OPINION
Pеtitioner-appellant William R. Riggs was convicted after a jury trial of conspiracy to manufacture marijuana, manufacturing marijuana, and possessing marijuana with intent to distribute. He brought a motion under 28 U.S.C. § 2255 challenging his conviction, which was denied by the district court. Riggs claims that his conviction was invalid for two reasons. First, Riggs argues that he receivеd ineffective assistance of counsel, because his attorney, a former Assistant United States Attorney, had a conflict of interest. Second, Riggs claims that the government violated 18 U.S.C. § 201(c)(2), because his conviction was based, in part, on testimony that the government obtained from witnesses in exchange for leniency in their own criminal prosecutions. Both of these claims are without merit, and we therefore AFFIRM the district court’s denial of Riggs’s motion.
I. BACKGROUND
On June 16, 1995, William Riggs was convicted in the district court for the Western District of Kentucky of conspiring to manufacture, manufacturing, and possessing with intent to distribute over 1,000
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plants of marijuana, in violation of 21 U.S.C. §§ 846 and 841(a)(1). He was initially sentenced to 188 months of imprisonment and five years of supervised release. Riggs appealed Ms conviction and sentence to this court, arguing that the district court incorrectly determined the number of marijuana plants attributable to him.
See United States v. Riggs,
No. 95-5908,
On October 81, 1997, Riggs filed the motion in the instant case. Principally, Riggs argues that he received ineffective assistance of counsel at trial because his attorney, a former Assistant United States Attorney, had an actual conflict of interest that prеvented him from zealously representing Riggs. Riggs also argues that the government violated 18 U.S.C. § 201(c)(2), which prohibits giving “anything of value” to a person for testifying under oath, when it exchanged sentence reductions for the truthful testimony of prosecution witnesses. The district court denied Riggs’s motion in an order entered on July 27, 1998. Riggs filed a timely notice of appeal, the district court having granted a certificate of appealability as to both issues.
II. ANALYSIS
A. Standard of Review
A petitioner is entitled to relief under § 2255 only upon a showing of a “‘fundamental defect’ in the proceedings which necessarily results in a complete miscarriage of justice or an egregious error violative of due process.”
Gall v. United States,
B. Ineffective Assistance of Counsel
In order to show a violation of the Sixth Amendment right to counsel, a defendant generally must make two showings. First, the defendant must demonstrate that the attorney’s performance was deficient, meaning that “counsel made errors so serious that counsel was not functioning as the ‘counsel’ guaranteed the defendant by the Sixth Amendment.”
Strickland v. Washington,
Riggs argues that his counsel had an actual conflict of interest while representing Riggs. Riggs points to the fact that Cox, a former Assistant United States Attorney (AUSA), was still working as an AUSA at the time of Riggs’s investigаtion and indictment, and that Cox is listed, on the transcript cover, as making an appearance on behalf of the United States during Riggs’s grand jury testimony. Riggs further complains that Cox represented the ex-wife of a prosecution witness. Finally, Riggs points out that Cox shared office space with two other attorneys, who represented othеr co-defendants-turned-prosecution-witnesses: Keith Kamenish, who represented Rosco Driskell, and Mark Chandler, who represented Gary Napier.
The government responds by pointing out that, although Cox’s name appears on the cover of the grand jury transcript, a review of the transcript itself does not reveal any participation by Cox in the hearing. Cox testified in an affidavit that he was not assigned to the Riggs case in any capacity while working in the United States Attorney’s Office; rather, Cox claims that he merely wandered into the grand jury room during Riggs’s hearing, and for that reason the court reporter listed his name on the transcript cover. Furthermore, the government points out, Riggs is required to show that this potential conflict adversely affected Cox’s representation of Riggs in some way; otherwise, the conflict would remain merely hypothetical and thus insufficient to require reversal of Riggs’s conviction.
See, e.g., United States v. Hopkins,
Riggs points to several specific acts and omissions by his attorney that purportedly evidence an actual conflict of interest. First, Riggs asserts that Cox never requested a buyer-seller instruction, nor did he discuss the possibility of a buyer-seller defense with Riggs. The government responds by stating that, according to Cox’s affidavit, Cox did argue for a buyer-seller instruction; furthermore, the government argues, the facts of this case did not support a such an instruction. The district court, in reviewing Riggs’s § 2255 motion, agreed with the government that a buyer-seller instruction would not have been warranted in this case.
See, e.g., Bucyrus-Erie Co. v. General Prods. Corp.,
The government is correct that Riggs was not entitled to a buyer-seller instruction in this case. There appears to be some support for a buyer-seller instruc
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tion in Riggs’s own trial testimony; therefore, such an instruction would not have been inappropriate. However, this court held in
United States v. Stephens,
Second, Riggs argues that Cox never informed him that Gary Napier, Riggs’s step-son and co-conspirator, would testify against Riggs if Napier pleaded guilty; Riggs appears to suggest that he would not have encouraged Napier to plead guilty had he been aware of this possible consequence. As the government points out, however, Riggs took the position at sentencing that he was entitled to a sentence reduction for acceptance of responsibility, in part because “he repeatedly urged Mr. Napier to plead guilty and testify against him .... which Mr. Napier did on thе last day of trial.” J.A. at 380 (Sentencing Tr.). Moreover, Riggs has again failed to show any logical connection between Cox’s alleged conflict and his attorney’s purported omission. Therefore, we hold that Riggs has failed to make the showing required by Cuyler with respect to this issue.
