UNITED STATES OF AMERICA, Plaintiff - Appellee, v. KIRK RUSSELL MARSH, Defendant - Appellant.
No. 18-4609
UNITED STATES COURT OF APPEALS FOR THE FOURTH CIRCUIT
Decided: December 9, 2019
PUBLISHED. Argued: September 20, 2019.
Before GREGORY, Chief Judge, and THACKER and HARRIS, Circuit Judges.
Motion to dismiss appeal granted by published opinion. Judge Harris wrote the opinion, in which Judge Thacker joined. Chief Judge Gregory wrote an opinion concurring in part, dissenting in part, and dissenting in the judgment.
ARGUED: James R. Theuer, JAMES R. THEUER, PLLC, Norfolk, Virginia, for Appellant. Aidan Taft Grano, OFFICE OF THE UNITED STATES ATTORNEY, Alexandria, Virginia, for Appellee. ON BRIEF: G. Zachary Terwilliger, United States Attorney, Katherine L. Wong, Assistant United States Attorney, OFFICE OF THE UNITED STATES ATTORNEY, Alexandria, Virginia, for Appellee.
Kirk Russell Marsh pleaded guilty to identity theft and fraud. At sentencing, the district court failed to advise Marsh of his right to appeal, in what Marsh identifies as a violation of
Marsh contends that his late filing should be excused by the district court‘s violation of
I.
Marsh was indicted on three charges: bank fraud, in violation of
Marsh was sentenced on November 17, 2017. Following argument and rulings on Marsh‘s objections, the district court adopted the Probation Office‘s Sentencing Guidelines calculation, which led to a range of 78 to 97 months on the two fraud charges followed by a 24-month consecutive sentence for identity theft. The district court then imposed a below-Guidelines sentence of 54 months for the two fraud charges and a consecutive 24-month sentence on the identity theft charge, for a total of 78 months imprisonment, to be followed by a three-year term of supervised release. Critically, at no point during sentencing did the district court advise Marsh of his remaining rights to appeal, as required by
The court entered judgment the same day it sentenced Marsh, on November 17, 2017. Under
II.
A.
At the outset, the government contends that the premise of this case is mistaken: The district court‘s failure to advise Marsh of his right to appeal, according to the government, was not a
The first problem for the government‘s argument is that Marsh‘s plea agreement expressly preserves his right to appeal his sentence based on “an ineffective assistance of counsel claim.” J.A. 13–14. Because the text of
Nor was the scope of the district court‘s error limited to the appeal rights expressly reserved in the appeal waiver. As we have held, a defendant who waives the right to appeal nevertheless “retains the right to obtain appellate review of his sentence on certain limited grounds,” even if those grounds are not specified in the plea agreement. United States v. Attar, 38 F.3d 727, 732 (4th Cir. 1994). No appeal waiver, for instance, can bar a defendant‘s right to challenge his sentence as outside a statutorily prescribed maximum, “or based on a constitutionally impermissible factor such as race.” United States v. Marin, 961 F.2d 493, 496 (4th Cir. 1992); see also Attar, 38 F.3d at 732–33 (plea waiver does not bar appellate review of post-plea violation of right to counsel). And, of course, Marsh retained the right to argue on appeal that he did not enter into his appeal waiver knowingly and voluntarily, rendering that waiver invalid. See United States v. Johnson, 410 F.3d 137, 151 (4th Cir. 2005). In short, “[a]n appeal waiver does not always preclude an appeal,” id., and the district court was required by
We think the government‘s contrary argument is inconsistent not only with
B.
That brings us to the question on which we ordered briefing: Whether a district court‘s error in failing to inform a defendant at sentencing of a right to appeal can excuse a defendant‘s late filing of a notice of appeal under
1.
We begin with the nature of the time limit prescribed by
As the parties agree,
The fact that
2.
Marsh does not dispute that
At the outset, we note that the Supreme Court very recently (and only after briefs were submitted in this case) addressed a very similar question. In Nutraceutical Corp. v. Lambert, the Court held that a different nonjurisdictional 14-day appeal deadline – this one for seeking an interlocutory appeal from an order respecting class certification under
As the Court explained, the key to determining whether a nonjurisdictional claim-processing rule like
Because Lambert‘s reasoning on this point is so critical here, we explain it in some detail.
The Court‘s reasoning in Lambert controls this case. As noted above, this court already has concluded that
As in Lambert, that conclusion is reinforced by the other governing appellate rules.
We recognize, of course, the gravity of the stakes when what is at issue is a criminal appeal. But nothing in the text of
3.
