Russell L. VANCE v. Joseph LEHMAN, Commissioner, Department of Corrections; The Attorney General of The State of Pennsylvania; The District Attorney for Philadelphia County.
No. 94-1766
United States Court of Appeals, Third Circuit.
Submitted Pursuant to Third Circuit LAR 34.1(a) February 13, 1995. Decided Aug. 23, 1995.
119-126
It was only after he was arrested on the new burglary charges and his probation revoked and replaced with a term of imprisonment of two to ten years that Parry began to challenge the voluntary nature of his plea. A challenge to the voluntariness of his plea that had occurred before Parry was arrested on the new charges might possibly have given us pause, but a challenge initiated only after a new arrest and revocation of probation, which is what we face here, is self-serving and must be viewed with skepticism. Cf. Cleary, 46 F.3d at 312.
In sum, with respect to the prejudice prong of Strickland, we cannot find that there was a reasonable probability that but for counsel‘s alleged errors Parry would have proceeded to trial on these charges. See Hill v. Lockhart, 474 U.S. at 60, 106 S.Ct. at 371; Nino, 878 F.2d at 105 (no prejudice where counsel failed to advise of possibility of deportation); United States v. Jordan, 870 F.2d 1310, 1318-19 (7th Cir.) (same, where counsel failed to advise of possibility of subsequent federal prosecution), cert. denied, 493 U.S. 831, 110 S.Ct. 101, 107 L.Ed.2d 65 (1989); United States v. Degand, 614 F.2d 176, 178 (8th Cir.1980) (same, where counsel failed to advise that federal sentence would not run concurrently with state sentence).
IV. CONCLUSION
The sentence Parry received when his probation was revoked was not a direct consequence of his guilty plea. Accordingly, due process did not obligate the judge who accepted the plea and sentenced Parry to a term of probation to advise Parry of the consequences of revocation of probation, and her failure to do so does not form a basis for invalidating the plea for violation of Parry‘s Fifth Amendment rights. In addition, Parry was not prejudiced by counsel‘s failure to advise him that a new arrest could result in revocation of probation and imposition of a term of imprisonment potentially exceeding in length the term of probation, for he did not establish that he would not have pleaded guilty but for counsel‘s omission. The order of the district court dismissing the petition for a writ of habeas corpus will therefore be affirmed.
Deborah Fleisher, Asst. Dist. Atty., Donna G. Zucker, Chief, Federal Litigation, Ronald Eisenberg, Deputy Dist. Atty., Arnold H. Gordon, First Asst. Dist. Atty., Lynne Abraham, Dist. Atty., Philadelphia, PA, for appellees.
Before: STAPLETON, GREENBERG and COWEN, Circuit Judges
OPINION OF THE COURT
STAPLETON, Circuit Judge:
Petitioner-appellant Vance was convicted of murder in the Philadelphia Court of Common Pleas. In this habeas corpus proceeding, he collaterally attacks the validity of his conviction on the ground that he did not receive the “Assistance of Counsel for his defence” as mandated by the
I.
Russell Vance was charged with the murder and involuntary manslaughter of his landlord, as well as with robbery and possession of an instrument of crime. Vance engaged the services of Lewis Small, Esquire, to represent him in connection with these charges. Small turned the matter over to an associate in his office, Richard Potack, Esquire, who was ultimately appointed by the court to represent Vance on April 15, 1985.
After a two day suppression hearing and other pretrial proceedings, a jury was selected in early February of 1986. After opening arguments and the calling of the first witness, Vance decided to enter a plea of guilty to the murder charge. The court then conducted a three day degree of guilt hearing, found Vance guilty of murder in the first degree, and sentenced him to life imprisonment.
