J. S16042/16
NON-PRECEDENTIAL DECISION - SEE SUPERIOR COURT I.O.P. 65.37
COMMONWEALTH OF PENNSYLVANIA, : IN THE SUPERIOR COURT OF
: PENNSYLVANIA
Appellee :
:
v. :
:
BIANCA AURA BUCANO, :
:
Appellant : No. 2292 EDA 2015
Appeal from the PCRA Order June 29, 2015
In the Court of Common Pleas of Monroe County
Criminal Division at No(s): CP-45-CR-0000778-2010
BEFORE: OTT, J., DUBOW, J., and JENKINS, J.
MEMORANDUM BY DUBOW, J.: FILED APRIL 11, 2016
Appellant, Bianca Aura Bucano, appeals from the order entered in the
Monroe County Court of Common Pleas denying her sixth petition filed under
the Post Conviction Relief Act (“PCRA”), 42 Pa.C.S. §§ 9541-9546.1 After
careful review, we affirm on the basis of the PCRA court’s opinion.
The facts, as summarized in this Court’s memorandum opinion
disposing of Appellant’s direct appeal, are as follows:
The instant charges arose out of the Thirtieth Statewide
Investigating Grand Jury. Following the court’s acceptance of
Presentment Number 18 on March 15, 2010, the Pennsylvania
Attorney General filed a criminal complaint on March 29, 2010,
charging Appellant1 with a multitude of crimes related to an
insurance fraud scheme allegedly masterminded by Judi Grate,
1
Although Appellant has filed six total PCRA petitions, as well as two writs of
habeas corpus seeking collateral relief, she filed the instant petition on
September 26, 2014.
J. S16042/16
in which Appellant and her daughter, Melissa M. Bucano,
participated. The scheme involved submission of fraudulent
claims for long-term care insurance benefits to various insurance
companies.
1
Appellant and eight co-defendants were charged:
Judi Grate, Melissa Bucano, who is Appellant’s
daughter, Christopher Bucano, who is Appellant’s
son, Barbara Rollins, Uhura Byrd, Patricia Lesane,
Priscilla Grate Flowers, and Grace John.
***
Appellant entered a guilty plea dated September 8, 2011, and
filed September 13, 2011, which she subsequently withdrew on
December 13, 2011. A jury trial for Appellant and her daughter,
Melissa,2 began on April 16, 2012, and concluded on April 25,
2012, with convictions [on two counts of corrupt organizations,
one count of dealing in proceeds of unlawful activity, ten counts
of insurance fraud graded as a felony, one count of insurance
fraud graded as a misdemeanor, two counts of theft by
deception, three counts of attempt to commit theft by deception,
two counts of forgery, and one count of conspiracy].
2
A panel of this Court affirmed the judgment of
sentence of Melissa Bucano, Commonwealth v.
Bucano, 82 A.3d 468 (Pa. Super. filed June 24,
2013) (unpublished memorandum), and our
Supreme Court denied her petition for allowance of
appeal. Commonwealth v. Bucano, 79 A.3d 1096
(Pa. 2013).
The trial court sentenced Appellant on August 2, 2012, docketed
August 3, 2012, to an aggregate period of incarceration of 141
months to 282 months and imposed restitution in the amount of
$1,146,181.28. Appellant filed post-sentence motions on August
13, 2012, followed by pro se motions for PCRA relief on August
20, 28, and 30, 2012. The trial court dismissed the June 26,
2012 PCRA petition on August 31, 2012, and defense counsel
sought to withdraw on September 6, 2012. At an October 17,
2012 hearing on post-sentence motions, defense counsel
withdrew his withdrawal request. The trial court denied post-
sentence motions on January 7, 2013, and granted an
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unopposed motion to reinstate Appellant’s direct appeal rights
nunc pro tunc on February 19, 2013.
Commonwealth v. Bucano, No. 599 EDA 2013 (Pa. Super. filed May 20,
2014) (unpublished memorandum) (some citations and footnotes omitted).
Appellant filed a direct appeal. We affirmed Appellant’s judgment of
sentence on May 20, 2014. Id. Appellant did not file a Petition for
Allowance of Appeal.
On September 26, 2014, Appellant filed the instant timely pro se PCRA
petition, which was amended after appointment of counsel, alleging
numerous claims of ineffective assistance of trial and appellate counsel. The
PCRA court held an evidentiary hearing on February 23, 2015, at which
Appellant, Appellant’s two trial attorneys, and Appellant’s appellate counsel
testified.
On June 29, 2015, the PCRA court denied Appellant’s Petition. She
filed a timely Notice of Appeal on July 21, 2015.
Appellant presents the following 13 issues on appeal:
1. Whether it was an error of law or an abuse of discretion when
the trial court found there was no ineffective assistance of
counsel for failing to adequately advise [Appellant] of potential
ramifications of withdrawal of guilty plea vs. plea offers vs. trial?
