MARTIN REIDINGER, District Judge.
Petitioner was charged by the grand jury in this District with twenty-one counts related to a mortgage fraud conspiracy. [Criminal Case No. 3:07-cr-00211, Doc. 117: Fourth Superseding Indictment (hereinafter "the Indictment")]. In particular, the Indictment charged the Petitioner with numerous violations of various statutory provisions including mail fraud, wire fraud, bank fraud, and making false statements to banks, all in violation of 18 U.S.C. § 371. Generally, Petitioner was charged with participating with others in a conspiracy which involved the preparation of false mortgage applications that were submitted to financial institutions; the applications included the preparation of false real estate appraisals, materially false HUD-1 statements, false preliminary title opinions, and false second deeds of trust. In all, it was alleged that the mortgage conspiracy involved more than $15,000,000 and some 214 properties.
Petitioner was appointed counsel at his first appearance and later pled guilty without benefit of a plea agreement to the twenty-one counts that were alleged against him. On March 3, 2009, Petitioner appeared with counsel for his Plea and Rule 11 hearing. After being placed under oath, Petitioner stated that he had reviewed each of the charges in the Indictment with his attorney and that he understood the charges and the maximum penalties he faced upon conviction. Petitioner also consented to allow the Government to provide a summary of the charges and the potential terms of imprisonment and fines that he faced if convicted. Petitioner again confirmed that he had carefully reviewed each of the charges and penalties with his attorney and that he understood the Government's summary of the charges and penalties that were presented during the Rule 11 colloquy.
In addition, Petitioner averred that he had reviewed how the Guidelines might apply in his case, that he understood the Guidelines and that his sentence could not be determined until the District Court had reviewed the presentence investigation report (PSR) and the parties had an opportunity to comment on the contents of the PSR. Petitioner stated that he understood that the District Court would have to consider the Guidelines but that Petitioner could receive a sentence that was either higher or lower than recommended by the Guidelines and that he could receive a sentence up to the statutory maximum. Petitioner acknowledged that even if his sentence was more severe than he expected he would still be bound by his guilty plea and would have no right to withdraw it. Petitioner further acknowledged that as part of his sentence he may be ordered to pay restitution to the victims of the conspiracy.
Petitioner expressly agreed that by pleading guilty he was waiving his right to have the Government prove his guilt beyond a reasonable doubt in a jury trial or to appear with an attorney to contest the charges at trial. Finally, Petitioner swore that no one had promised him any particular sentence, that he was satisfied with the services of his attorney, that he was pleading guilty of his own free will, that he had discussed any possible defenses to each of the charges with his attorney, and that he still wished to plead guilty. The Magistrate Judge prepared an Acceptance and Entry of Guilty Plea form reflecting the Court's questions and Petitioner's responses thereto, which was presented in open court and signed by all parties, including Petitioner. [
The probation officer prepared a draft of the PSR and each party filed written objections thereto. Specifically, the Government objected to the probation officer's calculation of Petitioner's criminal history points. Petitioner objected to the probation officer's description of the offense conduct and the calculation of the proposed loss amount, which was in excess of $3,500,000. Further, Petitioner objected to the recommended restitution amount, arguing that he had not agreed to such restitution as part of his guilty plea and the amount had not been found by a jury beyond a reasonable doubt. [
A revised PSR was prepared and served on the parties. The probation officer calculated an adjusted offense level of 39, which was decreased three levels for acceptance of responsibility for a total offense level of 36. Petitioner was determined to have a Level I criminal history category based on a prior conviction in this District for one count of conspiracy to defraud the Internal Revenue Service in 1996 for which he had received three years' probation. Based on these calculations, the probation officer recommended a Guideline range of 188 to 235 months in prison, a fine of between $20,000 and $24,000,000, and mandatory restitution to the financial institutions which suffered loss in the mortgage scheme in the amount of $3,563,123.
