MEMORANDUM OPINION AND ORDER
THIS MATTER comes before the Court on: (i) the Defendant’s Motion to Reconsider or Rehear, filed July 15, 2011 (Doc. 72) (“Motion to Reconsider”); (ii) the Defendant’s Motion by Way of the Defendant for Withdrawal of Plea Agreement filed on May 20, 2011, filed September 21, 2011 (Doc. 87) (“Motion to Withdraw Plea”); and (iii) the Defendant’s Supplemental Motion to Withdraw Plea and to Re-Open Suppression Proceeding, filed December 22, 2011 (Doc. 102) (“Supplemental Motion”). The Court held a hearing on March 9, 2012. The primary issues are: (i) whether the Court should reconsider its Memorandum Opinion and Order, filed June 6, 2011 (Doc. 61) (“MOO”), denying the Defendant’s Motion to Suppress and Memorandum in Support Thereof, filed
FACTUAL BACKGROUND
Harmon’s argument relies upon some alleged misconduct in which Lucero engaged during the investigation of another ease, United States v. Sheridan, No. CR 10-0333. The Court has a limited amount of evidence from that proceeding, specifically a transcript of the traffic stop that occurred in that proceeding. See Transcript of Traffic Stop at 17:1-2 (dated March 18, 2010), filed July 15, 2011 (Doc. 72-1). The Court does not have the video recording from United States v. Sheridan, or any reports or affidavits, generated during the investigation of that case.
At the beginning of the transcript, Lucero related: “Pm going to be on a traffic stop here off of Exit 117 on the frontage road. It looks like a vehicle might be lost here. Unknown 49. I’m checking on it. A Lincoln Navigator, silver in color.” Transcript of Traffic Stop at 2:1-5. The transcript contains a notation that there was a “[d]og barking throughout [the] recording.” Transcript of Traffic Stop at 2:7. Lucero then began speaking to the driver, John Sheridan, in the next portion of the transcript, asking the driver if he is “all right.” Transcript of Traffic Stop at 2:8-9 (“Are you all right? Are you all right?”). The transcript indicates that Sheridan stopped his vehicle on his own because he intended to take “a leak real quick.” Transcript of Traffic Stop at 2:10-11. Lucero then stated: “Well, that’s why I was checking on you. I didn’t know what was going on.” Transcript of Traffic Stop at 2:12-13. Sheridan said that everything is fine, and Lucero then asked for his driver’s license. See Transcript of Traffic Stop at 2:17-20 (“Okay. Let me get a driver’s license. It kind of freaked me out. I was like what the — what the heck is this guy doing? Where are you heading?”). Lucero determined that Sheridan was in a rental car and had come from San Francisco, California. See Transcript of Traffic Stop at 2:22-3:7. Lucero states, shortly after asking for Sheridan’s license, that he was “just doing a welfare check making
Lucero then patted down Sheridan to look for weapons. See Transcript of Traffic Stop at 3:24-4:2. Lucero determined that Sheridan had recently flown to San Francisco and was now driving back to Albuquerque, New Mexico; Lucero then asked why Sheridan was traveling in this manner. See Transcript of Traffic Stop at 4:18-5:12. Sheridan explained that he was planning on taking a vacation, but stated that his girlfriend in Albuquerque was sick and that they have rare birds — specifically parrots — that required some attention. See Transcript of Traffic Stop at 4:20-5:7. As Sheridan was about to leave, Lucero inquired whether he could ask Sheridan more questions, and Sheridan responded that he was in a hurry and could not answer more questions. See Transcript of Traffic Stop at 6:11-14. Lucero then stated that he was confused about Sheridan’s travel plans, and asked him to explain when he left San Francisco and how long he was there. See Transcript of Traffic Stop at 6:15-7:2. Sheridan asserted that he stayed in San Francisco for a day until he heard that his girlfriend was sick and then left later in the day, on a Thursday. See Transcript of Traffic Stop at 6:23-7. Sheridan related that he planned on staying in San Francisco until Monday, that he has relatives in San Francisco, and that he used to live there. See Transcript of Traffic Stop at 7:24-8:4. Sheridan represented that his girlfriend did not join him on the trip to San Francisco, because she is in medical school. See Transcript of Traffic Stop at 8:5-8. Sheridan stated that his girlfriend’s illness made her bedridden and that she could not feed the rare birds. See Transcript of Traffic Stop at 9:5-11.
After talking with Sheridan, Lucero asked permission to search the vehicle on the basis that Lucero suspected that narcotics were present; Sheridan initially refused to give permission, because he was in a hurry. See Transcript of Traffic Stop at 9:23-10:4. Lucero said that he understood, but stated that he felt that “everything you’re telling me, to be honest with you, I think is a bunch of crap because you should have just flown back to Albuquerque” rather than make an automobile trip in the manner Sheridan explained. Transcript of Traffic Stop at 10:7-10. Sheridan said that there were no flights available until Monday. See Transcript of Traffic Stop at 10:14-15. Lucero stated that he “still [thought] there’s some type of criminal activity” occurring, and then asked again if he could search the vehicle. See Transcript of Traffic Stop at 10:16-21. The transcript indicates that several statements that Sheridan made are inaudible, but he appears to have generally refused consent to search the vehicle before eventually permitting Lucero’s dog to sniff the vehicle for narcotics. See Transcript of Traffic Stop at 10:20-14:6 (“Let him take a look.”). Lucero told Sheridan that he is not under arrest, but then relates that his dog “alert[ed] to the presence of some illegal — odor of illegal narcotic.” Transcript of Traffic Stop at 14:20-25. Sheridan and Lucero then argued about the accuracy of the dog alerting to drugs being in the vehicle. See Transcript of Traffic Stop at 15:1-14. Lucero told Sheridan that he is not free to leave until Lucero can confirm or dispel whether there are drugs in the vehicle. See Transcript of Traffic Stop at 15:11-14. Lucero then related that some delay will occur, because he needed to wait for another officer to conduct a full search. See Transcript of Traffic Stop at 16:2-9. After Lucero returned to his dispatch radio, he stated the following:
Rick? It’s, Mary 118. Hey, do I have another unit heading this way or- — whois it? Oh, okay. A Laguna unit is going to be here? Yeah, I — the reason being is this is — this is — don’t put in the CA, but this is a — a whisper stop from DEA and you guys gave me the rule (inaudible) telling me and I can’t really search without somebody else here and — all right. Thanks.
Transcript of Traffic Stop at 16:23-17:5.
PROCEDURAL BACKGROUND
The Court will briefly recount the arguments made to suppress the evidence in the United States v. Sheridan case. It is necessary to do so to properly decide the issues Harmon raises in his motions. The Court will then recount the procedural history of this case.
1. Suppression Proceedings in United States v. Sheridan.
In that case, Sheridan filed a motion to suppress the evidence obtained during a traffic stop. See United States v. Sheridan, No. CR 10-0333 JC, Defendant’s Motion to Suppress and Memorandum in Support Thereof at 1, filed March 18, 2010 (Doc. 26) (D.N.M.) (“Sheridan Motion to Suppress”). The Sheridan Motion to Suppress attaches a partial transcript that transcribes the audio portion of the video footage of the traffic stop in that case, but attaches no other pertinent exhibits, such as a police report. See Sheridan Motion to Suppress at 1. Harmon has provided the Court with the transcript from that proceeding only and has not provided the Court with any audio or video footage. Sheridan argued that there was no reasonable suspicion to stop his car as he traveled on a public thoroughfare in New Mexico on the basis that the purported “welfare check” in which Lucero engaged was “perjuriously false.” Sheridan Motion to Suppress at 1. Sheridan challenged the accuracy of the statements in Lucero’s report that he “engaged his emergency equipment and performed a “welfare check’ of the vehicle.” Sheridan Motion to Suppress at 1-2. Harmon has not provided a copy of Lucero’s report. The Sheridan Motion to Suppress also refers to an affidavit from Task Force Officer Gloria Marcott that allegedly contained Lucero’s allegedly false statements that he relayed to Marcott. See Sheridan Motion to Suppress at 1-2. Harmon has not provided a copy of this affidavit.
