United States v. Kirsch In the

16-3329Court of Appeals for the Second Circuit12.09.2018

Gesamter Gesetzestext

16‐3329‐cr
United States v. Kirsch
In the 1
United States Court of Appeals 2
For the Second Circuit 3
4
5
August Term, 2017 6
No. 16‐3329‐cr 7
8
U NITED S TATES OF AMERICA, 9
Appellee, 10
11
v. 12
13
MARK N. K IRSCH 14
Defendant‐Appellant, 15
16
C ARL A. LARSON, MICHAEL J. CAGGIANO , JEFFREY C. L ENNON, 17
G ERALD H. F RANZ , JR ., JAMES L. MINTER , III, JEFFREY A. PETERSON, 18
K ENNETH E DBAUER, G EORGE DEWALD, MICHAEL J. EDDY , THOMAS 19
F REEDENBERG , GERALD E. BOVE , 20
Defendants.* 21
_______________________ 22
23
Appeal from the United States District Court 24
for the Western District of New York. 25
No. 07‐cr‐00304 — William M. Skretny, Judge. 26
27
28
* The Clerk of Court is directed to amend the caption as set forth above.

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A RGUED: SEPTEMBER 25, 2017 1
D ECIDED: S EPTEMBER 12, 2018 2
3
Before: LOHIER and D RONEY , Circuit Judges, and RAKOFF, District 4
Judge.** 5
6
7
Appeal from a judgment of conviction of the United States 8
District Court for the Western District of New York (Skretny, J.). 9
Mark N. Kirsch, a union local president, was convicted of 10
racketeering conspiracy and Hobbs Act extortion conspiracy for his 11
efforts to force non‐union contractors to hire union members. On 12
appeal, Kirsch contends that: (1) the Enmons exception to the Hobbs 13
Act for the pursuit of lawful union objectives applies, requiring 14
reversal of his Hobbs Act conspiracy conviction; (2) an Enmons‐like 15
exception exists with respect to New York Penal Law extortion, 16
requiring reversal of his racketeering conviction based on state law 17
predicate acts; (3) the wages that he was convicted of attempting to 18
extort are not “property” capable of being extorted, requiring reversal 19
of both convictions; (4) his Hobbs Act conspiracy conviction must be 20
reversed because the Government failed to prove his involvement in 21
the charged conspiracy; and (5) the district court erred in instructing 22
the jury as to the required mental state for threats. We conclude that 23
(1) an Enmons‐like exception does not apply to New York Penal Law 24
extortion; (2) the wages Kirsch attempted to extort were “property” 25
capable of being extorted; (3) the district court’s threat instruction was 26
correct with respect to New York Penal Law extortion; but (4) the 27
Government failed to prove Kirsch’s involvement in the charged 28
Hobbs Act conspiracy. Accordingly, we REVERSE the count of 29
** Judge Jed. S. Rakoff, United States District Court for the Southern District of New
York, sitting by designation.

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conviction for Hobbs Act conspiracy, AFFIRM the count of conviction 1
for racketeering conspiracy, and REMAND for resentencing. 2
3
4
MONICA J. R ICHARDS , Assistant 5
United States Attorney, for James P. 6
Kennedy, Jr., United States Attorney 7
for the Western District of New York, 8
Buffalo, NY, for Appellee. 9
10
B RIAN M. MELBER, Personius Melber 11
LLP, Buffalo, NY, for Defendant‐ 12
Appellant. 13
14
D RONEY , Circuit Judge: 15
In 2016, Appellant Mark N. Kirsch was convicted of Hobbs Act 16
extortion conspiracy and racketeering conspiracy based on predicate 17
acts of New York Penal Law extortion violations. The jury concluded 18
that Kirsch, the president of the local chapter of a labor union, used 19
threats of violence and destruction of property in an attempt to force 20
contractors to hire members of his union. 21
On appeal, Kirsch argues that United States v. Enmons, 410 U.S. 22
396 (1973), shields him from Hobbs Act liability, requiring that his 23

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Hobbs Act conspiracy conviction be reversed. In Enmons, the 1
Supreme Court held that a union official could not be convicted of 2
Hobbs Act extortion if the official’s conduct was undertaken in 3
pursuit of “legitimate union objectives.” Id. at 400. With respect to the 4
racketeering conspiracy conviction, Kirsch contends that an Enmons‐ 5
like exception exists under New York law that shields him from New 6
York Penal Law extortion liability, also requiring the reversal of that 7
count of conviction. He also maintains that (1) the property he was 8
charged with extorting—wages and benefits for union members— 9
was not “transferable,” as required by Sekhar v. United States, 570 U.S. 10
729 (2013); (2) the Government presented insufficient evidence of his 11
involvement in the charged Hobbs Act conspiracy; and (3) the district 12
court’s instructions regarding the required mental state for threats for 13
the extortion charges were incorrect. 14
We hold that (1) under New York Penal Law, there is no 15
Enmons‐like exception for extortion committed in pursuit of a 16

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legitimate labor objective; (2) the property Kirsch was convicted of 1
extorting was “transferable” as required by Sekhar; (3) the district 2
court’s instructions with respect to extortion under the New York 3
Penal Law were correct; but (4) the Government presented 4
insufficient evidence of Kirsch’s involvement in the charged Hobbs 5
Act conspiracy. Because we hold that the government presented 6
insufficient evidence to support the Hobbs Act conviction, we need 7
not reach Kirsch’s argument that Enmons shields him from Hobbs Act 8
liability. As a result, Kirsch’s conviction for racketeering conspiracy 9
is affirmed, and his conviction for Hobbs Act extortion conspiracy is 10
reversed. 11
BACKGROUND 12
Kirsch was the president and business manager of the 13
International Union of Operating Engineers – Local 17 (“Local 17”) 14
from 1997 to 2008. Local 17 operated in the Buffalo, New York area. 15
At trial, the government presented evidence that Kirsch instructed 16

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Local 17 members to “turn or burn” contractors who did not employ 1
them, meaning that non‐union contractors would have to hire Local 2
17 members (“turn”) or the union would obstruct their work (“burn”). 3
Union members, at the direction of Kirsch, picketed and blocked 4
construction sites, threatened construction managers, tampered with 5
equipment, and destroyed property. 6
Kirsch was charged with multiple counts of unlawful conduct 7
with respect to numerous contractors. However, after the jury’s 8
verdict and his motion for judgment of acquittal was granted in part, 9
Kirsch remains convicted only of Racketeering Conspiracy (18 U.S.C. 10
§ 1962(d)) under Count 1 for his role in attempting to extort two 11
contractors—Ontario Specialty Contracting (“OSC”) and Earth 12
Tech—and Hobbs Act extortion conspiracy (18 U.S.C. § 1951(a)) 13
under Count 2 with respect to conduct directed at a third contractor, 14
Amstar Painting (“Amstar”). 1 Accordingly, we limit our review to 15
1 The jury acquitted Kirsch of two counts, but found Kirsch guilty of racketeering
conspiracy, Hobbs Act conspiracy, and two counts of attempted Hobbs Act

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those two counts of conviction and the circumstances involving those 1
three contractors. We briefly summarize the evidence presented at 2
trial as to those contractors.2 3
I. OSC 4
OSC is an environmental contractor that provides soil 5
remediation services. In June 2005, OSC began a project at the 6
waterfront in Buffalo to prepare the site for later construction. Before 7
extortion. As to the racketeering conspiracy count, the jury found that Kirsch had
conspired to commit four predicate acts: (1) attempted Hobbs Act extortion
(“Racketeering Act 4A”) and (2) attempted extortion in violation of New York law
(“Racketeering Act 4B”) as to the OSC project, and (3) attempted Hobbs Act
extortion (“Racketeering Act 5A”) and (4) attempted extortion in violation of New
York law (“Racketeering Act 5B”) as to the Earth Tech project. After trial, the
district court granted in part Kirsch’s motion for a judgment of acquittal,
acquitting Kirsch of the two counts of attempted Hobbs Act extortion. The
Government did not cross‐appeal the district court’s dismissal of those counts. As
discussed below, the district court also concluded that the related predicate acts,
Racketeering Acts 4A and 5A, could not support the racketeering conspiracy count
of conviction, but denied Kirsch’s motion on that count because Racketeering Acts
4B and 5B were sufficient to sustain the conviction.
2 While Count 2—Hobbs Act Conspiracy—alleges conduct with respect to
contractors other than those three, the Government does not specifically rely on
that other conduct to support Kirsch’s conviction under Count 2.