Perhaps in response to the Supreme Court‘s recent decision in Lambert, Marsh now focuses not on equitable tolling, but on a different equitable doctrine. As the Court acknowledged in Lambert, it has left open the question of whether even a mandatory claim-processing rule, not subject to equitable tolling, nevertheless might give way in certain unique circumstances, see Lambert, 139 S. Ct. 717 n.7, where “the cause of the failure to meet [a] Rule‘s deadline [is] an erroneous ruling or assurance by the District Court itself,”
Marsh‘s specific objection, as described above, is to the district court‘s noncompliance with
This “limited” understanding of the unique circumstances exception, see Panhorst, 241 F.3d at 370, is consistent with the cases that gave rise to the doctrine, decided by the Supreme Court in the early 1960s. First, in Harris Truck Lines, Inc. v. Cherry Meat Packers, Inc., 371 U.S. 215 (1962) (per curiam), the Supreme Court excused an otherwise untimely appeal where a litigant had received from the district court, and then relied on, a 14-day extension of the time to appeal that subsequently was deemed invalid by the court of appeals. In light of the “unique circumstances” presented – the “obvious great hardship” to a party who relies to his detriment on an incorrect ruling by a district court – the Supreme Court ruled that the litigant was entitled to file within the district court‘s erroneous extension of the time limit for appeal. Id. at 217. Two years later, in Thompson v. INS, 375 U.S. 384 (1964) (per curiam), the Court again applied the unique circumstances exception, where a litigant relied on a trial judge‘s “explicit statement” that his motion for a new trial was filed “in ample time,” so that it would postpone the deadline for filing an appeal, id. at 386. The district court proved to be incorrect, but by then, the appellant already had filed an appeal “within the assumedly new deadline” but outside the actual deadline, and for that reason, the Supreme Court concluded, the late filing must be excused. Id. at 387.
Whatever the precise status and scope of the unique circumstances exception, we do not think it can be stretched to accommodate this case. The district court‘s
4.
Finally, Marsh argues that unless we can find a way to excuse the late filing of his appeal, we effectively nullify the requirements of
We disagree. The Supreme Court has made clear that there is a remedy for a
Remedying
III.
For the foregoing reasons, we dismiss Marsh‘s appeal as untimely.
DISMISSED
This case is about two rules being violated. The first rule directs that “the court must advise the defendant of any right to appeal.”
I.
Before explaining where we part ways, I note that the majority and I share some common ground. We agree that the Government is mistaken in claiming that there was no
What separates the majority and I, then, is how we interpret the interplay between these two important rules. Despite noting that
II.
Following the majority, let‘s begin with “the nature” of the time limit prescribed by
Of course, this distinction between jurisdictional and nonjurisdictional rules is not merely terminological. “Jurisdictional treatment of statutory time limits makes good sense.” Bowles, 551 U.S. at 212. This is because “[w]ithin constitutional bounds, Congress decides what cases the federal courts have jurisdiction to consider.” Id. And since “Congress decides whether the federal courts can hear cases at all, it can also determine when, and under what conditions, federal courts can hear them.” Id. at 212-13. This is why jurisdictional time limits cannot be altered by courts. As the Supreme Court put it, if jurisdictional rules are “too strict and technical, and likely to produce inconvenience or injustice, it is for Congress to provide a remedy by altering the existing laws; not for the court.” United States v. Curry, 47 U.S. 106, 113 (1848). The function of an appellate court is not to correct what Congress has set as a jurisdictional limit of courts.
However, the Court has “treated the rule-based time limit for criminal cases differently.” Bowles, 551 U.S. at 212; see also Urutyan, 564 F.3d at 685 (comparing the nonjurisdictional
The majority acknowledges that
The majority‘s reasoning here is too quick. For starters, the majority does not tell us why a rule is “properly raised” against a defendant who was previously unaware that he had a right to appeal a judge‘s sentence because the same judge failed to inform him of this right. Moreover, the “mandatory” qualifier given to claim-processing rules is not meant to categorically bar equitable approaches. For as long as the Supreme Court has referred to claim-processing rules as mandatory, they have avoided claiming that mandatory claim-processing rules foreclose equitable exceptions. Compare Manrique v. United States, 137 S. Ct. 1266, 1271 (declaring that “a timely notice of appeal is at least a mandatory
Does it follow that nonjurisdictional deadlines are malleable in every respect? No. “[E]quitable tolling is a discretionary doctrine that turns on the facts and circumstances of a particular case and, therefore, does not lend itself to bright-line rules.” Rouse v. Lee, 339 F.3d 238, 259-60 (4th Cir. 2003) (en banc) (internal quotation marks and citations omitted); see also Holmberg v. Armbrecht, 327 U.S. 392, 396 (1946) (“Equity eschews mechanical rules; it depends on flexibility.“). This is why “circuit precedent requires a court to consider the facts and circumstances of a particular case” when determining whether to exercise the power to toll deadlines. Rouse, 339 F.3d at 260. The upshot of all of this is that, contrary to the majority‘s portrayal, there is nothing about “the nature” of a mandatory claim-processing rule that definitively precludes equitable tolling. Far from it. “Equitable
III.
