Mr. Justice Powell
delivered the opinion of the Court.
This case requires the Court to consider Wharton’s Rule, a doctrine of criminal law enunciating an exception to the general principle that a conspiracy and the substantive offense that is its immediate end are discrete crimes for which separate sanctions may be imposed.
I
Petitioners were tried under a six-count indictment alleging a variety of federal gambling offenses. Each of the eight petitioners, along with seven unindieted cocon-spirators and six codefendants, was charged, inter alia, [772]*772with conspiring1 to violate and violating 18 U. S. C. § 1955, a federal gambling statute making it a crime for five or more persons to conduct, finance, manage, supervise, direct, or own a gambling business prohibited by state law.2 Each petitioner was convicted of both offenses,3 and each was sentenced under both the substantive and conspiracy counts.4 The Court of Appeals [773]*773for the Third Circuit affirmed, finding that a recognized exception to Wharton’s Rule permitted prosecution and punishment for both offenses, 477 F. 2d 999 (1973). We granted certiorari to resolve the conflicts caused by the federal courts’ disparate approaches to the application of Wharton’s Rule to conspiracies to violate § 1955. 417 U. S. 907 (1974). For the reasons now to be stated, we affirm.
II
Wharton’s Rule owes its name to Francis Wharton, whose treatise on criminal law identified the doctrine and its fundamental rationale:
“When to the idea of an offense plurality of agents is logically necessary, conspiracy, which assumes the voluntary accession of a person to a crime of such a character that it is aggravated by a plurality of agents, cannot be maintained. ... In other words, when the law says, ‘a combination between two persons to effect a particular end shall be called, if the end be effected, by a certain name,’ it is not lawful for the prosecution to call it by some other name; and when the law says, such an offense — e. g., adultery — shall have a certain punishment, it is not lawful for the prosecution to evade this limitation by indicting the offense as conspiracy.” 2 F. Wharton, Criminal Law § 1604, p. 1862 (12th ed. 1932).5
“An agreement by two persons to commit a particular crime cannot be prosecuted as a conspiracy when the crime is of such a nature [774]*774as to necessarily require the participation of two persons for its commission.” 1 R. Anderson, Wharton’s Criminal Law and Procedure §89, p. 191 (1957).
The Rule has been applied by numerous courts, state 6 and federal7 alike. It also has been recognized by this Court,8 although we have had no previous occasion carefully to analyze its justification and proper role in federal law.
The classic formulation of Wharton’s Rule requires that the conspiracy indictment be dismissed before trial. Wharton’s description of the Rule indicates that, where it is applicable, an indictment for conspiracy “cannot be maintained,” ibid., a conclusion echoed by Anderson’s more recent formulation, see n. 5, supra, and by state[775]*775ments of this Court as well, see Gebardi v. United States, 287 U. S. 112, 122 (1932); United States v. Katz, 271 U. S. 354, 355 (1926). Federal courts earlier adhered to this literal interpretation and thus sustained demurrers to conspiracy indictments. See United States v. New York C. & H. R. R. Co., 146 F. 298, 303-305 (CC SDNY 1906), aff’d, 212 U. S. 481 (1909); United States v. Dietrich, 126 F. 659 (CC Neb. 1904). More recently, however, some federal courts have differed over whether Wharton’s Rule requires initial dismissal of the conspiracy indictment. In United States v. Greenberg, 334 F. Supp. 1092 (ND Ohio 1971), and United States v. Figueredo, 350 F. Supp. 1031 (MD Fla. 1972), rev’d sub nom. United States v. Vaglica, 490 F. 2d 799 (CA5 1974), cert, pending sub nom. Scaglione v. United States, No. 73-1503, District Courts sustained preliminary motions to dismiss conspiracy indictments in cases in which the prosecution also charged violation of § 1955. In this case, 339 F. Supp. 171 (WD Pa. 1972), and in United States v. Kohne, 347 F. Supp. 1178, 1186 (WD Pa. 1972), however, the courts held that the Rule’s purposes can be served equally effectively by permitting the prosecution to charge both offenses and instructing the jury that a conviction for the substantive offense necessarily precludes conviction for the conspiracy.
