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No. 10643774
United States Court of Appeals for the Fourth Circuit
United States v. Eric Walton
No. 10643774 · Decided July 28, 2025
No. 10643774·Fourth Circuit · 2025·
FlawFinder last updated this page Apr. 2, 2026
Case Details
Court
United States Court of Appeals for the Fourth Circuit
Decided
July 28, 2025
Citation
No. 10643774
Disposition
See opinion text.
Full Opinion
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PUBLISHED
UNITED STATES COURT OF APPEALS
FOR THE FOURTH CIRCUIT
No. 23-4314
UNITED STATES OF AMERICA,
Plaintiff – Appellee,
v.
ERIC ARTHUR WALTON,
Defendant – Appellant.
Appeal from the United States District Court for the Northern District of West Virginia, at
Wheeling. John Preston Bailey, District Judge. (5:94-cr-00021-JPB-JPM-1)
Argued: December 13, 2024 Decided: July 28, 2025
Before GREGORY, THACKER, and RUSHING, Circuit Judges.
Affirmed by published opinion. Judge Rushing wrote the majority opinion, in which Judge
Thacker joined. Judge Gregory wrote an opinion concurring in part and dissenting in part.
ARGUED: Brendan S. Leary, OFFICE OF THE FEDERAL PUBLIC DEFENDER,
Wheeling, West Virginia, for Appellant. Jennifer Therese Conklin, OFFICE OF THE
UNITED STATES ATTORNEY, Wheeling, West Virginia, for Appellee. ON BRIEF:
William Ihlenfeld, United States Attorney, OFFICE OF THE UNITED STATES
ATTORNEY, Wheeling, West Virginia, for Appellee.
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RUSHING, Circuit Judge:
The President of the United States commuted Eric Walton’s life sentence. But
within a year of leaving prison, Walton was caught possessing drugs and transporting drug
proceeds in violation of the terms of his supervised release. At Walton’s request, the
district court permitted him to represent himself in the supervised release revocation
proceedings. After a hearing, the court revoked his release and imposed a sentence of 60
months’ imprisonment. Walton appeals, faulting the district court for letting him represent
himself, arguing that the court lacked jurisdiction over his “presidentially commuted
sentence,” and claiming the court imposed a plainly unreasonable revocation sentence. We
disagree with Walton on all fronts and so affirm the district court’s judgment.
I.
A.
Walton has spent most of his adult life in federal prison for selling illegal drugs. As
relevant here, he was convicted in July 1994 of conspiracy to distribute marijuana,
conspiracy to commit money laundering, two counts of interstate travel to aid in
racketeering, one count of money laundering, and one count of aiding and abetting in the
possession with intent to distribute marijuana within 1,000 feet of a school. Because of his
prior record of drug-related offenses, he was sentenced to life imprisonment to be followed
by ten years of supervised release.
Shortly thereafter, Walton was convicted of conspiring to corruptly endeavor to
influence, intimidate, or impede a petit jury and aiding and abetting an attempt to influence
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a petit juror. He was sentenced to 60 months’ imprisonment and three years of supervised
release, to be served consecutively to his prior sentence and term of supervised release.
On January 19, 2017, President Barack Obama commuted Walton’s total sentence
by an executive grant of clemency, which stated:
I hereby further commute the total sentence of imprisonment imposed upon
Eric Arthur Walton, Reg. No. 21074-001, to a term of 387 months’
imprisonment, leaving intact and in effect the 13-year term of supervised
release with all its conditions and all other components of the sentence.
J.A. 34. The conditions of Walton’s supervised release that remained “intact and in effect”
prohibited him from committing another crime, illegally possessing a controlled substance,
or leaving the district without permission from his probation officer.
On May 14, 2021, Walton completed his commuted sentence of imprisonment and
returned to Wheeling, West Virginia to begin serving his 13-year term of supervised
release. But in less than a year he was again crosswise with the law. On February 8, 2022,
Walton was cited for speeding while driving a rental car in Missouri. Later the same day,
an officer in Kansas stopped Walton for speeding, and the officer’s dog alerted to the
presence of drugs. The officer then searched Walton’s vehicle and seized $26,000 in cash
stuffed inside a teddy bear and a “suspected drug ledger/owe sheet” that showed money
owed to Walton in the range of $200,000. J.A. 73. Walton later informed the officer that
he was collecting old drug debts and the $26,000 comprised money owed to him before he
went to prison decades earlier. He confirmed he was still in touch with his prior contacts
in the cartel, and his call history revealed phone calls to numbers in Mexico and Colombia.
One of Walton’s phones also contained photos of large amounts of marijuana.
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Walton was charged with three offenses in Kansas state court, and he pled guilty to
criminal transportation of drug proceeds in violation of Kansas Statute § 21-5716(b), a
felony. The Kansas court sentenced Walton to 20 months’ imprisonment, suspended, and
12 months of probation.
Immediately following Walton’s arrest in Kansas, West Virginia State Police
obtained a search warrant for his apartment in Wheeling, where they seized 13.5 pounds of
marijuana—valued at $27,000—and digital scales. Walton was charged in Ohio County,
West Virginia with possession with intent to distribute marijuana, in violation of West
Virginia Code § 60A-4-401(a)(i).
B.
Based on Walton’s criminal conduct, his federal probation officer petitioned the
United States District Court for the Northern District of West Virginia to revoke his
supervised release, listing seven violations of the terms of release. In August 2022, the
probation officer amended the petition to add an eighth violation for Walton’s Kansas
conviction for transporting drug proceeds. The amended petition listed six violations for
committing another federal, state, or local crime, one for illegally possessing a controlled
substance, and another for leaving the district without permission. In narrative form, the
petition recounted Walton’s speeding ticket in Missouri, his arrest and conviction in
Kansas, and the seizure of marijuana and scales from his residence in West Virginia. The
relevant arrest records and incident reports were appended to the petition.
Consistent with Chapter Seven of the Sentencing Guidelines, the amended petition
graded each violation, ranging from Grade A (most serious) to Grade C (least serious).
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Violations five and eight, each identified as “[c]ommission of a new offense,” were Grade
A violations. J.A. 107, 110. Based on that grading, the violation worksheet calculated an
advisory sentencing range of 51 to 63 months’ imprisonment in Walton’s drug conspiracy
case and 30 to 37 months’ imprisonment in his jury tampering case.
Walton made his initial appearance before the district court on September 13, 2022.
Thereafter, the court appointed counsel for Walton. But in November 2022, Walton filed
a pro se motion entitled “Motion of Judicial Notice Proceeding Pro Se and Requesting
Expeditions Resolve to Pending Supervised Release Allegations” informing the district
court “of his intention to proceed without legal representation during the entire supervised
release violation process, as is his constitutional right.” J.A. 113. In his motion, Walton
correctly explained that the statutory maximum term of imprisonment for his supervised
release violations was 60 months, citing 18 U.S.C. § 3583(e)(3). Walton further argued
that his Kansas conviction for transporting drug proceeds qualified only as a Grade B
violation with a Guidelines policy statement range of 21 to 27 months. He did not mention
the West Virginia charge for possession with intent to distribute. Walton also questioned
the district court’s jurisdiction, urging the court to “take notice that [he] is no longer serving
a ‘judicial sentence,’ but a ‘presidentially commuted one,’” citing United States v. Surratt,
855 F.3d 218 (4th Cir. 2017) (en banc).
In late November, a magistrate judge conducted Walton’s preliminary revocation
hearing, where he remained represented by appointed counsel. Shortly before his final
revocation hearing in April 2023, however, Walton’s appointed counsel moved to
withdraw from the representation. In his motion, appointed counsel explained that Walton
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had communicated his desire to proceed pro se at the hearing and that, when counsel twice
attempted to visit Walton in custody, Walton “refused to speak with” him both times. J.A.
119. The district court granted the motion to withdraw but appointed new counsel from
the Office of the Federal Public Defender.
Walton and his newly appointed assistant federal public defender appeared at a final
revocation hearing on April 27, 2023. At the outset, appointed counsel expressed
confusion over his role: “I’ve been appointed by the Court to represent Mr. Walton, and I
don’t know what the Court’s preference is with regard to pro se or stand-by, so I’ll just
note my appearance and that Mr. Walton is present in the courtroom.” J.A. 126. After
Walton waived recitation of the amended revocation petition, the district court attempted
to clarify Walton’s pro se request:
THE COURT: How do you want to proceed? Do you want to proceed with
or without counsel?
WALTON: Without counsel. Stand-by counsel, yes, sir.
THE COURT: All right. Well, then I’ll ask you whether you admit the
violations set forth in the amended petition for revocation of supervised
release.