On May 6, 2011, Petitioner appeared with counsel for his sentencing hearing. Petitioner orally moved to withdraw his guilty plea and the Court considered arguments from both Petitioner himself and from Petitioner's counsel. After considering argument and examining the factors in
The Court then proceeded to consider evidence regarding the amount of loss that was caused by the conduct of Petitioner and his co-defendants in an effort to determine the appropriate amount of restitution. After hearing from the parties regarding an appropriate sentence, the Court sentenced Petitioner to 60 months' imprisonment on Count 1; 228 months' imprisonment on Counts 2-14, 16, 18, 20, 22, 23 and 24; and 120 months' imprisonment on Count 27, with all such terms to run concurrently for a total of 228 months of active imprisonment. Petitioner was also ordered to pay $3,563,127.27 in restitution to the financial institutions, jointly and severally with the two co-defendants named in the Indictment. [
Petitioner filed an appeal to the United States Court of Appeals for the Fourth Circuit. On appeal, Petitioner's appellate counsel filed a brief pursuant to
In a supplemental pro se brief, Petitioner raised additional claims that the Government's prosecution of him was malicious and vindictive; that his constitutional rights to due process and a fair and speedy trial were violated; and that he was not permitted to examine all of the evidence against him. The Court likewise found no merit in these arguments and affirmed his criminal judgment in all respects.
Pursuant to Rule 4(b) of the Rules Governing Section 2255 Proceedings, sentencing courts are directed to examine the § 2255 motion, along with "any attached exhibits and the record of prior proceedings" in order to determine whether a petitioner may be entitled to any collateral relief. The Court has considered the record in the matter and applicable authority and concludes that the disposition of the Government's motion to dismiss can be resolved without an evidentiary hearing.
Petitioner first argues that this Court exceeded its authority in imposing his judgment based on a charge that was not part of the original Indictment. Specifically, he contends that his judgment reflects that he was sentenced for conspiracy to defraud the United States, thus constructively amending the Indictment and creating a fatal variance. [Doc. 9: Amended Motion at 4-5].
Petitioner did not raise this claim on direct appeal, either through his appellate attorney or in his supplemental pro se brief. Consequently, Petitioner has procedurally defaulted the claims in this § 2255 proceeding unless he can demonstrate cause and prejudice or that he is actually innocent of the charges to which he pleaded guilty and was later convicted.
Petitioner has failed to demonstrate that he should be entitled to present this claim on collateral review. First, Petitioner cannot demonstrate sufficient cause to excuse his procedural default. Moreover, his solemn guilty plea to the charges before the Magistrate Judge, which plea was later accepted by this Court as both knowingly and voluntarily entered, foreclose any claim that he is actually innocent and preclude his present attack on the legality of his judgment.
Even considering the substance of Petitioner's claim, however, the Court finds it to be without merit. Petitioner has failed to demonstrate any prejudice or unfair surprise resulting from the alleged variance.
For these reasons, this claim will be denied and dismissed.
In this collateral proceeding Petitioner raises numerous claims (40 against his trial counsel and 18 against his appellate counsel) of ineffective assistance of counsel. For the reasons set forth below, Petitioner's claims are without merit.
In order to prevail on a claim of ineffective assistance of counsel, a petitioner must show that: (1) "counsel's representation fell below an objective standard of reasonableness," and (2) "the deficient performance prejudiced the defense."
To demonstrate prejudice in the context of a guilty plea, Petitioner must still satisfy the standard set forth in
Under these circumstances, Petitioner "bears the burden of proving
Petitioner argues that his court-appointed trial counsel was ineffective by failing to investigate the applicable statutes of limitations and essential elements of the charges in his Indictment. [Doc. 9 at 12]. Petitioner contends that had he known that these charges were time barred, he would not have pled guilty.
The Indictment alleged that the mortgage fraud conspiracy, or "Flip Scheme," with which Petitioner was charged in participating, began in or about January 2001 and continued into September 2002. [Criminal Case No. 3:07-cr-00211, Doc. 117: Fourth Superseding Indictment at 1]. The Indictment alleges that through this "Flip Scheme" Petitioner conspired to defraud certain financial institutions through the preparation and submission of fraudulent mortgage applications, all in violation of 18 U.S.C. § 3293. That statute provides that no person may be prosecuted for violation of this statute unless the Indictment is returned within ten (10) years after the commission of the offense. As noted, Petitioner was alleged to have violated, and pled guilty to violating, § 3293 beginning in 2001. He was charged in the Fourth Superseding Indictment on November 6, 2008. Accordingly, Petitioner's prosecution was timely, and his trial counsel did not commit
Petitioner's contention that his counsel failed to review the elements of the charges in the Indictment is also without merit. As discussed herein, Petitioner offered sworn testimony during his Rule 11 hearing that his attorney had thoroughly reviewed the elements of each count in the Indictment with him. Based on Petitioner's sworn statements during his Rule 11 hearing, Petitioner's conclusory statement here must fail.