Federal courts likewise have disagreed as to the proper application of the recognized “third-party exception,” which renders Wharton’s Rule inapplicable when the conspiracy involves the cooperation of a greater number of persons than is required for commission of the substantive offense. See Gebardi v. United States, supra, at 122 n. 6. In the present case, the Third Circuit concluded that the third-party exception permitted prosecution because the conspiracy involved more than the five persons required to commit the substantive offense, 477 F. [776]*7762d 999, a view shared by the Second Circuit, United States v. Becker, 461 F. 2d 230, 234 (1972), vacated and remanded on other grounds, 417 U. S. 903 (1974).9 The Seventh Circuit reached the opposite result, however, reasoning that since § 1955 also covers gambling activities involving more than five persons, the third-party exception is inapplicable. United States v. Hunter, 478 F. 2d 1019, cert. denied, 414 U. S. 857 (1973).
The Courts of Appeals are at odds even over the fundamental question whether Wharton’s Rule ever applies to a charge for conspiracy to violate § 1955. The Seventh Circuit holds that it does. Hunter, supra; United States v. Clarke, 500 F. 2d 1405 (1974), cert. denied, post, p. 925. The Fourth and Fifth Circuits, on the other hand, have declared that it does not. United States v. Bobo, 477 F. 2d 974 (CA4 1973), cert, pending sub nom. Gray v. United States, No. 73-231; United States v. Pacheco, 489 F. 2d 554 (CA5 1974), cert. pending, No. 73-1510.
As this brief description indicates, the history of the application of Wharton’s Rule to charges for conspiracy to violate § 1955 fully supports the Fourth Circuit’s observation that “rather than being a rule, [it] is a concept, the confines of which have been delineated in widely diverse fashion by the courts.” United States v. Bobo, supra, at 986. With this diversity of views in mind, we turn to an examination of the history and purposes of the Rule.
[777]*777III
A
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Mr. Justice Powell
delivered the opinion of the Court.
This case requires the Court to consider Wharton’s Rule, a doctrine of criminal law enunciating an exception to the general principle that a conspiracy and the substantive offense that is its immediate end are discrete crimes for which separate sanctions may be imposed.
I
Petitioners were tried under a six-count indictment alleging a variety of federal gambling offenses. Each of the eight petitioners, along with seven unindieted cocon-spirators and six codefendants, was charged, inter alia, [772]*772with conspiring1 to violate and violating 18 U. S. C. § 1955, a federal gambling statute making it a crime for five or more persons to conduct, finance, manage, supervise, direct, or own a gambling business prohibited by state law.2 Each petitioner was convicted of both offenses,3 and each was sentenced under both the substantive and conspiracy counts.4 The Court of Appeals [773]*773for the Third Circuit affirmed, finding that a recognized exception to Wharton’s Rule permitted prosecution and punishment for both offenses, 477 F. 2d 999 (1973). We granted certiorari to resolve the conflicts caused by the federal courts’ disparate approaches to the application of Wharton’s Rule to conspiracies to violate § 1955. 417 U. S. 907 (1974). For the reasons now to be stated, we affirm.
II
Wharton’s Rule owes its name to Francis Wharton, whose treatise on criminal law identified the doctrine and its fundamental rationale:
“When to the idea of an offense plurality of agents is logically necessary, conspiracy, which assumes the voluntary accession of a person to a crime of such a character that it is aggravated by a plurality of agents, cannot be maintained. ... In other words, when the law says, ‘a combination between two persons to effect a particular end shall be called, if the end be effected, by a certain name,’ it is not lawful for the prosecution to call it by some other name; and when the law says, such an offense — e. g., adultery — shall have a certain punishment, it is not lawful for the prosecution to evade this limitation by indicting the offense as conspiracy.” 2 F. Wharton, Criminal Law § 1604, p. 1862 (12th ed. 1932).5
“An agreement by two persons to commit a particular crime cannot be prosecuted as a conspiracy when the crime is of such a nature [774]*774as to necessarily require the participation of two persons for its commission.” 1 R. Anderson, Wharton’s Criminal Law and Procedure §89, p. 191 (1957).
The Rule has been applied by numerous courts, state 6 and federal7 alike. It also has been recognized by this Court,8 although we have had no previous occasion carefully to analyze its justification and proper role in federal law.
