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Paul A. Howell v. Secretary, Florida Department of COrrections, 13-10766 (2013)

Court: Court of Appeals for the Eleventh Circuit Number: 13-10766 Visitors: 11
Filed: Sep. 13, 2013
Latest Update: Feb. 12, 2020
Summary: Case: 13-10766 Date Filed: 09/13/2013 Page: 1 of 28 [PUBLISH] IN THE UNITED STATES COURT OF APPEALS FOR THE ELEVENTH CIRCUIT _ No. 13-10766 _ D.C. Docket No. 4:04-cv-00299-MCR-MD PAUL A. HOWELL, Petitioner - Appellant, versus SECRETARY, FLORIDA DEPARTMENT OF CORRECTIONS, Defendant - Appellee. _ Appeal from the United States District Court for the Northern District of Florida _ (September 13, 2013) Before BARKETT, PRYOR and JORDAN, Circuit Judges. PRYOR, Circuit Judge: The issue in this appeal is
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              Case: 13-10766    Date Filed: 09/13/2013    Page: 1 of 28


                                                                          [PUBLISH]

                IN THE UNITED STATES COURT OF APPEALS

                         FOR THE ELEVENTH CIRCUIT
                           ________________________

                                 No. 13-10766
                           ________________________

                    D.C. Docket No. 4:04-cv-00299-MCR-MD



PAUL A. HOWELL,

                                                               Petitioner - Appellant,

                                       versus

SECRETARY, FLORIDA DEPARTMENT OF CORRECTIONS,

                                                               Defendant - Appellee.

                           ________________________

                   Appeal from the United States District Court
                       for the Northern District of Florida
                         ________________________

                               (September 13, 2013)

Before BARKETT, PRYOR and JORDAN, Circuit Judges.

PRYOR, Circuit Judge:

      The issue in this appeal is whether the district court abused its discretion

when it ruled that the decision in Holland v. Florida, __ U.S. __, 
130 S. Ct. 2549
(2010), which altered our previous interpretation of the statute of limitations of one
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year for a petition for a writ of habeas corpus, 28 U.S.C. § 2244(d)(1), was not an

extraordinary circumstance that warranted vacating a final judgment,

Fed. R. Civ. P. 60(b), that dismissed a habeas petition as untimely. A Florida court

sentenced Paul Howell to death for the murder of Trooper James Fulford of the

Florida Highway Patrol who intercepted and opened a bomb that Howell sent to a

woman he feared would report a murder committed as part of drug trafficking

conspiracy. More than a year after Howell’s conviction and death sentence

became final, his counsel filed a motion for state collateral review. Several years

later, Howell filed a federal petition for a writ of habeas corpus. The district court

dismissed Howell’s petition as untimely, and we affirmed. Howell v. Crosby, 
415 F.3d 1250
(11th Cir. 2005). On the eve of his execution, Howell filed a motion for

relief from judgment under Rule 60(b) and argued that the decision in Holland

established that his federal petition had been timely because the statute of

limitations should have been equitably tolled, 28 U.S.C. § 2244(d)(2), based on the

failure of his counsel to file a motion for state collateral review within a year after

his conviction and sentence became final. The district court denied Howell’s

motion because it concluded that the change in the interpretation of the statute of

limitations was not an extraordinary circumstance that would entitle Howell to

relief from a final judgment. We affirm.




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                               I. BACKGROUND

      Paul Howell was a leader of an extensive and sophisticated operation to sell

crack cocaine across Florida, Alabama, Mississippi, Georgia, North Carolina, and

South Carolina. United States v. Mothersill, 
87 F.3d 1214
, 1217 (11th Cir. 1996).

In August 1991, Howell’s brother, Patrick, planned, with Michael Morgan, to rob a

drug dealer named Alfonso Tillman. 
Id. Howell rented a
car for Patrick and

Morgan to use for the murder. 
Id. While Patrick drove
the car and Tillman sat in

the front passenger seat, Morgan shot and killed Tillman. 
Id. Howell and Patrick
attempted to clean up the car after the shooting, but Morgan’s girlfriend, Tammie

Bailey, saw the blood and bullet holes in the car. 
Id. By October 1991,
Howell had taken over the supervisory role in the drug

operation from Patrick, who was incarcerated, and Howell became concerned that

Bailey would report the murder of Tillman to the authorities. 
Id. After Bailey complained
to Howell that she needed a microwave to warm milk for her sick

baby, Howell paid a friend to buy a microwave from Sears. Howell then

constructed a pipe bomb and placed it in the microwave, which he gift-wrapped for

delivery to Bailey. Howell paid Lester Watson to deliver the gift-wrapped package

to Bailey in a rental car.

