Filed: August 24, 1998
UNITED STATES COURT OF APPEALS
FOR THE FOURTH CIRCUIT
No. 95-5568
(CR-94-453-DKC)
United States of America,
Plaintiff - Appellee,
versus
Linwood Douglas Thorne,
Defendant - Appellant.
O R D E R
The court amends its opinion filed August 10, 1998, as
follows:
On the cover sheet, section 7, lines 1-2 -- the law firm for
David Lease is corrected to read "STEIN, SPERLING, BENNETT,
DE JONG, DRISCOLL, GREENFEIG & METRO, P.C., Rockville, Maryland ."
For the Court - By Direction
/s/ Patricia S. Connor
Clerk
PUBLISHED
UNITED STATES COURT OF APPEALS
FOR THE FOURTH CIRCUIT
UNITED STATES OF AMERICA,
Plaintiff-Appellee,
v. No. 95-5568
LINWOOD DOUGLAS THORNE,
Defendant-Appellant.
Appeal from the United States District Court
for the District of Maryland, at Baltimore.
Herbert N. Maletz, Senior Judge, sitting by designation.
(CR-94-453-DKC)
Argued: October 30, 1997
Decided: August 10, 1998
Before WIDENER, ERVIN, and WILKINS, Circuit Judges.
_________________________________________________________________
Vacated and remanded by published opinion. Judge Ervin wrote the
opinion, in which Judge Widener and Judge Wilkins joined.
_________________________________________________________________
COUNSEL
ARGUED: David Warren Lease, STEIN, SPERLING, BENNETT,
DE JONG, DRISCOLL, GREENFEIG & METRO, P.C., Rockville, Mary-
land, for Appellant. Deborah A. Johnston, OFFICE OF THE
UNITED STATES ATTORNEY, Greenbelt, Maryland, for Appellee.
ON BRIEF: Lynne A. Battaglia, United States Attorney, OFFICE OF
THE UNITED STATES ATTORNEY, Greenbelt, Maryland, for
Appellee.
_________________________________________________________________
OPINION
ERVIN, Circuit Judge:
Linwood Douglas Thorne, who pled guilty to conspiracy to distrib-
ute cocaine, raises several issues on direct appeal. We find merit in
Thorne's first argument -- that the trial court failed to comply with
Rule 11 of the Federal Rules of Criminal Procedure by neglecting to
inform Thorne of the maximum sentence to which he was subject
under the terms of his plea agreement -- and therefore need not
address his other claims. We vacate Thorne's guilty plea and sentence
and remand his case for further proceedings in accordance with this
opinion.
I.
Defendant Thorne initially pled not guilty to a three-count indict-
ment alleging conspiracy to distribute and to possess with intent to
distribute a mixture containing cocaine base, possession with intent to
distribute a mixture containing cocaine base, and the use of a firearm
during and in relation to a drug trafficking offense. On March 27,
1995, after a jury had been empaneled, Thorne entered into a plea
agreement with the United States. In the agreement, Thorne agreed to
plead guilty to the conspiracy count in exchange for dismissal of the
other two counts and the government's recommendation that he be
sentenced at the low end of the applicable guidelines. The parties also
stipulated to a base offense level of 36, to be increased by two levels
for possession of a firearm and decreased by two levels for accep-
tance of responsibility. They agreed that no other guideline factors
applied to Thorne.
The court then conducted a Rule 11 hearing, at which it described
the minimum sentence Thorne could receive as 188 months and the
maximum as 235 months. The court stated on three occasions that this
maximum could be increased to a life sentence if Thorne had a prior
criminal record, but noted that pretrial services said Thorne did not
have a record, though pretrial services could be wrong.
During the hearing, the court established that Thorne was compe-
tent to plead, and then queried Thorne as to the accuracy of the state-
2
ment of facts attached to the plea agreement. Thorne stated that his
alleged co-conspirators had "made a deal" for drugs and that he was
just holding the crack for them, but he also agreed that the stipulated
facts were correct, and that he knew about the crack and had agreed
to supply it to his co-defendants. The court also asked the Assistant
U.S. Attorney to explain the essential elements of the offense and
what the U.S. Attorney's office was prepared to prove at trial. The
court then clarified that the U.S. Attorney would dismiss the last two
counts of the indictment, and asked whether Thorne understood that.