The majority‘s reliance on Nutraceutical Corp. v. Lambert, 139 S. Ct. 710 (2019), is also misplaced. In Lambert, the Court held that a deadline to file an interlocutory appeal could not be tolled even when the party seeking the interlocutory appeal orally informed the district court of his intention to seek reconsideration within the timeframe set out by
Putting the
This point is further reinforced when we compare the advisory committee‘s notes for the two rules. See Mississippi Pub. Corp. v. Murphree, 326 U.S. 438, 444 (1946) (noting that “in ascertaining” the meaning of the Federal Rules, the notes by the advisory committee is “of some weight“). The advisory notes to
And for good reason. As Lambert itself reminds us, “interlocutory appeal is an exception to the general rule that appellate review must await final judgment—which is fully consistent with a conclusion that Rule 23(f)‘s time limit is purposely unforgiving.” Lambert, 139 S. Ct. at 716. Indeed, “[t]he purpose of Rule 23(f), in part, is to ensure that interlocutory appeals of class certification decisions are heard and decided in a timely manner, so as not to disrupt the proceedings at the district court level.” Gutierrez v. Johnson & Johnson, 523 F.3d 187, 199 (3d Cir. 2008) (citing
In short, Lambert does not foreclose equitable tolling in this case. That case was about “the rigidity of filing deadlines for interlocutory appeals even when they appear in claim-processing rules.” Id. at 322 (citing Lambert, 139 S. Ct. at 714-15). The reasoning there does not extend to criminal appeals as of right, where “the gravity of the stakes” are much higher. And even if it does, there is nothing in Lambert that suggests that tolling is categorically precluded when a judge is the reason the defendant missed the deadline. The majority‘s conclusion is inconsistent with the text of the relevant rules involved in this case and “with the importance the Supreme Court has attached to [t]he requirement that the district court inform a defendant of his right to appeal.” Maj. Op. at 5 (citing Peguero, 526 U.S. at 26).
IV.
The majority also considers, and dismisses, Marsh‘s attempt to rescue his appeal under the “unique circumstances” exception. As the majority acknowledges, the Supreme Court has left open the possibility of mandatory claim-processing rules being overridden
To be sure, the Supreme Court has not precisely outlined the contours of the unique circumstance exception. But appellate courts have interpreted the exception widely. See, e.g., Hollins v. Dep‘t of Corr., 191 F.3d 1324, 1326-28 (11th Cir. 1999) (applying the unique circumstances doctrine when counsel relied on PACER system‘s version of a docket sheet, which failed to show the entry of final judgment); Sidebottom v. Delo, 46 F.3d 744, 750 (8th Cir. 1995) (applying the unique circumstance doctrine when petitioner “was ‘lulled into inactivity’ by the district court‘s representation,” in which “[t]he clear inference” was that a notice of appeal could be filed later); Virgin Islands v. Gereau, 603 F.2d 438 (3d Cir. 1979) (applying unique circumstances doctrine “where a defendant or his counsel [was] affirmatively misl[e]d by some government authority as to the date by which a Rule 35 motion must be filed“). But see Merrell-Nat‘l Labs., Inc. v. Zenith Labs., Inc., 579 F.2d 786, 790 (3d Cir. 1978) (recognizing the unique circumstance exception but refusing to apply it primarily because the case involved “only the lesser hardship of losing the right to appeal an interlocutory order“). The wisdom behind the doctrine is easy to see:
The record here presents a compelling case to apply the exception if, as Marsh suggests, the district court was the reason Marsh failed to file a timely notice of appeal. Marsh‘s plea agreement waived any right to appeal “the conviction and any sentence within the statutory maximum . . . on any ground whatsoever other than an ineffective assistance of counsel claim that is cognizable on direct appeal.” J.A. 13-14 (emphasis added). During the
The majority disagrees. On its view, the doctrine only applies when a judge makes affirmative statements “about the timeliness of any potential appeal.” Maj. Op. at 15 n.3. Since the district court “did not convey incorrect information, through a ruling or other assurance at the sentencing hearing,”2 the majority reasons, the unique circumstance
This distinction is illogical and frustrates the wisdom behind the doctrine. If an appellate court is estopped from sending a defendant away when a court gives him the wrong deadline to file an appeal, then an appellate court should be similarly estopped when a court‘s failure to follow a compulsory rule is the cause of the defendant‘s failure to comply with a deadline. I would therefore apply the unique circumstance doctrine in situations where a court “misled a party who could have—and probably would have—taken timely action had the trial judge conveyed correct” information about the party‘s right to appeal. See Carlisle, 517 U.S. at 435 (Ginsburg, J., concurring). Since Marsh
V.
The majority ends its opinion by rightly noting that this Court has remedied
But, again, that is not the case here. There is no doubt that
I respectfully dissent.