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such construction could begin, OSC was tasked with excavating 1
contaminated material and transporting it to a disposal facility. 2
Before the contract was awarded to OSC, a Local 17 3
representative invited the owner of OSC, Jon Williams, to have lunch 4
with him and Kirsch. Williams testified at trial that at the meeting, 5
Kirsch stated that if OSC did not use Local 17 members for the project, 6
OSC would not “get the project, and if [it] did get the project, [it]’d 7
never get it done.” Gov’t App. 15. Despite Kirsch’s demand that OSC 8
employ Local 17 members, OSC refused. At a meeting before the 9
project’s ceremonial ground‐breaking, Kirsch again threatened to 10
stop the project. Local 17 then began picketing the site. During the 11
picketing, Local 17 members prevented trucks from entering or 12
leaving the worksite, and placed metal “stars” to puncture truck tires 13
in the entranceway of the worksite. Additionally, on multiple 14
occasions, OSC workers discovered upon arrival in the morning that 15

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padlocks on the entrances to the site had been tampered with so that 1
they could not be unlocked.3 2
II. EARTH TECH 3
In 2005, Earth Tech, also an environmental remediation 4
company, entered into a $10 million contract to remove contaminated 5
soil from a school in the Buffalo area. When Earth Tech refused to 6
sign an agreement to hire Local 17 workers, Local 17 members began 7
picketing the job site. In addition, Local 17 members blocked 8
entrances to the site and placed metal stars and roofing nails by its 9
entrance to damage tires of vehicles. As a result of this conduct, Earth 10
Tech obtained an injunction to prevent further disruption at the 11
worksite. When an Earth Tech project manager notified the picketers 12
of the injunction, one of the Local 17 members threatened him. Later, 13
3 There was evidence of additional instances of unlawful conduct by Local 17
directed at OSC employees: picketers told an OSC employee that they knew where
he lived and threatened to throw a brick at his residence; a security guard was
injured when picketers pushed a gate over on top of him; and a picketer threw a
cup of hot coffee over the fence of the job site, hitting an OSC employee in the face.

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as the project manager was leaving for the night, his car was 1
surrounded by picketers; about an hour passed before he was 2
permitted to leave. 3
III. AMSTAR 4
In September of 2003, Amstar, a painting contractor, was 5
involved in a bridge rehabilitation project in Buffalo. After the project 6
had begun, a Local 17 member, Edward Perkins, asked John Lignos, 7
the vice president of Amstar, to assign a Local 17 worker to operate a 8
compressor at the job site. The compressor did not actually require 9
an operator, as “operating” it simply required turning it on in the 10
morning and turning it off at the end of the day.4 Lignos refused to 11
hire a Local 17 member for that purpose. 12
When the Amstar employees arrived on the morning after 13
Lignos told Perkins he would not hire a Local 17 member, they 14
4 Had Lignos hired a Local 17 “operator,” Amstar would have had to pay him for
eight hours of work.

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discovered that the diesel fuel line in the compressor had been cut, 1
causing diesel fuel to spill into the asphalt, resulting in substantial 2
cleanup and repair costs. 3
PROCEDURAL HISTORY 4
On December 18, 2007, a grand jury in the United States District 5
Court for the Western District of New York indicted five members of 6
Local 17—not including Kirsch—on charges of Hobbs Act extortion 7
and conspiracy. On April 1, 2008, the grand jury returned a 8
superseding indictment, adding additional counts and additional 9
defendants, including Kirsch. A second superseding indictment—the 10
operative indictment at trial—was returned on January 10, 2012. It 11
included racketeering conspiracy and Hobbs Act extortion conspiracy 12
charges. 13
Kirsch and his codefendants moved to dismiss the indictment, 14
arguing—as relevant here—that the alleged threatening and violent 15
conduct was undertaken to achieve legitimate union objectives and 16

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thus could not constitute extortion under either the Hobbs Act or New 1
York Penal Law. See Enmons, 410 U.S. at 400. 5 The district court 2
concluded that Enmons did not shield Kirsch and his codefendants 3
from liability, and denied the motion to dismiss. 4
Shortly after the Supreme Court decided Sekhar, and still before 5
trial, Kirsch and his codefendants again moved to dismiss the 6
indictment. Their second motion argued that the property that the 7
indictment alleged was extorted was not “transferable,” as required 8
for Hobbs Act extortion by Sekhar. See Sekhar, 570 U.S. at 734. The 9
district court concluded that while certain of the forms of property 10
that the indictment alleged was extorted failed to satisfy Sekhar, two 11
other forms of property alleged in the indictment satisfied Sekhar. The 12
district court denied the motion to dismiss as to those two types of 13
property. 14
5 As discussed later in the opinion, certain of the racketeering predicate acts were
based on violations of the New York Penal Law.

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After the motion was granted in part and denied in part, only 1
the following two types of property remained charged in the 2
indictment: 3
 “Property of construction contractors consisting of 4
wages and benefits to be paid pursuant to labor contracts 5
with Local 17 at construction projects in Western New 6
York.” 7
 “Property of construction contractors consisting of 8
wages and employee benefit contributions paid or to be 9
paid by said contractors for unwanted, unnecessary, and 10
superfluous labor.” 11
12
Kirsch’s App. 373. 13
The New York state extortion predicate racketeering acts in 14
Count 1 (identified as Racketeering Acts 4B and 5B) defined the 15
property extorted in the first of these ways; Racketeering Acts 4A and 16
5A of Count 1, and Count 2 (Hobbs Act conspiracy) defined the 17
property in the second manner. 18
Kirsch and four of his codefendants proceeded to trial. The 19
codefendants were acquitted of all charges. Kirsch, however, was 20
convicted of racketeering conspiracy (Count 1) and Hobbs Act 21

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conspiracy (Count 2).6 With respect to Count 1, the jury found that 1
Kirsch committed Racketeering Act 4, subparts A and B—attempted 2
extortion of OSC in violation of the Hobbs Act and New York Penal 3
Law, respectively—and Racketeering Act 5, subparts A and B— 4
attempted extortion of Earth Tech in violation of the Hobbs Act and 5
New York Penal Law, respectively. 6
After the verdict, Kirsch moved for a judgment of acquittal (or 7
a new trial) on all the counts of which he was convicted. With respect 8
to Racketeering Acts 4A and 5A (based on Hobbs Act extortion) of 9
Count 1 (racketeering conspiracy) and Count 2 (Hobbs Act extortion 10
conspiracy), Kirsch argued that the Government had not presented 11
sufficient evidence that he had attempted to extort “wages and 12
benefits to be paid . . . for unwanted, unnecessary, and superfluous 13
6 Kirsch was also convicted under Count 5 (attempted Hobbs Act extortion of
OSC), and Count 6 (attempted Hobbs Act extortion of Earth Tech), but was
acquitted of the remaining charges. The district court set aside the convictions on
Counts 5 and 6 after the verdict, and those counts are not subjects of this appeal.

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labor.” Kirsch’s App. 435. Unlike in his motion to dismiss, he did not 1
argue that Enmons shielded his conduct; rather, he argued that the 2
Government chose to define the property related to the Hobbs Act 3
violations as “wages and benefits to be paid . . . for unwanted, 4
unnecessary, and superfluous labor,” and had not proven attempted 5
extortion of such property.7 Kirsch’s argument was that Local 17’s 6
goal had been to replace non‐union laborers with Local 17 laborers 7
who would perform actual and necessary work, and that the labor 8
therefore would not be “superfluous.” The district court agreed with 9
this argument as applied to Racketeering Acts 4A and 5A of Count 1, 10
and entered a judgment of acquittal with respect to those Hobbs Act‐ 11
based racketeering acts.8 But as to Racketeering Acts 4B and 5B of 12
Count 1, which alleged predicate act violations of New York extortion 13
statutes, the district court denied the motion for judgment of 14
7 It would appear that the Government chose this language in an attempt to ensure
compliance with Enmons.
8 The Government does not cross‐appeal from this ruling.

