Willis appeals from the denial of his motion for post-conviction relief filed pursuant to 28 U.S.C. § 2255. He and co-defendant Evanoff were convicted of possession of marijuana with intent to distribute, in violation of 21 U.S.C. § 841(a)(1). Willis contends that he was denied effective assistance of counsel because he and Evanoff were represented by members of the same law firm. 1 Specifically, Willis argues that he should be granted a new trial because conflict of interest prevented his attorney from presenting his most effective defense and because the trial judge failed to obtain his waiver of potential conflicts of interest. We affirm.
I
Willis first asserts that his attorney, Bitkower, showed a lack of independent judgment in failing to develop a plausible separate defense.
2
Before turning to the factual support for this assertion, it is important that we clarify the law of the Ninth Circuit in light of the Supreme Court’s recent decision in
Holloway v. Arkansas,
A. The Law
While it is established that criminal defendants have a Sixth Amendment right to the assistance of counsel unburdened by conflicting loyalties,
Glasser v. United States,
We recently affirmed “[t]he long established rule in this circuit . . . that to prevail on [a conflict of interest claim], the defendant has the burden of establishing that the joint representation in fact created an actual conflict of interest and prejudiced her defense.”
United States v.
Willis asserts that insofar as the Ninth Circuit standard requirеs a showing of prejudice in addition to conflict of interest, it has been modified by the Supreme Court in
Holloway v. Arkansas, supra.
In addition to
Holloway,
Willis relies on our formulation of the standard in
Kruchten v. Eyman, supra,
We do not read
Kutas
as being inconsistent with
Kruchten,
nor do we believe that
Holloway
requires modification of the Ninth Circuit test. The standard for determining whether a conflict of interest existed is designed to ensure that defendants receive adequate representation yet prevent them from second-guessing on appeal their attorney’s trial strategy. Whether the test is formulated in terms of conflict of interest or prejudice, the issue involves “how strong a showing of conflict must be made, or how certain the reviewing court must be that the asserted conflict existed, before it will conclude that the defendants were deprived of their right to the effective assistance of counsel.”
Holloway v. Arkansas, supra,
Holloway
did not address the issue of the proper test for determining whether a defendant was denied effective representation because of a conflict of interest. Indeed, it specifically reservеd the question.
Holloway v. Arkansas, supra,
The Court in
Holloway
rejected a harmless error rule in part because it “would not be susceptible of intelligent, even-handed application.”
Our interpretation of
Holloway’s
effect is confirmed by the Second Circuit, which has required defendants to show “some specific instance of prejudice, some real conflict of interest, resulting from a joint representation” before a constitutional violation is found.
United States v. Lovano,
B. The Facts
We have stated that “decisions dealing with the question of whether or not a conflict of interest existed have turned on the particular fact situation of each case.”
Peek v. United States,
The Customs officers then questioned Willis and Evanoff. They asked Evanoff if he had the keys to the locked cabin. . The Customs officer testified that Evanoff searched his pocket and then secured the keys from Willis. Both Willis and Evanoff testified that Willis did not produce the keys. Willis did testify that when Evаnoff asked him if he had the keys, he hit his pocket and said “no.” Eight hundred and sixty pounds of marijuana were subsequently found in the cabin.
Willis claims that because Evanoff owned the boat upon which the marijuana was found, as well as the truck and trailer used to bring the boat out of the water, his attorney should have developed a separate defense of lack of knowledge or lack of constructivе possession. Instead, the attorneys representing Willis and Evanoff jointly sought only to suppress the marijuana discovered when Customs officers searched Evanoff’s boat. When their motion to suppress failed, they stipulated to the facts developed at the suppression hearing and waived a jury trial, apparently to move on to an appeal of the suppression ruling.
Willis claims that his proposed defense would have been bolstered by the conflicting testimony at the suppression hearing on the question whether it was Willis or Eva
Willis has failed to show an actual conflict of interest. One might speculate that Willis’ defense strategy was rooted in a conflict of interest or that he would have fared better with a separate defense. But the evidence permits no more than mere speculation.