J.A. 127. Before admitting the violations, Walton explained that he “asked the original
attorney to file a brief on the issue of jurisdiction” related to his purported “presidential
sentence” but that he “wanted to represent [himself] pro se, because [he] couldn’t get the
attorney to perfect a brief.” J.A. 127–130. He explained that he was “very capable of
representing [himself]”:
I’ve went through three federal trials here in the Northern District of West
Virginia over the years. I did hundreds of appellate briefs, 2255s, won
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release for a quite a few people in the federal system. The 30 years that I
spent incarcerated for marijuana, all I did was run the law libraries at these
facilities, so I know basically how to research and how to do law.
J.A. 129. Walton conceded jurisdiction was his “only argument” because “there’s no
question [he] was in Kansas” and “was arrested with money.” J.A. 128.
After hearing from Walton, the district court reviewed Surratt and rejected Walton’s
jurisdictional objection. The district court then asked Walton whether he admitted the
violations in the amended petition, and he responded, “[y]es, sir, Your Honor, I do.” J.A.
131. In response to the court’s invitation to address sentencing, Walton observed that “the
facts speak for themselves,” given his “long history” in “every federal courthouse in the
Northern District of West Virginia.” J.A. 132. The district court acknowledged Walton
had “four federal convictions” and did not “really give any indication of stopping.” J.A.
132–133. Appointed counsel interjected, again expressing confusion about his role. In
response, the district court clarified, “[y]ou are stand-by counsel and do not have an ethical
duty until this hearing is over, at which case you will be appointed as full counsel and you
can file the notice of appeal on Mr. Walton’s behalf.” J.A. 136.
The Government, for its part, requested a sentence “at the high end” of the
Guidelines range because, after his sentence was commuted, Walton picked up “back
where he left off” and “got into the same exact thing over again,” showing “that he is not
willing to conform his behavior to what is appropriate in society.” J.A. 136–137. The
Government specifically noted that Walton “was in possession of controlled substances in
Wheeling, West Virginia.” J.A. 137.
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“Based upon Mr. Walton’s admissions,” the district court revoked Walton’s
supervised release and sentenced him to 60 months’ imprisonment followed by five years
of supervised release in the drug conspiracy case, and 24 months’ imprisonment in the jury
tampering case, to run concurrently. Walton timely appealed, and we have jurisdiction.
See 28 U.S.C. § 1291.
II.
We first must address Walton’s challenge to the district court’s jurisdiction, which
presents a question of law we review de novo. See United States v. Barton, 26 F.3d 490,
491 (4th Cir. 1994). Walton contends that, after the commutation, he was serving a
“Presidentially commuted sentence, not a judicially imposed sentence,” Opening Br. 27,
therefore the district court—and the entire judicial branch—lacked jurisdiction to revoke
his supervised release. That is incorrect. The commutation order’s plain language dooms
Walton’s theory from the start. See Andrews v. Warden, 958 F.3d 1072, 1078 (11th Cir.
2020) (“The text of [the] commutation order governs our review.”). Specifically, the
commutation order left “intact and in effect [Walton’s] 13-year term of supervised release
with all its conditions and all other components of the sentence.” J.A. 34. Walton does
not, and cannot, rebut that unambiguous directive.
Instead, Walton attempts to draw support from a concurring opinion in United States
v. Surratt, which opined that this Court lacked jurisdiction to alter a defendant’s sentence
of imprisonment after a presidential commutation. 855 F.3d 218, 219–220 (4th Cir. 2017)
(en banc) (Wilkinson, J., concurring). In Surratt, the defendant had been sentenced to a
mandatory term of life imprisonment without release. See United States v. Surratt, 797
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F.3d 240, 245 (4th Cir. 2015). While Surratt’s habeas petition was pending before the en
banc Court, President Obama commuted his sentence, and we then dismissed the appeal as
moot. Surratt, 855 F.3d at 219. In his concurring opinion, Judge Wilkinson further
reasoned that, “[a]bsent some constitutional infirmity in the commutation order,” a court
“may not readjust or rescind what the President, in the exercise of his pardon power, has
done.” Id. (Wilkinson, J., concurring).
Walton’s situation is meaningfully different from Surratt. Here, the President’s
commutation order specifically left “intact and in effect the 13-year term of supervised
release with all its conditions.” J.A. 34. The order did not alter the judicially imposed term
of supervised release in any respect. And Walton does not collaterally attack the supervised
release term the President left in place. Enforcing the preexisting conditions of Walton’s
supervised release, therefore, did not require the district court to “readjust or rescind what
the President . . . has done” or “supersede a presidential . . . commutation with a
contravening order of [the court’s] own.” Surratt, 855 F.3d at 219–220 (Wilkinson, J.,
concurring). To the contrary, the district court retained its jurisdiction over Walton’s
supervised release and acted entirely within its own realm when it revoked his release based
on violations of those conditions.
III.
We next turn to Walton’s contention that the district court erred by allowing him to
proceed pro se. In particular, Walton asserts that the court did not conduct “an adequate
inquiry” to determine whether his request to represent himself was “clear and unequivocal”
and “made knowingly and intelligently.” Opening Br. 23.
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A.
At the outset, the parties dispute the standard of review. Walton claims we review
de novo a “defendant’s forfeiture of his [Sixth Amendment] right to appointed counsel,”
Opening Br. 23, while the Government argues we review “the waiver of right to counsel in
a supervised release revocation for abuse of discretion,” Resp. Br. 18. The Government
has the better argument.
Courts have long recognized that “supervised release revocation proceedings are not
considered part of a criminal prosecution.” United States v. Ward, 770 F.3d 1090, 1097
(4th Cir. 2014) (citing cases); see also Morrissey v. Brewer, 408 U.S. 471, 480 (1972)
(“[R]evocation of parole is not part of a criminal prosecution.”); Gagnon v. Scarpelli, 411
U.S. 778, 781–782 (1973) (“Probation revocation, like parole revocation, is not a stage of
a criminal prosecution . . . .”). Accordingly, “the full panoply of constitutional protections
afforded a criminal defendant is not required for the revocation of supervised release.”
United States v. Woodrup, 86 F.3d 359, 361 (4th Cir. 1996); see also Morrissey, 408 U.S.
at 480. Among others, the Sixth Amendment right to counsel does not apply to revocation
proceedings. See United States v. Meeks, 25 F.3d 1117, 1123 (2d Cir. 1994), abrogated
on other grounds by Johnson v. United States, 529 U.S. 694 (2000); see also Gagnon, 411
U.S. at 790 (rejecting a constitutional right to counsel in probation revocation proceedings).
By extension, an offender does “not have a Sixth Amendment right to proceed pro se during
the course of [revocation] proceedings.” United States v. Hamilton, 360 Fed. App. 424,
426 (4th Cir. 2010) (citing United States v. Hodges, 460 F.3d 646, 650–651 (5th Cir.
2006)). Rather, the right to counsel in revocation proceedings comes from Federal Rule of
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Criminal Procedure 32.1, which instructs a district court to notify the offender that he may
retain counsel or request that counsel be appointed. Fed. R. Crim. P. 32.1(b)(1)(B)(i),
(b)(2)(D); see also 18 U.S.C. § 3006A(a)(1)(E) (directing that counsel be made available
for an indigent person “charged with a violation of supervised release”).
Given the limited nature of the right and the nature of revocation proceedings more
generally, when a district court denies an offender’s request to proceed pro se during such
proceedings, we have reviewed for abuse of discretion. United States v. Missouri, 384 Fed.
App. 252, 252 (4th Cir. 2010) (citing Gagnon, 411 U.S. at 790 (stating “that the decision
as to the need for counsel must be made on a case-by-case basis in the exercise of a sound
discretion”)); see also Ward, 770 F.3d at 1097–1098 (describing the nature of supervised
release revocation proceedings). For the same reasons, we think an abuse of discretion
standard should apply when a court grants an offender’s request to proceed pro se. Our
sister circuits agree. See Hodges, 460 F.3d at 650 (explaining that “self-representation in
the revocation context is a matter of discretion vested in the district court”); United States
v. Boultinghouse, 784 F.3d 1163, 1772 (7th Cir. 2015) (favorably citing Hodges and
explaining that “[o]ur review of the district court’s decision on that score is
commensurately deferential”); United States v. Owen, 854 F.3d 536, 542 & n.6 (8th Cir.
2017) (evaluating the district court’s acceptance of a waiver of the right to counsel in a
revocation hearing for abuse of discretion and rejecting a de novo standard).
A waiver of Rule 32.1 rights, including the right to retain or request counsel, must
be “knowing and voluntary” under “the totality of the circumstances.” United States v.