      On February 1, 1992, Lester Watson and Curtis Williams were driving the

rental car on Interstate Highway 10 when they were stopped by a Florida Trooper,


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James Fulford, for speeding. After Fulford determined that Watson did not have a

driver’s license, two local deputies arrived to arrest him. Watson gave the officials

permission to search the car, and the deputies took Watson and Williams to the

Jefferson County jail. Because the rental car was registered to Howell, the

dispatcher called him to inquire whether the car was stolen. Howell told the

dispatcher that he had given Watson permission to drive the car, and the dispatcher

informed Howell that the car would be impounded.

      Howell did not warn anyone about the pipe bomb in the car. When Fulford

removed the gift-wrapped microwave from the trunk and attempted to open it, the

bomb exploded. The bomb severed Fulford’s left leg and nearly severed his right

leg. Fulford later died from his injuries.

      Howell was prosecuted in a Florida court for first-degree murder and

making, possessing, placing, or discharging a destructive device or bomb. Frank

Sheffield represented Howell in his trial. During his representation of Howell,

Sheffield reported to the trial court that his wife and secretary had received a

telephone call at his office and that the caller had told her to deliver the message

“that if Paul Howell goes down, Mr. Sheffield is going down also.” The trial court

denied Sheffield’s motion to withdraw. The prosecution moved to disqualify

Sheffield, but the trial court denied the motion.




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      A Florida jury found Howell guilty of first-degree murder and of making,

possessing, placing, or discharging a destructive device or bomb. Howell v. State,

707 So. 2d 674
, 676–77 (Fla. 1998). And the jury returned a special verdict that

found that the charge of first-degree murder was established under both the theory

of premeditation and the theory of felony murder. 
Id. at 677. The
jury

recommended the death penalty by a vote of ten to two. 
Id. The trial court
imposed the death penalty. 
Id. The trial court
found the

following five aggravating factors: (1) Howell knowingly created a great risk of

death to many persons; (2) Howell committed the murder while engaged in the

unlawful making, possessing, placing, or discharging of a destructive device or

bomb; (3) Howell committed the murder to avoid or prevent a lawful arrest; (4)

Howell murdered a law enforcement officer engaged in the performance of his

official duties; and (5) Howell committed the murder in a cold, calculated, and

premeditated manner without any pretense of moral or legal justification. 
Id. The trial court
found the following five statutory and nonstatutory mitigating factors:

(1) Howell had no significant history of criminal activity; (2) the murder was

committed while Howell was under the influence of extreme mental or emotional

disturbance; (3) Howell had served in the military and received an honorable

discharge; (4) Howell behaved well as a pretrial detainee; and (5) Howell was a

good family man. 
Id. The trial court
determined that the aggravating factors far


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outweighed the mitigating factors, but the trial court declined to impose a separate

sentence for the construction of the bomb because the two convictions were based

on the same underlying conduct. 
Id. On direct appeal,
the Supreme Court of Florida affirmed Howell’s

conviction and sentence. See 
id. at 683. The
Supreme Court of the United States

then denied Howell’s petition for a writ of certiorari on June 26, 1998. Howell v.

Florida, 
524 U.S. 958
(1998). Howell then had one year within which to file a

federal petition for a writ of habeas corpus, but “a properly filed application for

State post-conviction or other collateral review” would have tolled the federal

limitations period. 28 U.S.C. § 2244(d)(1)(A), (d)(2).

      A Florida court then appointed Danielle Jorden as Howell’s postconviction

counsel, and she filed a motion for an extension of time to file for state collateral

review. The state court granted an extension of time that allowed Jorden to file a

motion for collateral review by August 30, 1999. Jorden erroneously believed that

the motion for an extension of time would also toll the federal limitations period.

Howell, 415 F.3d at 1251
.

      Jorden filed Howell’s motion for state collateral review on August 30, 1999.

The trial court denied Howell’s motion, and the Supreme Court of Florida

affirmed. Howell v. State, 
877 So. 2d 697
, 705 (Fla. 2004).




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      On July 26, 2004, Howell filed a federal petition for a writ of habeas corpus.

In his petition, Howell alleged that he had been denied the effective assistance of

counsel because the trial court refused to allow Sheffield to withdraw from his

representation. The Secretary then filed a motion to dismiss Howell’s petition as

untimely. Howell conceded that his petition should have been filed before June 27,

1999, but he argued that the statute of limitations should be tolled based on

Jorden’s mistake. The district court dismissed the petition as untimely because it

concluded that “[p]etitioner’s collateral counsel’s filing of his [postconviction]

motion without leaving sufficient time to file a federal petition is not an

extraordinary circumstance which warrants application of the equitable tolling

doctrine.” We affirmed the dismissal of Howell’s petition as untimely because our

precedents held that “attorney negligence is not a basis for equitable tolling.”

Howell, 415 F.3d at 1252
.