Petitioner asserts that after he was arrested on these federal charges, he invoked his Fifth Amendment right to remain silent. Petitioner contends that nevertheless individuals claiming authority as U.S. Postal Employees forced him to answer questions and to sign unidentified documents. [Doc. 9 at 14].
Petitioner's claim that he was forced to "sign certain documents" or that his right to remain silent was violated fails in light of his sworn statements during his Rule 11 colloquy where he averred that he had discussed any possible defenses to the charges in his Indictment and that he was satisfied with the services of his attorney. Furthermore, the Magistrate Judge clearly explained that Petitioner could contest the evidence, any evidence that may have been obtained by the Government, and that the Government would have to prove his guilt beyond a reasonable doubt. Petitioner, however, knowingly and voluntarily agreed to forego his constitutional right to challenge the Government's evidence against him in pleading guilty to the charged offenses. Accordingly, Petitioner's argument is deemed to be waived.
In addition, Petitioner does not make any credible assertion that but for his counsel's alleged failure to pursue a challenge to the interrogation or the procurement of his signature on "certain documents," Petitioner would have elected to plead not guilty and proceeded to trial. Accordingly, this claim will be denied.
Petitioner argues that between October 9, 2007 and March 17, 2008, there were twenty-eight documents that were filed with the Court but that these documents — which Petitioner identifies as motions, indictments, oral orders, and other assorted orders — were never shared with him by his counsel. [
This argument again requires the Court to examine a familiar issue, namely, the effect of Petitioner's guilty plea in this collateral proceeding. As the Court has found, Petitioner's guilty plea was knowingly and voluntarily entered. Furthermore, Petitioner completely fails to establish any right to relief under
Next, Petitioner asserts that he had no counsel present at his first arraignment and that the transcripts from the hearing have been intentionally withheld from him by the Court and the Government. Additionally, Petitioner argues that he was threatened by the Court to plead guilty or that he would "face a very long prison sentence, effectively denying the Movant his right to proceed to trial." [
Petitioner was arraigned on the first Bill of Indictment on October 12, 2007, and the docket entry reflects that he was present with his court-appointed counsel, Peter Adolf. The docket entry further reflects that Petitioner was released on an unsecured, one million dollar bond and that the Court entered a scheduling order to govern the progress of his case. These events are further confirmed by the transcript of Petitioner's arraignment, which — contrary to Petitioner's argument — is not missing but is in fact filed in the record of his criminal case. Finally, Petitioner's fanciful contention that the Magistrate Judge threatened him with a long prison sentence if he did not plead guilty is simply erroneous. The Magistrate Judge reviewed each of the charges in the Indictment and noted the maximum possible sentences that Petitioner faced. When asked how Petitioner would elect to plead, Petitioner's counsel entered pleas of not guilty on his behalf. [Criminal Case No. 3:07-cr-00211, Doc. 296: Tr. of Arraignment]. Petitioner apparently makes reference to the Court's statement, which was no doubt true, that Petitioner appeared to be facing a great deal of time based on the charges and the alleged loss amounts involved in the conspiracy, which the Court followed up with stating: "So you would do well to find some way to cooperate or get acquitted." [
Based on the foregoing, this claim must be denied.
Petitioner claims that his counsel failed to compile or present evidence that would have mitigated his sentence and that this evidence was in the possession of the Government and nBank Mortgage, one of the fraud victims, and the Mecklenburg County and the Cabarrus County Register of Deeds. [
Petitioner returns to familiar territory here by again challenging the knowing and voluntary nature of his guilty plea. First, the argument is foreclosed by the Fourth Circuit's finding that the challenge to this Court's denial of his motion to withdraw his guilty plea did not entitle him to relief. During Petitioner's sentencing hearing, the Court specifically found that Petitioner had provided no fair and just reason to support his late motion to withdraw his guilty plea and that his guilty plea was knowingly and voluntarily entered. The law of the case doctrine "forecloses relitigation of issues expressly or impliedly decided by the appellate court."