Farrell, 393 F.3d 498, 500 (4th Cir. 2005); see Missouri, 384 Fed. App. at 252. On
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appellate review, we consider “‘all the circumstances,’” including the colloquy with the
district court as well as any other “‘evidence that sheds light upon the target’s
comprehension of the charges against him and . . . his appreciation of the nature of the
rights afforded him by Rule 32.1.’” Hodges, 460 F.3d at 652 (quoting United States v.
Correa-Torres, 326 F.3d 18, 23 (1st Cir. 2003)); see id. at 648 (holding that “the waiver
must be knowing and voluntary as demonstrated either through a colloquy with the district
court, or by the totality of the circumstances, or both”). “Rigid compliance with a strict
colloquy is not required,” so long as the totality of the circumstances demonstrates that the
offender made a knowing and voluntary choice to proceed without counsel. Boultinghouse,
784 F.3d at 1172; see also Owen, 854 F.3d at 543 (finding “a knowing and intelligent”
waiver although “the district court did not conduct any sort of formal hearing”).
B.
With these principles in mind, the totality of the circumstances confirms that Walton
made a knowing and voluntary choice to represent himself. The district court did not abuse
its discretion.
To start, Walton does not allege a violation of Rule 32.1’s procedural safeguards.
He does not claim that the court failed to advise him that he could retain or request counsel.
To the contrary, the sequence of events reflects that Walton knew counsel had been
appointed (twice) before he chose to go it alone at his final revocation hearing. And his
second appointed counsel was present in the courtroom for that hearing. Walton made his
decision “knowing not only that the district court was prepared to provide counsel to him
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but that an experienced defense attorney was, in fact, standing by in the courtroom to serve
as a resource for him.” Boultinghouse, 784 F.3d at 1172.
Walton’s pro se motion and his presentation at the final revocation hearing
demonstrate he “understood [what] was at stake” and had “a sufficient grasp of . . . [the]
consequence of the waiver.” Id.; see Hodges, 460 F.3d at 652 (evaluating whether the
defendant understood “the purpose and possible repercussions of the [revocation]
hearing”). In his pro se motion, Walton acknowledged his maximum “statutory exposure
of 60 months” in prison and argued that the facts alleged against him constituted a Grade
B violation, which would result in a lower Guidelines range. J.A. 114. At the hearing,
Walton assured the court he was “very capable of representing [him]self,” based on
decades of assisting other inmates with their cases. J.A. 129. His own history in the federal
criminal system, not to mention the “hundreds of appellate briefs [and] 2255s” he “did” for
other “people in the federal system,” confirm Walton’s familiarity with the value of an
attorney and the pitfalls of proceeding pro se. J.A. 129.
We also see no merit in Walton’s suggestion that his waiver was unclear. In
response to the court’s question, Walton said he wished to proceed “[w]ithout counsel.
Stand-by counsel, yes sir.” 1 J.A. 127. He then launched into his “argumentation about
representing [him]self,” J.A. 128, explaining he “wanted to represent [him]self pro se,
1
“[A] pro se defendant has no right to standby counsel when he chooses to proceed
pro se.” United States v. Beckton, 740 F.3d 303, 307 (4th Cir. 2014). The district court
nevertheless made appointed counsel available to Walton on a stand-by basis throughout
his final revocation hearing.
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because [he] couldn’t get the attorney to” make his jurisdictional argument, J.A. 130. At
no point did Walton express hesitation about proceeding pro se.
In sum, Walton voiced his desire to represent himself at least three times—in a
motion, to appointed counsel, and directly to the court. The record is unambiguous. And
because the totality of the circumstances shows Walton made his decision knowingly and
voluntarily, the district court did not abuse its discretion in granting his request.
IV.
We now consider Walton’s challenge to his revocation sentence. We will affirm a
revocation sentence if it is within the applicable statutory range and not plainly
unreasonable. United States v. Crudup, 461 F.3d 433, 439–440 (4th Cir. 2006). To
determine whether a revocation sentence is plainly unreasonable, we first assess whether
it is procedurally or substantively unreasonable, under a “deferential appellate posture.”
United States v. Moulden, 478 F.3d 652, 656 (4th Cir. 2007) (internal quotation marks
omitted); see United States v. Slappy, 872 F.3d 202, 207 (4th Cir. 2017). “A revocation
sentence is procedurally reasonable if the district court adequately explains the chosen
sentence after considering the Sentencing Guidelines’ nonbinding Chapter Seven policy
statements and the applicable 18 U.S.C. § 3553(a) factors.” Slappy, 872 F.3d at 207. If
the sentence is reasonable, our review ends. If not, we assess whether the sentence is also
“plainly unreasonable,” in that the error is clear or obvious. Crudup, 461 F.3d at 439.
“And even if a revocation sentence is plainly unreasonable, we will still affirm it if we find
that any errors are harmless.” Slappy, 872 F.3d at 207.
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Walton argues that his 60-month revocation sentence is procedurally
unreasonable—and plainly so—because the district court (1) did not ensure that Walton
understood the alleged violations, (2) did not correctly grade the violations, and (3) did not
adequately explain the sentence. We address each in turn.
A.
First, Walton complains that the district court failed to take additional care to ensure
that he, as a pro se litigant, understood the violations alleged in the amended petition.
Although Walton frames this objection as a matter of procedural reasonableness, it relates
not to his sentence but to the court’s revocation decision. Yet nowhere does Walton argue
the district court erred by revoking his supervised release based on his admission of the
violations. 2
Even if this argument were germane to his sentence, it fails. Walton admits that he
specifically “waive[d]” having the amended petition read to him during the final revocation
hearing. J.A. 126. But he asserts that the district court “should have read [it to him] in any
event.” Opening Br. 17. He cites no authority requiring a district court to read the
revocation petition to a pro se defendant in every case, and neither Rule 32.1 nor our
precedent requires as much. Cf. United States v. Stehl, 665 F.2d 58, 59–60 (4th Cir. 1981)
(holding that the procedural requirements of “Rule 11 [of the Federal Rules of Criminal
Procedure] ha[ve] no application to probation revocation proceedings”).
2
To revoke supervised release, a court need only find by a preponderance of the
evidence that the defendant violated a supervised release condition. 18 U.S.C.
§ 3583(e)(3); see United States v. Copley, 978 F.2d 829, 831 (4th Cir. 1992).
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To be sure, “supervised release cannot be revoked without a full hearing unless the
defendant knowingly and voluntarily admits to the allegations against her and waives her
rights under Rule 32.1.” Farrell, 393 F.3d at 500. But that’s what happened here. In
compliance with Rule 32.1(b)(2)(A) and (B), the district court ensured Walton had an
opportunity to review the amended petition, which provided “written notice of the alleged
violation[s]” and “disclosure of the evidence against” him in the appended material. At the
hearing, Walton confirmed that he had received an opportunity to review the amended
petition and declined the court’s offer to read it to him. In both his pro se motion and at
the hearing, Walton discussed specific violations alleged in the amended petition. We
cannot fault the district court for believing Walton was familiar with the alleged violations
when he rejected the court’s offer to read the petition to him and admitted the violations.
On appeal, Walton suggests that, because he did not mention the West Virginia drug
charge in his pro se motion or during the revocation hearing, the court should have realized
he “did not understand or acknowledge in any way that he was admitting [that] violation[].”
Opening Br. 22. We disagree. The narrative in the amended petition describes the West
Virginia charge for possession of marijuana with intent to distribute, and the relevant police
report is attached to the petition. Additionally, at the hearing, the Government explicitly
stated that Walton “was in possession of controlled substances in Wheeling, West
Virginia.” J.A. 137. Walton did not contest the Government’s rendition of the facts, nor
did he complain that the petition was “unclear as to which precise allegation is indeed the
Grade A violation,” as he does now for the first time on appeal. Opening Br. 20; see United
States v. Nelson, 931 F.3d 588, 591 (7th Cir. 2019) (rejecting argument that defendant “did
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not understand the charges against him” where “[t]he government also orally described the
factual predicate of the allegations during the [revocation] hearing”).
Simply put, the “totality of the circumstances” indicates that Walton “understood
the allegations against [him]” and “knowingly and voluntarily admitted to the alleged
violations.” Farrell, 393 F.3d at 500 (finding that defendant knowingly and voluntarily
admitted to allegations where she was “provided . . . with a copy of the petition on
supervised release, which summarized all of [her] alleged violations” and her counsel
stated, in the defendant’s presence, that she admitted the “technical violations”). The
district court’s decision to accept Walton’s “waiver” and not read the amended petition
aloud in court provides no basis for vacating his revocation sentence.
B.
Second, Walton argues that the court procedurally erred in calculating his
Guidelines policy statement range because none of his violations qualify as Grade A.
When a defendant commits more than one violation of the conditions of supervision, “the
grade of the violation is determined by the violation having the most serious grade.”
U.S.S.G. § 7B1.1(b) (2021). So long as one of Walton’s violations qualifies as Grade A,
his Guidelines policy statement range remains accurate.