      On January 18, 2013, the Governor of Florida, Rick Scott, signed a warrant

for Howell’s execution to occur on Tuesday, February 26, 2013, at 6:00 p.m., but

on February 20, 2013, Howell filed an emergency motion for relief from judgment

in the district court. See Fed. R. Civ. P. 60(b). The district court denied Howell’s

motion under Rule 60(b) as untimely, and the district court ruled that, even if the

motion were timely, Howell was not entitled to relief under Rule 60(b)(6). The

district court rejected the argument that the intervening change in the law effected


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by Holland, which held that attorney behavior far more serious than negligence

might entitle a prisoner to relief from a judgment, was an extraordinary

circumstance that would allow the court to reopen a judgment.

      On February 25, 2013, the district court issued a certificate of appealability.

That certificate was limited to the question whether the decision of the Supreme

Court in Holland is an extraordinary circumstance under Rule 60(b)(6) sufficient to

justify the reopening of the final judgment of dismissal. Based on Eleventh Circuit

Rule 22-4(a)(7), we entered a temporary stay of execution pending consideration

of the merits of this appeal.

                          II. STANDARD OF REVIEW

      We review the denial of a motion for relief from judgment under Rule 60(b)

for an abuse of discretion. Cano v. Baker, 
435 F.3d 1337
, 1341 (11th Cir. 2006).

                                III. DISCUSSION

      A prisoner whose petition for a writ of habeas corpus has been denied may

file a motion, under Rule 60(b), to challenge “some defect in the integrity of the

federal habeas proceedings,” but not “to add a new ground for relief.” Gonzalez v.

Crosby, 
545 U.S. 524
, 532, 
125 S. Ct. 2641
, 2648 (2005). Under Rule 60(b), the

prisoner must prove “‘extraordinary circumstances’ justifying the reopening of a

final judgment.” 
Id. at 535, 125
S. Ct. at 2649 (quoting Ackerman v. United

States, 
340 U.S. 193
, 199, 
71 S. Ct. 209
, 212 (1950)). Howell argues that the


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change in law effected by the decision of the Supreme Court in Holland is an

extraordinary circumstance, but the district court did not abuse its discretion when

it denied his motion.

      The Supreme Court has explained that extraordinary circumstances that

warrant the reopening of a judgment “will rarely occur in the habeas context,”

Gonzalez, 545 U.S. at 
535, 125 S. Ct. at 2649
, and the Supreme Court has held that

a change in the interpretation of the statute of limitations for a federal habeas

petition is not an exceptional circumstance, 
id. at 536–37, 125
S. Ct. at 2650–51.

In Gonzalez, the Court held that the change in law effected by the decision in

Artuz v. Bennett, 
531 U.S. 4
, 
121 S. Ct. 361
(2000), which held that a state petition

could be properly filed so as to toll the federal statute of limitations even when all

of the claims had been procedurally defaulted, was not an extraordinary

circumstance. See 
Gonzalez, 545 U.S. at 536
, 125 S. Ct. at 2650. The Court

“d[id] not agree” that this “change in the interpretation of the AEDPA statute of

limitations” created an extraordinary circumstance. 
Gonzalez, 545 U.S. at 536
,

125 S. Ct. at 2650. The Court instead explained that “[i]t is hardly extraordinary

that [after the dismissal of the prisoner’s petition based on the statute of

limitations], this Court arrived at a different interpretation.” 
Id. And the Court
explained that, “[i]f Artuz justified reopening long-ago dismissals based on a lower

court’s unduly parsimonious interpretation of [the statute of limitations], then Pace


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v. DiGuglielmo, 
544 U.S. 408
, 
125 S. Ct. 1807
(2005), would justify reopening

long-ago grants of habeas relief based on a lower court’s unduly generous

interpretation of the same tolling provision.” Id. at 
536–37, 125 S. Ct. at 2650–51
.

      The district court did not abuse its discretion when it read Gonzalez to mean

that the change of law in Holland was not an extraordinary circumstance. Like the

decision in Artuz, the decision in Holland altered the interpretation of the statute of

limitations for a petition for a writ of habeas corpus: The Supreme Court explained

that a per se rule that “even attorney conduct that is grossly negligent can never

warrant [equitable] tolling absent bad faith, dishonesty, divided loyalty, mental

impairment or so forth on the lawyer’s part,” was “too rigid.” 
Holland, 130 S. Ct. at 2563
(internal quotation marks omitted). But the Supreme Court in Gonzalez

ruled that this kind of change in decisional law is not an extraordinary

circumstance under Rule 60(b). “It is hardly extraordinary that . . . , th[e Supreme]

Court arrived at a different interpretation” of the statute of limitations after our

decision that Howell’s petition was untimely. 
Gonzalez, 545 U.S. at 536
, 125 S.

Ct. at 2650.