In United States v. Sheridan, the United States filed its United States’ Response to Defendant’s Motion to Suppress (Doc. 26) and Motion to Provide Discovery on April 1, 2010. See United States v. Sheridan, No. CR 10-0333 JC (Doc. 34) (“Sheridan Response”). The United States re-, sponded that Sheridan was engaged in a search for a specific vehicle, specifically Sheridan’s vehicle, based on information received from the DEA. See Sheridan Response at 1-2. The United States related that the DEA had “information provided from a proven-reliable confidential source” that informed them “that an individual named John Sheridan,” whose “physical description” was available to Lucero, “was traveling along eastbound Interstate 40, driving a rented Lincoln Navigator” and carrying narcotics. Sheridan Response at 2. The United States represented that there was not information available regarding the color of the car or the State in which it was registered. See Sheridan Response at 2. The United States reported that Lucero spent “approximately 30 minutes” looking for the vehicle unsuccessfully. Sheridan Response at 2. The United States noted that, “[a]fter his unsuccessful search for Sheridan’s vehicle, Officer Lucero resumed traffic enforcement” when he saw two separate vehicles, one of which appeared to be speeding. Sheridan Response at 2. The United States asserted that Lucero then “made a u-turn and attempted to follow both vehicles which he believed had exited at Exit 117,”
The Court notes that the Honorable John Edwards Conway, United States District Judge for the United States District Court for the District of New Mexico, never ruled on the motion to suppress filed in No. CR 10-0333, because Sheridan withdrew his motion to suppress. See United States v. Sheridan, No. CR 10-0333, Notice of Withdrawal of Motion to Suppress [Doc. 26], filed March 24, 2010 (D.N.M.) (Doc. 50).
2. Procedural History in This Proceeding.
■ On June 10, 2010, a grand jury returned an Indictment charging Harmon: (i) in Count I, with possession with intent to distribute 500 grams and more of cocaine in violation of 21 U.S.C. § 841(a)(1) and (b)(1)(B); and (ii) in Count II, with possession with intent to distribute less than 50 kilograms of marijuana in violation of 21 U.S.C. § 841(a)(1) and (b)(1)(D). On January 14, 2011, Harmon filed his Motion to Suppress. See Doc. 40. In the Motion to Suppress, he asked the Court to enter an order suppressing the evidence of alleged contraband discovered in the spare tire of the vehicle Harmon was driving on May 14, 2010. See Motion to Suppress at 1. On May 6, 2011,
Harmon, pursuant to a Plea Agreement, filed May 20, 2011 (Doc. 68), pled guilty to Count I of the Indictment charging him with a violation of 21 U.S.C. § 841(a)(1) and (b)(1)(B), that being possession with intent to distribute 500 grams and more of cocaine. The Plea Agreement states that Harmon understood and agreed to waive the following, rights: (i) not to plead guilty; (ii) to have a trial by jury; (iii) to confront and cross-examine adverse witnesses at trial; (iv) to be protected from compelled self-incrimination at trial; (v) to testify
Harmon entered his guilty plea on May 20, 2011, before the Honorable Lorenzo F. Garcia, United States Magistrate Judge. Before accepting the guilty plea, Judge Garcia noted that the Plea Agreement contained a reservation of Harmon’s right to appeal the Court’s MOO denying his Motion to Suppress, and Harmon acknowledged that he wished to preserve this right. See Transcript of Plea Hearing at 3:23-4:3 (taken May 20, 2011), filed January 13, 2012 (Doc. 105) (Judge Garcia) (“May 20, 2011 Tr.”). Judge Garcia informed Harmon that he was under oath and that any false statements he made could be used in a perjury prosecution. See May 20, 2011 Tr. at 4:19-22 (Judge Garcia). Judge Garcia then inquired about Harmon’s age and education level. See May 20, 2011 Tr. at 4:25-5:13 (Judge Garcia, Harmon). Judge Garcia asked if Harmon had even been treated for or suffered from a mental illness, mental disorder, or mental disability. See May 20, 2011 Tr. at 5:14-16 (Judge Garcia). Harmon stated that he has suffered from bipolar disorder and post-traumatic stress disorder, which he asserted are related to his service in the military. See May 20, 2011 Tr. at 5:17-23 (Harmon, Judge Garcia). Judge Garcia asked Harmon if he takes any medication for his bipolar disorder or his post-traumatic stress disorder, and Harmon asserted that he is on medication. See May 20, 2011 Tr. at 6:3-5 (Judge Garcia, Harmon). Judge Garcia asked Harmon if that medication adversely affects his cognitive abilities, and Harmon asserted that it was not affecting his abilities at the time of the plea colloquy. See May 20, 2011 Tr. at 6:6-13 (Judge Garcia, Harmon). Judge Garcia asked Harmon if he had sufficient time to consult with his attorney about the decision to plead guilty, and Harmon asserted that he received sufficient time. See May 20, 2011 Tr. at 6:23-7:1 (Court, Harmon). Harmon stated that he had reviewed the Plea Agreement carefully with his attorney. See May 20, 2011 Tr. at 7:2-15 (Judge Garcia, Harmon). Harmon asserted that he understood the Plea Agreement. See May 20, 2011 Tr. at 7:19-8:1 (Judge Garcia, Harmon).
Judge Garcia then asked Harmon whether he had reviewed the Indictment with either his current attorney or prior counsel, and Harmon asserted that he had reviewed the Indictment with one of his former attorneys and asserted that he understood the charge to which he was pleading guilty — Count I. See May 20, 2011 Tr. at 8:2-9:17 (Judge Garcia, Harmon). Harmon stated that his attorney had discussed with him that the United States would need to present evidence before he could be convicted on Count I and that his attorney had discussed with him what legal defenses would be available. See May 20, 2011 Tr. at 9:18-24 (Judge Garcia, Harmon). Harmon stated that he
Harmon acknowledged that he was, by pleading guilty, waiving the following rights: (i) the right to be presumed innocent; (ii) the right to remain silent; (iii) the right to a trial; (iv) the right to confront his accusers; (v) the right to have the United States prove its case against him beyond a reasonable doubt; (vi) the right to a jury determination of certain factors that can impact his sentence; and (vii) certain aspects of his right to appeal or collaterally attack his conviction and/or sentence as stated in the Plea Agreement. See May 20, 2011 Tr. at 14:18-15:13 (Judge Garcia, Harmon). Harmon acknowledged that the United States would be able to prove beyond a reasonable doubt his factual admissions in the Plea Agreement. See May 20, 2011 Tr. at 15:14-16:1 (Judge Garcia, Harmon). Harmon then pled guilty to Count I and admitted that he committed the acts charged in Count I. See May 20, 2011 Tr. at 15:2-9 (Judge Garcia, Harmon). Judge Garcia then found Harmon to be: (i) fully competent and capable of entering into an informed plea; (ii) aware of the charges and of the consequences of the plea; and (iii) knowingly, willingly, and voluntarily entering his plea. See May 20, 2011 Tr. at 16:10-17 (Judge Garcia). Judge Garcia also found that there was an independent factual basis for the plea. See May 20, 2011 Tr. at 16:17-18 (Judge Garcia). Judge Garcia then accepted Harmon’s guilty plea to Count I. See May 20, 2011 Tr. at 16:19-21 (Judge Garcia). Harmon stated that he understood everything that had been discussed during the plea colloquy. See May 20, 2011 Tr. at 17:11-13 (Judge Garcia, Harmon).
On July 15, 2011, Harmon filed his Motion to Reconsider. See Doc. 72. He argues that the Court should reconsider its MOO denying his Motion to Suppress “and/or reexamine the transcript of the” March 28, 2011 hearing to determine Lucero’s credibility. Motion to Reconsider at 1. He asserts that the United States failed to disclose, before his suppression hearing, impeachment material that would have impeached Lucero. See Motion to Reconsider at 1-2. He asserts that, based on an excerpt from a transcript from another proceeding, “it is apparent that Hermilio
On August 1, 2011, the United States filed its United States’ Response to Defendant’s Motion to Reconsider or Rehear. See Doc. 73 (“Response to Motion to Reconsider”). The United States notes that “Harmon’s motion is based on the contents of a transcript of a recording made during a welfare check conducted by Officer Hermilio Lucero on the driver of a vehicle in the completely unrelated case of United States v. Sheridan, Cr. No. 10-333 JEC.” Response to Motion to Reconsider at 1. The United States recounts that, “[d]uring that encounter, which occurred nearly four months prior to the events in this case, Officer Lucero told dispatch, ‘... this is — this is — don’t put in the CAD, but this is a — whisper stop from DEA....’ ” Response to Motion to Reconsider at 1-2 (quoting Transcript of Traffic Stop at 17:1-2). The United States asserts that it had no obligation to produce this evidence to Harmon under rule 16 of the Federal Rules of Criminal Procedure or under Giglio v. United States,
The United States asserts that the new information does not alter the reliability of the CAD report, given that Lucero, at the suppression hearing: (i) “noted that, in the past, he has given verbal warnings in similar situations where it is a recently purchased vehicle and the driver has the certificate of title”; and (ii) “testified that it was possible the license plate was incorrectly typed into the CAD system by dispatch.” Response to Motion to Reconsider
Neither the audio record nor the CAD report constitutes a complete historical record of an event. The audio record does not include information entered by officers in their [mobile data units]. The CAD report does not include every radio communication, but only those the dispatcher chooses to include in the report. Likewise, the CAD report may not include information an officer enters into his or her [mobile data unit] because the officer has discretion in determining whether to include the information in the CAD report.