Chapter Seven of the Sentencing Guidelines defines a Grade A violation to include
“conduct constituting . . . a federal, state, or local offense punishable by a term of
imprisonment exceeding one year that . . . (ii) is a controlled substance offense.” U.S.S.G
§ 7B1.1(a)(1). A controlled substance offense includes “an offense under federal or state
law, punishable by imprisonment for a term exceeding one year, that prohibits the
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manufacture, import, export, distribution or dispensing of a controlled substance (or a
counterfeit substance) or the possession of a controlled substance (or a counterfeit
substance) with intent to manufacture, import, export, distribute, or dispense.” Id.
§ 4B1.2(b). A district court may find by a preponderance of the evidence that the defendant
committed conduct constituting a federal, state, or local offense “whether or not the
defendant has been the subject of a separate federal, state, or local prosecution for such
conduct.” Id. § 7B1.1 cmt. n.1; see United States v. Wynn, 786 F.3d 339, 343 (4th Cir.
2015); United States v. Thompson, 297 Fed. App. 211, 212–213 (4th Cir. 2008).
Violation five of the amended petition—which the parties agree corresponds to the
facts underlying Walton’s West Virginia drug charge—constitutes a Grade A violation. As
the amended petition explains, Walton was charged with “Possession with Intent to
Distribute Marijuana,” J.A. 74, 96, in violation of West Virginia Code § 60A-4-401(a)(i),
J.A. 94, which is punishable by more than one year in prison. The incident report included
with the amended petition confirms that officers seized “approximately 13.5 pounds (6054
grams) of marijuana” and “[v]arious address books, papers and a white set of digital scales”
from Walton’s home. J.A. 96.
On appeal, Walton suggests that the exact charge is ambiguous because “the heading
of this section [of the incident report] only says ‘possess’, not possess with intent to
distribute.” Opening Br. 21 (quoting J.A. 94). We are not persuaded. Beneath that
heading, the incident report describes the offense as “Poss. With Intent to Deliver (I or II)”
and identifies the relevant statute as West Virginia Code § 60A-4-401(a)(i), which
prohibits manufacture, delivery, and possession with intent to manufacture or deliver, but
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does not mention mere possession. J.A. 94. Moreover, by admitting the underlying
conduct, Walton admitted to “conduct constituting” possession with intent to distribute,
whether West Virginia charged him with that particular crime or not. U.S.S.G.
§ 7B1.1(a)(1); see id. § 7B1.1 cmt. n.1.
At oral argument, questioning from the Court inspired Walton to argue for the first
time that his West Virginia offense was not a controlled substance offense under this
Court’s decision in United States v. Campbell, 22 F.4th 438 (4th Cir. 2022). 3 In Campbell,
we vacated a defendant’s sentencing enhancement on the ground that, applying the so-
called categorical approach, his prior conviction for violating West Virginia Code § 60A-
4-401(a) was not a controlled substance offense under the Sentencing Guidelines because
the state statute also criminalized “an attempt to deliver a controlled substance,” which was
conduct outside the definition in U.S.S.G. § 4B1.2(b). 4 Campbell, 22 F.4th at 441–445.
After argument, we requested supplemental briefing about whether Walton had forfeited
reliance on Campbell and, if not, whether that decision affects our resolution of his appeal.
Having considered the supplemental briefs, we conclude that Walton lost the opportunity
to pursue this argument by not raising it in his opening brief on appeal.
3
Counsel candidly admitted that he “didn’t even think about the Campbell
argument” before the Court raised it. Oral Argument 33:45–34:14.
4
The Sentencing Commission has since amended Section 4B1.2 to include inchoate
offenses. See U.S.S.G. § 4B1.2(d) (2023). “So today, a prior conviction under West
Virginia’s controlled substances statute qualifies as a ‘controlled substance offense’ . . . .”
United States v. Shields, 126 F.4th 356, 358 n.2 (4th Cir. 2025).
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“‘It is a well settled rule that contentions not raised in the argument section of the
opening brief are abandoned.’” United States v. Boyd, 55 F.4th 272, 279 (4th Cir. 2022)
(quoting United States v. Al-Hamdi, 356 F.3d 564, 571 n.8 (4th Cir. 2004)); see also
Grayson O Co. v. Agadir Int’l LLC, 856 F.3d 307, 316 (4th Cir. 2017) (“A party waives an
argument by failing to present it in its opening brief . . . .”). Necessarily, then, “we do not
consider on appeal issues raised for the first time at oral argument.” United States v.
Cornell, 780 F.3d 616, 625 n.2 (4th Cir. 2015); see also W. Va. CWP Fund v. Stacy, 671
F.3d 378, 389 (4th Cir. 2011). To raise an argument for appellate consideration, an
appellant must specifically state in his opening brief his “contentions and the reasons for
them, with citations to the authorities and parts of the record on which the appellant relies.”
Fed. R. App. P. 28(a)(8)(A). Put another way, a party must “‘develop [its] argument’” with
more than “‘a passing shot at the issue.’” Grayson O Co., 856 F.3d at 316 (quoting Brown
v. Nucor Corp., 785 F.3d 895, 923 (4th Cir. 2015)); see also Eriline Co. S.A. v. Johnson,
440 F.3d 648, 653 n.7 (4th Cir. 2006) (a single “conclusory” sentence in a brief is
“insufficient to raise” an issue for appeal).
Merely identifying an appellate issue does not preserve every theoretical argument
for relief on that issue. For example, in United States v. Leeson, the defendant appealed
the district court’s admission of expert testimony about statements from his fellow inmates.
453 F.3d 631, 635 (4th Cir. 2006). In his opening brief, the defendant challenged the
evidentiary ruling “exclusively upon the basis that the statements constituted hearsay and
did not otherwise qualify for admission under Rule 703.” Id. at 638 n.4. But in a
subsequent Rule 28(j) letter, the defendant cited Crawford v. Washington, 541 U.S. 36
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(2004), “to argue that, . . . such out-of-court statements are barred by the Sixth
Amendment’s Confrontation Clause.” Id. This Court held that the “argument based upon
Crawford [was] waived” because the defendant did not present it in his opening brief, even
though “Crawford was readily available at the time.” Id. We have drawn the line of
appellate preservation similarly in other cases. See, e.g., United States v. Huskey, 90 F.4th
651, 665 (4th Cir. 2024) (holding that defendant “forfeited” arguments that the jury
instructions ran afoul of a new Supreme Court precedent despite raising a different
argument based on that precedent in his opening brief); Cornell, 780 F.3d at 625 & n.2
(holding that defendants waived argument that a jury instruction was improper because it
failed to conform to the indictment, despite challenging the same jury instruction on
different grounds in their opening brief).
Here, Walton abandoned any argument that his West Virginia conduct did not
qualify as a controlled substance offense under the Guidelines by not raising it in his
opening brief even though the argument, and the Campbell decision specifically, was
available to him at the time. In his opening brief, Walton argued that “violation number
five was . . . not a grade A violation” because the West Virginia State Police incident report
was “ambigu[ous].” Opening Br. 20–21. At no point in his brief did Walton claim that his
West Virginia conduct did not qualify as a controlled substance offense, much less develop
an argument along those lines or cite Campbell or any authority supporting that view.
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Under our longstanding precedent, that constitutes abandonment. 5 Seeing no miscarriage
of justice or countervailing institutional interest, we will not address this “wholly different
argument” first broached at oral argument upon questioning by the Court. Leeson, 453
F.3d at 638 n.4; A Helping Hand, LLC v. Baltimore Cnty., 515 F.3d 356, 369 (4th Cir.
2008); see also United States v. Oliver, 878 F.3d 120, 127 (4th Cir. 2017) (“When the court
raises a forfeited issue sua sponte, it undermines the principle of party presentation and
risks becoming a third advocate.”). 6
C.
Third and finally, Walton argues his revocation sentence is plainly procedurally
unreasonable because the district court did not mention the statutory sentencing factors or
adequately explain its sentence. Because Walton did not object in the district court or argue
“for a sentence different than the one ultimately imposed,” our review is for plain error. 7
5
Accordingly, the “issue” whether Walton’s West Virginia conduct qualifies as a
controlled substance offense is not “properly before the court.” Dan Ryan Builders, Inc. v.
Crystal Ridge Dev., Inc., 783 F.3d 976, 980 (4th Cir. 2015) (internal quotation marks
omitted). If it were, of course, we would “retain the independent power to identify and
apply the proper construction of governing law” to that issue, whether or not the parties
“identif[ied] the applicable legal rule.” Id. (internal quotation marks omitted). The dissent
conflates these two concepts. See Diss. Op. 38–40.