The classic formulation of Wharton’s Rule requires that the conspiracy indictment be dismissed before trial. Wharton’s description of the Rule indicates that, where it is applicable, an indictment for conspiracy “cannot be maintained,” ibid., a conclusion echoed by Anderson’s more recent formulation, see n. 5, supra, and by state[775]*775ments of this Court as well, see Gebardi v. United States, 287 U. S. 112, 122 (1932); United States v. Katz, 271 U. S. 354, 355 (1926). Federal courts earlier adhered to this literal interpretation and thus sustained demurrers to conspiracy indictments. See United States v. New York C. & H. R. R. Co., 146 F. 298, 303-305 (CC SDNY 1906), aff’d, 212 U. S. 481 (1909); United States v. Dietrich, 126 F. 659 (CC Neb. 1904). More recently, however, some federal courts have differed over whether Wharton’s Rule requires initial dismissal of the conspiracy indictment. In United States v. Greenberg, 334 F. Supp. 1092 (ND Ohio 1971), and United States v. Figueredo, 350 F. Supp. 1031 (MD Fla. 1972), rev’d sub nom. United States v. Vaglica, 490 F. 2d 799 (CA5 1974), cert, pending sub nom. Scaglione v. United States, No. 73-1503, District Courts sustained preliminary motions to dismiss conspiracy indictments in cases in which the prosecution also charged violation of § 1955. In this case, 339 F. Supp. 171 (WD Pa. 1972), and in United States v. Kohne, 347 F. Supp. 1178, 1186 (WD Pa. 1972), however, the courts held that the Rule’s purposes can be served equally effectively by permitting the prosecution to charge both offenses and instructing the jury that a conviction for the substantive offense necessarily precludes conviction for the conspiracy.
Federal courts likewise have disagreed as to the proper application of the recognized “third-party exception,” which renders Wharton’s Rule inapplicable when the conspiracy involves the cooperation of a greater number of persons than is required for commission of the substantive offense. See Gebardi v. United States, supra, at 122 n. 6. In the present case, the Third Circuit concluded that the third-party exception permitted prosecution because the conspiracy involved more than the five persons required to commit the substantive offense, 477 F. [776]*7762d 999, a view shared by the Second Circuit, United States v. Becker, 461 F. 2d 230, 234 (1972), vacated and remanded on other grounds, 417 U. S. 903 (1974).9 The Seventh Circuit reached the opposite result, however, reasoning that since § 1955 also covers gambling activities involving more than five persons, the third-party exception is inapplicable. United States v. Hunter, 478 F. 2d 1019, cert. denied, 414 U. S. 857 (1973).
The Courts of Appeals are at odds even over the fundamental question whether Wharton’s Rule ever applies to a charge for conspiracy to violate § 1955. The Seventh Circuit holds that it does. Hunter, supra; United States v. Clarke, 500 F. 2d 1405 (1974), cert. denied, post, p. 925. The Fourth and Fifth Circuits, on the other hand, have declared that it does not. United States v. Bobo, 477 F. 2d 974 (CA4 1973), cert, pending sub nom. Gray v. United States, No. 73-231; United States v. Pacheco, 489 F. 2d 554 (CA5 1974), cert. pending, No. 73-1510.
As this brief description indicates, the history of the application of Wharton’s Rule to charges for conspiracy to violate § 1955 fully supports the Fourth Circuit’s observation that “rather than being a rule, [it] is a concept, the confines of which have been delineated in widely diverse fashion by the courts.” United States v. Bobo, supra, at 986. With this diversity of views in mind, we turn to an examination of the history and purposes of the Rule.
[777]*777III
A
Traditionally the law has considered conspiracy and the completed substantive offense to be separate crimes. Conspiracy is an inchoate offense, the essence of which is an agreement to commit an unlawful act. See, e. g., United States v. Feola, ante, p. 671; Pinkerton v. United States, 328 U. S. 640, 644 (1946); Braverman v. United States, 317 U. S. 49, 53 (1942).10 Unlike some crimes that arise in a single transaction, see Heflin v. United States, 358 U. S. 415 (1959); Prince v. United States, 352 U. S. 322 (1957), the conspiracy to commit an offense and the subsequent commission of that crime normally do not merge into a single punishable act. Pinkerton v. United States, supra, at 643.11 Thus, it is well recognized that in most cases separate sentences can be imposed for the conspiracy to [778]*778do an act and for the subsequent accomplishment of that end. Feola, supra; Callanan v. United States, 364 U. S. 587 (1961); Pinkerton, supra; Carter v. McClaughry, 183 U. S. 365 (1902). Indeed, the Court has even held that the conspiracy can be punished more harshly than the accomplishment of its purpose. Clune v. United States, 159 U. S. 590 (1895).
The consistent rationale of this long line of decisions rests on the very nature of the crime of conspiracy. This Court repeatedly has recognized that a conspiracy poses distinct dangers quite apart from those of the substantive offense.