Several days later, Vance filed a pro se motion to withdraw his guilty plea, and subsequently, he submitted an amended motion alleging ineffective assistance of counsel. A new attorney was appointed to represent Vance, and the court held an evidentiary hearing. Ultimately, it vacated Vance‘s sentence and granted his motion to withdraw his plea. The Commonwealth appealed. The Pennsylvania Superior Court reversed and reinstated the judgment of sentence, Commonwealth v. Vance, 376 Pa.Super. 493, 546 A.2d 632 (1988). Vance filed a Petition for Allowance of Appeal to the Supreme Court which was denied. Commonwealth v. Vance, 521 Pa. 620, 557 A.2d 723 (1989). After an unsuccessful post-conviction relief proceeding in the state courts, Vance filed this federal habeas proceeding.
The record reveals a number of facts about Vance‘s counsel of which Vance and the trial judge were unaware at the time of trial. Potack graduated from Howard University School of Law in May of 1975 and passed the California Bar Examination that summer. He was admitted to the California Bar in
Potack began using cocaine regularly in 1980. Between mid-1981 and the fall of 1983, former clients filed at least ten complaints against him with the California disciplinary authorities. In November of 1983, while these matters were under investigation, Potack voluntarily ceased practicing law in California, and in December, moved to Philadelphia.
Potack successfully took the Pennsylvania Bar examination in February of 1984 and was admitted to that bar in May. On his application for permission to take the bar examination, he falsely represented that no charges for professional misconduct were presently pending against him, that no such charges had been filed in the past, and that he had not undergone treatment for the use of drugs. In addition, he represented that he had not been arrested or prosecuted for any crime when he knew there were outstanding warrants for his arrest for passing worthless checks in California.
Two weeks after he began his representation of Vance, Potack entered a stipulation with the California disciplinary authorities regarding the professional misconduct complaints against him. He stipulated that while he was an attorney, he had (1) withdrawn from employment without refunding unearned fees paid in advance in four cases; (2) represented clients with conflicting interest without obtaining the consent of all concerned parties; (3) failed to use reasonable diligence and his best judgment for the purpose for which he was employed in four cases; and (4) failed to deposit funds received on behalf of a client in a separate, identifiable bank account. On June 21, 1985, the disciplinary authorities recommended to the California Supreme Court that Potack be suspended from the practice of law for three years, that the suspension be stayed, and that he be placed on probation on the conditions that he serve a one year suspension, make restitution, pass the professional responsibility examination, and participate in a drug rehabilitation program. The record does not disclose the date upon which Potack‘s suspension in California commenced.
On January 13, 1986, approximately three weeks before the jury was selected for Vance‘s trial, the Pennsylvania State Board of Law Examiners petitioned the Pennsylvania Supreme Court to revoke Potack‘s admission to the bar. The Board‘s petition alleged that if it had known of Potack‘s failure to truthfully answer questions inquiring into professional and criminal misconduct and narcotics abuse, it would not have given him permission to sit for the Pennsylvania Bar Exam and would have found that he did not meet the Board‘s character standards to practice law. The Supreme Court of Pennsylvania granted the Board‘s “Petition to Revoke Admission to the Bar” on April 16, 1986.
When Vance‘s trial judge vacated his sentence and permitted him to withdraw his guilty plea, she acted in part based on her view that the April 16, 1986 order of the Pennsylvania Supreme Court had the “effect of making [Potack‘s] membership in the Pennsylvania Bar void ab initio.” App. 44D. Citing People v. Washington, 87 Misc.2d 103, 384 N.Y.S.2d 691 (N.Y.Sup.Ct.1976), for the proposition that the term “counsel” in the
The Superior Court took a different view of the predicate state law issue. It rejected the view that Potack‘s membership in the Pennsylvania Bar had been void ab initio. Commonwealth v. Vance, 546 A.2d at 636. Accordingly, it held that “[a]t the time Mr. Potack represented [Vance], he was a member of the Pennsylvania Bar” and authorized by Pennsylvania law to conduct Vance‘s defense. Id. at 635.
II.