      Howell argues that Gonzalez does not govern his motion because the

Supreme Court in that appeal also “placed heavy emphasis on the petitioner’s ‘lack

of diligence’ in failing to seek further review at the time that his original [] petition

was denied,” but the district court did not abuse its discretion when it read


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Gonzalez to hold otherwise. In Gonzalez, the Court explained that the prisoner had

“abandoned any attempt to seek review of the District Court’s decision on this

statute-of-limitations issue” before the Court decided Artuz. 
Gonzalez, 545 U.S. at 537
, 125 S. Ct. at 2651. “This lack of diligence confirm[ed] that Artuz [wa]s not

an extraordinary circumstance justifying relief from the judgment in petitioner’s

case.” 
Id. Gonzalez explained that
the delay of the prisoner in that appeal

“confirmed” that the change in the law was not extraordinary, not that the change

in the law was not extraordinary because of the delay. 
Id. In this circumstance,
we

cannot say that the district court abused its discretion in denying Howell’s motion.

                               IV. CONCLUSION

      The denial of Howell’s motion for relief from judgment is AFFIRMED.




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BARKETT, Circuit Judge, specially concurring:

      I agree that, under our precedent, it cannot be said that the district court

abused its discretion in dismissing Mr. Howell’s Rule 60(b)(6) motion. However,

for the reasons articulated in my concurring opinion in Hutchinson v. Florida, 
677 F.3d 1097
(11th Cir. 2012) (Barkett, J., concurring), I continue to believe that it is

unjust and inequitable to require death row inmates to suffer the consequences of

their attorneys' negligence. Moreover, this is another case where a state’s wholly

inadequate system for appointing or funding habeas counsel conspires with a

thicket of complex state and federal habeas procedural rules to deny habeas

petitioners the opportunity to have their substantive constitutional claims heard by

a federal court. What results is a habeas system wherein unqualified and

incompetent attorneys regularly fail to ably navigate the procedural waters

established by state and federal statutes. This system, which consistently leads to

death row inmates being denied an opportunity to present non-frivolous habeas

claims, is, in my view, antithetical to the promise of habeas corpus enshrined in the

Constitution.

      Here, Mr. Howell appears to have colorable claims that both his trial

attorney, who fabricated death threats to be excused from representing Mr. Howell,

and his initial habeas attorney, who did not even contact Mr. Howell until after his

federal habeas deadline had passed, were incompetent, ineffective, and deeply


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unprofessional. I continue to believe that it is unconstitutional and immoral for

death row inmates to lose a fundamental constitutional right because of their

attorney’s errors, especially when they are as egregious as those we deal with here.




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      JORDAN, Circuit Judge, concurring:

      I concur in and join the Court’s opinion. Because Mr. Howell asserts that he

would be the first person in Florida to be executed without having his federal

habeas petition reviewed on the merits, I write separately. In my view, Mr. Howell

would not have been entitled to relief even if the three claims raised in his petition

received full federal habeas review.

                                            I

      Mr. Howell argues that his trial counsel, Frank Sheffield, Esq., rendered

ineffective assistance because he failed to present an “intervening cause” defense

at either the guilt or penalty phases of his trial. Mr. Howell contends that there was

a reasonable probability that the jury would have acquitted him, convicted him of a

lesser-included-offense, or recommended a sentence of life imprisonment had Mr.

Sheffield presented evidence that Trooper Fulford violated Florida Highway Patrol

policy by opening the package containing the bomb-rigged microwave oven.

According to Mr. Howell, Trooper Fulford’s actions were an unforeseeable,

intervening cause that broke the chain of causation and either nullified specific

intent entirely or mitigated culpability.

      In order to prevail on this claim, Mr. Howell “must show that counsel’s

performance was deficient” and “that the deficient performance prejudiced the

defense.” Strickland v. Washington, 
466 U.S. 658
, 687, 
104 S. Ct. 2052
, 2064


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(1984). On a § 2254 petition, we conduct a deferential review of the state court’s

adjudication of the performance and prejudice prongs of Strickland, such that relief

is only warranted if the state court’s decision was “contrary to, or involved an

unreasonable application of,” clearly established federal law, as determined by the

Supreme Court of the United States. See 28 U.S.C. § 2254(d). And our review of

counsel’s performance garners an additional level of deference because “it is all

too easy for a court, examining counsel’s defense after it has proved unsuccessful,

to conclude that a particular act or omission of counsel was unreasonable.”

Strickland, 466 U.S. at 689
, 103 S. Ct. at 2065. See also Evans v. Sec’y, Dep’t of

Corr., 
703 F.3d 1316
, 1333-36 (11th Cir. 2013) (Jordan, J., concurring) (explaining

that under AEDPA “doubly deferential” review applies to the performance prong,

but not the prejudice prong, of Strickland).

      As to performance, Mr. Howell has failed to explain how Mr. Sheffield’s

decision to forego an “intervening cause” defense amounts to anything more than a

rational strategic choice made after careful consideration. For example, at the

evidentiary hearing on Mr. Howell’s state post-conviction petition, Mr. Sheffield

testified that he discussed that particular defense with Mr. Howell before trial, and

that he ultimately came to the conclusion that it would likely backfire and hurt Mr.