In addition, this claim must fail because Petitioner merely presents it in a conclusory fashion. He has done nothing more than assert that there was
Petitioner argues that his counsel was ineffective in failing to file a motion to dismiss the Indictment on the ground that his statutory right to a speedy trial was violated. [Doc. 9 at 19].
Under the provisions of the Speedy Trial Act, 18 U.S.C. § 3161
If no exception applies and the Speedy Trial Act is violated, then upon motion of the defendant, the Court must dismiss the indictment. 18 U.S.C. § 3162(a)(2). In determining whether to dismiss the indictment under the Speedy Trial Act with or without prejudice, the Court "shall consider, among others, each of the following factors: the seriousness of the offense; the facts and circumstances of the case which led to the dismissal; and the impact of a reprosecution on the administration of this chapter and on the administration of justice."
A review of the criminal docket leads this Court to conclude that there was no violation of the Speedy Trial Act as appropriate orders were entered which excluded time from the 70-day period. Therefore, Petitioner cannot satisfy either prong of
On August 12, 2008, the grand jury returned the Third Superseding Bill of Indictment. [Criminal Case No. 3:07-cr-00211, Doc. 88]. At the time this Indictment was returned, the time under the Speedy Trial Act was stayed based on the Court's June 6
On February 20, 2009, Petitioner filed a notice of his intent to change his plea from not guilty to a plea of guilty without a written plea agreement and his plea was accepted on March 3, 2009. [
Based on the foregoing, the Court concludes that there was no violation of the Speedy Trial Act because each continuance resulted in the proper exclusion of time from the 70-day period. Moreover, any motion to dismiss the indictment pending against Petitioner would no doubt have been denied due to the seriousness of the charges. In the alternative, any such order dismissing the indictment would have been without prejudice because of the ever growing complexity of the case against Petitioner as reflected by the increasing number of charges and defendants in the indictments. Therefore, Petitioner's argument herein is denied and dismissed.
Petitioner next argues that his attorney failed to properly advise him on the possible sentence he could face following a guilty plea and that his counsel promised that he would receive a lighter sentence than he ultimately received. This argument, however, is belied by Petitioner's sworn statements, which the Court has reviewed at length herein, that were made during his Rule 11 colloquy. For the reasons previously stated, the Court finds that the truth of his sworn statements precludes the relief that he seeks.
Next, Petitioner argues that he is entitled to relief under
Petitioner argues that he is entitled to
Petitioner's claim also fails because he does not indicate that had he known about such "unauthorized" meetings he would have elected not to plead guilty and proceeded to trial. Finally, as the Government notes, Petitioner was never offered a plea agreement, as evidenced by the Government's statement at the outset of his Rule 11 colloquy. [Criminal Case No. 3:07-cr-00211, Doc. 291: Tr. of Rule 11 hearing at 2]. Thus, Petitioner's unsupported contention that there were "under the table negotiations" which prejudiced him is without merit.
Petitioner argues that his counsel failed to explain other possible options before Petitioner entered his straight-up plea of guilty. As just noted, the Government did not offer a written plea agreement to Petitioner, and it was under no obligation to offer such a plea. From the record before the Court, and as was explained to Petitioner during his Rule 11 colloquy, he had the option of pleading guilty as charged or being tried before a jury. He knowingly and voluntarily chose the former. Therefore, this claim must fail.
Petitioner first contends that his counsel was ineffective in failing to present his claim that he never did business with nBank, N.A. but rather that he only worked with nBank Mortgage, a different entity. Petitioner also contends that his counsel was ineffective in failing to challenge nBank's status as an entity that was insured under the Federal Deposit Insurance Corporation (FDIC).
The Fourth Superseding Bill of Indictment specifically alleged that Petitioner participated in a mortgage fraud scheme which defrauded nBank, N.A., which the Indictment defined collectively as nBank, N.A. and nBank Mortgage Company. During his Plea and Rule 11 hearing, Petitioner specifically and unequivocally admitted that he was in fact guilty of participating in the scheme as alleged in the counts charged against him, which included his criminal actions relating to the above-mentioned businesses. [Criminal Case Bi, 3:07-cr-00211, Doc. 117: Fourth Superseding Indictment at 5]. Thus, Petitioner conceded that he harmed both nBank, N.A., and nBank Mortgage Company. Petitioner's attempt to challenge his knowing and voluntary decision to enter his guilty plea on this basis is rejected.