Response to Motion to Reconsider at 5 (emphasis omitted) (quoting United States v. Cannon, No. 05-52-CR-01-T/F,
On September 21, 2011, Harmon, filing the motion pro se, filed his Motion to Withdraw Plea. See Doc. 87. He argues that the evidence he has discovered about Lucero’s credibility justifies the Court permitting him to withdraw his guilty plea. See Motion to Withdraw Plea at 1. He asserts that “a guilty plea may be withdrawn when exculpatory evidence becomes available, after signing, but before sentencing.” Motion to Withdraw Plea at 1.
On December 22, 2011, Harmon filed his Supplemental Motion providing additional reasons for withdrawal of his guilty plea. See Doc. 102. He notes that he has learned, following his guilty plea, that “Lucero had a traffic-stop credibility issue that the government did not disclose to him,” specifically that “four months earlier the officer manipulated the recording of one of his traffic stops.” Supplemental Motion at 2. Harmon asserts that he “has contended throughout these proceedings that the reasons given by Officer Lucero for the traffic stop were pretextual and that Officer Lucero went on to search his vehicle without reasonable suspicion or probable cause.” Supplemental Motion at 2. Harmon contends that a variety of matters decided at the suppression hearing were dependent on Lucero’s credibility, including: (i) “his premature curtailment of a prior traffic stop and his first view of Defendant”; (ii) “his observation of the vehicle driven by Defendant”; (iii) “his purported reason for stopping Defendant and the location of the claimed infraction that he gave as the basis for the stop”; (iv) “the overall circumstances of the area and
On January 23, 2012, the United States filed its United States’ Response to Defendant’s Supplemental Motion to Withdraw Plea and to Re-Open Suppression Proceeding. See Doc. 109 (“Response to Supplemental Motion”). It represents that Judge Garcia conducted a thorough plea colloquy with Harmon. See Response to Supplemental Motion at 2. The United States asserts that Harmon cannot meet his burden to show a fair and just reason for withdrawal of his guilty plea under the seven applicable factors outlined in United States v. Hamilton,
On February 8, 2012, Harmon filed his Reply to United States Government’ Response to Supplemental Motion to Withdraw Plea and to Re-Open Suppression Proceeding. See Doc. 110 (“Reply”). Harmon contends that, based on a submission to Judge Conway in the United States v. Sheridan case, Lucero related to another officer that the defendant’s vehicle “appeared to be lost or attempting to turn around and parked in the middle of the
At the hearing on March 9, 2012, Harmon stated that one of the central things the Court must consider is whether the United States should have provided the impeachment evidence at issue to Harmon before his guilty plea and the suppression hearing. See Transcript of Hearing at 3:8-19 (taken March 9, 2012) (“Mar. 9, 2012 Tr.”) (Walz).
The Court asked for clarification on what a whisper stop is. See Mar. 9, 2012 Tr. at 17:1 (Court). The United States related that a whisper stop arises from a situation where the United States Drug Enforcement Administration (“DEA”) receives information from some source that a certain vehicle has narcotics in it or some other form of contraband, and relates that information to another law enforcement agency. Mar. 9, 2012 Tr. at 17:2-8 (Braun). The DEA then tells that law enforcement agency to develop its own proper basis to stop the vehicle and see if it can attempt to access the drugs in the vehicle. See Mar. 9, 2012 Tr. at 17:2-11 (Braun). The United States asserted that there is nothing inappropriate about this practice. See Mar. 9, 2012 Tr. at 17:11-12
RELEVANT LAW REGARDING MOTIONS TO RECONSIDER
“The Federal Rules of Criminal Procedure do not expressly recognize a motion to reconsider.” United States v. Christy,
It is within a court’s discretion to grant or to deny a motion to reconsider. See United States v. Wiseman,
Notably, neither rule 59 nor rule 60 of the Federal Rules of Civil Procedure apply to interlocutory orders a district court reconsiders before entry of final judgment. Rule 59(e) states: “A motion to alter or amend a judgment must be filed no later than 28 days after the entry of the judgment.” Fed.R.Civ.P. 59(e) (emphasis added). Accord Van Skiver v. United States,
The addition of the qualifying word “final” emphasizes the character of the judgments, orders or proceedings from which Rule 60(b) affords relief; and hence interlocutory judgments are not brought within the restrictions of the rule, but rather they are left subject to the complete power of the court rendering them to afford such relief from them as justice requires.
Fed.R.Civ.P. 60 note to 1946 amendment. Accord 12 J. Moore, supra § 60.23, at 60-82 (“Rule 60(b) does not govern relief from interlocutory orders, that is to say any orders in which there is something left for the court to decide after issuing the order.”); 11 C. Wright, A. Miller & M. Kane, Federal Practice and Procedure § 2852, at 233 (2d ed. 1995) (“Thus, the
LAW REGARDING REOPENING SUPPRESSION HEARINGS
“A ruling on whether to reopen a suppression hearing is governed by principles of jurisprudence that relate to reopening proceedings, generally.” United States v. Carter,
The United States Court of Appeals for the Fifth Circuit has stated: “While the district court has wide discretion in determining when to reopen an evidentiary hearing, it abuses its discretion where the new evidence creates a genuine factual dispute on an outcome determinative fact.” United States v. Mercadel,
Other courts, along with the Fifth Circuit, have recognized that a district court may properly evaluate, in deciding whether to reopen the suppression hearing, the impact the new evidence would have on its decision to revisit the suppression issue:
The government properly notified Martin that, several months after the suppression hearing, the officer had been accused of sexually assaulting a person he had detained. The district court reviewed the information provided by the Atlanta Police Department (“APD”) in camera, and concluded that the allegations of sexual assault were not relevant to the court’s credibility determination because there was no indication that the officer had made a false statement. After careful review of the same APD documents considered by the district court, we conclude that the district court did not abuse its discretion in refusing to reopen the suppression hearing.
United States v. Martin,
The Defendant, Stanaus McCoy, appeals the district court’s denial of a motion to reopen a suppression hearing in light of new evidence that he claims the Government withheld in violation of Brady v. Maryland. Because McCoy cannot show that the evidence was material to the suppression hearing’s outcome, we affirm the district court’s denial of the motion to reopen the hearing and affirm McCoy’s conviction.
Defense counsel moved to reopen the suppression hearing on the grounds that [newly disclosed grand jury testimony] undermined and impeached the officer’s claim that when he told the tow-truck driver to pull over, the tow-truck driver “responded by driving away at a high rate of speed.” The district court denied the motion, because it found that even if the tow-truck driver eased away, he still drove away to elude police. The officer, therefore, would still have had reasonable suspicion to stop McCoy.
United States v. McCoy,
In the context of alleged violations of Brady v. Maryland and reopening suppression hearings, the Fourth Circuit has stated that the defendant must establish that a violation of Brady v. Maryland occurred to show that the district court abused its discretion. See United States v. McCoy,
Nosworthy’s Rule 33 motion claimed that this testimony — which his attorney discovered online after the trial — constituted newly discovered evidence and that the government’s failure to disclose it earlier in the proceedings violated its obligations under Brady v. Maryland; the Jencks Act; and Federal Rule of Criminal Procedure 26.2. Nosworthy accordingly asked the district court to re-open his suppression hearing and hold a new trial. The court denied Nos-worthy’s motion, holding that Nosworthy had not proven a violation of Brady, the Jencks Act, or Rule 26.2, and that the Esterine testimony did not constitute newly discovered evidence for purposes of Rule 33.