“This settled principle derives from the reason of things in dealing with socially reprehensible conduct: collective criminal agreement — partnership in crime — presents a greater potential threat to the public than individual delicts. Concerted action both increases the likelihood that the criminal object will be successfully attained and decreases the probability that the individuals involved will depart from their path of criminality. Group association for criminal purposes often, if not normally, makes possible the attainment of ends more complex than those which one criminal could accomplish. Nor is the danger of a conspiratorial group limited to the particular end toward which it has embarked. Combination in crime makes more likely the commission of crimes unrelated to the original purpose for which the group was formed. In sum, the danger which a conspiracy generates is not confined to the substantive offense which is the immediate aim of the enterprise.” Callanan v. United States, supra, at 593-594.
As Mr. Justice Jackson, no friend of the law of conspiracy, see Krulewitch v. United States, 336 U. S. 440, 445 [779]*779(1949) (concurring opinion), observed: “The basic rationale of the law of conspiracy is that a conspiracy may be an evil in itself, independently of any other evil it seeks to accomplish.” Dennis v. United States, 341 U. S. 494, 573 (1951) (concurring opinion). See also United States v. Rabinowich, 238 U. S. 78, 88 (1915).
B
The historical difference between the conspiracy and its end has led this Court consistently to attribute to Congress “a tacit purpose — in the absence of any inconsistent expression — to maintain a long-established distinction between offenses essentially different; a distinction whose practical importance in the criminal law is not easily overestimated.” Ibid.; Callanan, supra, at 594. Wharton’s Rule announces an exception to this general principle.
The Rule traces its origin to the decision of the Pennsylvania Supreme Court in Shannon v. Commonwealth, 14 Pa. 226 (1850), a case in which the court ordered dismissal of an indictment alleging conspiracy to commit adultery that was brought after the State had failed to obtain conviction for the substantive offense. Prominent among the concerns voiced in the Shannon opinion is the possibility that the State could force the defendant to undergo subsequent prosecution for a lesser offense after failing to prove the greater. The Shannon court’s holding reflects this concern, stating that “where concert is a constituent part of the act to be done, as it is in fornication and adultery, a party acquitted of the major cannot be indicted of the minor.” Id., at 227-228.
Wharton’s treatise first reported the case as one based on principles of double jeopardy, see F. Wharton, Criminal Law 198 (2d ed. 1852), and indicated that it was [780]*780limited to that context.12 Subsequently, however, Wharton came to view the principle as one of broader application. The seventh edition of Wharton's treatise reported the more general rule which is repeated in similar form today. Shannon v. Commonwealth was said to be an application of the principle rather than its source. 2 F. Wharton, Criminal Law 634 (7th ed. 1874).
This Court’s previous discussions of Wharton’s Rule have not elaborated upon its precise role in federal law. In most instances, the Court simply has identified the Rule and described it in terms similar to those used in Wharton’s treatise. But in United States v. Holte, 236 U. S. 140 (1915), the sole case in which the Court felt compelled specifically to consider the applicability of Wharton’s Rule, it declined to adopt an expansive definition of its scope. In that case, Wharton’s Rule was advanced as a bar to prosecution of a female for conspiracy to violate the Mann Act. Rejecting that contention, the Court adopted a narrow construction of the Rule that focuses on the statutory requirements of the substantive offense rather than the evidence offered to prove those elements at trial:
“The substantive offence might be committed without the woman’s consent, for instance, if she were drugged or taken by force. Therefore the decisions that it is impossible to turn the concurrence [781]*781necessary to effect certain crimes such as bigamy or duelling into a conspiracy to commit them do not apply.” Id., at 145.
Wharton’s Rule first emerged at a time when the contours of the law of conspiracy were in the process of active formulation. The general question whether the conspiracy merged into the completed felony offense remained for some time a matter of uncertain resolution.13 That issue is now settled, however, and the Rule currently stands as an exception to the general principle that a conspiracy and the substantive offense that is its im[782]*782mediate end do not merge upon proof of the latter. See Pinkerton v. United States, 328 U. S. 640 (1946). If the Rule is to serve a rational purpose in the context of the modern law of conspiracy, its role must be more precisely identified.