Petitioner here claims that he is entitled to relief under
Continuing his conclusory attacks on trial counsel, Petitioner further argues that his counsel was too busy or preoccupied with his law practice and his involvement with his child's little league team to provide effective assistance of counsel. [
Petitioner next claims that his trial counsel failed to explain to him the required mens rea for each crime alleged in the Indictment. This self-serving allegation is contradicted by Petitioner's sworn responses at the Rule 11 hearing that he understood the charges against him, including each element of those charges, and that he had sufficient time to discuss the same with his attorney. This claim for relief is therefore rejected.
Petitioner next claims that trial counsel failed to review the evidence the Government submitted to the Court in support of its requested sentence. Specifically, Petitioner argues that despite receiving additional time to prepare for his sentencing, counsel "NEVER reviewed the evidence with or without movant." [Doc. 9 at 25 (emphasis in original)].
Petitioner's claim is contradicted by the record. At the outset of the sentencing hearing, Petitioner's counsel explained that he had been able to review the Government's evidence, although it was voluminous. The transcript of the sentencing hearing also makes clear that counsel thoroughly reviewed the discovery, and that Petitioner's within-Guidelines sentence was not adversely affected by any suggested lack of review or preparation. Petitioner's contention to the contrary is without merit.
Petitioner argues, without further support, that his counsel was ineffective when he told a newspaper reporter for the
Next, Petitioner argues that his counsel was ineffective in failing to seek the production of
Petitioner's first claim must fail. The Jencks Act, codified at 18 U.S.C. § 3500
Second, regarding the alleged conflict of interest, U.S. Attorney Tompkins was recused from this matter. The Government's pleadings have been executed in the name of David Brown as special attorney for the United States, pursuant to 28 U.S.C. § 515. Thus, Petitioner has failed to demonstrate that counsel delivered deficient performance by failing to argue these meritless issues.
Petitioner makes yet another challenge to his guilty plea by arguing that his trial counsel allegedly confessed that he had no experience in defending against a charge of bank fraud. Petitioner argues that "this lack of experience culminated in counsel's rendering ineffective assistance" because his counsel refused to present a vigorous defense. [Doc. 9 at 31].
Petitioner testified during this Rule 11 hearing that he understood each of the charges against him, including the charge of bank fraud, that he was in fact guilty of the charges, that he was satisfied with the services of his attorney, and that he was voluntarily and knowingly waiving his right to contest the charges. For the foregoing reasons, this argument will be denied.
Petitioner next argues that counsel was ineffective for failing to move for a continuance of the sentencing hearing following the Government's submission of various sentencing exhibits several days prior to the hearing. In so arguing, Petitioner appears to be referencing the affidavit of the case agent and related loss amount spreadsheets and interview reports referenced in her affidavit and the transcripts of earlier testimony from the president of nBank. Petitioner also argues that the loss amount spreadsheet should not have been used against him at sentencing because it was also used during the trial of Petitioner's co-defendant Sprouse, for whom the Court ordered a new trial.
Regarding the failure to move to continue, the transcript of the sentencing proceeding makes clear that counsel had reviewed the material and was prepared to respond to it. The transcript also indicates that he reviewed this evidence with Petitioner. Thus, Petitioner cannot demonstrate deficient performance on the part of counsel. Further, Petitioner has not alleged that the submitted evidence was in any way incorrect, untruthful, or inaccurate. Thus, he has not demonstrated the prejudice
Petitioner's argument that the loss spreadsheet should not have been used against him in light of this Court's order of a new trial for
Petitioner next blames counsel for Petitioner's decision to speak on his own behalf at the start of the sentencing hearing to move to withdraw his guilty plea. This argument is without merit, as it is directly contradicted by the record. The transcript makes clear counsel advised Petitioner of the consequences of making the motion and speaking on his own behalf. Further, the record is devoid of any evidence that Petitioner's statement prejudiced him in any way. While Petitioner's motion was denied, the sentence was not any greater as a result. The Court still awarded him a three-level reduction for acceptance of responsibility. Accordingly, this claim is wholly without merit.