6
In any event, Campbell would not help Walton. His undisputed conduct—
possessing 13.5 pounds of marijuana and digital scales—constitutes possession with intent
to distribute in violation of 21 U.S.C. § 841, which is punishable by more than a year in
prison and qualifies as a “controlled substance offense” under the Guidelines. See United
States v. Groves, 65 F.4th 166, 174 (4th Cir. 2023). It makes no difference that Walton
was never charged federally. See U.S.S.G. § 7B1.1 cmt. n.1.
7
At the end of the hearing, Walton’s appointed stand-by counsel objected to the
sentence on “procedural grounds” and “substantive grounds.” J.A. 138. When the district
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United States v. Lynn, 592 F.3d 572, 578 (4th Cir. 2010); see United States v. Webb, 738
F.3d 638, 640 (4th Cir. 2013).
The district court’s sentencing explanation was not unreasonable, much less
“plainly” so. Crudup, 461 F.3d at 439. “A court need not be as detailed or specific when
imposing a revocation sentence as it must be when imposing a post-conviction sentence,
but it still must provide a statement of reasons for the sentence imposed.” United States v.
Thompson, 595 F.3d 544, 547 (4th Cir. 2010) (internal quotation marks omitted). In some
cases, however, “a district court’s reasons for imposing a within-range sentence may be
clear from context, including the court’s statements to the defendant throughout the
sentencing hearing.” Id. (citation omitted); see Rita v. United States, 551 U.S. 338, 356
(2007) (“[W]hen a judge decides simply to apply the Guidelines to a particular case, doing
so will not necessarily require lengthy explanation.”).
Here, although the district court did not tick through the applicable Section 3553(a)
factors, it addressed their contours in discussing Walton’s within-Guidelines revocation
sentence. See 18 U.S.C. § 3583(e). The court considered “the nature and circumstances
of the offense and the history of the defendant,” id. § 3553(a)(1), noting that “[Walton] has
four federal convictions” and has only “been out about six and a half years since [he was]
court inquired what the procedural objection was, counsel replied he was “just preserving
the objection to file the appeal” because “[w]hen we get into plain error review on appeal,
things get real crazy.” J.A. 138. This vague objection is insufficient to escape plain error
review. See United States v. Covington, 65 F.4th 726, 730 (4th Cir. 2023) (“To preserve
an objection at sentencing, a defendant must raise the issue to the district court with
sufficient specificity so as reasonably to alert the district court of the true ground for the
objection.” (internal quotation marks omitted)).
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26 years old,” J.A. 132–133. The court addressed the need for the sentence imposed “to
afford adequate deterrence from criminal conduct” and “protect the public from further
crimes of defendant.” 18 U.S.C. § 3553(a)(2)(B), (a)(2)(C). Speaking to Walton directly,
the court remarked that “[y]ou don’t really give any indication of stopping,” to which
Walton replied, “the record speaks for itself,” “[t]he judge is correct as to what he’s
saying,” and “if somebody is going to give me a life sentence, I’ll try to bribe the whole
courthouse.” J.A. 133. The court’s sentencing also comported with the Chapter 7 Policy
Statements and their philosophy of sanctioning “primarily the defendant’s breach of trust,
while taking into account, to a limited degree, the seriousness of the underlying violation
and the criminal history of the violator.” U.S.S.G. ch. 7, pt. A(3)(b); see also Webb, 738
F.3d at 641.
And unlike in cases where a district court must “address the parties’ nonfrivolous
arguments in favor of a particular sentence,” Slappy, 872 F.3d at 208, Walton made no
such arguments. The district court “heard and considered the evidence and argument,”
Rita, 551 U.S. at 359, and “[b]ased upon Mr. Walton’s admissions,” which were both
extensive and unequivocal, J.A. 137, imposed a statutory maximum sentence of 60 months’
imprisonment within Walton’s properly calculated Guidelines policy statement range.
Walton’s sentence is not unreasonable.
V.
For the foregoing reasons, the judgment of the district court is
AFFIRMED.
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GREGORY, Circuit Judge, concurring in part and dissenting in part:
Eric Walton did not knowingly and voluntarily waive his right to an attorney at his
supervised release revocation hearing and thus the district court erroneously allowed him
to proceed pro se. For that error alone, I would reverse the district court and remand for
re-sentencing. But that is not all: His supervised release revocation hearing was riddled
with procedural errors, all of which the majority ignores. Because the majority fails to
appreciate the magnitude of these errors, I must respectfully dissent. 1
I.
While the Sixth Amendment right to counsel does not extend to supervised release
revocation hearings, see Gagnon v. Scarpelli, 411 U.S. 778, 782 (1973), defendants still
enjoy a statutory right to counsel at such hearings, Fed. R. Crim. P. 32.1(b)(2)(D). To
waive this statutory right, a defendant must act “knowingly and voluntarily.” United States
v. Farrell, 393 F.3d 498, 500 (4th Cir. 2005). I disagree with the majority’s holding that
Walton waived his right to counsel.
First, I would clarify that the proper standard of review for waivers of counsel in the
supervised release context is de novo review. And, under that standard, I would find that
Walton did not waive his right to counsel.
1
I do, however, concur with and join the majority’s holding that we have jurisdiction
to hear this appeal. See Maj. Op. at § II.
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A.
Before today, this Court has not opined on the proper standard of review when a
district court allows a defendant to proceed pro se in a supervised release revocation, and
our sister courts have split on this question. Compare United States v. Owen, 854 F.3d
536, 542 (8th Cir. 2017) (applying abuse of discretion standard), and United States v.
Boultinghouse, 784 F.3d 1163, 1172, 1177 (7th Cir. 2015) (applying abuse of discretion
standard), with United States v. Spangle, 626 F.3d 488, 494 (9th Cir. 2010) (applying
harmless error review), with United States v. Manuel, 732 F.3d 283, 290 (3d Cir. 2013)
(applying plenary review). Adopting an abuse of discretion standard, Maj. Op. at § III.A,
the majority joins the wrong side of the circuit split. I would instead join the Third Circuit
in applying de novo review. See Manuel, 732 F.3d at 290.
This Court applies a de novo standard for the waiver of the right to counsel under
the Sixth Amendment. United States v. Ductan, 800 F.3d 642, 648 (4th Cir. 2015). While
it is true that the right to counsel in a revocation hearing derives from statute, not the
Constitution, the core of the analysis is the same: Did the defendant knowingly and
voluntarily waive his right to appeal? As such, it is a question of law subject to de novo
review. And the fact that the question involves a statutory right does not warrant a
diminished or different standard of review. This Court and others have recognized de novo
review as the proper standard of review for the waiver of a statutory right in the criminal
context. United States v. Manigan, 592 F.3d 621, 626 (4th Cir. 2010) (“The issue of
whether a defendant has waived his [statutory] right of appeal . . . is a matter of law that
we review de novo.”) (cleaned up); United States v. Davenport, 151 F.3d 1325, 1327 n.1
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(11th Cir. 1998) (applying de novo review to the question of whether a defendant waived
his statutory right to review his Presentence Investigation Report). I disagree with the
majority’s decision to deviate from this trend in reviewing the waiver of other important
statutory rights in the criminal context. I would apply a de novo review.
B.
Applying this standard, I would hold that the district court failed to adequately
inquire into Walton’s waiver of the right to counsel. I would, therefore, remand for
resentencing.
Given the uniquely informal nature of revocation proceedings, district courts need
not engage in as formal or as searching an inquiry for waiver as they must in the context
of the Sixth Amendment. See, e.g., Faretta v. California, 422 U.S. 806 (1975). For
example, “[a]lthough a thorough colloquy with the district court may be the most precise
means of evaluating the voluntariness of a waiver, the failure of the district court to engage
in a comprehensive colloquy is not, of itself, fatal to the defendant’s waiver.” Hodges, 460
F.3d at 652. However, the court must nevertheless assess whether, “under the totality of
the circumstances,” the defendant’s “waiver of his right to counsel and his decision to
proceed pro se were knowing and voluntary.” United States v. Tolbert, 373 F. App’x 363,
364 (4th Cir. 2010) (per curiam); see also Hodges, 460 F.3d at 651–52 (discussing “totality
of the circumstances” standard).
As part of the totality of the circumstances analysis, our sister circuits have considered
a range of factors. For example, they have instructed courts to consider (1) whether the
defendant was aware of the nature of and potential penalties associated with the charges
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against him; (2) whether the district court warned the defendant about the benefits of
proceeding with counsel and disadvantages of proceeding pro se; (3) the defendant’s
familiarity with the criminal process and his rights; (4) the presence of stand-by counsel;
and (5) whether there is any “evidence or indicia of coercion, gamesmanship, or improper
forces at play.” Hodges, 460 F.3d at 652–53; see Boultinghouse, 784 F.3d at 1173. Key
to this analysis is whether the defendant knew the risks associated with proceeding pro se.
