Kellett v. United States

USCA1 Opinion









April 6, 1994 [NOT FOR PUBLICATION]


UNITED STATES COURT OF APPEALS
FOR THE FIRST CIRCUIT
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No. 93-1843

H. RAYMOND KELLETT, JR.,

Petitioner,

v.

UNITED STATES OF AMERICA,

Respondent.


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APPEAL FROM THE UNITED STATES DISTRICT COURT

FOR THE DISTRICT OF MASSACHUSETTS

[Hon. Edward F. Harrington, U.S. District Judge]
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Before

Breyer, Chief Judge,
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Selya and Cyr, Circuit Judges.
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H. Raymond Kellett, Jr. on brief pro se.
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A. John Pappalardo, United States Attorney, Deborah M. Smith,
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Director, New England Bank Fraud Task Force, and Donald C. Lockhart,
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Trial Attorney, New England Bank Fraud Task Force, Fraud Section,
Criminal Division, Department of Justice, on brief for appellee.


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Per Curiam. H. Raymond Kellett, Jr., has appealed
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the district court's dismissal of his habeas petition on res

judicata grounds. On appeal, the government agrees with

Kellett that the district court erred in dismissing the

petition. It concurs that the doctrine of res judicata does

not apply in habeas or postconviction proceedings. See,
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e.g., Sanders v. United States, 373 U.S. 1, 8, 14-15 (1963).
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The parties also explain convincingly that the court had not

resolved Kellett's earlier petition under 28 U.S.C. 2255 on

the merits. The government argues, however, that remand is

not necessary because Kellett's petition is meritless as a

matter of law. After reviewing the petition and the record

on appeal, we agree and therefore affirm.1

In his habeas petition, Kellett claimed that the

prosecutor had concealed material exculpatory evidence from

him, i.e., that senior bank officers and directors had known

that false loan applications were being submitted to the bank

for approval. On appeal, he argues that he would not have

pled guilty to the charge of making false statements to a

federally insured bank in violation of 18 U.S.C. 1014 if he

had known of this evidence. Kellett's argument appears to be

that this evidence was exculpatory because a necessary




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1. We hereby grant the government's motion to withdraw its
original appendix and to substitute an appendix excluding
Kellett's presentence report. In determining this appeal, we
have considered only the contents of the replacement
appendix.















element of the crime to which he pled guilty was that the

bank have relied on the false statements when it approved the

loans. That is, Kellett says that no crime under section

1014 would have been committed if the bank was not actually

deceived when it approved loans on the basis of false loan

documents. Abundant case law to the contrary undermines

Kellett's claim. See, e.g., United States v. Norberg, 612
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F.2d 1, 4-5 (1st Cir. 1979) (the focus of the statute is that

a false statement was made for the purpose of influencing the
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bank to take certain action; the cases make clear that a

bank's reliance on the false statement is irrelevant); see
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also United States v. Johnson, 585 F.2d 119, 125 (5th Cir.
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1978) (The statute applies "not only [to] a defendant who

intends to defraud an unwitting insured institution but also

[to] a defendant who intends to cooperate with the

institution in a scheme requiring him, with the institution's

knowledge, to make false statements for the furtherance of

the scheme. The [institution's] awareness of the fraud is

not relevant, for its existence is not inconsistent with the

intent to influence which a violator of 1014 must

possess.").

We note further that, under section 1014, the

critical knowledge is that possessed by the person making or

causing the false statement to be made. See United States v.
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Concemi, 957 F.2d 942, 951 (1st Cir. 1992) (among other
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things, the government must show that the defendant "acted

knowingly" in making or causing a false statement be made to

a federally insured bank). Although Kellett suggests on

appeal that the bank actually prepared the false documents,

by pleading guilty he admitted that he had made or caused

false statements to be made and that he knew the statements

were false. It is too late for Kellett to deny the factual

basis of the charge to which he pled guilty. See United
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States v. Morrison, 938 F.2d 168, 171 (10th Cir. 1991) (in
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sentencing challenge, defendant could not assert facts

contrary to those to which he pled guilty). This is

especially true since the "fact" in question is what Kellett

himself knew about the accuracy of the statements in the loan

documents. Kellett must have known at the time he pled

guilty whether or not he knew that the loan documents

contained falsehoods which would influence the bank to

approve the loans, and the state of knowledge of bank

officers or directors had no bearing on that question.

Therefore, any failure by the prosecutor to tell Kellett what

those officers or directors knew would provide no basis for

permitting Kellett to withdraw his guilty plea.

Kellett suggests that the court might have imposed

a more lenient sentence than it did if it had been aware that

senior bank officers or directors had known that false loan

applications were being submitted to the bank for approval.



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He claims that the court did not sentence him with full and

accurate information and that his sentencing therefore

violated his due process rights.2 The sentencing transcript

shows that the court believed that higher level bank officers

must have known that false loan applications were being

submitted to the bank. Thus, Kellett's suggestion that the

court was unaware of this fact is simply incorrect.

Moreover, the sentencing transcript indicates that both the

probation department and the court took this and other

factors into account by reducing by one level the base

offense level assigned to the loss amount in Kellett's case

by the Sentencing Guidelines. See U.S.S.G. 2F1.1(b)(1).
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Accordingly, we do not think that the prosecutor's alleged

failure to disclose evidence that senior bank officers or

directors knew of the ongoing scheme renders Kellett's

sentencing constitutionally deficient.

Kellett further claims that newly discovered

evidence substantiates his claim of selective prosecution.

As the government points out, this court has held that

selective prosecution claims are deemed waived if not raised

prior to trial. See Tracey v. United States, 739 F.2d 679,
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682 (1st Cir. 1984), cert. denied, 469 U.S. 1109 (1985).
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Prior to his trial, Kellett sought assurances from the



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2. We assume for argument's sake, but without deciding, that
this claim survives dismissal on mootness grounds.

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prosecutor that his prosecution was not politically

motivated, evidencing his awareness that he might have a

selective prosecution claim. But he did not challenge his

prosecution on that basis by way of the requisite motion. On

appeal, Kellett says that the prosecutor assured him that his

prosecution was not politically motivated. The newly

discovered evidence he refers to, however, has nothing to do

with those assurances, but at most supports the proposition

that certain mall developers, whom he had opposed prior to

his prosecution, sought to ensure the success of their

project by making political contributions. Accordingly, we

find the selective prosecution claim to be waived.

We find Kellett's remaining arguments to be without

merit for the reasons stated in the government's brief.

Affirmed.
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