Howell’s chances for an acquittal. See Transcript of Evidentiary Hearing on Mr.

Howell’s State Habeas Petition at 21 (“I made a judgment call that . . . if I went in


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and tried to, in effect, blame Trooper Fulford for his own death that it would not be

a viable defense; and, in fact, it would hurt Mr. Howell’s chances.”). Mr. Sheffield

also explained that he declined to present this defense as a non-statutory mitigator

during the penalty phase because he believed that it would be seen as an attempt to

blame Trooper Fulford for his own death and “inflame the jury.” See 
id. at 24. These
decisions were reasonable professional judgments under the circumstances

of this case, and thus cannot rise to the level of constitutionally deficient

performance. See 
Strickland, 466 U.S. at 690
, 103 S. Ct. at 2066 (“[S]trategic

choices made after thorough investigation of law and facts relevant to plausible

options are virtually unchallengeable . . . .”).

      With respect to prejudice, Mr. Howell conceded in his state post-conviction

proceeding that Trooper Fulford’s actions “would not have been an intervening

cause as a matter of law . . . .” Howell v. State, 
877 So. 2d 697
, 703 (Fla. 2004). I

agree with the Florida Supreme Court’s assessment that such a defense or theory,

even if asserted, would have had a “low probability of success, combined with the

tremendous potential for alienating the jury by blaming [Trooper Fulford] for his

own death . . . .” 
Id. at 703-04. Such
a remote probability of success does not meet

the standard for prejudice articulated in Strickland. 
See 466 U.S. at 694
, 104 S. Ct.

at 2068 (“The defendant must show that there is a reasonable probability that, but

for counsel’s unprofessional errors, the result of the proceeding would have been


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different. A reasonable probability is a probability sufficient to undermine

confidence in the outcome.”).

      In sum, Mr. Howell has not established deficient performance or prejudice.

This ineffective assistance of counsel claim therefore fails on the merits.

                                          II

      Mr. Howell contends that the penalty phase of his trial violated the Sixth

Amendment      because it     was the trial      court—with     only a sentencing

recommendation from the jury—which made the necessary findings of fact to

impose the death penalty. He believes that this type of sentencing procedure,

codified at Fla. Stat. § 921.141 (1993), is unconstitutional under Apprendi v. New

Jersey, 
530 U.S. 466
, 
120 S. Ct. 2348
(2000), and Ring v. Arizona, 
536 U.S. 584
,

122 S. Ct. 2428
(2002). Ring and Apprendi, however, are not applicable here. Mr.

Howell’s sentencing occurred in 1994, years before Apprendi and Ring. And

neither decision has been held to be retroactive. See Schriro v. Summerlin, 
542 U.S. 348
, 358, 
124 S. Ct. 2519
, 2526 (2004) (“Ring announced a new procedural

rule that does not apply retroactively to cases already final on direct review.”);

McCoy v. United States, 
266 F.3d 1245
, 1258 (11th Cir. 2001) (“Therefore, like

these other circuits, we hold that the new constitutional rule of criminal procedure

announced in Apprendi does not apply retroactively on collateral review.”).




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      Nevertheless, Mr. Howell contends that he should be able to rely on

Apprendi and Ring because Blakely v. Washington, 
542 U.S. 296
, 
125 S. Ct. 2531
(2004), expanded and clarified Apprendi and the Supreme Court has yet to decide

whether Blakely is retroactive. Unfortunately for Mr. Howell, his Blakely argument

is now foreclosed by our precedent. See Varela v. United States, 
400 F.3d 864
,

866-68 (11th Cir. 2005) (holding that Blakely and United States v. Booker, 
542 U.S. 220
, 
125 S. Ct. 738
(2005), are not retroactive on collateral review). Thus,

Mr. Howell is not entitled to relief on his Apprendi/Ring claim.

                                         III

      Mr. Howell asserts that he was denied effective assistance of counsel

because Mr. Sheffield had a conflict of interest and was not removed as his

attorney. When a defendant asserts a conflict of interest claim, we are not always

required to conduct the two-step analysis under Strickland for ineffective

assistance of counsel. See Burger v. Kemp, 
483 U.S. 776
, 783, 
107 S. Ct. 3114
,

3120 (1987). Instead, prejudice can be presumed, but “only if a defendant

demonstrates that his attorney actively represented conflicting interests and that an

actual conflict of interest adversely affected his lawyer’s performance.” 
Id. (internal quotation marks
omitted). In his petition, Mr. Howell cites to three

separate occasions where he contends a conflict of interest arose. First, Mr.