Second, the district court correctly found that the government was not required to turn over the [United Statesu] Esterine[, No. 07-CR-258, 2007 WL 3274887 (E.D.N.Y. Nov. 5, 2007) ] testimony under Brady. For the failure to disclose evidence to be a Brady violation, “[t]he evidence at issue must be favorable to the accused, either because it is exculpatory, or because it is impeaching; that evidence must have been suppressed by the [prosecution], either willfully or inadvertently; and prejudice must have ensued.” We agree with the district court that the Esterine testimony was neither exculpatory nor impeaching. It concerned a wholly unrelated criminal arrest, and the magistrate judge in Esterine had specifically found the officers’ testimony credible.
United States v. Nosworthy, No. 11-2888-cr,
LAW REGARDING THE UNITED STATES’ DUTY TO DISCLOSE IN CRIMINAL CASES
During a criminal prosecution, the Federal Rules of Criminal Procedure and the United States Constitution impose upon the United States an obligation to disclose certain evidence to a criminal defendant. Rule 16 of the Federal Rules of Criminal Procedure is one source that imposes such a duty on the United States. The Due Process Clause of the United States Constitution is another source imposing a duty to disclose on the United States.
1. Rule 16.
Rule 16 of the Federal Rules of Criminal Procedure provides:
Upon a defendant’s request, the government must permit the defendant to inspect and to copy or photograph books, papers, documents, data, photographs, tangible objects, buildings or places, or copies or portions of any of these items, if the item is within the government’s possession, custody, or control and:
(i) the item is material to preparing the defense;
(ii) the government intends to use the item in its case-in-chief at trial; or
(hi) the item was obtained from or belongs to the defendant.
Fed.R.Grim.P. 16(a)(1)(E).
Criminal defendants may not, however, embark on a “broad or blind fishing expedition among documents possessed by the Government.” Jencks v. United States,
2. Due Process Clause.
“The Due Process Clause requires the United States to disclose information favorable to the accused that is material to either guilt or to punishment.” United States v. Padilla, No. 09-3598,
a. Timing of the Disclosure.
The obligation of the prosecution to disclose evidence under Brady v. Maryland can vary depending on the phase of the criminal proceedings and the evidence at issue. As a general matter, “[s]ome limitation on disclosure delay is necessary to protect the principles articulated in Brady v. Maryland.” United States v. Burke,
Where the district court concludes that the government was dilatory in its compliance with Brady, to the prejudice of the defendant, the district court has discretion to determine an appropriate remedy, whether it be exclusion of the witness, limitations on the scope of permitted testimony, instructions to the jury, or even mistrial.
United States v. Burke,
When a prosecutor’s obligations under Brady v. Maryland are triggered, however, they “eontinue[ ] throughout the judicial process.” Douglas v. Workman,
The Supreme Court has held that the restrictions from Brady v. Maryland do not require “preguilty plea disclosure of impeachment information.” United States v. Ruiz,
[T]his Court has found that the Constitution, in respect to a defendant’s awareness of relevant circumstances, does not require complete knowledge of the relevant circumstances, but permits a court to accept a guilty plea, with its accompanying waiver of various constitutional rights, despite various forms of misapprehension under which a defendant might labor.
United States v. Ruiz,
The Tenth Circuit has reiterated these principles from United States v. Ruiz:
Despite these representations of a knowing and voluntary plea in the plea agreement and at the plea colloquy, Mr. Johnson asserts that his plea was not knowing and voluntary because he did not know that he was giving up a claim that the government failed to disclose impeachment evidence. The Supreme Court, however, foreclosed this exact argument in United States v. Ruiz, by holding that the government has no constitutional obligation to disclose impeachment information before a defendant enters into a plea agreement. Ruiz emphasized that “impeachment information is special in relation to the fairness of a trial, not in respect to whether a plea is voluntary.” Rather, “a waiver [is] knowing, intelligent, and sufficiently aware if the defendant fully understands the nature of the right and how it would likely apply in general in the circumstances — even though the defendant may not know the specific detailed consequences of invoking it.” Mr. Johnson understood that he was giving up his right to cross examine government witnesses. He therefore generally knew what he was giving up, and his appeal waiver was not unknowing or involuntary.
United States v. Johnson,
Ruiz is distinguishable in at least two significant respects. First, the evidence withheld by the prosecution in this case is alleged to be exculpatory, and not just impeachment, evidence. Second, Ohiri’s plea agreement was executed the day jury selection was to begin, and not before indictment in conjunction with a “fast-track” plea. Thus, the government should have disclosed all known exculpatory information at least by that point in the proceedings. By holding in Ruiz that the government committed no due process violation by requiring a defendant to waive her right to impeachment evidence before indictment in order to accept a fast-track plea, the Supreme Court did not imply that the government may avoid the consequence of a Brady violation if the defendant accepts an eleventh-hour plea agreement while ignorant of withheld exculpatory evidence in the government’s possession.
United States v. Ohiri,
Circuit courts have split on the issue whether Brady v. Maryland’s restrictions apply to suppression hearings, although it is not likely that a prosecutor must disclose impeachment evidence before a suppression hearing in light of the Supreme Court’s conclusion in United States v. Ruiz that a prosecutor does not have to disclose impeachment evidence before the entry of a guilty plea. In an unpublished opinion, the Tenth Circuit, without discussing whether Brady v. Maryland applies to a suppression hearing, rejected a defendant’s argument that the prosecution violated Brady v. Maryland by failing to disclose impeachment evidence before a suppression hearing on the basis that the evidence was not impeachment evidence and not material. See United States v. Johnson,
Given the circumstances, and applying Bagley, [a case where the Supreme Court stated that evidence is material only if there is a reasonable probability that, had the evidence been disclosed to the defense, the result of the proceeding would have been different,] to our examination of the record, we conclude that disclosure of the evidence existing at the time of the hearing, even if impeaching, would not establish a reasonable probability that the outcome of the suppression hearing would have been different. First, we question whether the evidence in question would have been admitted at the suppression hearing. Even if it had been admitted, however, in light of [the defendant’s] lack of truthfulness, our confidence in the result of the hearing has not been undermined. Therefore, we hold that the evidence was not material, and that its nondisclosure by the prosecution does not constitute a Brady violation.
United States v. Johnson,
b. Material Exculpatory Evidence.
The holding in Brady v. Maryland requires disclosure only of evidence that is both favorable to the accused, and “material either to guilt or to punishment.”
The Supreme Court, in Cone v. Bell,
Although the Due Process Clause of the Fourteenth Amendment, as interpreted by Brady, only mandates the disclosure of material evidence, the obligation to disclose evidence favorable to the defense may arise more broadly under a prosecutor’s ethical or statutory obligations. See Kyles,514 U.S. at 437 ,115 S.Ct. 1555 (“[T]he rule in Bagley (and, hence, in Brady) requires less of the prosecution than the ABA Standards for Criminal Justice Prosecution Function and Defense Function 3-3.11(a) (3d ed. 1993)”). See also ABA Model Rule of Professional Conduct 3.8(d) (2008) (“The prosecutor in a criminal case shall” “make timely disclosure to the defense of all evidence or information known to the prosecutor that tends to negate theguilt of the accused or mitigates the offense, and, in connection with sentencing, disclose to the defense and to the tribunal all unprivileged mitigating information known to the prosecutor, except when the prosecutor is relieved of this responsibility by a protective order of the tribunal”).
The burden is on the United States to produce exculpatory materials; the burden is not on the defendant to first point out that such materials exist. See Kyles v. Whitley,
c. Evidence Must Be in the United States’ Possession.
“It is well settled that there is no ‘affirmative duty upon the government to take action to discover information which it does not possess.’ ” United States v. Tierney,
d. Standard for Permitting New Trial.
Upon the defendant’s motion, the court may vacate any judgment and grant a new trial if the interest of justice so requires. See Fed.R.Crim.P. 33(a). Motions for new trials are, however disfavored and “should only be granted with great caution.” United States v. Quintanilla,
On the one side, showing that the prosecution knew of an item of favorable evidence unknown to the defense does not amount to a Brady violation, without more. But the prosecution, which alone can know what is undisclosed, must be assigned the consequent responsibility to gauge the likely net effect of all such evidence and make disclosure when the point of “reasonable probability” is reached. This in turn means that the individual prosecutor has a duty to learn of any favorable evidence known to the others acting on the government’s behalf in the case, including the police. But whether the prosecutor succeeds or fails in meeting this obligation ... the prosecution’s responsibility for failing to disclose known, favorable evidence rising to a material level of importance is inescapable.