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acquittal. For those racketeering acts, the Government defined the 1
property not as “superfluous” labor, but rather as “wages and 2
benefits to be paid pursuant to labor contracts with Local 17.” 3
Kirsch’s App. 373. The district court concluded that the Government 4
proved that Kirsch attempted to extort such wages and benefits. As 5
to Count 2 (Hobbs Act extortion conspiracy), the district court 6
concluded that the Amstar incident constituted an attempt to extort 7
wages for labor that would have been superfluous—as the indictment 8
charged—and denied the motion with respect to that count. 9
After the district court’s decision on the post‐trial motions, but 10
before Kirsch’s sentencing, the Supreme Court issued its decision in 11
Elonis v. United States, 135 S. Ct. 2001 (2015). Kirsch filed a motion for 12
a new trial based on Elonis, arguing that the district court’s 13
instructions regarding threats, which focused on the perception of the 14
recipient rather than the intent of the maker of the threats, were 15
improper under Elonis. The district court denied that motion. 16

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Kirsch was sentenced to 36 months’ imprisonment on Count 1, 1
and 36 months’ imprisonment on Count 2, with the sentences to run 2
concurrently, followed by two years of supervised release. He was 3
also ordered to pay a total of $198,121.50 in restitution to OSC and 4
Amstar. 5
DISCUSSION 6
I. NO ENMONS‐LIKE EXCEPTION EXISTS UNDER NEW 7
YORK PENAL LAW 8
9
As to Count 1, following the district court’s decision on the 10
post‐trial motions, only the two predicate acts based on New York 11
Penal Law extortion violations remained to support a racketeering 12
violation under the Racketeer Influenced and Corrupt Organizations 13
Act (“RICO”). RICO provides that “[i]t shall be unlawful for any 14
person who has received any income derived, directly or indirectly, 15
from a pattern of racketeering activity . . . to use or invest, directly or 16
indirectly, any part of such income, or the proceeds of such income, 17
in acquisition of any interest in, or the establishment or operation of, 18

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any enterprise which is engaged in, or the activities of which affect, 1
interstate or foreign commerce.” 18 U.S.C. § 1962(a). Racketeering 2
under 18 U.S.C. § 1962 requires a “pattern of racketeering activity,” 3
id. § 1962(a), which requires the Government to prove at least two acts 4
of racketeering activity committed within ten years of one another, id. 5
§ 1961(5). Those acts are defined to include a number of criminal 6
offenses under both state and federal law. See id. § 1961(1). As 7
relevant here, “racketeering activity” includes Hobbs Act extortion, 8
as well as “any act or threat involving . . . extortion . . . chargeable 9
under State law and punishable by imprisonment for more than one 10
year.” Id. § 1961(1)(A)–(B). Kirsch argues that an Enmons‐like 11
exception exists under New York Penal Law and that as a result he 12
could not be convicted of extortion based on those predicate acts 13
because his conduct was committed in pursuit of a lawful union 14

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objective. He challenges the denial of his pre‐trial motion to dismiss 1
on this ground.9 2
We review de novo the denial of a motion to dismiss the 3
indictment. United States v. Yannotti, 541 F.3d 112, 121 (2d Cir. 2008). 4
We hold that no Enmons‐like exception applies to the extortion 5
provisions of the New York Penal Law. But before we examine the 6
current New York statutes (i.e., those in effect at the time of the trial), 7
we discuss Enmons and its interpretation of the Hobbs Act. 8
9 As we explain further later in the opinion, in order for conduct to serve as a state
law RICO extortion predicate act, it must (1) violate a state extortion statute and
(2) satisfy the “generic” definition of extortion. See Scheidler v. Natʹl Org. for
Women, Inc., 537 U.S. 393, 409 (2003). Kirsch argued before the district court both
that an Enmons‐like exception exists under New York Penal Law and that an
Enmons‐like exception exists with respect to the “generic” definition of extortion.
Succeeding on either argument would require that his conviction be reversed.
However, on appeal, he argues only that an Enmons‐like exception exists under
New York Penal Law extortion, and does not reference the “generic” definition of
extortion in the context of his Enmons argument. We therefore deem any argument
related to the applicability of Enmons to the “generic” definition of extortion
abandoned. See United States v. Chen, 378 F.3d 151, 162 n.7 (2d Cir. 2004) (“[T]he
court does not ordinarily consider issues not adequately raised in an opening
brief.”); LoSacco v. City of Middletown, 71 F.3d 88, 92–93 (2d Cir. 1995) (explaining
that arguments not raised in an appellate brief are abandoned).

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The Hobbs Act prohibits robbery or extortion—including 1
conspiracy and attempt—that affects interstate commerce. 18 U.S.C. 2
§ 1951(a). The Hobbs Act defines extortion as “the obtaining of 3
property from another, with his consent, induced by wrongful use of 4
actual or threatened force, violence, or fear.” Id. § 1951(b)(2) 5
(emphasis added). 6
In United States v. Enmons, the Supreme Court concluded that 7
the use of “wrongful” in the Hobbs Act meant that the Hobbs Act 8
could apply only to threats and violence used to obtain an objective 9
that is itself unlawful, thus limiting the scope of Hobbs Act extortion 10
liability in labor disputes. 410 U.S. at 400. In Enmons, union 11
employees destroyed equipment belonging to their employer, a 12
utility company, in an effort to obtain a new collective bargaining 13
agreement. Id. at 39798. 14
The Enmons Court held that this conduct did not violate the 15
Hobbs Act, as the Act “does not apply to the use of force to achieve 16

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legitimate labor ends,” such as “higher wages in return for genuine 1
services.” Id. at 400–01. Accordingly, the Hobbs Act is not violated 2
unless threats or force are used to obtain an illegitimate objective in a 3
labor dispute, such as personal payoffs or “no‐show” jobs.10 Id. at 400. 4
In reaching that conclusion, the Enmons Court relied on both 5
the language of the statute and the legislative history of the Hobbs 6
Act. With respect to the language of the statute, the Court reasoned 7
that “‘wrongful’ has meaning in the [Hobbs] Act only if it limits the 8
statute’s coverage to those instances where the obtaining of the 9
property would itself be ‘wrongful’ because the alleged extortionist 10
has no lawful claim to that property.” Id. Indeed, “it would be 11
redundant to speak of ‘wrongful violence’ or ‘wrongful force’ since . 12
. . any violence or force to obtain property is ‘wrongful.’” Id. at 13
399400. 14
10 We refer to this interpretation of the Hobbs Act by the Supreme Court as the
“Enmons exception.”

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As to the legislative history, the Court concluded that Congress 1
enacted the Hobbs Act in response to the Court’s decision in United 2
States v. Local 807, 315 U.S. 521 (1942). Id. at 401–02. As the Enmons 3
Court explained, Local 807 held that the predecessor to the Hobbs 4
Act—the Anti‐Racketeering Act of 1934, ch. 569, 48 Stat. 979 5
(amended by Hobbs Act, ch. 537, 60 Stat. 420 (1946))—did not prohibit 6
the conduct of “members of a New York City truck drivers union 7
who, by violence or threats, exacted payments for themselves from 8
out‐of‐town truckers in return for the unwanted and superfluous 9
service of driving out‐of‐town trucks to and from the city.” Enmons, 10
410 F.3d at 402 (citing Local 807, 315 U.S. at 526). Congress enacted 11
the Hobbs Act, the Court explained, to ensure that this type of 12
conduct—extorting wages for “imposed, unwanted, and superfluous 13
services”—was criminalized under the amended statute. Id. at 403. 14
However, the Court also made clear that Congress did not intend the 15

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Hobbs Act to reach extortion committed to achieve legitimate union 1
objectives. Id. at 402–07.11 2
As described above, Enmons was based on the interpretation of 3
the particular language of the Hobbs Act, as well as its legislative 4
history. The question, then, is whether that interpretation informs our 5
reading of the New York extortion statute, and whether a similar 6
exception exists under that statute. Under the New York Penal Law 7
prior to 1965, section 850 defined the offense of extortion in a manner 8
similar to the Hobbs Act. Specifically, section 850 provided that 9
“[e]xtortion is the obtaining of property from another . . . with [the 10
victim’s] consent, induced by a wrongful use of force or fear.” N.Y. 11
Penal Law § 850 (1909 (emphasis added). That definition closely 12
tracked the language of the Hobbs Act by including the use of the 13
11 Comments by legislators regarding the Hobbs Act emphasized that the Act was
not intended to “interfere in any way with any legitimate labor objective or
activity,” id. at 404 (citation omitted), and Congressman Hobbs, the bill’s sponsor,
“explicitly refuted the suggestion that strike violence to achieve a union’s
legitimate objectives was encompassed by the Act,” id. at 404–05.