Sheffield allegedly had a conflict based upon allegations that an anonymous threat


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was made to his law office. Second, Mr. Howell and Mr. Sheffield disagreed over

the defense’s strategy. Third, Mr. Sheffield consulted, during jury selection, with

an attorney who represented one of Mr. Howell’s co-defendants. I address each of

these purported conflicts below.

                                          A

      Initially, Mr. Sheffield was appointed to represent Mr. Howell in both his

federal and state criminal prosecutions. In January of 1993, before the federal trial

began, Mr. Sheffield’s wife claimed that she received a call at the office, in which

the caller stated, “[I]f Paul Howell goes down, Mr. Sheffield is going down also.”

Appellant’s Brief at 4. Mr. Sheffield contacted law enforcement officials, who

began to investigate the claim. In addition, he petitioned to withdraw from Mr.

Howell’s federal case, citing his concerns for his family’s safety and his difficulties

in communicating with his client. The federal district court granted Mr. Sheffield’s

request, and William Pfeiffer, Esq., was appointed in his place. Law enforcement

later concluded, following an investigation into the matter, that no threatening call

had actually been made to Mr. Sheffield’s office.

      On March 15, 1993, Mr. Howell sent a letter to the state trial court. He

claimed that Mr. Sheffield was ineffective due to a failure to communicate and a

lack of trust. He also requested that the substitute federal counsel, Mr. Pfeiffer, be

appointed as substitute counsel for his state death penalty case. Three days later,


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the state filed a motion to disqualify Mr. Sheffield. The motion referenced the

threatening phone call and statements by Mr. Sheffield that Mr. Howell was being

uncooperative. The trial court held a hearing “to determine whether or not there

[was] reasonable cause to believe that [Mr. Sheffield was] not rendering effective

assistance to [Mr. Howell].” Nelson v. State, 
274 So. 2d 256
, 258 (Fla. 1973)

(recommending such an inquiry whenever a defendant makes it known that he or

she desires to discharge appointed counsel).

      At the hearing, Mr. Sheffield indicated that he had no outstanding safety

concerns and was willing to continue representing Mr. Howell. He also informed

the trial court about his experience with death penalty cases and pointed out that

Mr. Pfeiffer had never tried a capital case. The trial court then asked Mr. Howell

for his views regarding Mr. Sheffield’s representation. Mr. Howell said that he did

not want Mr. Sheffield to represent him because Mr. Sheffield had failed to share

certain discovery matters with him. The trial court heard argument from all parties,

and denied the motion to disqualify Mr. Sheffield based on its findings that (1) Mr.

Sheffield was not removed from the federal case for lack of diligence; (2) there

was no basis to question his performance in this case; and (3) Mr. Howell’s

preferred replacement had no prior death penalty experience.

      On June 4, 1993, the state filed a motion for rehearing and attached the

transcript from the hearing on Mr. Sheffield’s motion to withdraw in federal court.


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Those transcripts provided additional information about the alleged threat, Mr.

Sheffield’s safety concerns at the time, and Mr. Sheffield’s belief that he could not

ethically represent Mr. Howell in the federal case under those circumstances. The

trial court held a hearing to discuss this additional evidence on November 19,

1993. At the hearing, Mr. Sheffield acknowledged that he had difficulties

communicating with Mr. Howell on discovery matters in the federal case and that

the alleged telephone threat led to his request to withdraw. But he stated that there

were no such communication issues in the state case,1 and he no longer had

concerns for his safety. See Howell v. State, 
707 So. 2d 674
, 678 (Fla. 1998)

(quoting Mr. Sheffield’s statement at the hearing: “Since that time, Mr. Howell and

I have communicated with one another. We are getting discovery. We have taken

depositions. . . . [A]nd the problems that were occurring at that time in the federal

case no longer exist.”).

       Mr. Howell also testified at the hearing. He indicated that there were still

concerns in the wake of the alleged phone threat because Mr. Howell’s family

members were upset by insinuations that they may have orchestrated the whole

thing. In response, Mr. Sheffield said that he did not share these concerns and that


       1
          Mr. Sheffield explained at the hearing that the improved attorney-client communication
in the state capital case resulted from differences between the state and federal discovery
procedures. Compare FED. R. CRIM. P. 16, with FLA. R. CRIM. P. 3.220. In his view, the attorney-
client relationship was strained in the federal case due to Mr. Howell’s perception that Mr.
Sheffield was continuously served with requested discovery disclosures, but could not obtain
certain desired discovery from the government because of the Jencks Act, 18 U.S.C. § 3500(a).
                                              21
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they would not impact his ability to represent Mr. Howell. Based on this testimony,

the trial court found that (1) “[Mr. Howell] and Mr. Sheffield appear[ed] to be able

to communicate,” (2) “Mr. Sheffield [was] probably as good [an attorney] as [Mr.