Kyles v. Whitley,
LAW REGARDING RULE 608 EVIDENCE
Rule 608 provides certain mechanisms for attacking witnesses’ character for truthfulness or untruthfulness. See Montoya v. Sheldon, No. 10-0360,
A witness’s credibility may be attacked or supported by testimony about thewitness’s reputation for having a character for truthfulness or untruthfulness, or by testimony in the form of an opinion about that character. But evidence of truthful character is admissible only after the witness’s character for truthfulness has been attacked.
Fed.R.Evid. 608(a). “Under Federal Rule of Evidence 608(b), specific unrelated instances of a witness’s prior misconduct may be used to impeach the witness at the discretion of the court, however, only to the extent the misconduct reflects on the witness’s character for truthfulness.” United States v. Beltran-Garcia,
Except for a criminal conviction under Rule 609, extrinsic evidence is not admissible to prove specific instances of a witness’s conduct in order to attack or support the witness’s character for truthfulness. But the court may, on cross-examination, allow them to be inquired into if they are probative of the character for truthfulness or untruthfulness of:
(1) the witness; or
(2) another witness whose character the witness being cross-examined has testified about.
By testifying on another matter, a witness does not waive any privilege against self-incrimination for testimony that relates only to the witness’s character for truthfulness.
Fed.R.Evid. 608(b). As the advisory committee notes to this rule further flesh out, rule 408 “bars evidence of specific instances of conduct of a witness for the purpose of attacking or supporting his credibility” except in the following circumstances: “(1) specific instances are provable when they have been the subject of criminal conviction, and (2) specific instances may be inquired into on cross-examination of the principal witness or of a witness giving an opinion of his character for truthfulness.” Fed.R.Evid. 608 advisory committee’s note to 1972 proposed rule.
“Though Rule 608 does not explicitly specify how the trial court should exercise its discretion, the discretion must be exercised within the ambit of the other rules of evidence, including Rules 401, 402, and 403, which address the relevance and probative value of possible evidence.” United States v. Beltran-Garcia,
Although 608(b) of the Federal Rules of Evidence does state that specific instances of misconduct may be admissible to impeach a witness, that rule does not require or imply that every negative bit of evidence existing concerning a witness may be dragged into a case no matter how remote or minor the alleged misconduct.
United States v. Lafayette,
LAW REGARDING WITHDRAWAL OF GUILTY PLEAS
Rule 11(d)(2)(B) of the Federal Rules of Criminal Procedure governs a motion to withdraw a guilty plea before the imposition of a sentence. Rule 11(d)(2)(B) provides that a defendant may withdraw a plea if “the defendant can show a fair and just reason for requesting the withdrawal.” Fed.R.Crim.P. 11(d)(2)(B). Defendants do not have an absolute right to withdraw a guilty plea. See United States v. Siedlik,
(1) whether the defendant has asserted his innocence; (2) whether withdrawal would prejudice the government; (3) whether the defendant delayed in filing his motion, and, if so, the reason for the delay; (4) whether withdrawal would substantially inconvenience the court; (5) whether close assistance of counsel was available to the defendant; (6) whether the plea was knowing and voluntary; and (7) whether the withdrawal would waste judicial resources.
United States v. Yazzie,
The defendant bears the burden of demonstrating a “fair and just reason” for withdrawal of the plea. United States v. Griffin,
The Court will deny all of Harmon’s motions. The Court does not believe the evidence upon which Harmon relies to challenge Lucero’s credibility would serve as impeachment evidence such that the Court should reopen the suppression hearing or reconsider its decision to deny his Motion to Suppress. Because the evidence is not exculpatory and has no impeachment value, the United States had no obligation to disclose the evidence under Brady v. Maryland. Even if the evidence is impeachment evidence, Brady v. Maryland did not require the United States to disclose this evidence to Harmon before his suppression hearing or before he entered his guilty plea. Rule 16 of the Federal Rules of Criminal Procedure also did not require disclosure of this evidence, because it was not material to Harmon’s defense. Consequently, there is no sound basis for the Court to reconsider its MOO denying the Motion to Suppress. Given that the Court will not reconsider its MOO denying the Motion to Suppress, and that the Court sees no other fair or just reason that would permit Harmon to withdraw from his guilty plea, the Court will not permit him to withdraw his guilty plea.
I. THE EVIDENCE UPON WHICH HARMON RELIES DOES NOT HAVE IMPEACHMENT VALUE.
To justify reconsideration of the Court’s MOO denying his Motion to Suppress and to support his request to withdraw his guilty plea, Harmon relies on a transcript from another case, United States v. Sheridan, which he asserts contains evidence that would impeach Lucero’s character truthfulness based on allegedly improper conduct during a traffic stop. Given that the Court has only the transcript of the traffic stop in United States v. Sheridan available to it, that transcript is the only evidence available for the Court to consider to assess Lucero’s conduct. Harmon conceded at the March 9, 2012 hearing that the transcript is an accurate transcription. See Mar. 9, 2012 Tr. at 24:9-24:16 (Court, Walz). The Court does not have the video recording from United States v. Sheridan, or any reports or affidavits, generated during the investigation of that case.
Harmon argues that it is necessary to reopen the suppression hearing to have Lucero explain, on the record, the definition of a whisper stop. The Court does not believe that step is necessary, because the Court and other courts have already provided definitions for a whisper stop. For instance, the Court recognized in a prior case that “[a] whisper stop is where law enforcement officers stop a vehicle, but disguise that the stop is anything other than a routine traffic stop.” United States v. Hernandez-Mejia, No. 05-469,
That afternoon, Agent Kenneybrew contacted GSP and asked them to prepare a ‘whisper stop,’ in which ICE tells a local law enforcement agency that a vehicle contains drugs or other contraband but asks the local agency to develop its own probable cause for the stop to avoid compromising the federal investigation.
United States v. Sanders,
A. ON THE RECORD BEFORE THE COURT, LUCERO DID NOT COMMIT ANY FOURTH AMENDMENT VIOLATIONS DURING THE INVESTIGATION OF THE UNITED STATES V. SHERIDAN CASE.
The Court recognizes that the United States’ explanation in the Sheridan Response of how the events transpired during the traffic stop in the United States v. Sheridan investigation are not evidence. Cf. United States v. Rogers,
The Court notes that, as a preliminary matter, the parties have not addressed whether a Fourth-Amendment violation an officer commits in another case qualifies as proper impeachment evidence under rule 608(b).
After having consulted the transcript from the traffic stop in United
As to the seizure of Sheridan’s license, officers generally only need reasonable suspicion to obtain an individual’s license. See United States v. Lopez,
As Lucero continued to question Sheridan, Lucero acquired more information that gave rise to a reasonable suspicion that there might be illegal contraband in the vehicle or that Sheridan was engaged in some other form of criminal activity. Most notably, Sheridan provided Lucero with questionable travel plans. An officer “may ask a motorist about his or her travel plans” as “part of a legitimate traffic stop.” United States v. Kitchell,
The distance between San Francisco and Albuquerque is approximately 1,086 miles traveling on Interstate Highway 40.
Once Officer Heim received these dubious and inconsistent answers to his questions, he developed reasonable, articulable suspicion that the two men might be engaged in criminal activity, thereby justifying their continued detention for further investigation. We have held that implausible or contradictory travel plans can contribute to a reasonable suspicion of illegal activity. We have also stated that courts should “defer to ‘the ability of a trained law enforcement officer to distinguish between innocent and suspicious actions.’ ” In this case, the contradictions, implausibilities and potentially evasive actions of Appellant and Galindo-Diaz would cause an experienced officer to become suspicious that the men were engaged in criminal activity.
United States v. Zubia-Melendez,
Given that Sheridan’s vehicle was parked and that Lucero had a drug dog that he used to find the drugs, there were notably few Fourth-Amendment restrictions on Lucero’s conduct. The Court notes that the Supreme Court has recognized that a police dog sniffing a vehicle does not constitute a search under the Fourth Amendment, meaning that police officers do not need to justify having their dog sniff a vehicle as reasonable:
Accordingly, the use of a well-trained narcotics-detection dog — one that “does not expose noncontraband items that otherwise would remain hidden from public view,” — during a lawful traffic stop, generally does not implicate legitimate privacy interests. In this case, the dog sniff was performed on the exterior of respondent’s car while he was lawfully seized for a traffic violation. Any intrusion on respondent’s privacy expectations does not rise to the level of a constitutionally cognizable infringement.
