Wolfson v. United StatesWolfson v. United States
- Reporters:
- ,
- Before:
- Koeltl
MEMORANDUM OPINION AND ORDER
The petitioner, Allen Wolfson, proceeding pro se, seeks to vacate or set aside his convictions pursuant to
The petitioner’s convictions after his jury trial arises from a scheme in which he participated to manipulate the price of five stocks through various means, and to reward stock brokers with exorbitant commissions for having sold the stock. Some of the brokers failed to disclose the commissions to their customers while others made misrepresentations about the size of the commissions. United States v. Wolfson,
The petitioner appealed his convictions and the Court of Appeals for the Second Circuit affirmed the convictions. Id. The petitioner has completed his term of imprisonment and is now in the process of completing his term of supervised release. He has filed the current petition for habeas corpus seeking to vacate his convictions on several bases. For the reasons explained, the petition is denied.
I.
Where a habeas petitioner is a pro se litigant, the Court shall “read his supporting papers liberally, and will interpret them to raise the strongest arguments [that] they suggest.” Burgos v. Hopkins,
Because each of the petitioner’s arguments is without merit, the petitioner’s motion pursuant to
1.
First, the petitioner argues that the Indictment and jury charge at trial were defective because he never owed a fiduciary duty to anyone. The petitioner argues in particular that the commercial bribery statute in New York did not apply to him because he was never a stockbroker but a stock promoter. He alleges that he never owed a fiduciary duty to anyone. (Mot. Vacate at 5-6, 11 Civ. 7922, Nov. 4, 2011, ECF No. 1.) This argument is procedurally barred and is without merit.
Under
Furthermore, a
To the extent that the petitioner’s argument is that his convictions should be vacated because he never owed a fiduciary duty to anyone, the argument is foreclosed because there is no reason that this argument could not have been raised on direct appeal, and the petitioner has failed to show cause why it was not raised. In any event, the argument is without merit.
The Indictment did not charge that the petitioner owed a fiduciary duty to anyone. Rather, Count One of the Indictment charged the petitioner with a conspiracy, in violation of
Similarly, the Indictment charged that securities fraud, in violation of
In affirming the petitioner’s convictions, the Court of Appeals rejected the petitioner’s argument that the brokers had no duty to disclose the exorbitant commissions. Wolfson,
To the extent that the petitioner is complaining that the Court failed to instruct the jury correctly on the fiduciary duty that the brokers owed to their customers, this argument was specifically rejected by the Court of Appeals, and the charge was found to be proper. Id. at 295-96. The Court of Appeals further explicitly rejected the petitioner’s contention that his trial counsel was ineffective for failing to object to this Court’s instruction on fiduciary duty, because there was no error in the jury instruction and there could have been no ineffective assistance in failing to object to it. Id. at 296 n. 1. Accordingly, the petitioner’s first claim for relief is denied.
2.
Second, the petitioner argues that his trial counsel was ineffective. The argument is also without merit.
The petitioner asserts three bases for his ineffective assistance of counsel claim. First, he argues that his trial counsel should have moved to dismiss the Indictment because it was defective regarding the issue of fiduciary duty. Second, he argues that his counsel should have objected more at trial. Third, he contends that, because his counsel was a former attorney for the Securities and Exchange Commission, his trial counsel had a conflict of interest.
“Generally, a claim of ineffective assistance of counsel must satisfy the two-prong test of [Strickland v. Washington,
The petitioner’s argument that his counsel was ineffective for having failed to move to dismiss the Indictment because it depended on an incorrect theory of fiduciary duty is without merit. The Indictment correctly charged the offenses, and the Court of Appeals specifically found that the petitioner’s trial counsel was not ineffective for having failed to object to this Court’s instructions to the jury on fiduciary duty. See Wolfson,
The petitioner’s second basis for his ineffective assistance of counsel claim is also without merit because, while the petitioner claims that his counsel should have objected more during trial, he does not explain what specific objections should have been made, nor how, because the objections were not made, he was prejudiced in any way. In order to succeed on a claim that counsel was ineffective by failing to object, a petitioner must posit a meritorious objection. See, e.g., Gueits v. Kirkpatrick,
Finally, the petitioner’s third basis for his ineffective assistance claim is that his trial counsel had a conflict of interest because he was formerly an attorney for the Securities and Exchange Commission. To succeed on a claim of ineffective assistance based on his counsel’s purported conflict of interest, the petitioner must show that his counsel “actively represented conflicting interests” and that “an actual conflict of interest adversely affect[ed] his lawyer’s performance.” Cuyler v. Sullivan,
■Accordingly, the petitioner’s second claim for relief is denied.
3.
Third, the petitioner argues that, at trial, the Government withheld twenty-five taped phone conversations between the petitioner and the Government cooperating witness, Jeffrey Pokross, that would have proven the petitioner’s innocence. The petitioner asserts that the Government thereby committed a Brady violation. The petitioner did not raise this argument on direct appeal. The argument is both without merit and procedurally barred.
“The government has the obligation to turn over evidence in its possession that is both favorable to the accused and material to guilt or punishment.” Pennsylvania v. Ritchie,
Here, the petitioner claims, without specificity, that the Government withheld twenty-five taped conversations between the petitioner and Pokross. The petitioner does not point to any specific conversations, nor any specific tapes, much less as to how the conversations, if they were uncovered, would prove “material to guilt or punishment.” Furthermore, at trial, the government admitted multiple recorded conversations between Pokross, the petitioner, and others. The government played these recordings in open court during the examination of Pokross. (See, e.g., Tr. 691-96, 719-21, 733, 822-24, 931.). The content of these conversations tended to support the petitioner’s conviction rather than prove Ms innocence. In its opposition to the current motion, the Government denies that any tapes were withheld (Gov’t Mem. Opp. at 4), and there is nothing in the record to indicate that any tapes were withheld from the petitioner at trial. The petitioner points to nothing to support his allegation that any tapes were withheld. Therefore, these claims by the petitioner are insufficient to establish a Brady violation or to warrant an evidentiary hearing. See United States v. Avellino,
Accordingly, the petitioner’s third claim for relief is denied.
4.
Fourth, the petitioner argues that at trial the Government failed to establish that investors lost any money as a result of his scheme. However, at trial, the Government did present evidence establishing that the investors lost money as a result of the petitioner’s stock manipulation scheme. (See, e.g., Tr. 168-84, 184-95, 258-302, 396-409, 515-26, 629-53, 698-715, 757-67, 767-83.) In addition, this claim could have been raised on direct appeal, and the petitioner makes no argument for why it was omitted on direct appeal. Because the petitioner has failed to show cause and prejudice or actual innocence, the petitioner is procedurally barred from raising this issue in his
Accordingly, the petitioner’s fourth claim for relief is denied.
5.
Fifth, the petitioner argues that Ms convictions should be vacated because he was incompetent at the time of his trial and plea. The Court carefully considered this contention when it was raised by new counsel who brought a motion pursuant to
Moreover, this claim could have been raised on the petitioner’s direct appeal where the petitioner was represented by new counsel who had not represented him at the time of Ms trial and plea. The petitioner failed to raise this claim on direct appeal of his convictions and has
Accordingly, the petitioner’s fifth claim for relief is denied.
Conclusion
The Court has considered all of the arguments raised by the parties. To the extent not specifically addressed above, the arguments are either moot or without merit. The petitioner’s motion to vacate or set aside his convictions pursuant to
SO ORDERED.