Howell was] going to get,” and (3) “it would certainly be to [Mr. Howell’s] benefit

to have [Mr. Sheffield] represent [him].” 
Id. at 679. The
trial court did, however,

give Mr. Howell an opportunity to respond, and Mr. Howell only said that he left

the decision to the court. At that point, the trial court concluded that there was “no

reason to disqualify Mr. Sheffield from representing Mr. Howell” and denied the

state’s motion for rehearing. 
Id. That decision was
later upheld by the Florida

Supreme Court. See 
id. at 677-79. In
my view, the Florida Supreme Court’s decision on this issue was not an

unreasonable application of Supreme Court precedent necessitating reversal under

the applicable deferential standard. Habeas relief would only be warranted if Mr.

Howell “demonstrate[d] that an actual conflict of interest existed that adversely

affected [Mr. Sheffield’s] performance.” See 
Burger, 483 U.S. at 783
, 107 S. Ct. at

3120. And, on this record, Mr. Howell did not meet that burden. First, Mr. Howell

did not rebut—by clear and convincing evidence—the state court’s factual finding

that it was “evident that any apprehension that [Mr.] Sheffield had concerning the

bomb threat which had allegedly occurred some nine months before had

dissipated.” 
Howell, 707 So. 2d at 679
. Mr. Howell attempted to challenge this


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finding by pointing to statements made by Mr. Sheffield at the time of the federal

trial. But those statements cannot serve as clear and convincing evidence of Mr.

Sheffield’s state of mind approximately nine months later, especially when Mr.

Sheffield provided sworn testimony that he no longer had those concerns. Second,

Mr. Howell cites to no evidence in the record that shows how the anonymous

threat actually impacted Mr. Sheffield’s performance in the state capital case. He

did not, for example, demonstrate that Mr. Sheffield made a choice between

possible alternative courses of action that went against his own interests or that the

choice was motivated by the anonymous phone threat. See, e.g., Smith v. White,

815 F.2d 1401
, 1404 (11th Cir. 1987) (articulating standard for establishing actual

conflict of interest).

       Instead, Mr. Howell relies on the presumption that, because the federal

district court determined that Mr. Sheffield had a conflict of interest, the state trial

court necessarily had to reach the same conclusion. See Habeas Corpus Petition

[D.E. 2] at 19 (“This determination had already been made by the Federal court

judge. It is preposterous to assume that the conflict was only in that courtroom and

did not extend to the state court as well.”). But this argument, if anything, only

establishes that there was a mere possibility of a conflict of interest in Mr.

Howell’s state court case. And that does not suffice to make out a Sixth

Amendment violation. See Cuyler v. Sullivan, 
446 U.S. 335
, 350, 
100 S. Ct. 1708
,


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1719 (1980) (“We hold that the possibility of conflict is insufficient to impugn a

criminal conviction.”). Habeas relief, therefore, is not warranted on this claim.

                                          B

      In September of 1994, Mr. Sheffield filed a motion claiming that Mr. Howell

was incompetent to proceed to trial because Mr. Sheffield believed that an insanity

defense was Mr. Howell’s only viable option. Mr. Howell, however, did not want

to pursue an insanity defense. At a hearing, the trial court concluded that Mr.

Howell had competently indicated that he did not want to pursue an insanity

defense, and that the decision on whether to do so was ultimately his to make. Mr.

Sheffield agreed to abandon the insanity defense.

      On the eve of trial, Mr. Howell wrote a letter to the trial court questioning

Mr. Sheffield’s ability to provide effective representation due to irreconcilable

differences stemming from Mr. Sheffield’s prior insistence on relying on an

insanity defense. The trial court found that Mr. Howell’s concerns had already

been addressed, Mr. Sheffield had agreed to adhere to Mr. Howell’s preference to

forego an insanity defense, and, consequently, there was no basis to replace Mr.

Sheffield. The case then proceeded to trial.

      At trial, Mr. Howell again complained to the trial court about Mr. Sheffield’s

performance. He believed that Mr. Sheffield was unprepared and ignored his

suggestions. Mr. Sheffield responded that, in his professional judgment, it was not


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beneficial to challenge certain evidence, as Mr. Howell wished, because that

evidence would later come in anyway. The trial court informed Mr. Howell that

Mr. Sheffield’s approach was not uncommon in criminal cases and concluded that

there was no need to appoint new counsel.

      Mr. Howell argues that these disputes with Mr. Sheffield over defense

strategy created a conflict of interest, which made it necessary for the trial court to

appoint new counsel. I disagree. At most, Mr. Howell has shown that he was

dissatisfied with Mr. Sheffield’s strategic and tactical decisions. But dissatisfaction

alone is not sufficient to create a conflict of interest. See Blanco v. Wainwright,

507 So. 2d 1377
, 1383 (Fla. 1987) (holding that “disagreements over whether to

call certain witnesses” did not constitute a conflict of interest). Accord Oimen v.