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word “wrongful.” Accordingly, were that statute still in force today, 1
the Enmons Court’s observation that “it would be redundant to speak 2
of ‘wrongful violence’ or ‘wrongful force’ since . . . any violence or 3
force to obtain property is ‘wrongful,’” Enmons, 410 U.S. at 400–01, 4
would also guide us in our interpretation of that version of the New 5
York Penal Law extortion statute. 12 6
12 The Supreme Court noted that the legislative history of the Hobbs Act indicated
that Congress intended that the Act “d[o] no more than incorporate New York’s
conventional definition of extortion—‘the obtaining of property from another . . .
with his consent, induced by a wrongful use of force or fear . . . . ’” Enmons, 410
U.S. at 406 n.16 (citation omitted). Referring to the pre‐1965 version of the New
York extortion statute and citing only New York cases decided prior to 1965, the
Supreme Court stated that “[j]udicial construction of the New York statute
reinforces the conclusion that, however militant, union activities to obtain higher
wages do not constitute extortion.” Id. Even though Enmons was decided in 1973,
it is clear that the Supreme Court was referring to the “[j]udicial construction” of
the pre‐1965 extortion statute, which contained nearly identical language to the
Hobbs Act, and was not considering the version in effect when Enmons was
decided and still in effect today. Indeed, the Supreme Court was simply indicating
that New York courts had interpreted the “conventional definition of extortion”
to not include union violence “to obtain higher wages” at the time Congress passed
the Hobbs Act, and that in adopting this “conventional definition,” Congress likely
intended the same result. Id. However, as we have explained, New York has
abandoned the “conventional definition of extortion” in favor of the definition
currently in effect.

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In 1965, however, the New York extortion statute was 1
amended. That amendment—which remains in effect today— 2
reformulated the definition of extortion and removed the word 3
“wrongful.” See N.Y. Penal Law §§ 155.05, 155.40 (McKinney 1967). 4
Under the current New York Penal Law, 5
[a] person is guilty of . . . larceny . . . when he steals 6
property and . . . 2. the property . . . is obtained by 7
extortion committed by instilling in the victim a fear that 8
the actor or another person will (a) cause physical injury 9
to some person in the future, or (b) cause damage to 10
property . . . . 11
12
N.Y. Penal Law § 155.40.13 13
The statute also explains that “[a] person obtains property by 14
extortion when he compels or induces another person to deliver such 15
property to himself or to a third person by means of instilling in him 16
a fear that, if the property is not so delivered, the actor or another 17
will,” in relevant part: 18
13 Extortion is a type of Grand Larceny in the Second Degree, a class C felony.
N.Y. Penal Law § 155.40.

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(i) Cause physical injury to some person in the future; or 1
(ii) Cause damage to property; or 2
. . . . 3
(vi) Cause a strike, boycott or other collective labor group 4
action injurious to some person’s business; except that 5
such a threat shall not be deemed extortion when the 6
property is demanded or received for the benefit of the 7
group in whose interest the actor purports to act . . . . 8
9
N.Y. Penal Law § 155.05(2)(e). 10
New York’s amended definition of extortion thus eliminates 11
the word “wrongful,” but also provides a separate exception for 12
certain union activities. We address the implication of each of those 13
changes below. 14
First, the elimination of “wrongful” renders the Supreme 15
Court’s statutory interpretation analysis in Enmons irrelevant to 16
interpreting the current New York extortion statute. The Supreme 17
Court’s Enmons analysis relied on the presence of that word in the 18
Hobbs Act, and its absence in the New York statute suggests that New 19
York has not incorporated the Supreme Court’s exception for labor 20
activities into its own current law. Moreover, in contrast to the 21

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27
legislative history of the Hobbs Act, the legislative history of the 1965 1
amendment to the New York Penal Law extortion statute does not 2
indicate an intent to exempt the use of threats of force by members of 3
a labor union to achieve a legitimate union objective from the 4
prohibitions of the statute.14 Accordingly, Enmons does not guide us 5
in interpreting the current version of the New York Penal Law 6
extortion statute. 7
We therefore turn to the language of New York’s revised 8
definition of extortion and its exemption for certain union activities. 9
The plain language of the current New York extortion statute 10
prohibits threats of violence, even in labor disputes. Section 155.05(e) 11
of the New York Penal Law broadly prohibits “instilling [in the 12
victim] a fear that” if the victim does not deliver the property, the 13
actor will, as relevant here, injure a person or damage property. For 14
14 See generally Legislative History compiled by the New York Legislative Service, Inc.,
1965, Ch. 1030.

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28
example, subsection (e)(i) prohibits “instilling [in the victim] a fear” 1
of personal harm, and subsection (e)(ii) prohibits “instilling [in the 2
victim] a fear” of property damage. 3
Subsection 155.05(e)(vi) of the New York statute also prohibits 4
extortion carried out by “instilling [in the victim] a fear” of “strike, 5
boycott or other collective labor group action injurious to some 6
person’s business,” but provides limited circumstances under which 7
such conduct does not constitute extortion, namely “when the 8
property is demanded or received for the benefit of the group in 9
whose interest the actor purports to act.” That exception to extortion 10
liability does not, however, create an Enmons‐like exception 11
applicable to the New York extortion statute as a whole. The 12
exception is contained only within subsection (vi), and thus it does 13
not shield union members who violate other subsections of the 14
statute—such as by threatening to commit violent acts against 15
persons or property in violation of subsections (e)(i) and (ii)—from 16

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29
extortion liability. Rather, it protects only union members who 1
threaten to perform certain union activities taken to benefit a labor 2
group. 3
In addition, and unlike the Hobbs Act, the protected activity is 4
clearly defined and cannot be read to encompass threats to cause 5
personal injury or damage property. As we have noted, the statute 6
lists “strike[s], boycott[s] or other collective labor group action[s]” as 7
permissible threats only where “the property is demanded or 8
received for the benefit of the group in whose interest the actor 9
purports to act.” N.Y. Penal Law § 155.05(e)(vi). The only basis to 10
argue that the statute permits threats to cause property damage or 11
personal injury in the labor dispute context is the language 12
authorizing threats for “other collective labor group action” 13
undertaken to benefit a labor group. But the context here 14
demonstrates that “other collective labor group action” does not 15
include such threats. See Robinson v. Shell Oil Co., 519 U.S. 337, 341 16

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30
(1997) (“The plainness or ambiguity of statutory language is 1
determined by reference to the language itself, the specific context in 2
which that language is used, and the broader context of the statute as 3
a whole.”). Rather, the terms that precede “other collective labor 4
group action”—“strike” and “boycott”—demonstrate that the term 5
can only be understood as permitting threats to undertake traditional 6
union organizing and collective action activities. As the Supreme 7
Court has explained, a “word is known by the company it keeps,” and 8
here, that principle compels an interpretation that maintains the New 9
York Penal Law’s categorical prohibition against extortion that 10
threatens personal injury or property damage. See also United States 11
v. Williams, 553 U.S. 285, 294 (2008) (“[A] word is given more precise 12
content by the neighboring words with which it is associated.”). As a 13
result, New York’s extortion statute does not shield Kirsch from 14
criminal liability. 15