Next, Petitioner faults counsel for refusing to file a motion to sever Petitioner's case from his co-defendant Sprouse's case. Petitioner has forfeited this claim as he abandoned his right to move to sever after his guilty plea was accepted. Again, Petitioner expressed his sworn understanding that he had discussed any possible defenses with his counsel and that he had knowingly decided to waive his constitutional right to contest the evidence at trial. Accordingly, as Petitioner did not proceed to trial, a motion to sever would necessarily have been meritless.
Petitioner next complains that counsel's failure to file objections to the PSR "shows clearly the lack of preparation by counsel." [Doc. 9 at 34]. Counsel, however, did file objections to the PSR, and such objections were addressed by the Court during sentencing. [Criminal Case No. 3:07-cr-00211, Doc. 334: Defendant's Objections]. Petitioner's claim that his counsel failed to file proper or effective objections is simply untrue and will be denied.
Petitioner contends here that his counsel made damaging admissions regarding his guilt when Petitioner moved to withdraw his guilty plea during the beginning of his sentencing hearing. Further, Petitioner avers that his counsel "testified" adversely to his interests during sentencing. [Doc. 9 at 30, 32]. As the undersigned presided over this sentencing hearing, the Court has no trouble concluding that his counsel did not "testify" against Petitioner. Petitioner pled guilty and it was he who admitted under oath to his guilt to all of the charges. This claim is simply without merit and will be denied.
Petitioner next alleges that counsel failed to discuss or consult with him about the PSR or its consequences as related to his guilty plea. This claim is contradicted by Petitioner's earlier representation to the Court during sentencing that he had reviewed the PSR and with his attorney. For this reason this claim must be denied.
Petitioner challenges counsel's failure to object to what Petitioner claims were the Government's false statements to the Court concerning Petitioner's prior federal conviction and assistance to the Government in an unrelated 1996 case. Petitioner, however, cannot demonstrate any prejudice from counsel's actions. Notwithstanding his claim that this 1996 conviction "was a huge determining factor in the enhancements used by Judge Reidinger," the Court specifically declined to upwardly depart, as requested by the Government, for this earlier conviction. Because Petitioner is unable to demonstrate prejudice, this claim fails.
In his thirty-sixth claim, Petitioner alleges that counsel was ineffective in his failure to investigate or present evidence establishing Petitioner's innocence and everyone else's guilt, as well as evidence showing collusion against Petitioner. Petitioner does not identify what this evidence is or how it establishes his innocence. Regardless, Petitioner's hope for relief is foreclosed by his guilty plea. He knowingly and voluntarily admitted that he was guilty of each and every charge against him. In any event, Petitioner has not demonstrated prejudice, as he has not shown how this evidence would have rendered his guilty plea involuntary. This claim is denied.
Petitioner next contends that he is entitled to relief under
Petitioner was assessed a three-level enhancement for playing a managerial role in the fraud. While Petitioner argues that he was wrongly identified as a "ringleader" and that it was Hawfield who "recruited, organized, manipulated and operated the entire scheme," [Doc. 9 at 40], his argument ignores the fact that the Guidelines specifically contemplate that there can be more than one leader, organizer or manager.
Petitioner admitted to all of the material elements of his crimes when he pled guilty. The PSR, which the Court accepted as reliable and convincing, sets forth his offense conduct, which clearly shows that his role in the conspiracy warranted the three-level enhancement under U.S.S.G. § 3B1.1(b). Petitioner's attempts to minimize his role in the conspiracy through this collateral proceeding or to cast blame on a co-conspirator do not support an argument that counsel was ineffective. Petitioner has failed to carry his burden that he is entitled to relief under
In his final claim of ineffective assistance of trial counsel, Petitioner rehashes his argument that the Indictment was insufficient, that his sentence was illegal, and that all of his charges would have been dismissed had his counsel performed effectively before Petitioner decided to enter his guilty plea. These arguments have been addressed throughout this decision, and Petitioner's attempt to renew the arguments in a conclusory fashion must fail.
Claims challenging the performance of appellate counsel are considered under the same
On habeas review, courts "must indulge a strong presumption that counsel's conduct falls within the wide range of reasonable professional assistance."