Vance‘s federal habeas corpus petition does not seek relief on the ground that Potack did or failed to do something during his representation of Vance that breached his professional responsibilities in a way that prejudiced the defense of the case. Vance‘s brief before us tacitly recognizes that the
We begin our analysis of Vance‘s contentions with the basic principles underlying right to counsel jurisprudence.
The right to the effective assistance of counsel is ... the right of the accused to require the prosecution‘s case to survive the crucible of meaningful adversarial testing. When a true adversarial criminal trial has been conducted - even if defense counsel may have made demonstrable errors - the kind of testing envisioned by the
United States v. Cronic, 466 U.S. 648, 656, 104 S.Ct. 2039, 2045, 80 L.Ed.2d 657 (1984) (footnote omitted). Accordingly, “[a]bsent some effect of challenged conduct on the reliability of the trial process, the
The circumstances in which prejudice has been found so likely as to be presumed are very rare. The Court in Cronic set forth a few examples that illustrate the degree of risk of prejudice that must be present before its demonstration is excused. If the defendant has no representation of any kind, his conviction is per se invalid. Id. at 659. The same is true if, for any reason, the defendant‘s counsel is prevented from assisting him during a critical stage of the proceeding. Id. “Similarly, if counsel entirely fails to subject the prosecution‘s case to meaningful adversarial testing [by foregoing cross-examination of the prosecutor‘s witnesses], then there has been a denial of the
Another situation which would warrant the application of a per se rule finding a violation of the
The courts have consistently looked to the licensing authorities of the legal profession to determine in circumstances of this kind the boundaries of the per se exception to the Strickland rule. If a lawyer is authorized by those authorities to practice law, his or her performance on a criminal defendant‘s behalf is acceptable for
In this case, Pennsylvania‘s intermediate appellate court has held that under Pennsylvania law, Potack was authorized to practice before the courts of that state at the time he represented Vance. Pennsylvania‘s highest court has declined to review that decision and Vance has pointed to nothing suggesting that that court would reach a different result were it to consider the issue. Under these circumstances, we accept the holding of the Superior Court as the law of Pennsylvania. See West v. American Tel. & Tel. Co., 311 U.S. 223, 236-237, 61 S.Ct. 179, 183, 85 L.Ed. 139 (1940).
Vance acknowledges that
Potack was far from an untrained imposter. He was a graduate of an accredited law school, he had been certified by the California Bar authorities as competent to practice law in a process untainted by misrepresentation, he had practiced law for over a decade, and he had been tested and found knowledgeable about Pennsylvania practice and procedure. The only thing that distinguished him from the majority of attorneys who represent defendants day in and day out in our criminal justice system was that he had been guilty of prior, but unrelated, breaches of his professional responsibility.
As Vance stresses, during the representation, Potack had stipulated to having breached his professional responsibility to several former California clients and stood accused of having lied on his Pennsylvania Bar Exam application. These were serious breaches of professional ethics. They cannot be, and have not been, condoned. At the same time, experience has taught that lawyers, like other human beings, occasionally fall from grace. This is an unfortunate fact of life and is, of course, one of the principal reasons why the legal profession has disciplinary systems. Our courts have traditionally relied upon these systems to adjudicate and evaluate alleged professional defalcations. As a result, where breaches of professional responsibility
If courts were to accept the rule for which Vance contends, trial judges would no longer be able to rely on the existence of de jure authority to practice law. Their only recourse would be to conduct an in-depth inquiry into the moral character of defense counsel in each and every case. Given the difficulty of marshalling the relevant information, even then, they would have little assurance that the particular criminal case before them could be tried to an unimpeachable judgment.