C
This Court’s prior decisions indicate that the broadly formulated Wharton’s Rule does not rest on principles of double jeopardy, see Pereira v. United States, 347 U. S. 1, 11 (1954); Pinkerton, supra, at 643-644.14 Instead, it has current vitality only as a judicial presumption, to be applied in the absence of legislative intent to the contrary. The classic Wharton’s Rule offenses — adultery, incest, bigamy, duelling — are crimes that are characterized by the general congruence of the agreement and the completed substantive offense. The parties to the agreement are the only persons who participate in commission of the substantive offense,15 and the immediate conse[783]*783quences of the crime rest on the parties themselves rather than on society at large. See United States v. Bobo, 477 F. 2d, at 987. Finally, the agreement that attends the substantive offense does not appear likely to pose the distinct kinds of threats to society that the law of conspiracy seeks to avert.16 It cannot, for [784]*784example, readily be assumed that an agreement to commit an offense of this nature will produce agreements to engage in a more general pattern of criminal conduct. Cf. Callanan v. United States, 364 U. S. 587 (1961); United States v. Rabinowich, 238 U. S. 78 (1915).
[783]*783“If confederacy constituted conspiracy, without regard to the quality of the act to be done, a party might incur the guilt of it by having agreed to be the passive subject of a battery, which did not involve him in a breach of the peace. By such preconcerted encounters, it has been said, a reputation for prowess is sometimes purchased by gentlemen of the fancy. In the same way there might be a conspiracy to commit suicide by drowning or hanging in.concert, according to the method of the Parisian roués, though no one could be indicted if the felony were committed. It may be said, such conspiracies are ridiculous and improbable. But nothing is [784]*784more ridiculous than a conspiracy to commit adultery — were we not bound to treat it with becoming gravity, it might provoke a smile— or more improbable than that the parties would deliberately postpone an opportunity to appease the most unruly of their appetites. These are subtile premises for a legal conclusion; but their subtilty is in the analysis of the principle, not in the manner of treating it.”
The conduct proscribed by § 1955 is significantly different from the offenses to which the Rule traditionally has been applied. Unlike the consequences of the classic Wharton’s Rule offenses, the harm attendant upon the commission of the substantive offense is not restricted to the parties to the agreement. Large-scale gambling activities seek to elicit the participation of additional persons— the bettors — who are parties neither to the conspiracy nor to the substantive offense that results from it. Moreover, the parties prosecuted for the conspiracy need not be the same persons who are prosecuted for commission of the substantive offense. An endeavor as complex as a large-scale gambling enterprise might involve persons who have played appreciably different roles, and whose level of culpability varies significantly. It might, therefore, be appropriate to prosecute the owners and organizers of large-scale gambling operations both for the conspiracy and for the substantive offense but to prosecute the lesser participants only for the substantive offense. Nor can it fairly be maintained that agreements to enter into large-scale gambling activities are not likely to generate additional agreements to engage in other criminal endeavors. As shown in Part IV hereof, the legislative history of § 1955 provides documented testimony to the contrary.
[785]*785Wharton’s Rule applies only to offenses that require concerted criminal activity, a plurality of criminal agents. In such cases, a closer relationship exists between the conspiracy and the substantive offense because both require collective criminal activity. The substantive offense therefore presents some of the same threats that the law of conspiracy normally is thought to guard against, and it cannot automatically be assumed that the Legislature intended the conspiracy and the substantive offense to remain as discrete crimes upon consummation of the latter.17 Thus, absent legislative intent to the [786]*786contrary, the Rule supports a presumption that the two merge when the substantive offense is proved.18
But a legal principle commands less respect when extended beyond the logic that supports it. In this case, the significant differences in characteristics and consequences of the kinds of offenses that gave rise to Wharton’s Rule and the activities proscribed by § 1955 counsel against attributing significant weight to the presumption the Rule erects. More important, as the Rule is essentially an aid to the determination of legislative intent, it must defer to a discernible legislative judgment. We turn now to that inquiry.
IV
The basic purpose of the Organized Crime Control Act of 1970, Pub. L. No. 91-452, 84 Stat. 922,923, was “to seek the eradication of organized crime in the United States by strengthening the legal tools in the evidence-gathering process, by establishing new penal prohibitions, and by providing enhanced sanctions and new remedies to deal with the unlawful activities of those engaged in organized crime.” The content of the Act reflects the dedication with which the Legislature pursued this purpose. In addition to enacting provisions to facilitate the discovery and proof of organized criminal activities, Congress passed a number of relatively severe penalty provisions. For example, Title X, codified in 18 U. S. C. §§ 3575-[787]*7873578, identifies for harsher sentencing treatment certain “dangerous special offenders,” among them persons who initiate, direct, or supervise patterns of criminal conduct or conspiracies to engage in such conduct, and persons who derive substantial portions of their income from those activities.19 § 3575 (e).