For waiver to be knowing, the court must provide the defendant with “a concrete
illustration of why he might be at a disadvantage without counsel . . . [and] confirm[] that
[the defendant] appreciated what was at stake in the revocation proceeding in terms of his
liberty.” Id. For instance, the Seventh Circuit only found that a defendant knowingly
waived his right to counsel in a revocation hearing once it was satisfied that the defendant
“appreciated what was at stake, understood the nature of the charges, and knew what the
factual issues were.” Id. at 1175. A defendant must have “some sense of what a lawyer
might be able to do better than he himself could.” Id.
Here, the district court failed to conduct a sufficiently thorough inquiry into
Walton’s waiver and therefore failed to ascertain if his wavier was knowing and voluntary.
The reason for this is simple: The district court made no inquiry into Walton’s wavier. In
fact, all the court asked was how Walton wanted to proceed, to which Walton responded:
“Without counsel. Stand-by counsel, yes, sir.” J.A. 127. The district court then
immediately agreed to Walton’s request. Id.
The court made no inquiry into Walton’s history or experience, his understanding
of the criminal justice system, nor the context of his decision to proceed pro se. See, e.g.,
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Hodges, 460 F.3d at 652–53. The court failed to do anything to ensure that Walton
understood the risks of proceeding pro se and the advantages of proceeding with counsel.
See, e.g., Boultinghouse, 784 F.3d at 1173. The district court’s obligation to inform and
make inquiry of Walton fell woefully short of the procedural minimum.
The fact that Leary purportedly served as stand-by counsel does not rectify this
inadequacy. To begin with, Leary did not seem to understand that he was stand-by counsel
for most of the hearing, and the district court only clarified Leary’s role after Walton
confessed to the violations. See J.A. 132, 134–36. And, in any event, Leary, by his own
admission, was not prepared to handle the case. Only appointed the day before the hearing,
Leary candidly informed the district court that he could not advocate on behalf of his client
“because I walked in here five minutes before the hearing and know nothing about this
matter other than what I’ve quickly read here. So if the Court wants me to serve as an
advocate, I’m not in a position to do that.” J.A. 135; contrast to Hodges, 460 F.3d at 653
(noting that appointed counsel “remained available to assist [the defendant] throughout the
proceeding”).
Given the district court’s lack of inquiry into Walton’s waiver, I would hold that the
district court failed to ascertain if Walton knowingly and voluntarily waived the right to
counsel. For that reason alone, I would remand for re-sentencing.
II.
Next, Walton points to a litany of procedural errors in his revocation hearing in
arguing that his sentence was plainly unreasonable. This Court employs a deferential
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standard of review to revocation sentences and will only reverse if the sentence is plainly
unreasonable. United States v. Crudup, 461 F.3d 433, 439 (4th Cir. 2006); United States
v. Patterson, 957 F.3d 426, 436 (4th Cir. 2020). The plainly unreasonable inquiry consists
of two steps. First, this court must “determine whether [the sentence] is unreasonable at
all,” i.e., whether the district court erred. United States v. Thompson, 595 F.3d 544, 546
(4th Cir. 2010). Second, this court must determine if the district court’s error was “plainly”
unreasonable. Id. at 547. “To determine whether a sentence is plainly unreasonable, this
Court looks to the definition of ‘plain’ used in plain-error analysis.” Id. at 547–48. So,
“[f]or a sentence to be plainly unreasonable, [ ]it must run afoul of clearly settled law.” Id.
In my view, the entire revocation proceeding was marked by procedural error that
clearly violated our and Supreme Court precedent. First, the district court never considered
the grade for each of Walton’s violations and failed to calculate the appropriate Guidelines
range. Second, compounding this error, the district court appeared to incorrectly assume
that Walton committed a Grade A violation and thus imposed too high of a sentence. Third,
the district court failed to provide much of any explanation for its ultimate sentencing
decision. Each of these procedural violations was plainly unreasonable and independently
serves as grounds for reversal. Inexplicably, the majority waves off these violations.
Because these errors independently—and without a doubt, together—deprived Walton of
any of the procedural safeguards to which he was entitled, I must dissent.
A.
I would hold that the district court’s sentence is plainly unreasonable because it
failed to consider the grade for each of Walton’s violations and failed to calculate the
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Guidelines range. For this reason alone, I would vacate Walton’s sentence and remand for
new sentencing.
In imposing a revocation sentence, a district court “must consider the [Sentencing
Guidelines Manual’s] Chapter Seven policy statements and other statutory provisions
applicable to revocation sentences.” Thompson, 595 F.3d at 547 (emphasis added); United
States v. Moulden, 478 F.3d 652, 656 (4th Cir. 2007) (“Of course, as always, the sentencing
court must consider the policy statements contained in Chapter 7, including the policy
statement range.”) (emphasis added). To determine advisory revocation ranges, the court
must first determine the defendant’s criminal history and then the “grade” of each violation.
U.S.S.G. § 7B1.4. 2 When, like here, multiple violations are at issue, “the grade of the
violation is determined by the violation having the most serious grade.” U.S.S.G.
§ 7B1.1(b).
Here, the revocation hearing is devoid of any findings regarding the Guidelines
range or the proper violation gradations. The only reference to the Guidelines comes from
the government. See J.A. 136 (counsel stating “[t]he government actually would be asking
for a sentence within the high range of the range of imprisonment of 63 months.”). But the
district court never stated that it adopted that as the Guidelines range nor its reasoning.
2
When determining the proper Guidelines range, a court must look to the
Sentencing Guidelines Manual in effect on the date that the offense was committed. United
States v. Knight, 606 F.3d 171, 177 (4th Cir. 2010). Walton committed his probation
violations in February 2022 and therefore the 2021 version of the Guidelines Manual was
in effect. Unless noted otherwise, all citations are to the 2021 Guidelines Manual.
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And the district court never explained which violations it considered to be Grade A
violations or why they were.
Because this Court’s long-standing precedent requires district courts to calculate the
Guidelines range, this error was plain. United States v. Padgett, 788 F.3d 370, 373 (4th
Cir. 2015) (“The sentencing court must consider both the policy statements and the
applicable policy statement range found in Chapter 7 of the Sentencing Guidelines
manual.”) (cleaned up); see also Gall v. United States, 552 U.S. 38, 51 (2007) (describing
a district court’s failure to calculate the Guidelines range in sentencing as a “significant
procedural error”).
For this reason alone, I would find that the district court procedurally erred.
B.
Next, had the district court properly calculated the Guidelines range, it would have
discovered that it was sentencing Walton far above what the Guidelines suggest. 3 The
government argues that Walton committed at least two “controlled substance offenses,”
warranting a Grade A violation, Resp. Br. at 16–17, which corresponds with a Guidelines
range of fifty-one to sixty-three months, U.S.S.G. § 7B1.4(a). But neither proffered
3
Applying Walton’s criminal history score (VI), a Grade B violation would
correspond with a Guidelines-range of twenty-one to twenty-seven months. U.S.S.G.
§ 7B1.4(a).
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offense is a Grade A violation. Because the district court sentenced Walton within what
could only be an incorrectly calculated Guidelines range 4 this too was a procedural error.
For an offense to be a Grade A violation, it must be:
(A) a federal, state, or local offense punishable by a term of
imprisonment exceeding one year that
(i) is a crime of violence,
(ii) is a controlled substance offense, or
(iii) involves possession of a firearm or destructive device of
a type described in 26 U.S.C. § 5845(a); or
(B) any other federal, state, or local offense punishable by a term of
imprisonment exceeding twenty years.
U.S.S.G. § 7B1.1(a)(1) (emphasis added). Section 7B1.1 adopts § 4B1.2(b)’s definition of
“controlled substance offense.” U.S.S.G. § 7B1.1 cmt. 3. That section, in turn, defines a
“controlled substance offense” as “an offense under federal or state law, punishable by
imprisonment for a term exceeding one year, that [ ] prohibits the manufacture, import,
export, distribution, or dispensing of a controlled substance (or a counterfeit substance) or
the possession of a controlled substance (or a counterfeit substance) with intent to
manufacture, import, export, distribute, or dispense.” 5 U.S.S.G. § 4B1.2(b), (b)(1).
4
Since the district court failed to calculate the Guidelines or explain its reasoning,
it is difficult to know what exactly the district court did or intended to do. This ambiguity
highlights the seriousness of the district court’s procedural error in not clearly setting forth
its findings.
5
The Guidelines have since been amended to include “the possession of a controlled
substance (or counterfeit substance) with the intent to manufacture, import, export, or
dispense” within the definition of a “controlled substance offense.” See 2024 U.S.S.G.
§ 4B1.2(b)(1).