Illinois v. Caballes,
Ms. Villa contends the Supreme Court’s holding in Caballes—that a dog sniff by a reliable drug-detection dog does not implicate the Fourth Amendment — is limited to dog sniffs executed during the course of a legal traffic stop. Accordingly, Ms. Villa argues that in this case the dog sniff of the rental vehicle parked in a public place required probable cause because the rental vehicle was no longer part of a legal traffic stop. Ms. Villa invokes the dissenting opinions in Caballes to support her position.
This court has rejected the limited reading of Caballes Ms. Villa proposes. Prior to Caballes, we held that a random dog sniff of a vehicle without prior lawful detention or reasonable suspicion is not a search subject to the Fourth Amendment. United States v. Ludwig,10 F.3d 1523 , 1527 (10th Cir.1994). After Caballes, we confirmed our position on this issue and held that “[a] dog sniff of the exterior of a vehicle parked in a public place ... is not a Fourth Amendment intrusion.” United States v. Engles,481 F.3d 1243 , 1245 (10th Cir.2007). Therefore, Ms. Villa’s limited reading of Caballes is foreclosed by circuit precedent. In this circuit, a dog sniff by a reliable drug-detection dog of a vehicle parked in a public place does not implicate the Fourth Amendment and does not require probable cause.
United States v. Villa,
B. NONE OF THE EVIDENCE UPON WHICH HARMON RELIES FROM UNITED STATES V. SHERIDAN BEARS ON LUCERO’S CREDIBILITY IN A WAY THAT JUSTIFIES REOPENING THE SUPPRESSION HEARING OR RECONSIDERING THE DENIAL OF THE MOTION TO SUPPRESS.
Harmon cites no legal authority for his conclusion that keeping the information out of the CAD that a whisper stop had occurred was improper or dishonest. As one court has recognized, a CAD report is not an exhaustive record of what occurs during an investigation:
Neither the audio record nor the CAD report constitutes a complete historical record of an event. The audio record does not include information entered by officers in their [mobile data units]. The CAD report does not include every radio communication, but only those the dispatcher chooses to include in the report. Likewise, the CAD report may not include information an officer enters into his or her [mobile data unit] because the officer has discretion in determining whether to include the information in the CAD report.
United States v. Cannon,
[T]he government is under no obligation to provide private citizens with information concerning ongoing criminal investigations. Prior to an indictment, governmental authorities are under an obligation not to reveal the existence and nature of an investigation concerning individuals who are merely suspected of criminal activities.... The government is under no duty to announce its suspicions or internal investigations to the “world at large.”
Gonzalez-Bernal v. United States,
Thus, the evidence from the United States v. Sheridan case, on the record before the Court, has no bearing on Lucero’s credibility. He does not appear to have engaged in any misconduct or acted in a dishonest manner. Rule 608(a) states:
A witness’s credibility may be attacked or supported by testimony about the witness’s reputation for having a character for truthfulness or untruthfulness, or by testimony in the form of an opinion about that character. But evidence of truthful character is admissible only after the witness’s character for truthfulness has been attacked.
Fed.R.Evid. 608(a). “Under Federal Rule of Evidence 608(b), specific unrelated instances of a witness’s prior misconduct may be used to impeach the witness at the discretion of the court, however, only to the extent the misconduct reflects on the witness’s character for truthfulness.” United States v. Beltran-Garcia,
To the extent that the evidence bears on Lucero’s credibility, the probative value of
“Though Rule 608 does not explicitly specify how the trial court should exercise its discretion [in limiting impeachment evidence], the discretion must be exercised within the ambit of the other rules of evidence, including Rules 401, 402, and 403, which address the relevance and probative value of possible evidence.” United States v. Beltran-Garcia,
Although 608(b) of the Federal Rules of Evidence does state that specific instances of misconduct may be admissible to impeach a witness, that rule does not require or imply that every negative bit of evidence existing concerning a witness may be dragged into a case no matter how remote or minor the alleged misconduct.
United States v. Lafayette,
The Court does not believe the applicable factors counsel in favor of reopening the suppression hearing. Relevant factors for a court to consider in this context are “the timeliness of the motion, the character of the testimony, the effect of granting the motion, and whether the opposing party will be prejudiced by reopening the hearing.” United States v. White,
II. BRADY V. MARYLAND DID NOT REQUIRE DISCLOSURE OF THE EVIDENCE TO HARMON.
Brady v. Maryland did not require disclosure of this evidence from the United States v. Sheridan investigation to Harmon. Given that the evidence has no bearing on Lucero’s credibility, no disclosure was required under Brady v. Maryland, because the evidence is not material. Even if the evidence is impeachment evidence, Brady v. Maryland did not require the United States to disclose this evidence to Harmon before his suppression hearing or before he entered his guilty plea. Notably, both the Second and Fourth Circuit have held that, in the context of an alleged Brady v. Maryland violation, a district court properly denies a motion to reopen a suppression hearing when the defendant fails to establish that a violation of Brady v. Maryland. See United States v. Nosworthy,
A. THE EVIDENCE FROM THE UNITED STATES V. SHERIDAN CASE IS NOT MATERIAL UNDER BRADY V. MARYLAND.
The holding in Brady v. Maryland requires disclosure only of evidence that is both favorable to the accused, and “material either to guilt or to punishment.”
The Supreme Court, in Cone v. Bell, recently noted:
Although the Due Process Clause of the Fourteenth Amendment, as interpreted by Brady, only mandates the disclosure of material evidence, the obligation to disclose evidence favorable to the defense may arise more broadly under a prosecutor’s ethical or statutory obligations. See Kyles,514 U.S. at 437 ,115 S.Ct. 1555 (“[T]he rule in Bagley (and, hence, in Brady) requires less of the prosecution than the ABA Standards for Criminal Justice Prosecution Function and Defense Function 3-3.11(a) (3d ed. 1993)”). See also ABA Model Rule of Professional Conduct 3.8(d) (2008) (“The prosecutor in a criminal case shall” “make timely disclosure to the defense of all evidence or information known to the prosecutor that tends to negate the guilt of the accused or mitigates the offense, and, in connection with sentencing, disclose to the defense and to the tribunal all unprivileged mitigating information known to the prosecutor, except when the prosecutor is relieved of this responsibility by a protective order of the tribunal”).
The Court does not believe that the evidence from the United States v. Sheridan case meets the standard under Brady v. Maryland to have mandated disclosure of that evidence. As the Court has already discussed, based on the limited evidence before the Court in this case, Lucero engaged in no Fourth-Amendment violations in United States v. Sheridan and did not otherwise engage in any misconduct. Thus, the evidence has no impeachment value against Lucero. Furthermore, the United States v. Sheridan case was unrelated to the charges against Harmon. On the record before it, the Court cannot soundly conclude that there was a “reasonable probability that, had the evidence been disclosed to the defense, the result of the [suppression hearing or guilty plea] would have been different.” United States v. Bagley,
B. NO DISCLOSURE WAS REQUIRED UNDER BRADY V. MARYLAND BEFORE HARMON’S SUPPRESSION HEARING OR HIS GUILTY PLEA.
The Supreme Court has held that the restrictions from Brady v. Maryland do not require “preguilty plea disclosure of impeachment information.” United States v. Ruiz,
[T]his Court has found that the Constitution, in respect to a defendant’s awareness of relevant circumstances, does not require complete knowledge of the relevant circumstances, but permits a court to accept a guilty plea, with its accompanying waiver of various constitutional rights, despite various forms of misapprehension under which a defendant might labor.
United States v. Ruiz,
The Tenth Circuit has elaborated these principles from United States v. Ruiz:
Despite these representations of a knowing and voluntary plea in the plea agreement and at the plea colloquy, Mr. Johnson asserts that his plea was not knowing and voluntary because he did not know that he was giving up a claim that the government failed to disclose impeachment evidence. The Supreme Court, however, foreclosed this exact argument in United States v. Ruiz, by holding that the government has no constitutional obligation to disclose impeachment information before a defendant enters into a plea agreement. Ruiz emphasized that “impeachment information is special in relation to the fairness of a trial, not in respect to whether a plea is voluntary.” Rather, “a waiver [is] knowing, intelligent, and sufficiently aware if the defendant fully understands the nature of the right and how it would likely apply in general in the circumstances — even though the defendant may not know the specific detailed consequences of invoking it.” Mr. Johnson understood that he was giving up his right to cross examine government witnesses. He therefore generally knew what he was giving up, and his appeal waiver was not unknowing or involuntary.