Exploitation of the conflicting testimony about who had the key to the locked cabin would not necessarily have led to a more effective defense. Willis asserts that the key was all that linked him to the marijuana. Even if that were true, it is not clear that the Customs officers’ testimony of Willis’ actual possession of the key raised a stronger inference of constructive possession of the marijuana than his own admission that he felt for the key in his pockets. Neither actual possession nor his own testimony demonstrating Willis’ belief that he, at some time, had possession of the key, would prove beyond a reasonable doubt that Willis had access to, and knew about, the marijuana, but either would provide an inference that he did. Furthermore, Willis incorrectly asserts that there was no other evidence linking him to the marijuana. The Customs officer testified that about noon on the day of the arrest he overheard Willis tell the boat ramp manager that Willis owed him a fee for having launched a boat that morning before the office opened. This testimony, together with the inferences drawn from the unusual boat weight caused by 860 pounds of marijuana, secreted in a locked cabin with covered windows, tends to rebut any suggеstion that Willis was merely helping Evanoff bring his boat out of the water: The strength of the case against Willis suggests that counsel may have simply concluded that the suppression claim was Willis’ only available defense. While it might be argued that Willis had nothing to lose by raising the proposed defense, we are unable to conclude that only impermissible considerations of conflicting loyalties can explain counsel’s decision to concentrate his energies on the defense with which he thought Willis had a chance to win.
More importantly, absent objective evidence that conflict existed, we cannot evaluate the trial strategy of Willis’ attorney without knowing what the attorney knew of Willis’ possible defenses prior to trial. It is not clear that Willis’ attorney failed to provide Willis with conflict-free lеgal advice based on all the evidence available to him, including what he had learned from Willis. Although Willis asserts that his attorney failed to ask him questions that might have developed his separate defense, we believe that “[t]o permit a
post hoc
judicial inquiry into earlier privileged attorney-client communications whenever a defendant seeks to set aside his conviction on grounds of conflict of interest would be virtually to outlaw joint representation, since the temptation to attack his counsel’s unsuccessful strategy would be too great for the disappointed client to resist . .”
United States v. Wisniewski,
Similarly, “[a]bsent objective proof we cannot assume that a lawyer representing more than one client would act in violation of the Code of Professional Responsibility, much less ignore the oрportunity to introduce proof which might acquit one defendant but not the other.” Id. Since Evanoff had no separate defense, and apparently was prepared to rest his case entirely on the suppression hearing, it is not even clear that it would have conflicted with Evanoff’s best interests to have Willis deny having knowledge or possession of the marijuana.
The kind of showing .required by this circuit is illustrated by
United States v. Marshall,
Willis’ analysis of
Marshall
ignores the additional factors that made conflict of interest obvious in that case. There the failure to develop Marshall’s “only possible defense” could only have stemmed from a conflict of interest. Therе was no joint defense strategy since, as the court stated, Marshall had no conceivable claim of entrapment.
II
We also reject Willis’ contention that the district court failed to fulfill an alleged duty to inquire about possible conflicts of interest and obtain a knowing waiver of defendant’s right to independent representation. “This court has previously held that failure of a trial court to advise cordefendants that they have a right to separаte counsel, absent a showing in the record of conflicting interests, is not reversible error.”
United States v. Christopher,
AFFIRMED.
Notes
. The parties appear to agree that for purposes of conflict of interest analysis it makes no difference whether Willis and Evanoff were represented by a single attorney or by members of the same firm.
. In addition, Willis argues that Bitkower’s failure to negotiate a plea bargain or seek a separate trial for Willis manifested the alleged conflict. These additional arguments are so closely related to his plausible defense argument that they will not require independent analysis.
Willis also contends that Bitkower’s retention of another lawyer to handle the initial appeal without Willis’ knowledge or consent evidenced a conflict. This conduct is not relevant to the conflict of interest claims considered here.
. Willis’ reliance on
Foxworth v. Wainwright,
. We recently expressed approval of the use of the warnings and inquiry that would be required by the proposed Federal Rules of Criminal Procedure, Rule 44(c).
United States
v.
Partin,
. Willis places great stress on a colloquy between the trial judge and Willis’ attorney. When asked if there was any conflict of interest, attorney Bitkower responded:
1 do not perceive that there is a conflict of interest, your Honor. However, in all fairness to Mr. Willis, he is apprised of the fact thаt there is a slight, remote chance there is a conflict, and he is so aware of that fact and would waive any possible conflict of interest.
In
Kaplan v. United States, supra,
We observe that questions pertaining to the nature of the trial judge’s responsibility to insure a conflict-free representation were specifically reserved by the Supreme Court in
Holloway v. Arkansas, supra,