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On appeal, the government argues that two of Walton’s violations—Possession with
Intent to Distribute Marijuana in violation of West Virginia law, and Criminal
Transportation of Drug Proceeds in violation of Kansas law—are Grade A violations
because they are controlled substance offenses. However, neither violation satisfies the
definition of a controlled substance offense, nor do they meet any of the other criteria for
a Grade A violation.
i.
Finding that Walton committed a controlled substance offense, the majority errs by
looking to Walton’s conduct and deeming him guilty of committing a controlled substance
offense, despite the fact that neither the government nor the district court identified a
controlled substance offense as part of his revocation proceeding. Maj. Op. at 22 n.6; Gov.
Supp. Br. at 8. This is wrong.
The majority asserts that Walton could have been (but was not) charged with the
federal offense of possession with intent to distribute, which is a categorically a controlled
substance. Maj. Op. at 22 n.6. In support, the majority cites the Guidelines’ commentary
which states that “[t]he grade of violation does not depend upon the conduct that is the
subject of criminal charges or of which the defendant is convicted [of] . . . . Rather, the
grade of the violation is to be based on the defendant’s actual conduct.” U.S.S.G. § 7B1.2
cmt. 1. But this merely means that the government need not go through a formal criminal
process to demonstrate that the defendant committed a violation; the commentary does not
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give the majority license to search the record for possible, uncited offenses. 6 The question
of whether a defendant committed a Grade A violation looks to the offense that the
probation officer cited and the district court found him responsible for committing, not
whatever offenses the government or this Court post hoc determines he could have been
held accountable for committing. See United States v. Carter, 730 F.3d 187, 192–93 (3d.
Cir. 2013) (the district court and the government must indicate the “particular ‘crime of
violence’ for which [the defendant] was responsible.”); United States v. Willis, 795 F.3d
986, 993 n.5 (9th Cir. 2015) (“in determining whether the defendant has committed a crime
of violence for purposes of § 7B1.1(a)(1)(A)(i), a court must identify the particular crime
for which the defendant was responsible, and determine whether that crime, rather than the
defendant’s conduct, contains an ‘element of force.’”). “It is therefore not enough to say
that a defendant’s actions [constituted a Grade A violation] without pointing to a crime
containing those same elements.” Carter, 730 F.3d at 192–93.
And, to determine if a crime is a “controlled substance offense” in the sentencing
context, we apply the categorical approach. United States v. Campbell, 22 F.4th 438, 441
(4th Cir. 2022). Under this approach, “[i]f the ‘least culpable’ conduct criminalized by the
6
In any event, “if the Application Note really required courts to grade violations
based only on actual conduct, and ignored the ‘offense under federal or state law’ that the
defendant violated, the Note would clash with the text, and the text would prevail.” United
States v. Garcia-Cartagena, 953 F.3d 14, 24 (1st Cir. 2020); see also United States v.
Mitchell, 120 F.4th 1233, 1241 (4th Cir. 2024) (“when commentary is inconsistent with an
unambiguous guideline—for example, if the commentary would expand the application of
a Guideline beyond its plain meaning—the Sentencing Reform Act itself commands
compliance with the guideline.”) (cleaned up).
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predicate offense statute does not qualify as a ‘controlled substance offense,’” any offense
pursuant to the statute is not a controlled substance offense. Id.
I find no reason why we should apply the categorical approach when determining if
a crime is a “controlled substance offense” for purposes of sentencing but not for purposes
U.S.S.G. § 7B1.1. Indeed, as the First Circuit put it, it would take “some high-level hocus-
pocus” to find that § 4B1.2’s definition of “controlled substance offense” is a “chameleon[]
that var[ies] [its] colors (to mean ‘specific acts’ in § 7B1.1(a) but a ‘generic’ crime in other
contexts) depending on what guideline puts [it] to work.” United States v. Garcia-
Cartagena, 953 F.3d 14, 24 (1st Cir. 2020).
Applying the categorical approach in the supervised release context is amply
supported by our precedent. Indeed, we routinely apply the categorical approach in
determining if a violation is a Grade A violation. See United States v. Simmons, 917 F.3d
312, 316–17 (4th Cir. 2019) (“To determine whether [the offense of conviction] is a ‘crime
of violence’ under the Sentencing Guidelines [for purposes of determining the grade of a
supervised release violation], we apply the familiar categorical approach”); United States
v. Mack, 56 F.4th 303, 305 (4th Cir. 2022) (same). We explicitly held that a district court
erred when it examined the defendants “actual conduct,” rather than the elements of the
offense, in determining the grade of a defendant’s supervised release violation. United
States v. Doctor, 958 F.3d 226, 237–38 (4th Cir. 2020) contra Maj. Op. at 22 n.6. As we
explained, “this Court has applied the categorical approach to decide whether a state
offense is a crime of violence under the Guidelines . . . . Accordingly, application of the
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conduct-specific approach . . . [to determine if an offense is a Grade A violation] is not
proper.” Doctor, 958 F.3d at 237–38.
Nor does United States v. Wynn, the only case law the majority marshals, support
its position. 786 F.3d 339 (4th Cir. 2015); Maj. Op. at 22 n.6. Wynn only stands for the
proposition that the district court may consider a defendant’s earlier conviction(s) to
conclude that he would be subject to a sentence of greater than one year as a recidivist
offender. 786 F.3d at 343–44; see also United States v. Ramos, 979 F.3d 994, 1000 (2d
Cir. 2020) (citing Wynn for the proposition that “a recidivism enhancement is fair game for
a sentencing court to consider when assessing the maximum potential penalty for an
offense constituting a violation of supervised release.”). But it does not excuse the
government from identifying a statutory crime at the revocation proceeding and
categorically demonstrating that it is a controlled substance offense.
ii.
To begin, and in yet another example of procedural error, it is not clear under which
West Virginia statute Walton was charged. However, my best guess is that he was charged
with violating W. Va. Code § 60A-4-401(a) (stating “it is unlawful for any person to
manufacture, deliver, or possess with intent to manufacture or deliver a controlled
substance”). In United States v. Campbell, this Court found that, under the version of the
Guidelines then in effect, convictions pursuant to W. Va. Code § 60A-4-401(a) are not
“controlled substance offenses” because they include inchoate offenses. 22 F.4th at 441,
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449. 7 Therefore, under binding Fourth Circuit precedent, Walton’s West Virginia offense
was not a controlled substance offense when he committed it. Furthermore, the highest
statutory sentence for Walton’s conviction is five years, far below the twenty-year
threshold to independently render it a Grade A violation. W. Va. Code § 60A-4-401(a)(ii);
see also W. Va. Code § 60A-2-204(d) (classifying marijuana as a Schedule I substance).
Accordingly, I would find that the district court plainly erred to the extent it considered
this offense a Grade A violation.
In spite of our clear precedent, the majority finds that Walton waived the argument
that Campbell controls. Maj. Op. at 19–22. I profoundly disagree. It is true that courts
follow the principle of party presentation. Greenlaw v. United States, 554 U.S. 237, 244
(2008). This principle is based on the idea that “parties represented by competent counsel
know what is best for them, and are responsible for advancing the facts and argument
entitling them to relief.” United States v. Sineneng-Smith, 590 U.S. 371, 375–76 (2020)
(cleaned up). But “[t]he party presentation principle is supple, not ironclad,” and the
Supreme Court has observed that “[t]here are no doubt circumstances in which a modest
initiating role for a court is appropriate.” Id. at 376. Following the Supreme Court’s
teachings, this Court has warned that “we cannot sacrifice the integrity of our jurisprudence
to the party presentation principle.” Short v. Hartman, 87 F.4th 593, 604 (4th Cir. 2023),
cert. denied, 144 S. Ct. 2631 (2024); see also Dan Ryan Builders, Inc. v. Crystal Ridge
7
It is true that Campbell was in the context of a sentencing career-offender
enhancement. But both the career-offender enhancement and Grade A violations rely on
the same definition of “controlled substance offense.” See Campbell, 22 F.4th at 441
(considering the definition of U.S.S.G. § 4B1.2(b)).
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Dev., Inc., 783 F.3d 976, 980 (4th Cir. 2015) (stating that “the [Supreme Court has n]ever
suggested that the party presentation principle constrains a court’s fundamental obligation
to ascertain controlling law”).
This is especially true when a party has properly raised an issue but failed to raise
all legal theories in support of its argument. As we have explained, “[w]hen an issue or
claim is properly before the court, the court is not limited to the particular legal theories
advanced by the parties, but rather retains the independent power to identify and apply the
proper construction of governing law.” Short, 87 F.4th at 604 (quoting Kamen v. Kemper
Fin. Servs., Inc., 500 U.S. 90, 99 (1991)).