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31
Here, the Government presented sufficient evidence to the jury 1
that Kirsch “instill[ed] in the [victims] a fear” that Local 17 would 2
cause personal injury in violation of subsection (e)(i), and cause 3
property damage in violation of subsection (e)(ii), in connection with 4
the OSC and Earth Tech episodes. Accordingly, Kirsch’s challenge to 5
the sufficiency of Predicate Acts 4B and 5B of Count 1 under 6
subsections (e)(i) and (ii) of New York Penal Law § 155.05 fails. 7
II. THE PROPERTY SET FORTH IN RACKETEERING ACTS 8
4B AND 5B WAS “TRANSFERABLE” 9
10
As discussed above, the Count 1 racketeering conspiracy 11
conviction was predicated upon New York state law predicate acts of 12
extortion. Violations of state extortion statutes may qualify as RICO 13
predicate acts, but only if such violations are also “‘capable of being 14
generically classified as extortionate.’” Wilkie v. Robbins, 551 U.S. 537, 15
567 (2007) (quoting Scheidler v. Natʹl Org. for Women, Inc., 537 U.S. 393, 16
409 (2003)). “[S]uch ‘generic’ extortion is defined as ‘obtaining 17
something of value from another with his consent induced by the 18

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32
wrongful use of force, fear, or threats.’” Scheidler, 537 U.S. at 409 1
(quoting United States v. Nardello, 393 U.S. 286, 290 (1969)). Thus, in 2
order for conduct to serve as a state law RICO extortion predicate act, 3
it must (1) violate a state statute and (2) satisfy that “generic” 4
definition of extortion. 5
Relying on the Supreme Court’s decision in Sekhar v. United 6
States, 570 U.S. 729 (2013), Kirsch argues that the property that he was 7
convicted of extorting was not transferable, and that the district court 8
should have granted pre‐trial dismissal of Counts 1 and 2 on that 9
basis. Because we later conclude that the district court should have 10
granted a judgment of acquittal with respect to Count 2 based upon 11
insufficiency of the evidence, we need not reach Kirsch’s argument 12
that Sekhar provides a basis to set aside his conviction under Count 2. 13
Accordingly, we address only whether the reasoning of Sekhar 14
requires us to vacate his conviction under Count 1 for racketeering 15
conspiracy based on New York Penal Law extortion predicate acts. 16

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33
In contrast to Kirsch’s Enmons‐based challenge to his Count 1 1
conviction, his Sekhar‐based challenge to Count 1 addresses both the 2
New York Penal Law definition of extortion as well as the “generic” 3
definition applicable to all state law RICO extortion predicate acts. 4
See Kirsch Reply Br. at 19 (“In order to serve as predicate racketeering 5
acts for a federal RICO charge, . . . state law offenses must be capable 6
of being generically classified as extortionate.”). Accordingly, we 7
address (1) whether Sekhar—a decision interpreting the Hobbs Act— 8
also applies to the “generic” definition of extortion, and if it does (2) 9
whether the property that Kirsch was convicted of extorting in 10
Racketeering Acts 4B and 5B satisfies Sekhar. 15 We conclude that 11
15 We need not separately address whether the property Kirsch extorted qualified
as “property” under the New York Penal Law extortion statute. Kirsch’s only
property‐based challenge to the New York Penal Law component of his Count 1
conviction is that a Sekhar‐like “transferability” requirement also exists under New
York Penal Law, and is not satisfied. Stated otherwise, Kirsch does not argue that
the property he was convicted of extorting fails to qualify as “property” under
New York law for some other reason. While we note that transferability does not
appear to be a requirement under New York Penal law, see People v. Garland, 69
N.Y.2d 144, 147 (1987) (“[A]n interest need not be transferable to constitute
‘property’ under [New York] Penal Law § 155.00(1).”), we need not directly

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34
Sekhar applies to the “generic” definition of extortion, but that the 1
transferability of property requirement of Sekhar is satisfied with 2
respect to the state law predicate acts. 3
The “generic” definition of extortion applicable to RICO state 4
law extortion predicate acts and the Hobbs Act definition of extortion 5
are nearly identical. Compare Scheidler, 537 U.S. at 409 (“‘[G]eneric’ 6
extortion is defined as obtaining something of value from another 7
with his consent induced by the wrongful use of force, fear, or 8
threats.” (internal quotation marks omitted)), with 18 U.S.C. 9
§ 1951(b)(2) (defining extortion as “the obtaining of property from 10
another, with his consent, induced by wrongful use of actual or 11
threatened force, violence, or fear, or under color of official right”). 12
That both definitions include the word “obtaining” is particularly 13
relevant to our analysis. 14
address the issue, for we conclude below that the property at issue here was
“transferable.”

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35
In Scheidler, the Supreme Court, pointing to “obtaining” in the 1
Hobbs Act definition of extortion, the history of the Act, and the 2
common law crime of extortion, held that the Hobbs Act requires 3
“that a person must ‘obtain’ property from another party to commit 4
extortion.” 537 U.S. at 404. The Court held that the generic “state 5
extortion offense for purposes of RICO” also “require[s] a party to 6
obtain or to seek to obtain property.” Id. at 410. 7
Subsequently, in Sekhar, the Supreme Court further explained 8
that “[o]btaining property requires ‘not only the deprivation but also 9
the acquisition of property.’” Sekhar, 570 U.S. at 734 (quoting Scheidler, 10
537 U.S. at 404). As a result, extortion “requires that the victim part 11
with his property, and that the extortionist gain possession of it.” Id. 12
(internal quotation marks and citation omitted). Thus, to summarize, 13
“property extorted must . . . be transferable—that is, capable of passing 14
from one person to another.” Id. 15

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36
Sekhar addressed only the Hobbs Act definition of extortion, not 1
the “generic” definition of extortion for the purpose of analyzing state 2
law RICO predicate acts. However, since Sekhar’s holding requiring 3
transferability is a clarification of what it means to “obtain” property, 4
see id. at 736 (“Scheidler rested its decision, as we do, on the term 5
‘obtaining.’”), and the “generic” definition of extortion requires that 6
property be obtained, see Scheidler, 537 U.S. at 410, we conclude that 7
the requirement of transferability applies with equal force to 8
“generic” state law RICO predicate extortion offenses. Accordingly, 9
in order for a state extortion offense to serve as a RICO predicate act, 10
the property extorted must be “transferable—that is, capable of 11
passing from one person to another.” Sekhar, 570 U.S. at 734 12
(emphasis omitted). 13
We next address whether the property that Kirsch was 14
convicted of extorting under New York Penal Law in Racketeering 15
Acts 4B and 5B—namely, “[p]roperty of construction contractors 16

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37
consisting of wages and benefits to be paid pursuant to labor contracts 1
with Local 17 at construction projects in Western New York,”—is 2
transferable. Kirsch’s App. 373. We conclude that it is. 3
In Scheidler, anti‐abortion activists attempted to close abortion 4
clinics by interfering with doctors, nurses, clinic staff, and women 5
seeking access to the clinics. 537 U.S. at 400–01. The National 6
Organization of Women and two clinics brought a civil RICO action 7
against the anti‐abortion activists, alleging a pattern of extortionate 8
racketeering acts under the Hobbs Act and state law. Id. at 398. The 9
Court characterized the property the defendants allegedly extorted as 10
the “right to seek medical services from the clinics, the clinic doctors’ 11
rights to perform their jobs, and the clinics’ rights to provide medical 12
services and otherwise conduct their business.” Id. at 399. In holding 13
that such conduct was not extortionate, the Court stated that “even 14
when [the] acts of interference and disruption achieved their ultimate 15
goal of ‘shutting down’ a clinic that performed abortions, such acts 16

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38
did not constitute extortion because [the defendants] did not ‘obtain’ 1
[plaintiffs’] property.” Id. at 404–05. While “[the defendants] may 2
have deprived or sought to deprive [the plaintiffs] of their alleged 3
property right of exclusive control of their business assets, . . . they 4
did not acquire any such property.” Id. at 405. The Court observed 5
that characterizing this type of behavior as extortion would “discard 6
the statutory requirement that property must be obtained from 7
another, replacing it instead with the notion that merely interfering 8
with or depriving someone of property is sufficient to constitute 9
extortion.” Id. 10
The Court reached a similar conclusion in Sekhar. In that case, 11
the defendant was convicted of Hobbs Act extortion for attempting to 12
force the general counsel for the New York State Comptroller to 13
recommend investing in a fund managed by the defendant’s 14
company by threatening to expose the general counsel’s alleged 15
extramarital affair. 570 U.S. at 731. The Court characterized the 16