It also noted that there had been extensive discussion, and asked
whether Thorne still wanted to plead guilty. It noted again the sub-
stantial nature of the sentence, even at the low end of the guidelines,
and asked if Thorne still wanted to plead guilty. Thorne answered all
these questions affirmatively. The court had previously ascertained
that Thorne understood the constitutional rights he was waiving by
pleading guilty.
After the court had accepted Thorne's guilty plea, the Assistant
U.S. Attorney brought to the court's attention that Thorne would also
be subject to a mandatory five-year term of supervised release. The
court did not describe the nature of supervised release beyond noting
that it was the guideline equivalent of probation. The court did not ask
Thorne whether he still wished to plead guilty after the Assistant U.S.
Attorney raised the issue of supervised release.
On May 8, 1995, approximately six weeks after the Rule 11 hear-
ing, Thorne, acting pro se, requested leave of the court to withdraw
his guilty plea, alleging ineffective assistance of counsel. The court
ordered both Thorne's defense attorney, Ponds, and the U.S. Attorney
to respond to Thorne's motion. Ponds defended his actions, and the
United States opposed the motion to withdraw the plea. Without opin-
ion, the district court denied Thorne's request to withdraw his plea.
During sentencing, Ponds continued to represent Thorne. Thorne
disputed portions of the pre-sentence report that were immaterial to
sentencing and asked for a new attorney. The court denied his request,
but noted that he would have new counsel on appeal. In fact, the court
directed Ponds to file an appeal that day. The court sentenced Thorne
to 188 months, which was the lowest permissible sentence under the
guidelines, plus five years of supervised release and a fifty dollar spe-
3
cial assessment. As the court instructed, Ponds then filed this appeal,
which we have jurisdiction to entertain under 28 U.S.C. § 1291.
II.
We review the adequacy of a Rule 11 proceeding de novo. United
States v. Good, 25 F.3d 218, 219 (4th Cir. 1994). Rule 11 violations
are subject to a harmless error standard. United States v. DeFusco,
949 F.2d 114, 117 (4th Cir. 1991); Fed. R. Crim. P. 11(h).
III.
Thorne first argues that the district court erred by not informing
him that his sentence would include a term of supervised release and
by not describing to him the nature of supervised release before
accepting his guilty plea. Rule 11(c)(1) requires that the court inform
the defendant of "the maximum possible penalty provided by law,
including the effect of any special parole or supervised release term
. . . ." Fed. R. Crim. P. 11(c)(1).
A district court's failure to inform a defendant that his sentence
will incorporate a term of supervised release and its further failure to
explain the significance of supervised release is error. Good, 25 F.3d
at 220; Moore v. United States, 592 F.2d 753, 756 (4th Cir. 1979).
Failure to comply with the dictates of Rule 11 is harmless, however,
if the failure does not violate a defendant's substantial rights. United
States v. Goins, 51 F.3d 400, 402 (4th Cir. 1995).
In determining whether the district court's errors affected substan-
tial rights, the appellate court will consider (1) what the defendant
actually knows, based on an affirmative indication in the record, at
the time he pleads guilty; (2) what information would have been
added to the defendant's knowledge by compliance with Rule 11; and
(3) how the additional or corrected information would likely have
affected the defendant's decision. Id. (holding failure to inform defen-
dant of mandatory minimum sentence to be reversible error). "If a
review of the record indicates that the oversight`influenced the defen-
dant's decision to plead guilty' and `impaired his ability to evaluate
with eyes open the direct attendant risks of accepting criminal respon-
4
sibility,' then substantial rights were violated." Id. at 402-403 (quot-
ing United States v. Padilla, 23 F.3d 1220, 1221 (7th Cir. 1994)).
Thorne may have known that he was subject to five years of super-
vised release because his plea agreement contained notice of it, but
he did not know of the nature of supervised release or of the conse-
quences attendant on its violation. Good, 25 F.3d at 220 (failure to
explain effect of supervised release is error even if defendant is aware
he must serve a term of supervised release); United States v. Garcia-
Garcia, 939 F.2d 230, 232-33 & n.3 (5th Cir. 1991) (characterizing
supervised release as restraint on liberty because of potential for rein-
carceration without credit for time served on supervised release).