United States v. Johnson,
Ruiz is distinguishable in at least two significant respects. First, the evidence withheld by the prosecution in this case is alleged to be exculpatory, and not just impeachment, evidence. Second, Ohiri’s plea agreement was executed the day jury selection was to begin, and not before indictment in conjunction with a “fast-track” plea. Thus, the government should have disclosed all known exculpatory information at least by that point in the proceedings. By holding in Ruiz that the government committed no due process violation by requiring a defendant to waive her right to impeachment evidence before indictment in order to accept a fast-track plea, the Supreme Court did not imply that the government may avoid the consequence of a Brady violation if the defendant accepts an eleventh-hour plea agreement while ignorant of withheld exculpatory evidence in the government’s possession.
United States v. Ohiri,
There is no sound basis for concluding that this evidence from United States v. Sheridan is exculpatory evidence rather than impeachment evidence. The evidence comes from a separate investigation with no connection to Harmon. The evidence does not bear on whether Harmon was guilty or innocent of the charged conduct. It at best bears on Lucero’s credibility. Both the Supreme Court and the Tenth Circuit have recognized that the prosecution does not have the obligation to disclose impeachment evidence before the entry of a guilty plea. To the extent that the United States had an obligation to disclose this evidence, which the Court believes it did not based on the evidence not being material, the timing of the guilty plea was not such that the United States engaged in gamesmanship to avoid disclosing the impeachment evidence. As early as May 10, 2011, Harmon indicated his intent to plead guilty. See Stipulated Motion for Continuance at 1, filed May 10, 2011 (Doc. 62) (“[T]he Parties have reached a resolution in this Matter which requires a setting to accept a plea agreement.”). The parties were presumably in plea negotiations for at least some period of time before filing the Stipulated Motion for Continuance. The trial was set for May 16, 2011, which was several days after May 10, 2011. See Stipulated Motion for Continuance at 1 (asking the Court “to vacate the trial setting of 16 May, 2011). Harmon did not wait until “the day jury selection was to begin” before entering the guilty plea. United States v. Ohiri,
As to the issue of disclosure before the suppression hearing, the Court acknowledges that the circuit courts have split on this issue. Notably, the decisions that have found an obligation to disclose impeachment evidence before a suppression hearing predate the Supreme Court’s 2002 decision in United States v. Ruiz. United States v. Ruiz has significantly clarified the legal landscape in terms of the timing of disclosure of impeachment evidence. The Supreme Court held that the restrictions from Brady v. Maryland do not require “preguilty plea disclosure of impeachment information.” United States v. Ruiz,
Given that the Court has located no Tenth Circuit case deciding this issue, the Court believes that the Tenth Circuit would extend the holding of United States v. Ruiz to suppression hearings. The Supreme Court’s rationale distinguishing the guilty-plea process from a trial applies equally to a comparison of the suppression-hearing process and a trial. The Court believes that both the Tenth Circuit and the Supreme Court would recognize that impeachment evidence need not be disclosed before a suppression hearing. In United States v. Ruiz, the Supreme Court recognized that “impeachment information is special in relation to the fairness of a trial, not in respect to whether a plea is voluntary.” United States v. Ruiz,
The Fourth Amendment protects the “right of the people to be secure in then-persons, houses, papers, and effects, against unreasonable searches and seizures.” The Amendment says nothing about suppressing evidence obtained in violation of this command. That rule— the exclusionary rule — is a “prudential” doctrine created by this Court to “compel respect for the constitutional guaranty.” Exclusion is “not a personal constitutional right,” nor is it designed to “redress the injury” occasioned by an unconstitutional search.
Davis v. United States, — U.S. -,
III. RULE 16 DID NOT REQUIRE DISCLOSURE OF THE EVIDENCE TO HARMON.
Rule 16 did not require disclosure of this evidence from United States v. Sheridan. Rule 16 provides:
Upon a defendant’s request, the government must permit the defendant to inspect and to copy or photograph books, papers, documents, data, photographs, tangible objects, buildings or places, or copies or portions of any of these items, if the item is within the government’s possession, custody, or control and:
(i) the item is material to preparing the defense;
(ii) the government intends to use the item in its case-in-chief at trial; or
(iii) the item was obtained from or belongs to the defendant.
Fed.R.Crim.P. 16(a)(1)(E). Criminal defendants may not, however, embark on a “broad or blind fishing expedition among documents possessed by the Government.” Jencks v. United States,
To the extent rule 16 would apply to this evidence, the discovery order in this case would have required disclosure of the evidence by approximately June 24, 2010. See Order at 1-2, filed June 16, 2010 (Doc. 14) (“Unless the defendant has filed the aforesaid waiver, within eight (8) days of the entry of this Order, the Government shall provide to defendant’s counsel without motion all of the information to which defendant is entitled pursuant to Rule 16.... ”). Nevertheless, rule 16 does not apply to this evidence from United States v. Sheridan, because it is not material. It has no exculpatory value regarding Harmon’s guilt or innocence. Additionally, it has no impeachment value to attack Lucero’s credibility. Even assuming that the United States violated rule 16 by not disclosing this evidence, the Court does not believe that Harmon’s requested remedy of reopening the suppression hearing is appropriate given the limited impeachment value, if any, this evidence has.
IV. THE COURT WILL NOT REOPEN THE SUPPRESSION HEARING OR CHANGE ITS DECISION TO DENY THE MOTION TO SUPPRESS.
The Court has considered the evidence from United States v. Sheridan and
V. THE COURT WILL NOT PERMIT HARMON TO WITHDRAW FROM HIS GUILTY PLEA.
The Court does not believe that the applicable factors counsel in favor of permitting Harmon to withdraw his guilty plea. Rule 11(d)(2)(B) provides that a defendant may withdraw a plea if “the defendant can show a fair and just reason for requesting the withdrawal.” Fed. R.Crim.P. 11(d)(2)(B). Defendants do not have an absolute right to withdraw a guilty plea. See United States v. Siedlik,
(1) whether the defendant has asserted his innocence; (2) whether withdrawal would prejudice the government; (3) whether the defendant delayed in filing his motion, and, if so, the reason for the delay; (4) whether withdrawal would substantially inconvenience the court; (5) whether close assistance of counsel was available to the defendant; (6) whether the plea was knowing and voluntary; and (7) whether the withdrawal would waste judicial resources.
United States v. Yazzie,
If the Court had decided to revisit its decision to deny the Motion to Suppress, the Court might have some basis for permitting Harmon to withdraw from his guilty plea. Now that the Court has decided that the circumstances do not counsel in favor of the Court reopening the suppression hearing or revisiting its denial of the Motion to Suppress, Harmon is effectively in the same position where he was when he entered his guilty plea. Harmon has not contested his guilt for the underlying offense, but rather has directed his arguments at the issue of suppressing the evidence against him. In his Plea Agreement, Harmon has agreed to a sentence at the statutory minimum for his offense — five years. See 21 U.S.C. § 841(b)(1)(B) (imposing “a term of imprisonment which may not be less than 5 years and not more than 40 years” for possession with intent to distribute “500 grams or more of a mixture or substance containing a detectable amount of’ cocaine). Given that Harmon has presented no new evidence that would aid him in asserting that he is not guilty of the charges against him, the Court believes that Harmon realistically has achieved, under the Plea Agreement, one of the best results for which he could hope.