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39
property right as “the general counsel’s intangible property right to 1
give his disinterested legal opinion . . . free of improper outside 2
interference.” Id. at 73738 (internal quotation marks omitted). The 3
Court concluded that while the defendant could deprive the general 4
counsel of this right, he could not possibly have “obtained” it for 5
himself. See id. Accordingly, the property was not transferable, and 6
the defendant’s Hobbs Act attempted extortion conviction was 7
reversed. See id. 8
In both Scheidler and Sekhar, the conduct did not constitute 9
extortion because the defendants could not obtain the property for 10
themselves; rather, they could merely “interfere” with the victims’ 11
use of it. Such conduct perhaps constituted the New York offense of 12
coercion, but not extortion. See Scheidler, 537 U.S. at 404–08; Sekhar, 13
570 U.S. at 734–35; see also N.Y. Penal Law § 135.60 (“A person is guilty 14
of coercion . . . when he or she compels or induces a person to engage 15

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40
in conduct which the latter has a legal right to abstain from engaging 1
in . . . .”). 16 2
In contrast, Kirsch sought to extort property that Local 17 3
members could clearly “obtain”: wages and benefits from 4
construction contractors. Wages and benefits are “capable of passing 5
from one person to another,”—in this case, from the employer to the 6
16 In discussing the New York crime of coercion, the Sekhar Court stated that “[a]t
the time [Congress enacted the Hobbs Act], New York courts had consistently held
that the sort of interference with rights that occurred [in Sekhar] was coercion.” 570
U.S. at 735 (emphasis omitted). In support, the Court included, inter alia, the
following citation: “People v. Scotti, 266 N.Y. 480, 195 N.E. 162 (1934) (compelling
victim to enter into agreement with union).” Based on that citation, Kirsch argues
that his conduct constituted only the offense of coercion, not extortion. But neither
Scotti nor the Supreme Court’s citation to it can bear the weight Kirsch assigns to
them. First, the property charged in Racketeering Acts 4B and 5B is “wages and
benefits,” not a union agreement. Second, Scotti, a summary disposition of an
appeal of four defendants’ coercion convictions, conveys only that the defendants
were convicted of using “threats and force [to] compel[] the complainant, a
manufacturer, to enter into an agreement with a labor union of which the
defendants were members,” and that there was insufficient evidence to support
the convictions of three of those defendants. Scotti, 266 N.Y. at 480. Accordingly,
we do not know the type of agreement sought, and whether it would have
qualified as “obtainable” or “transferable” property. We therefore decline to read
Sekhar’s citation to Scotti as creating a broad rule that any type of agreement with
a union is per se not property that may be extorted.

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41
employee—and are therefore “transferable.” Sekhar, 570 U.S. at 734. 1
Indeed, when an employer pays wages and provides benefits to an 2
employee, the employer “part[s] with” that property, and the 3
employee “gain[s] possession” of it. Id. (citations omitted). 4
Accordingly, Kirsch’s conviction under Count 1 meets the 5
requirement recognized in Scheidler and Sekhar that the targeted 6
property be transferable. 7
III. SUFFICIENCY OF THE EVIDENCE FOR COUNT 2 8
9
Kirsch argues that his conviction for Count 2—Hobbs Act 10
extortion conspiracy—must be reversed because the Government 11
presented insufficient evidence that Kirsch agreed with others to 12
extort wages for “unwanted, unnecessary, and superfluous labor.” 13
Specifically, he contends that the Government failed to prove his 14
involvement in the Amstar incident. 15
In granting in part and denying in part Kirsch’s motion for 16
judgment of acquittal, the district court ruled that only the Amstar 17

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42
incident was evidence of an attempt to extort wages for “unwanted, 1
unnecessary, and superfluous labor,” and upheld the jury’s Count 2 2
verdict on that basis.17 The court rejected the Government’s argument 3
that Kirsch’s conduct with respect to other contractors qualified as 4
such. On appeal, the Government defends the Count 2 conviction 5
with two arguments. First, the Government contends that it 6
presented sufficient evidence with respect to the Amstar incident to 7
support the Hobbs Act conspiracy conviction. Second, the 8
Government argues that the actions of Kirsch and Local 17 towards 9
OSC and EarthTech constitute an attempt to extort wages for 10
17 Even assuming that the district court was correct that the Government presented
sufficient evidence of Kirsch’s involvement in the Amstar episode, its conclusion
that a new trial was not warranted was incorrect. The district court decided that
all of the non‐Amstar evidence that the Government presented with respect to
Count 2 did not prove a conspiracy to extort wages for “unwanted, unnecessary,
and superfluous labor.” The jury rendered only a general guilty verdict for Count
2. Accordingly, it is impossible to conclude that the jury relied on the Amstar
incident in convicting Kirsch under Count 2. Rather, the jury’s Count 2 verdict
could have been based upon its belief that Kirsch committed unlawful conduct
with respect to other contractors, conduct that the court later found did not qualify
as attempts to extort wages for “unwanted, unnecessary, and superfluous labor.”

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43
“unwanted, unnecessary, and superfluous labor” because Local 17 1
workers were not qualified to do the work at those job sites and 2
therefore could not have been substituted for the other workers. 18 3
Kirsch responds that the Government failed to prove that Local 17 4
workers lacked the requisite qualifications for the OSC and EarthTech 5
work. 6
Before we more fully discuss the evidence the Government 7
presented regarding Amstar, EarthTech, and OSC, we address the 8
language of Count 2 of the indictment. Although the indictment 9
curiously identifies 76 “overt acts in furtherance of Count 2,” Kirsch’s 10
18 As explained above, the district court rejected the Government’s argument that
the conduct with respect to EarthTech and OSC constituted attempts to extort
wages for “unwanted, unnecessary, and superfluous labor” and accordingly
granted judgment of acquittal with respect to Racketeering Acts 4A and 5A, and
Counts 5 and 6 (all involving EarthTech and OSC). The Government does not
cross‐appeal from the judgment of acquittal, but challenges the district court’s
reasoning. But because the Government does not challenge the district court’s
reasoning “with a view either to enlarging [its] own rights thereunder or of
lessening the rights of [its] adversary,” Jennings v. Stephens, 135 S. Ct. 793, 798
(2015) (quotation marks omitted), its failure to cross‐appeal does not foreclose it
from disputing the correctness of the district court’s conclusion as to the Earth
Tech and OSC incidents in arguing on appeal that Kirsch’s conviction under Count
2 should be affirmed.