Petitioner alleges eighteen instances of ineffective assistance of counsel by his appellate counsel, including (1) that counsel failed to investigate and raise what Petitioner believes were meritorious claims on appeal (Claims 1, 2, and 12); (2) that counsel failed to communicate with Petitioner during the pendency of his appeal (Claims 3, 4, 16); (3) that counsel "denied crucial materials" from Petitioner and from the Court (Claims 6, 8, 9, and 13); (4) that counsel lied to the Fourth Circuit by stating that she had sent the certiorari form to Petitioner via email (Claim 10), by failing to inform the Court that Petitioner had fired her (Claim 11), and by failing to inform the Court of her conflicts with Petitioner (Claim 14); and (5) that counsel refused to seek a motion for additional time for Petitioner to file his pro se supplemental brief (Claim 15). Petitioner even goes so far as to accuse appellate counsel of "defraud[ing] the court and her client through deceitful tactics and misrepresentation" (Claim 17) and of committing the felony of honest services fraud (Claim 7). In making these serious allegations, however, Petitioner does not explain what evidence he presumes underpins these claims. He makes only conclusory assertions, none of which demonstrate any prejudice.
Regarding his allegations challenging counsel's decisions as to which issues to present on appeal, such determinations fall within the wide discretion afforded appellate counsel. Counsel has the latitude to choose which claims have the most merit so as not to dilute potentially meritorious arguments with weak or frivolous ones. Regarding the allegations concerning counsel's failure to communicate with Petitioner and her suppression of evidence, Petitioner has not demonstrated what prejudice he may have suffered as a result.
As for Petitioner's claim that counsel lied to the Court of Appeals about sending a certiorari status form to Petitioner, Petitioner did not suffer any prejudice even if this allegation were true. The Fourth Circuit separately sent the certiorari status form to Petitioner on June 25, 2012. [
Because Petitioner cannot overcome his heavy burden of demonstrating that appellate counsel's performance fell outside the wide range of reasonable performance or that he suffered any prejudice to the resolution of his appeal, all of his claims of ineffective assistance of appellate counsel must fail.
In the remaining claims set forth in his amended § 2255 motion, Petitioner reasserts his argument regarding the Court's lack of subject matter jurisdiction based on the statute of limitations, his argument regarding the victim's FDIC insurance as an element of the crime, fatal variance, and violation of the Speedy Trial Act (collectively "Grounds 3, 5, 6, and 8"). [Doc. 9 at 49]. These claims are yet another challenge to the sufficiency of the evidence and the validity of his guilty plea. The Court has already considered and ruled on the substance of these claims, Grounds 3, 5, 6, and 8. For the reasons stated, these additional claims will be denied.
In his fourth claim for relief ("Ground 4"), Petitioner renews his argument regarding the withdrawal of his guilty plea and counsel's performance in failing to pursue withdrawal before sentencing. In denying Petitioner's oral motion to withdraw his guilty plea at sentencing, the Court found that Petitioner's motion should be denied. The Court noted that Petitioner pled guilty and waited more than two years to make his motion to withdraw his guilty plea. Petitioner was informed during his Rule 11 hearing that he had no absolute right to withdraw his guilty plea once accepted, and he acknowledged that he understood this limitation. Further, even two years after he moved to withdraw the plea, Petitioner remains unable to articulate any substantive reasons why he should be allowed the extraordinary remedy of withdrawing his solemn plea of guilty. For these reasons, this argument will be denied.
In his final claim, Petitioner raises a catch-all argument that various constitutional rights were violated due to: (1) his illegal seizure following an arrest on an illegal indictment; (2) a fatal variance; (3) a violation of the Speedy Trial Act; (4) a violation of his Eighth Amendment right to bail, and (5) a generic contention that his Fourteenth Amendment right to due process was violated.
The first three claims above have previously been reviewed and rejected herein. As for the claim regarding bail, Petitioner was released on an unsecured bond pending trial and was ordered to be detained after his 228-month sentence was imposed. Thus, to the extent Petitioner argues his right to pretrial bail may have been violated, this argument is clearly without merit. Further, any argument that he was denied release following the imposition of sentence is without merit, as the Court concluded that the factors under 18 U.S.C. § 3143 favored detention.
Petitioner's final claim regarding due process will be denied as it presents only conclusory allegations regarding Petitioner's prosecution.
For the reasons stated herein, the Court finds that Petitioner's claims in his amended Section 2255 motion are without merit and the Court will therefore grant Respondent's motion to dismiss.
Finally, the Court finds that the Petitioner has not made a substantial showing of a denial of a constitutional right.
The Clerk of Court is directed to close this civil case.