This is what happened here. Despite the majority’s claim to the contrary, Maj. Op.
at 20–21, Walton properly raised the issue of whether he committed a Grade A violation.
He argued that his alleged violation of W. Va. Code § 60A-4-401(a) “was also not a grade
A violation” and devotes a page to that discussion. Opening Br. at 20. While he did not
explicitly point to Campbell as the basis for his contention, it is within this Court’s power
to consider other theories in support of that argument. 8 Finally, not only is it within our
power to consider Campbell, but it is also our duty to do so. Campbell is on-point binding
precedent, directly governing the question before the Court. See, e.g., Payne v. Taslimi,
998 F.3d 648, 654 (4th Cir. 2021) (“when a panel of our Court looks horizontally to our
8
Nor does considering it undermine the purpose of the party presentation
principle—to allow the parties to determine and craft their best arguments. Walton’s
counsel admitted that he had inadvertently failed to raise the argument in Walton’s briefing.
When Campbell was raised at oral argument, counsel described it as an “oops moment.”
Oral Argument at 33:21.
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own precedents, we must apply their commands as a mechanical mandate.”). We cannot
simply jettison it because Walton’s lawyer inadvertently did not cite it, as “[a] party’s
failure to identify the applicable legal rule certainly does not diminish a court’s
responsibility to apply that rule.” Dan Ryan Builders, Inc., 783 F.3d at 980.
I would therefore consider Campbell and find that W. Va. Code § 60A-4-401(a) was
not a controlled substance offense at the time of the revocation hearing. Therefore,
Walton’s West Virginia offense was not a Grade A violation and the district court plainly
erred finding the contrary.
iii.
Walton’s Kansas offense is also not a “controlled substance offense.” Walton pled
guilty to one count of Criminal Transportation of Drug Proceeds, in violation of Kan. Stat.
Ann. § 21-5716(b). J.A. 103. Though there does not appear to be binding precedent
holding that this statute is not a controlled substance offense, its plain text makes clear that
it is not. That statute states:
It shall be unlawful for any person to distribute, invest, conceal, transport or
maintain an interest in or otherwise make available anything of value which
that person knows is intended to be used for the purpose of committing or
furthering the commission of any crime in K.S.A. 21-5701 through 21-5717
[crimes involving controlled substances], and amendments thereto, or any
substantially similar offense from another jurisdiction.
Kan. Stat. Ann. § 21-5716(b). While this statute may relate to controlled substances, it is
not a “controlled substance offense” pursuant to the Sentencing Guidelines because it does
not categorically criminalize the “the manufacture, import, export, distribution, or
dispensing . . . or the possession of a controlled substance.” See U.S.S.G. § 4B1.2(b),
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(b)(1). Furthermore, violations of this provision bring with them a sentence of less than
twenty years. See Kan. Stat. Ann. § 21-6805(a) (setting forth a maximum sentence of
sixteen months for a nonperson level 5 drug felony); U.S.S.G. § 7B1.1(a)(1)(B). Based on
this clear reading of the statute and its penalty, I would hold that it is plain that this is not
a controlled substance offense and thus not a Grade A violation.
* * *
Because the district court appeared to rely on an incorrectly calculated Guidelines
range that considered Walton as having been charged with a Grade A violation, the district
court’s sentence is plainly unreasonable.
C.
Finally, the district court failed to provide any reasoning for the revocation sentence
that it imposed in contravention of this Court’s precedent. Again, for this reason alone, I
would hold that the district court plainly procedurally erred and remand the case for
resentencing.
When imposing a revocation sentence, a district court must “adequately explain the
chosen sentence,” Thompson, 595 F.3d at 547 (quoting Gall, 552 U.S. at 51), and “must
provide a statement of reasons for the sentence imposed,” Moulden, 478 F.3d at 657. In
imposing a revocation sentence, district courts are required to consider various factors set
forth in § 3553(a). 9 18 U.S.C. § 3583(c). While it is true that “a court need not robotically
9
These factors are: “the nature and circumstances of the offense and the history and
characteristics of the defendant,” 18 U.S.C. § 3553(a)(1); “the need for the sentence
imposed . . . to afford adequate deterrence to criminal conduct,” id. at (a)(2)(B); “the need
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tick through § 3553(a)’s every subsection,” United States v. Montes-Pineda, 445 F.3d 375,
380 (4th Cir. 2006) (cleaned up), a revocation sentence only “passes procedural muster if
it is supported by a sufficient explanation so that we may effectively review the
reasonableness of the sentence,” which “must encompass an assurance that the sentencing
court considered the applicable sentencing factors,” United States v. Gibbs, 897 F.3d 199,
204 (4th Cir. 2018) (cleaned up). In reviewing the district court’s statement of reasons,
this Court may consider the “court’s statements to the defendant throughout the sentencing
hearing,” not just those made at the time of imposition of the sentence. Thompson, 595
F.3d at 547.
A district court’s failure to explain the reason behind its sentence is plainly
unreasonable. Thompson, 595 F.3d at 547 (“A district court commits significant procedural
error where it fails to adequately explain the chosen sentence.”) (cleaned up); see also
United States v. Bolds, 511 F.3d 568, 580 (6th Cir. 2007) (“Reversible procedural error
occurs [on the revocation of supervised release] if the sentencing judge fails to set forth
enough of a statement of reasons to satisfy the appellate court that he . . . has a reasoned
basis for exercising his own legal decision making authority.”) (cleaned up).
for the sentence imposed . . . to protect the public from further crimes of the defendant,”
id. at (a)(2)(C); “the need for the sentence imposed . . . to provide the defendant with
needed educational or vocational training, medical care, or other correctional treatment in
the most effective manner,” id. at (a)(2)(D); “the kinds of sentence and the sentencing range
established for [in the Guidelines and by statute],” id. at (a)(4); “any pertinent policy
statement [in the Guidelines],” id. at (a)(5); “the need to avoid unwarranted sentence
disparities among defendants with similar records who have been found guilty of similar
conduct,” id. at (a)(6); and “the need to provide restitution to any victims of the offense,”
id. at (a)(7).
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The district court here failed to provide an adequate statement of reasons in support
of the sentence it imposed. During the revocation hearing, the district court remarked on
Walton’s extensive criminal history and, as the government noted, observed that Walton
did not “really give any indication of stopping.” J.A. 133; see also J.A. 132. When
imposing Walton’s sentence, the district court stated:
Based upon Mr. Walton’s admissions, it is the judgment of this Court that
the defendant, Eric Arthur Walton, is remanded to the custody of Bureau of
Prisons to serve a sentence of 60 months in [the drug offenses case], followed
by five years of supervised release.
In [the jury tampering case], I will impose a sentence of 24 months, followed
by no supervision, and that is to run concurrently with the 60 months on the
[drug offense] case.
J.A. 137. The district court provided no further reasoning for its sentence.
The district court’s observations regarding Walton’s criminal history are simply not
enough to allow this Court to review the reasonableness of the sentence imposed. See, e.g.,
United States v. Slappy, 872 F.3d 202, 209 (4th Cir. 2017) (holding that a district court’s
statement that the sentence was “imposed to afford adequate deterrence” and that it was
based on “evidence that [the defendant] doesn’t respect The Court” was insufficient)
(cleaned up). The district court did not consider Walton’s history or characteristics beyond
his criminal history nor any of the other statutorily enumerated factors. While Walton’s
admissions and the court’s observations about his criminal history may be sufficient to
support the finding that some incarceration was appropriate, they fail to explain why a
sentence of sixty months was appropriate.
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Because the district court failed to adequately explain the reasoning for the sentence
imposed, I would hold that it procedurally erred.
III.
The district court committed numerous procedural errors that warrant resentencing.
Thus, I must respectfully dissent.
44
Plain English Summary
USCA4 Appeal: 23-4314 Doc: 41 Filed: 07/28/2025 Pg: 1 of 44 PUBLISHED UNITED STATES COURT OF APPEALS FOR THE FOURTH CIRCUIT No.
Key Points
01USCA4 Appeal: 23-4314 Doc: 41 Filed: 07/28/2025 Pg: 1 of 44 PUBLISHED UNITED STATES COURT OF APPEALS FOR THE FOURTH CIRCUIT No.
02(5:94-cr-00021-JPB-JPM-1) Argued: December 13, 2024 Decided: July 28, 2025 Before GREGORY, THACKER, and RUSHING, Circuit Judges.
03Judge Rushing wrote the majority opinion, in which Judge Thacker joined.
04Judge Gregory wrote an opinion concurring in part and dissenting in part.
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USCA4 Appeal: 23-4314 Doc: 41 Filed: 07/28/2025 Pg: 1 of 44 PUBLISHED UNITED STATES COURT OF APPEALS FOR THE FOURTH CIRCUIT No.
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