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44
App. 394411, proof of an overt act is not necessary to sustain a 1
conviction for Hobbs Act conspiracy, see United States v. Gotti, 459 F.3d 2
296, 338 (2d Cir. 2006). However, that does not relieve the 3
Government of its burden to prove the existence of the conspiracy 4
charged in the indictment—in this case a conspiracy to extort wages 5
for “unwanted, unnecessary, and superfluous” labor. See In re 6
Terrorist Bombings of U.S. Embassies in E. Africa, 552 F.3d 93, 113 (2d 7
Cir. 2008) (“To establish the existence of a criminal conspiracy, the 8
government must prove that the conspirators agreed on the essence 9
of the underlying illegal objective[s], and the kind of criminal conduct 10
. . . in fact contemplated.” (alterations in original) (internal quotation 11
marks omitted)). The 76 “overt acts” are therefore properly viewed 12
as incidents allegedly supporting Kirsch’s membership in a Hobbs 13
Act extortion conspiracy, not as overt acts that the Government was 14
required to prove to sustain a conviction. Also, while the 76 “overt 15
acts” are listed in the indictment, on appeal the Government has 16

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45
identified only those involving Earth Tech, OSC, and Amstar as 1
providing evidentiary support for the conviction under Count 2. 2
We review the denial of a motion for a judgment of acquittal de 3
novo. United States v. Reyes, 302 F.3d 48, 5253 (2d Cir. 2002). To 4
prevail on a motion for judgment of acquittal, the defendant must 5
demonstrate that “no rational trier of fact could have found the 6
essential elements of the crime charged beyond a reasonable doubt.” 7
United States v. McDermott, 245 F.3d 133, 137 (2d Cir. 2001) (internal 8
quotation marks omitted). In evaluating whether a defendant has met 9
this burden, “we consider all of the evidence, both direct and 10
circumstantial, in the light most favorable to the government, 11
crediting every inference that the jury might have drawn in favor of 12
the government.” United States v. Velasquez, 271 F.3d 364, 370 (2d Cir. 13
2001) (internal quotation marks omitted). 14
We first address whether sufficient evidence connected Kirsch 15
to the Amstar incident to support a Hobbs Act conspiracy conviction. 16

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46
Applying the Norris‐LaGuardia Act (“NLGA”), we conclude that it 1
does not. The NLGA limits the liability of union officers and 2
members for the conduct of their fellow union members. 29 U.S.C. 3
§ 106. It provides that 4
[n]o officer or member of any association or 5
organization, and no association or organization 6
participating or interested in a labor dispute, shall be 7
held responsible or liable in any court of the United 8
States for the unlawful acts of individual officers, 9
members, or agents, except upon clear proof of actual 10
participation in, or actual authorization of, such acts, or 11
of ratification of such acts after actual knowledge thereof. 12
13
Id. The Hobbs Act specifically incorporates the limitations set forth in 14
the NLGA. 18 U.S.C. § 1951(c) (“This section shall not be construed 15
to repeal, modify or affect . . . sections . . . 101–115 of Title 29 . . . .”). 16
In United Brotherhood of Carpenters v. United States, the Supreme 17
Court held that the NLGA precludes liability of a union member for 18
the unlawful conduct of a fellow union member “except upon clear 19
proof that the particular act charged, or acts generally of that type and 20
quality, had been expressly authorized, or necessarily followed from 21

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47
a granted authority, by the [union] or non‐participating member 1
sought to be charged or was subsequently ratified by such [union] . . 2
. or member after actual knowledge of its occurrence.” 330 U.S. 395, 3
406–07 (1947). The Court added that “the custom or traditional 4
practice of a particular union can . . . be a source of actual 5
authorization of an officer to act for and bind the union.” Id. at 410. 6
As a result, in order for the Amstar incident to support Kirsch’s 7
conviction on Count 2, the Government would have had to present 8
evidence that Kirsch participated in, “expressly authorized,” or 9
“subsequently ratified” attempts to extort wages for “unwanted, 10
unnecessary, and superfluous labor”—i.e., not replacement labor—or 11
was responsible for “a custom or traditional practice” of extorting 12
wages for such labor. It did not. 13
The evidence presented to the jury that Perkins, the Local 17 14
member who contacted Amstar about its compressor, was 15
responsible for the destruction at the Amstar job site was scant. 16

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48
Additionally, the evidentiary link between Kirsch and that 1
destruction was absent. There was no testimony that Kirsch was 2
personally involved in the Amstar incident, directed unlawful 3
conduct towards Amstar, or ratified it after it occurred. Accordingly, 4
in order for Kirsch to be liable under the NLGA with respect to the 5
Amstar incident, there would have to be evidence that (1) Kirsch was 6
at least responsible for “a custom or traditional practice” of seeking 7
such fictitious work that caused Perkins to make the request for the 8
union employment that he made to Lignos of Amstar, and that (2) the 9
“custom or traditional practice” resulted in cutting the fuel line. See 10
United Bhd. of Carpenters, 330 U.S. at 410. The evidence presented to 11
the jury did not support such a connection. 12
There was evidence that Kirsch referred to his general strategy 13
for Local 17 as “turn or burn.” Gov’t App. 217–18. The “turn” part of 14
that phrase refers to convincing contractors to sign collective 15
bargaining agreements with Local 17 and to hire Local 17 workers. 16

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49
The “burn” refers to picketing at worksites and even vandalizing 1
equipment if contractors refused Local 17’s requests. As one Local 17 2
member testified, “turn or burn” indicated that contractors “would 3
either become union or we would put them out of business.” Gov’t 4
App. 417. However, that general strategy is insufficient to connect 5
Kirsch to the particular threat and destruction of the Amstar property, 6
and as we have stated, no other evidence connects Kirsch to the 7
Amstar incident. Accordingly, no reasonable jury could find beyond 8
a reasonable doubt that Kirsch was responsible for the Amstar 9
incident. 10
Next, we turn to the Government’s argument that Kirsch’s 11
conduct with respect to OSC and EarthTech constituted evidence of 12
attempts to extort wages for “unwanted, unnecessary, and 13
superfluous labor.” 14
The Government argues that the employees at Earth Tech and 15
OSC were “uniquely trained and qualified” to do the work that 16

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50
needed to be done at those sites—specifically “excavating 1
contaminated earth, getting that earth safely into specially outfitted 2
trucks, and then getting it to landfills quickly and with no spillage”— 3
and that workers from Local 17 were unqualified to do such work. 4
Gov’t’s Br. at 41. Indeed, if Local 17 workers were not qualified and 5
able to do the work they sought, the wages they would be paid would 6
be for “superfluous” labor. However, the evidence did not establish 7
that Local 17 members did not meet—or that it would be particularly 8
difficult for them to meet—the OSC and Earth Tech job site 9
requirements. 10
James Minter, a former Local 17 member and former Kirsch co‐ 11
defendant, and a Government cooperating witness, testified that 12
Local 17 members completed a 40‐hour Occupational Safety and 13
Health Administration training on handling hazardous materials as 14
part of their apprenticeship program. Similarly, Kirsch’s co‐ 15
defendant Thomas Freedenberg testified that Local 17 members 16

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51
received the “training necessary to work on hazardous waste jobs, 1
jobs where you have contaminated material and it needs to go to a 2
disposal site.” Tr. 4057–58. 3
There was no testimony regarding whether Local 17 members’ 4
hazardous materials training specifically qualified them to work with 5
the contaminated soil at the two particular sites. However, testimony 6
regarding the Earth Tech and OSC job sites did not show that Local 7
17 workers were unqualified to perform such general soil remediation 8
work. 9
With respect to Earth Tech, William Lindheimer, the project 10
manager for Earth Tech at the Buffalo site, testified regarding the 11
qualifications necessary to work at that site: 12
First of all, there’s a lot of prequalifications that go into 13
the employees that we have to hire. Our operators and 14
laborers, they have to go through a pretty extensive 15
physical process. They have to be first qualified. They 16
have to have some proper training and certificates. They 17
have to be suitable for the work. They have to wear 18
respiratory protection. They have to be capable of 19
performing their tasks in respirators. In addition, the 20

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52
kind of the prequalifications they, also—you know, we 1
spend a great deal of time with our operators with our 2
own what we would call standard operating procedures, 3
how we like to excavate the soil, how we like to load that 4
soil into the trucks, how we like to move the material on 5
our particular job sites. 6
7
Gov’t App. 290–91. 8
No further details were provided regarding how much effort it 9
would have taken to train Local 17 workers on Earth Tech’s “standard 10
operating procedures.” Furthermore, Lindheimer testified that he 11
was unaware whether Local 17 employees had the requisite training 12
and certificates to work on the Earth Tech job site. Kirsch Reply Br. 13
App. 39–40. Thus, the Government failed to prove that Local 17 14
members were unqualified to work at the Earth Tech site, or that 15
training them on the particular procedures of Earth Tech would have 16
been so extensive as to preclude hiring them. 17
Regarding the qualifications needed to work at the OSC job site, 18
Jon Williams, the founder of OSC, testified that 19

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53
[I]ndividuals that are on these job sites have to have a 1
certain level of training that’s mandated by the federal 2
government, and in some cases, New York State 3
Department of Labor. And most of that training is just to 4
make sure that the employee has knowledge, 5
understanding, and awareness of the contaminants. 6
7
Gov’t App. 20. Like with Earth Tech, there was no testimony 8
indicating how much of such training was required. More 9
importantly, the Government provided no evidence that Local 17 10
workers were not already qualified to do the work at OSC’s site.19 11
The trial record establishes that Local 17 members would have 12
likely qualified for the work on the Earth Tech and OSC projects. 13
Even if there were some particular steps needed to qualify for such 14
work, those were minimal, and certainly would not make the Local 15
17 members’ employment by those two companies “unwanted, 16
unnecessary, and superfluous.” Accordingly, we conclude that the 17
Government presented insufficient evidence at trial of Kirsch’s 18
19 On cross‐examination, Williams testified that, like Lindhemer on the Earth Tech
project, he did not know whether Local 17 members received the requisite training
to do the work at OSC’s job site.

