Liberty “was engaging in the direction of the south” as the two of them fired simultaneously out of the driver’s side door, which was oriented in that direction. 7/28/14 (PM) Tr. 61:18-62:7. Eddie Randall, another Raven 23 member, testified that he saw shots fired southward from the same door, which, given Liberty’s driving assignment, he too assumed were fired by Liberty. 8/11/14 (AM) Tr. 80:5-82:3. There was also testimony from Jeremy Ridgeway that in the immediate aftermath of the shootings in Nisur Square, Liberty admitted that he had done “another Grey 55,” which Ridge-way explained meant firing blindly out of his porthole with his rifle across his lap. 7/31/14 (AM) Tr. 44:3-9. Liberty maintains nonetheless that the Grey 55 testimony did not establish shooting “in a particular direction at a particular time,” Joint Appellants’ Reply Br. 54, but because Liberty’s door faced south until the convoy pulled away to leave the Square, the jury could reasonably have found that the Grey 55 shots went south. That said, evidence showing only that Liberty fired south is not especially probative that he hit any particular victim because there were multiple shooters, multiple victims in that area and “millions of square feet to the south.” 7/29/14 (AM) Tr. 31:21-22 (Watson). Even so, and even were the Court to assume that the evidence already discussed was insufficient to show Liberty was directly responsible for the victims to the south, there was sufficient evidence to support Liberty’s convictions under an aiding-and-abetting theory. See United States v. Branch, 91 F.3d 699, 731-32 (5th Cir. 1996). To establish aiding and abetting, the government had to prove, beyond a reasonable doubt, that Liberty intentionally “facilitated any part ... of [the] criminal venture,” with enough “knowledge [of the crime to] enable[ ] him to make the relevant legal (and indeed, moral) choice” to opt out instead. Rosemond v. United States, — U.S. —, 134 S.Ct. 1240, 1246, 1249, 188 L.Ed.2d 248 (2014). Given the evidence before the jury, we “find no difficulty in holding that actively participating in a gunbattle in which a gunman kills [multiple victims] can aid and abet that killing” even if the government cannot prove which gunman killed which victim. Branch, 91 F.3d at 732. This is especially true where, as here, the gunfire of each shooter hindered potential escape, leaving victims exposed to the others’ bullets. Cf. Rosemond, 134 S.Ct. at 1247 n.6. The evidence showed that with Slough,