Major gambling activities were a principal focus of congressional concern. Large-scale gambling enterprises were seen to be both a substantive evil and a source of funds for other criminal conduct. See S. Rep. No. 91-617, pp. 71-73 (1969).20 Title VIII thus was enacted [788]*788“to give the Federal Government a new substantive weapon, a weapon which will strike at organized crime’s principal source of revenue: illegal gambling.” Id., at 71. In addition to declaring that certain gambling activities violate federal as well as state law, 18 U. S. C. § 1955, Title VIII provides new penalties for conspiracies to obstruct state law enforcement efforts for the purpose of facilitating the conduct of these activities. 18 U. S. C. § 1511.
In drafting the Organized Crime Control Act of 1970, Congress manifested its clear awareness of the distinct nature of a conspiracy and the substantive offenses that might constitute its immediate end. The identification of “special offenders” in Title X speaks both to persons who commit specific felonies during the course of a pattern of criminal activity and to those who enter into conspiracies to engage in patterns of criminal conduct. 18 U. S. C. § 3575 (e). And Congress specifically utilized the law of conspiracy to discourage organized crime’s corruption of state and local officials for the purpose of facilitating gambling enterprises. 18 U. S. C. § 1511.21
[789]*789But the § 1955 definition of “gambling activities” pointedly avoids reference to conspiracy or to agreement, the essential element of conspiracy. Moreover, the limited § 1955 definition is repeated in identifying the reach of § 1511, a provision that specifically prohibits conspiracies. Viewed in this context, and in light of the numerous references to conspiracies throughout the extensive consideration of the Organized Crime Control Act, we think that the limited congressional definition of “gambling activities” in § 1955 is significant. The Act is a carefully crafted piece of legislation. Had Congress intended to foreclose the possibility of prosecuting conspiracy offenses under § 371 by merging them into prosecutions under § 1955, we think it would have so indicated explicitly. It chose instead to define the substantive offense punished by § 1955 in a manner that fails specifically to invoke the concerns which underlie the law of conspiracy.
Nor do we find merit to the argument that the congressional requirement of participation of “five or more persons” as an element of the substantive offense under § 1955 represents a legislative attempt to merge the conspiracy and the substantive offense into a single crime. The history of the Act instead reveals that this requirement was designed to restrict federal intervention to cases in which federal interests are substantially implicated. The findings accompanying Title VIII, see note [790]*790following 18 U. S. C. § 1511, would appear to support the assertion of federal jurisdiction over all illegal gambling activities, cf. Heart of Atlanta Motel v. United States, 379 U. S. 241, 258 (1964); Katzenbach v. McClung, 379 U. S. 294 (1964). Congress did not, however, choose to exercise its power to the fullest. Recognizing that gambling activities normally are matters of state concern, Congress indicated a desire to extend federal criminal jurisdiction to reach only “those who are engaged in an illicit gambling business of major proportions.” S. Rep. No. 91-617, p. 73 (1969). It accordingly conditioned the application of § 1955 on a finding that the gambling activities involve five or more persons and that they remain substantially in operation in excess of 30 days or attain gross revenues of $2,000 in a single day. 18 U. S. C, § 1955 (b)(1) (iii) (1970 ed. and Supp. III). 22 Thus the requirement of “concerted activity” in § 1955 reflects no more than a concern to avoid federal prosecution of small-scale gambling activities which pose a limited threat to federal interests and normally can be combated effectively by local law enforcement efforts.
Viewed in the context of this legislation, there simply is no basis for relying on a presumption to reach a result so [791]*791plainly at odds with congressional intent. We think it evident that Congress intended to retain each offense as an “independent curb” available for use in the strategy against organized crime. Gore v. United States, 357 U. S. 386, 389 (1958). We conclude, therefore, that the history and structure of the Organized Crime Control Act of 1970 manifest a clear and unmistakable legislative judgment that more than outweighs any presumption of merger between the conspiracy to violate § 1955 and the consummation of that substantive offense.
V
In expressing these conclusions we do not imply that the distinct nature of the crimes of conspiracy to violate and violation of § 1955 should prompt prosecutors to seek separate convictions in every case, or judges necessarily to sentence in a manner that imposes an additional sanction for conspiracy to violate § 1955 and the consummation of that end. Those decisions fall within the sound discretion of each, and should be rendered in accordance with the facts and circumstances of a particular case. We conclude only that Congress intended to retain these traditional options. Neither Wharton's Rule nor the history and structure of the Organized Crime Control Act of 1970 persuade us to the contrary.
Affirmed.