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involvement in a conspiracy to extort wages for “unwanted, 1
unnecessary, and superfluous” labor to support his conviction under 2
Count 2, and that therefore a judgment of acquittal must be entered 3
with respect to that count. 20 4
IV. THE JURY WAS PROPERLY INSTRUCTED WITH 5
RESPECT TO THREATS UNDER NEW YORK PENAL LAW 6
EXTORTION 7
8
20 The Government also argues that United States v. Robilotto, 828 F.2d 940 (2d Cir.
1987), requires us to hold that Kirsch’s conduct with respect to OSC and EarthTech
constituted an attempt to extort wages for “unwanted, unnecessary, and
superfluous labor.” In Robilotto, a local union forced an employer to pay wages to
a local union worker for a job already being performed by an out‐of‐state union
member. Id. at 943. Because the employer had to “hire two workers for the same
job,” and “the work [was] performed . . . by the employee from [out‐of‐state],” id.,
the Court concluded that “[i]t would be difficult to imagine a more obvious
instance of imposed, unwanted, superfluous and fictitious labor services,” id. at
945. The Government argues that Robilotto controls here because “it was the
employer’s determination to capitulate to the union’s demand that put him in the
position of now paying for two employees to do the work of one” that
distinguishes the situation here from Robilotto, and that this is a distinction without
legal significance. Gov’t’s Br. at 40. It appears to be the Government’s position
that if Kirsch’s threats succeeded, the contractors would have had to pay wages to
both the non‐union workers and the Local 17 workers who replaced them. If this
were true, Robilotto would be relevant. However, the Government cites no
evidence that the contractors would have continued to pay the non‐union workers
after replacing them with Local 17 workers, as opposed to terminating the non‐
union workers.

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Finally, Kirsch argues that the district court improperly 1
instructed the jury with respect to the mens rea required for the 2
extortion threats, and that his racketeering conspiracy conviction 3
(Count 1) and Hobbs Act conspiracy conviction (Count 2) must 4
therefore be vacated. “We review a claim of error in jury instructions 5
de novo, reversing only where, viewing the charge as a whole, there 6
was a prejudicial error.” United States v. Aina‐Marshall, 336 F.3d 167, 7
170 (2d Cir. 2003). Since we have already held that Kirsch’s conviction 8
for Count 2 must be vacated, we need only address his argument that 9
the court’s instructions with respect to Count 1, specifically 10
Racketeering Acts 4B and 5B under New York law, were improper. 11
We conclude that because the challenged instruction was given only 12
with respect to Hobbs Act extortion, and that the court’s instruction 13
regarding New York Penal Law extortion complied with New York 14
law, Kirsch is not entitled to a new trial on Count 1. 15

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56
While instructing the jury on the elements of Hobbs Act 1
extortion with respect to Counts 3 through 7, the district court stated 2
that “[y]our decision whether a defendant used or threatened fear of 3
injury involves a decision about the victim’s state of mind at the time 4
of the defendant’s actions.” Gov’t App. 533 (emphasis added). 5
Relying primarily upon Elonis v. United States, 135 S. Ct. 2001 (2015), 6
Kirsch argues that that instruction was improper because it focused 7
only on the victim’s perception of the threat, rather than on the intent 8
of the person who made the threat. In Elonis, the Court interpreted 18 9
U.S.C. § 875(c)—which criminalizes threats to injure a person when 10
made in interstate commerce—to require that the Government prove 11
that the defendant have the mental state of “transmit[ting] a 12
communication for the purpose of issuing a threat, or with knowledge 13
that the communication will be viewed as a threat.” 135 S. Ct. at 2012. 14
The Court reversed Elonis’s conviction because the jury was not so 15
instructed. Id. 16

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57
Neither the Supreme Court nor this court has decided whether 1
Elonis extends beyond 18 U.S.C. § 875(c).21 But even if it does and the 2
district court’s instructions were incorrect as to the Hobbs Act, any 3
error with respect to the Hobbs Act extortion count instructions did 4
not prejudicially affect the jury’s verdict with respect to the New York 5
Penal Law extortion racketeering predicate acts charged in Count 1, 6
on which the jury was properly charged. See Aina‐Marshall, 336 F.3d 7
at 170 (We . . . revers[e] only where, viewing the charge as a whole, 8
there was a prejudicial error.”). 9
The New York extortion statute specifically proscribes 10
“instilling in the victim . . . fear” in order to obtain property, N.Y. 11
Penal Law § 155.40, thus appearing to focus the statute on the threat’s 12
21 Prior to Elonis, we stated that “[t]his Circuit’s test for whether conduct amounts
to a true threat ‘is an objective one—namely, whether an ordinary, reasonable
recipient who is familiar with the context of the [communication] would interpret
it as a threat of injury.’” United States v. Turner, 720 F.3d 411, 420 (2d Cir. 2013)
(alteration in original) (quoting United States v. Davilla, 461 F.3d 298, 305 (2d Cir.
2006)). We need not address the effect, if any, of Elonis on Hobbs Act extortion
because we need only consider the intent requirement under New York law.

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58
effect on the recipient rather than the intent of its maker. 1
Furthermore, in instructing the jury with respect to the New York 2
Penal Law racketeering predicate acts, the district court recited the 3
New York model jury charge for the offense of extortion. Kirsch does 4
not argue that the court’s instructions with respect to New York Penal 5
Law extortion failed to accurately and adequately instruct the jury on 6
the elements of that offense. Nor does he explain how the threat 7
instruction given in connection with the Hobbs Act counts could have 8
affected the instruction given on New York Penal Law extortion. 9
Accordingly, we find that there was no error with respect to the 10
court’s instructions on New York Penal Law extortion for Count 1, 11
and that any possible error with respect to the required mens rea for 12
Hobbs Act extortion did not result in prejudicial error as to the New 13
York Penal Law extortion charge. 14
15
16

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V. KIRSCH’S SENTENCE 1
Kirsch was sentenced to 36 months’ imprisonment on Count 1, 2
and 36 months’ imprisonment on Count 2, with the sentences to run 3
concurrent to one another. Our decision vacates Count 2. In order 4
“to give the district court an opportunity to reevaluate the sentence[] 5
in this changed light,” we remand the matter to the district court for 6
resentencing on Count 1. United States v. Petrov, 747 F.2d 824, 832 (2d 7
Cir. 1984) (remanding for resentencing after affirming only six of 11 8
counts with respect to which concurrent sentences were imposed).22 9
CONCLUSION 10
For the foregoing reasons, we AFFIRM Kirsch’s conviction 11
under Count 1, REVERSE Kirsch’s conviction under Count 2, and 12
22 In a letter submitted on June 5, 2018, pursuant to Federal Rule of Appellate
Procedure 28(j), Kirsch argues that the Supreme Court’s decision in Lagos v. United
States, 138 S. Ct. 1684 (2018), requires vacatur of the district court’s restitution
award. Since we remand this case for resentencing, we leave it to the district court
to address this argument in the first instance, including the Government’s
contention that Kirsch forfeited it. On remand, the district court should also
address the impact of our holding that Kirsch’s involvement in the Amstar
incident was not proved beyond a reasonable doubt on the restitution amount.

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REMAND the case to the district for entry of judgment of acquittal 1
with respect to Count 2, and for resentencing with respect to Count 1. 2

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