Third, Riggs points to one instance in which Cox “argued on behalf of Mr. Napier at the trial.” Appеllant’s Br. at 16. Arguing against granting the government additional time to prepare for trial, Cox stated, “Mr. Napier, and I am speaking on behalf of Mr. Chandler now, has been incarcerated basically since the day or day after the indictment was returned last November.” J.A. at 290(Tr.). This statement does not demonstrate that Cox was simultaneously representing conflicting interests. Indeed, at the time the statement was made, Napier had not yet pleaded guilty; therefore, the two defendants’ interests were aligned, as both would have desired to prevent the government from obtaining more time to prepare for trial.
Cf. United States v. Gantt,
Fourth, Riggs claims that due to Cox’s representation of Driskell’s ex-wife and his sharing office space with Driskell’s and Napier’s lawyers, Cox performed insufficient cross-examination of Driskell, Napier, and Barbara Herron (Driskell’s girlfriend, to whom Riggs had sold marijuana). In particular, Riggs states that Cox failed to cross-examine Driskell on his testimony regarding a statement, allegedly made by Riggs to Driskell, to the effect that Riggs lost $25,000 when the police raided a warehouse where the marijuana was grown. Because the parties have not informed the court of the nature оf Cox’s representation of Driskell’s ex-wife, it is difficult to determine whether there would be an actual problem of divided loyalty, as in
McConico v. Alabama,
With respect to Napier, Riggs contends that Cox should have cross-examined him about the number of marijuana plants involved. However, a review of the transcript indicates that Napier was not questioned on direct examination regarding the quantity of marijuana involved in Riggs’s operation; therefore, cross-examination on this subject would have been improper. Cox’s cross-examination was otherwise sufficient. As regards Barbara Herron, Riggs points to no specific problems with Cox’s cross-examination of her, and a review of the transcript reveals none.
Finally, Riggs claims that Cox “opened the door” for admission of Riggs’s grand jury testimony by questioning Detective Treadway about Riggs’s grand jury appearance. This claim, too, must fail. Although Treadway did state, on re-cross-examination, that he “had a little bit of getting cooperation from Mr. Riggs” 3 with respect to the investigation and the grand jury hearing, J.A. at 324 (Treadway Test.), Cox successfully obtainеd a cautionary instruction from the district judge with respect to Treadway’s statement. Furthermore, Riggs does not claim that any other evidence concerning Riggs’s grand jury testimony was admitted at trial; indeed, Cox successfully moved to prevent the government from using that testimony against Riggs at trial. Thus, it is again difficult to see how Cox’s performance was аdversely affected by the purported conflict of interest.
Riggs has thus come forward with insufficient evidence to meet his burden of showing that Cox had an actual conflict of interest that affected his performance in Riggs’s trial. 4 Although in some cases it might be appropriate to remand for an evidentiary hearing in the face of such minimal evidence, no hearing is necessary here. Riggs had the opportunity to submit evidentiary materials to the district court. Furthermore, Riggs has not described any additional evidence that he *835 could present at an evidentiary hearing to support Ms claim. Therefore, we conclude that the record in this case clearly demonstrates that Riggs is not entitled to relief under § 2255.
C. 18 U.S.C. § 201(c)(2)
Riggs argues that the government has acted illegally in this case by offering reduced sentences to prosecution witnesses in exchange for their testimony against him, thereby violating 18 U.S.C. § 201(c)(2). Section 201(c)(2) proMbits giving, offering, or promising “anything of value” to a person for testifying under oath. Only one circuit court оf appeals has ever held that the government’s practice of plea bargaining with prosecution witnesses violates 18 U.S.C. § 201(c)(2),
see United States v. Singleton,
III. CONCLUSION
For the foregoing reasons, the district court’s order denying Riggs’s § 2255 motion is AFFIRMED.
Notes
. Although the
Cuyler
standard was laid out in the context of conflicts of interest arising from multiplе representation, this circuit applies the
Cuyler
analysis to all Sixth Amendment conflict-of-interest claims.
See United States
v.
Mays,
. Our disposition of this case makes it unnecessary for us to decide the waiver issue; therefore, we do not address it in this opinion.
. It appears that a word was omitted from this phrase in the trаnscript of Treadway’s testimony: from the context, it is clear that Treadway made a statement to the effect that he had some difficulty in obtaining Riggs’s cooperation.
. To the extent that Riggs intends to suggest that Cox had conflicting loyalties due to the mere fact of his former employment by the government, we reject this suggestion. Indeed, wе believe that a former AUSA who is just beginning his career as a defense attorney would likely have an incentive to represent his early clients particularly zealously, so as to win more clients in the future. In addition, Cox’s familiarity with the functioning of the United States Attorney’s Office would probably inure to the benefit, not the detriment, of his clients in criminal cases.