We find this case readily distinguishable from United States v. Novak, 903 F.2d 883 (2d Cir.1990), upon which Vance principally relies. In Novak, the defendant had been represented by a person who had fraudulently gained admission to the New York Bar by applying for an exemption from the bar exam requirement which was intended for those whose legal studies were interrupted by military service and for which he was ineligible. The court found a per se
Nor does Vance‘s allegation of a conflict of interest undermine our confidence in the integrity of the proceedings before the Court of Common Pleas. Vance suggests that Potack‘s self-interest conflicted with Vance‘s interest in mounting a vigorous and aggressive defense. His theory is that Potack may have refrained from conducting such a defense for fear of prompting an investigation into his (Potack‘s) background.
Vance is correct in pointing out that some conflicts of interest have been found to justify invocation of the per se violation rule. “Prejudice is presumed,” however, “only if the defendant demonstrates that counsel ‘actively represented conflicting interests’ and that ‘an actual conflict of interest adversely affected his lawyer‘s performance.‘” Strickland, 466 U.S. at 692, 104 S.Ct. at 2067
In the cases relied upon by Vance, Novak and Solina, counsel was not properly licensed to practice law. Accordingly, the representation of the defendant was itself a crime-i.e., the unauthorized practice of law. In these circumstances, a vigorous and successful defense of the client might well influence the exercise of the prosecutor‘s discretion in the future should the absence of a license subsequently come to light. Novak, 903 F.2d at 890; Solina, 709 F.2d at 164. While we are not certain that the defendants in these cases satisfied the criteria set forth by the Supreme Court in its conflicts of interest jurisprudence, we can understand the concerns that led these courts to the result reached.2
Courts have reached a different result, however, where a conflict of interest has been alleged involving an attorney who was authorized to practice law, but was the subject of a professional misconduct investigation. In these circumstances, the courts have been unwilling to find a per se violation based on the theory that the defense of the criminal case would be prejudiced by the attorney‘s desire not to alienate the prosecutor or the court. See Waterhouse, 848 F.2d at 383 (attorney had no reason to fear that vigorous defense would expose him to unrelated charges of misappropriation of client funds); Mouzin, 785 F.2d at 699 (attorney‘s disbarment from appellate court, without more, does not place attorney into adversarial position with defendant being tried in district court); Roach, 757 F.2d at 1479-80 (conflict of interest should not be presumed absent showing that investigation into attorney‘s conduct by licensing authorities simultaneously with attorney‘s representation of defendant impaired attorney‘s ability to defend client); Hoffman, 733 F.2d at 602 (attorney‘s suspension from his home state bar and his failure to inform federal district judge did not place him “in an adversarial position relative to” the defendant). Where, as here, the professional misconduct charge and the criminal defense are wholly unrelated, nothing done or foregone in the criminal defense can effect the result in the ethics proceedings and we perceive no actual conflict between the lawyer and his client. If anything, we believe a lawyer under fire for past misconduct is likely to be highly motivated to give the best professional representation possible. Waterhouse, 848 F.2d at 383.
In this case, Potack was authorized to practice law and his representation of Vance was not a crime. Accordingly, he had no fear of subsequently being the subject of a judgment by Pennsylvania‘s prosecuting authorities. Moreover, the petition to revoke Potack‘s license was filed well before Vance‘s trial began and his plea was entered. The facts concerning Potack‘s past were thus already known to the Pennsylvania courts and disciplinary authorities before these critical
III.
Vance‘s lawyer had previously violated his professional responsibilities on a number of occasions. Those violations were unrelated to Vance‘s defense, however, and the record does not suggest any similar defalcation here. To the contrary, the record indicates that Potack rendered a professionally competent and vigorous performance. While it is, of course, possible that Potack did not live up to his professional responsibilities to Vance in some way unreflected in the record, the potential for prejudice to Vance under the circumstances of this case is not sufficiently great to place this case in the same category with the cases that have applied a per se rule.
The judgment of the district court will be affirmed.
UNITED STATES of America, v. William O. HAYDEN, Appellant.
No. 94-3349.
United States Court of Appeals, Third Circuit.
Argued Sept. 29, 1994. Decided Aug. 28, 1995.