McCaughtry, 
130 F.3d 809
, 812 (7th Cir. 1997) (“That is not a conflict of interest;

it is a disagreement over strategy.”); United States v. Leggett, 
81 F.3d 220
, 227

(D.C. Cir. 1996) (“[W]e are unpersuaded by [the petitioner’s] further attempt to

style his disagreement with counsel over trial tactics as a ‘conflict of interest.’”);

Stenson v. Lambert, 
504 F.3d 873
, 886 (9th Cir. 2007) (“We can find no clearly

established Supreme Court precedent holding that [a disagreement over trial

strategy] amounts to an actual conflict of interest.”); United States v. Jones, 
662 F.3d 1018
, 1026-27 (8th Cir. 2011) (“[The Sixth Amendment] is not violated by

general dissatisfaction or disagreements over strategy . . . .”).


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      Because these disagreements with Mr. Sheffield did not create a conflict of

interest, Mr. Howell is only entitled to relief if he can establish prejudice under

Strickland. See 
Burger, 483 U.S. at 783
, 107 S. Ct. at 3120 (holding that prejudice

is only presumed if there is proof of an actual conflict of interest). In my opinion,

Mr. Howell has not met that burden. In his habeas petition, Mr. Howell does not

explain how, if at all, these disagreements impacted his trial. There is no

contention, for example, that Mr. Sheffield ignored Mr. Howell’s wishes and

attempted to put on an unsuccessful insanity defense at trial. Or that Mr. Sheffield

failed to object to the admission of prejudicial evidence that otherwise would have

been excluded. Under these circumstances, the trial court did not err in declining to

appoint new counsel. See United States v. Young, 
482 F.2d 993
, 995 (5th Cir.

1973) (“Unless a Sixth Amendment violation is shown, whether to appoint a

different lawyer for an indigent criminal defendant who expresses dissatisfaction

with his court-appointed counsel is a matter committed to the sound discretion of

the district court.”); Thomas v. Wainwright, 
767 F.2d 738
, 742 (11th Cir. 1985)

(“A defendant’s general loss of confidence or trust in his counsel, standing alone,

is not sufficient [to establish good cause for substitution of counsel].”). Relief is

not warranted on this claim.




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                                                C

       During jury selection for Mr. Howell’s state trial, the state noted for the

record that Mr. Sheffield had consulted with Robert Rand, Esq., the attorney for

co-defendant Patrick Howell,2 on jury challenges. Mr. Sheffield explained that he

had sought Mr. Rand’s assistance because the state court declined to appoint a

second lawyer to help him with Mr. Howell’s case. The trial court recognized the

possible conflict of interest, and asked Mr. Howell for his views on the issue. 3 Mr.

Howell stated that he had “no problem” with Mr. Rand’s involvement and that it

was his desire that Mr. Rand be allowed to assist Mr. Sheffield. There is no

indication that Mr. Rand’s assistance extended beyond jury selection.

       As an initial matter, I note that the Florida Supreme Court failed to address

this claim when it reviewed Mr. Howell’s state post-conviction petition. See

Howell, 707 So. 2d at 677-81
. The claim, therefore, “is not subject to the

deferential standard that applies under AEDPA” and “is reviewed de novo.” Cone

v. Bell, 
556 U.S. 449
, 472, 
129 S. Ct. 1769
, 1784 (2009). See also 28 U.S.C. §

2254(d) (stating that AEDPA deference applies “with respect to any claim that was

adjudicated on the merits in State court proceedings”).



       2
           Mr. Howell and Patrick Howell are brothers.
       3
          The trial court found that Mr. Howell and his brother had differing interests and noted
that the two men had previously gotten into a physical altercation in the courtroom. At the time
of jury selection in Mr. Howell’s case, Patrick had entered into a plea agreement.
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      Nevertheless, it is my view that, under these facts, Mr. Howell waived any

claim to ineffective assistance of counsel based on Mr. Rand’s involvement in jury

selection. See United States v. Rodriguez, 
982 F.2d 474
, 477 (11th Cir. 1993) (“A

defendant may waive [his Sixth Amendment right] by choosing to proceed to trial

with an attorney who has an adverse conflict of interest.”). The record shows that

the trial court informed Mr. Howell of the potential conflict, made appropriate

inquiries, and gave him the option to prevent Mr. Sheffield from consulting with

Mr. Rand, which would have eliminated any conflict of interest. In response to that

offer, Mr. Howell provided a waiver that was “clear, unequivocal, and

unambiguous . . . .” United States v. Petz, 
764 F.2d 1390
, 1392 (11th Cir. 1985)

(quoting United States v. Garcia, 
517 F.2d 272
, 278 (5th Cir. 1975)). As a result,

Mr. Howell cannot obtain relief on this claim.

                                         IV

      In sum, Mr. Howell would not be entitled to habeas relief on any of the

claims raised in his federal petition, even if they were adjudicated on the merits.




                                          28

Source:  CourtListener

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