The first factor regarding whether the defendant has asserted his innocence weighs against withdrawal. To satisfy the first factor based on an assertion of legal innocence, the Tenth Circuit has held that a defendant must present a “credible claim of legal innocence,” United States v. Hamilton,
The second factor regarding prejudice to the government weighs somewhat against withdrawal of the guilty plea. The United States has represented that trying the case would require it to “suffer the prejudice inherent in prosecuting any case that is over a year and a half old.” Response to Supplemental Motion at 3. The Tenth Circuit has recognized that requiring the United States to try a case it would not otherwise have to try, particularly when preparation for the trial will be difficult, results in prejudice to the United States. See United States v. Jones,
The third factor—whether the- defendant delayed in seeking withdrawal of the guilty plea-—weighs in favor of withdrawal. Harmon filed his Motion to Withdraw Plea approximately four months after he entered the guilty plea and approximately two months after he filed his Motion to Reconsider asserting that he had learned of the evidence from United States v. Sheridan. While some delay has occurred, the Court does not believe that the delay is so significant that this factor weighs against Harmon. See United States v. Kramer,
Looking at the fourth and seventh factors, whether withdrawal would substantially inconvenience the Court or waste judicial resources, the Court notes that there will almost always be some inconvenience or resource allocation when a case that has settled goes to trial. In previous cases, the Court has recognized that the gravity of the defendant’s circumstances in a given case influences whether “the withdrawal of his plea, with all that it implies, would substantially inconvenience the Court of waste judicial resources.” United States v. Gould, No. 03-2274,
The Court finds that Harmon had close assistance of counsel before and during his plea hearing. Harmon asserts in a conclusory manner in his Motion to Withdraw Plea that he received ineffective assistance of counsel. He asserts that “exculpatory evidence has been discovered,” presumably referring to the alleged impeachment evidence from United States v. Sheridan. As the Court has already concluded, this evidence is not exculpatory and has no impeachment value. While Harmon appears to have been unhappy with several of the attorneys who represented him, given that he is now on his fourth attorney, the Court cannot say that his attorneys have performed deficiently. Given that Harmon’s guilt is largely uncontested, and that the Court finds no basis for suppressing the evidence against Harmon, the Court concludes that his counsel appropriately negotiated a plea agreement with a stipulated sentence of five years — the statutory minimum for Count I. Realistically, Harmon has little chance of securing a better result at trial given that he does not assert that he is innocent. The Court sees nothing deficient about his attorneys’ performance in this respect. Harmon may not like the seriousness of the charges against him and the substantial sentences they carry, but that does not mean that his attorneys acted in a deficient manner. Likewise, the plea colloquy in front of Judge Garcia indicates that Harmon approved of his attorneys’ performance at the time he entered into the plea. “The plea of guilty is a solemn act not to be disregarded because of belated misgivings about [its] wisdom.” United States v. Morrison,
The Court gives substantial weight to the sixth factor — whether the plea was knowing and voluntary. The Tenth Circuit has recognized that a deten
Despite these representations of a knowing and voluntary plea in the plea agreement and at the plea colloquy, Mr. Johnson asserts that his plea was not knowing and voluntary because he did not know that he was giving up a claim that the government failed to disclose impeachment evidence. The Supreme Court, however, foreclosed this exact argument in United States v. Ruiz, by holding that the government has no constitutional obligation to disclose impeachment information before a defendant enters into a plea agreement. Ruiz emphasized that “impeachment information is special in relation to the fairness of a trial, not in respect to whether a plea is voluntary.” Rather, “a waiver [is] knowing, intelligent, and sufficiently aware if the defendant fully understands the nature of the right and how it would likely apply in general in the circumstances — even though the defendant may not know the specific detailed consequences of invoking it.” Mr. Johnson understood that he was giving up his right to cross examine government witnesses. He therefore generally knew what he was giving up, and his appeal waiver was not unknowing or involuntary.
United States v. Johnson,
Only one of the factors weighs in favor of withdrawal. Two of the factors are neutral, or weigh slightly against withdrawal. Four of the factors weigh against withdrawal. No other pertinent factors weigh in favor of withdrawal. Most importantly, the key factors in this analysis, whether the defendant has asserted his innocence, whether the defendant had close assistance of counsel, and whether the defendant entered his plea in a knowing and voluntary manner, weigh against withdrawal. The Court does not believe that Harmon has met his burden to show a “fair and just reason for requesting the withdrawal.” Fed.R.Crim.P. 11(d)(2)(B). Consequently, the Court will not permit him to withdraw his guilty plea.
At an earlier point in the Court’s tenure, it took a more permissive approach to permitting the defendant to withdraw his guilty plea, particularly when presented with a plausible basis for innocence. See United States v. Gould,
The Court has serious reservations about allowing Jim to withdraw his plea of guilty and to withdraw from his Plea Agreement. The Court has not seen similar scenarios work out well for defendants; indeed, similar scenarios often end up as disastrous for defendants. Particularly here, where Jim has made admissions at the plea colloquy that maybe used against him at his trial, Jim faces poor prospects at trial, and thus may face a guidelines range of 324 to 405 months, rather than the rule 11(c)(1)(C) plea agreement’s 151 to 181 months. Nevertheless, because the plea colloquy was deficient in explaining fully to him that he was waiving his right to trial, the Court believes that it should allow him to withdraw his plea and exercise his right to trial if he so desires.
IT IS ORDERED that: (i) the Defendant’s Motion to Reconsider or Rehear, filed July 15, 2011 (Doc. 72), is denied; (ii) the Defendant’s Motion by Way of the Defendant for Withdrawal of Plea Agreement filed on May 20, 2011, filed September 21, 2011 (Doc. 87), is denied; and (iii) the Defendant’s Supplemental Motion to Withdraw Plea and to Re-Open Suppression Proceeding, filed December 22, 2011 (Doc. 102), is denied.
Notes
. The Court recently appointed a new attorney for Harmon, who is now Harmon's fourth attorney. See Memorandum Opinion and Order at 1-2, filed October 7, 2011,
. Based on the transcript of the suppression hearing, the correct spelling of Hermilo Luce
. Giglio v. United States requires, under the Due Process Clause of the United States Constitution, the government to disclose to the defendant in some circumstances exculpatory evidence that may be used to impeach witnesses.
. The Court’s citations to the transcript of the hearing refers to the court reporter’s original, unedited version. Any final transcript may contain slightly different page and/or line numbers.
. There may be a conflict in some Tenth Circuit cases where the Tenth Circuit refers to impeachment evidence as exculpatory evidence and in other cases where it refers to impeachment evidence as distinct from exculpatory evidence. Compare United States v. Abello-Silva,
Ruiz is distinguishable in at least two significant respects. First, the evidence withheld by the prosecution in this case is alleged to be exculpatory, and not just impeachment, evidence. Second, Ohiri’s plea agreement was executed the day jury selection was to begin, and not before indictment in conjunction with a "fast-track” plea. Thus, the government should have disclosed all known exculpatory information at least by that point in the proceedings. By holding in Ruiz that the government committed no due process violation by requiring a defendant to waive her right to impeachment evidence before indictment in order to accept a fast-track plea, the Supreme Court did not imply that the government may avoid the consequence of a Brady violation if the defendant accepts an eleventh-hour plea agreement while ignorant of withheld exculpatory evidence in the government's possession.
United States v. Ohiri,
. The Court acknowledges that the Federal Rules of Evidence do not generally apply at suppression hearings, see United States v. Rodriguez,
. For reasonable suspicion to exist, officers are not required “to observe the equivalent of direct evidence of a particular specific crime” as long as "there is reasonable suspicion of criminal activity.” United States v. Pack,
. See Google Maps, http://maps.google.com/ maps?saddr=San + Francisco, + CA&daddr= 87102&hl=en&sll=36.270945,-114.533225& sspn= 12.969273,19.753418&geocode=FVJm QAIdKAeO-CkhAGk AbZqFgDH_rXbwZxNQSg;FVlaFwId4bKk-SlFV-crjgwihzFAlXhMo-Ga7tg&mra=ls&t=m&z=6 (last visited May 7, 2012). Courts can properly take judicial notice of distances between locations. See Citizens for Peace in Space v. City of Colo. Springs,
. The Court notes that there are no timestamps on the Transcript of Traffic Stop to aid the Court in determining precisely how much time passed during the events in United States v. Sheridan. The entire transcript is approximately sixteen-and-a-half pages of dialogue. Lucero begins questioning Sheridan about his travel plans on page two of the transcript. Lucero begins to press Sheridan about the plausibility of his travel plans on page six of the transcript. Lucero finishes questioning Sheridan about his travel plans on page nine of the transcript. The drug dog alerts to the presence of drugs in the vehicle on page fifteen of the transcript. There appear to be no gaps of time during the dialogue in the transcript until after the drug dog alerts to the presence of drugs in the vehicle. After considering the likely length of time that passed during this investigation and the sequence of events, the Court does not believe that the length of the investigation suggests that Lucero did not "diligently pursue[]” his investigation during the investigatory detention such that the investigatory detention transformed into an arrest before the drug dog alerted to the presence of drugs. See United States v. Soto-Cervantes,
. Establishing a credible claim of innocence is one of the seven factors that the Court considers under United States v. Yazzie and is not a prerequisite to permitting withdrawal of the plea. See United States v. Cervantes,
. The Tenth Circuit recognized in United States v. Carr that, while ‘‘[t]he anticipated length and complexity of the government’s case ... should not necessarily weigh against [a defendant] since he originally had a right to a jury trial,” the "disruption of [the court's] docket and consequent delays in pending cases” justified this factor weighing against the defendant in that case. United States v. Carr,