Though we have declined to go as far as the Seventh Circuit in
endorsing a presumption that a Rule 11 failure affects the defendant's
decision to plead, see Goins, 51 F.3d at 403 (citing Padilla, 23 F.3d
at 1222), in this case Thorne was unable to "evaluate with eyes open
the direct attendant risks of accepting criminal responsibility." The
district court's failure to inform him of the maximum sentence to
which he was subject thus violated his substantial rights. See, e.g.,
Padilla, 23 F.3d at 1223 (substantial rights violated when defendant
receives longer sentence than maximum court advised him he could
receive during Rule 11 hearing); United States v. Roberts, 5 F.3d 365,
369 (9th Cir. 1993) (same); United States v. Syal, 963 F.2d 900, 906
(6th Cir. 1992) (same).
Contrary to the government's assertions, the district court's over-
sight in Thorne's case was not harmless error as outlined in Good:
"[f]ailure to discuss the nature of supervised release is harmless error
if the combined sentence of incarceration and supervised release actu-
ally received by the defendant is less than the maximum term he was
told he could receive." 25 F.3d at 220; see also Padilla, 23 F.3d at
1223; United States v. Osment, 13 F.3d 1240, 1243 (8th Cir. 1994)
(en banc); Roberts, 5 F.3d at 369; Syal , 963 F.2d at 906. The United
States attempts to shoehorn Thorne's case into the Good harmless
error rubric by noting that the district court informed Thorne that the
maximum penalty he could receive under the guidelines was life in
prison if he had a prior criminal record. This argument is unavailing.
The district court stated Thorne could receive life only if he had a
prior record; logically, Thorne would have known he had no record
and was therefore subject to a maximum sentence of 235 months.
5
The maximum term Thorne understood he could receive was there-
fore less than his actual sentence of 248 months (188 months plus five
years (60 months) of supervised release). In the event he violated
supervised release, he would be subject to a further five years of
incarceration, resulting in an even greater disparity. The district
court's failure to inform Thorne of his supervised release term and the
nature of supervised release was thus not harmless error under the
Good rationale.
We now turn to the question of appropriate remedy. In theory, the
Rule 11 error could be rectified either by permitting Thorne to with-
draw his guilty plea and plead anew or by remanding to the district
court for the imposition of a lesser sentence to ensure Thorne's entire
sentence would not exceed the maximum he was told he could receive
during the plea colloquy, in this case 235 months. Moore, 592 F.2d
at 756. The latter remedy is unavailable to us in this case, however,
because Thorne would have to be resentenced below the applicable
guideline range in order to bring his sentence under the 235-month
maximum,* and the imposition of a minimum five-year term of
supervised release is statutorily required under 18 U.S.C. § 3583(e)(3)
(1994); 21 U.S.C. §§ 841(b), 846. Cf. Padilla, 23 F.3d at 1224 (vaca-
tur of plea appropriate relief so defendant does not get lesser sentence
than that commensurate with offense of conviction); United States v.
Bounds, 943 F.2d 541, 546 (5th Cir. 1991) (prejudice may not be
cured by eliminating supervised release term because term required
_________________________________________________________________
* Thorne's guideline range was from 188-235 months. The court
advised Thorne that the maximum sentence he could receive was 235
months, and sentenced him to 188 months in prison. In order to ensure
his sentence fell below the maximum of which he was advised, Thorne
would have to be resentenced to a maximum of 175 months in prison
(175 + 60 = 235). We need not now decide whether his resentencing
would have to take into account the "worst-case scenario" -- the addi-
tional time he could be incarcerated should he violate supervised release,
in order to be below the maximum term of which he was advised, see
United States v. Osment, 13 F.3d 1240, 1243 (8th Cir. 1994) (en banc)
(maximum penalty is worst case scenario, which assumes term of impris-
onment, violation of term of supervised release on last day of release,
and subsequent imprisonment for time period of supervised release
term), because in either case the period of imprisonment falls below the
guideline range.
6
by statute). Therefore, we order that Thorne be permitted to withdraw
his guilty plea and to plead anew.
Thorne's other arguments have become moot by virtue of his suc-
cess on the merits of his first claim.
VACATED AND REMANDED
7