2. Whether it was an error of law or an abuse of discretion when
the trial court found there was no ineffective assistance of
counsel for failing to advise/explain to [Appellant] regarding plea
offers?
3. Whether it was an error of law or an abuse of discretion when
the trial court found there was no ineffective assistance of
counsel for failing to appeal the issue of recusal of judge?
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J. S16042/16
4. Whether it was an error of law or an abuse of discretion when
the trial court found there was no ineffective assistance of
counsel for failing to appeal the sentence as it was not proper?
5. Whether it was an error of law or an abuse of discretion when
the trial court found there was no ineffective assistance of
counsel for failing to review PSI with [Appellant] prior to
sentencing?
6. Whether it was an error of law or an abuse of discretion when
the trial court found there was no ineffective assistance of
counsel for failing to call necessary witnesses?
7. Whether it was an error of law or an abuse of discretion when
the trial court found there was no ineffective assistance of
counsel for failing to adequately prepare for trial?
8. Whether it was an error of law or an abuse of discretion when
the trial court found there was no ineffective assistance of
counsel for failing to adequately cross-examine witnesses?
9. Whether it was an error of law or an abuse of discretion when
the trial court found there was no ineffective assistance of
counsel for failing to adequately prepare client for trial?
10. Whether it was an error of law or an abuse of discretion
when the trial court found there was no ineffective assistance of
counsel for failing to appeal the issue of severance?
11. Whether it was an error of law or an abuse of discretion
when the trial court found there was no ineffective assistance of
counsel for failing to adequately cite to documents and
testimony?
12. Whether it was an error of law or an abuse of discretion
when the trial court found there was no ineffective assistance of
counsel for failing to adequately assure certified record was
complete?
13. Whether it was an error of law or an abuse of discretion
when the trial court found there was no ineffective assistance of
counsel for failing to adequately communicate with [Appellant]
or ensure factual correctness of the brief?
-4-
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Appellant’s Brief at 4-6 (suggested answers and capitalization omitted).
We review the denial of a PCRA petition to determine whether the
record supports the PCRA court’s findings and whether its order is otherwise
free of legal error. Commonwealth v. Fears, 86 A.3d 795, 803 (Pa.
2014). This Court grants great deference to the findings of the PCRA court if
they are supported by the record. Commonwealth v. Boyd, 923 A.2d 513,
515 (Pa. Super. 2007). We give no such deference, however, to the court’s
legal conclusions. Commonwealth v. Ford, 44 A.3d 1190, 1194 (Pa.
Super. 2012).
To be eligible for relief pursuant to the PCRA, Appellant must establish,
inter alia, that her conviction or sentence resulted from one or more of the
enumerated errors or defects found in 42 Pa.C.S. § 9543(a)(2). Appellant
must also establish that the issues raised in the PCRA petition have not been
previously litigated or waived. 42 Pa.C.S. § 9543(a)(3). An allegation of
error “is waived if the petitioner could have raised it but failed to do so
before trial, at trial, during unitary review, on appeal or in a prior state
postconviction proceeding.” 42 Pa.C.S. § 9544(b).
All of Appellant’s issues on appeal are claims of ineffective assistance
of trial and appellate counsel. The law presumes counsel has rendered
effective assistance. Commonwealth v. Rivera, 10 A.3d 1276, 1279 (Pa.
Super. 2010). The burden of demonstrating ineffectiveness rests on
Appellant. Id. To satisfy this burden, Appellant must plead and prove by a
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preponderance of the evidence that: (1) her underlying claim is of arguable
merit; (2) the particular course of conduct pursued by counsel did not have
some reasonable basis designed to effectuate her interests; and (3) but for
counsel’s ineffectiveness, there is a reasonable probability that the outcome
of the challenged proceedings would have been different. Commonwealth
v. Fulton, 830 A.2d 567, 572 (Pa. 2003).
The Honorable Jonathan Mark, sitting as the PCRA court, has authored
a comprehensive, thorough, and well-reasoned opinion, citing to the record
and relevant case law in addressing Appellant’s claims on appeal. After a
careful review of the parties’ arguments and the record, we affirm on the
basis of the PCRA court’s opinion. See PCRA Court Opinion, dated 10/5/15,
at 13-36 (concluding that each of Appellant’s ineffectiveness claims failed).
Order affirmed.
Judgment Entered.
Joseph D. Seletyn, Esq.
Prothonotary
Date: 4/11/2016
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Circulated 03/23/2016 04:22 PM
COURT OF COMMON PLEAS OF MONROE COUNTY
FORTY-THIRD JUDICIAL DISTRICT
COMMONWEAL TH OF PENNSYLVANIA
COMMONWEAL TH OF PENNSYLVANIA
v. NO. 778 CR 2010
BIANCA AURA BUCANO, APPEAL DOCKET
NO. 2292 EDA 2015
Defendant
OPINION IN SUPPORT OF ORDER PURSUANT TO Pa. R.A.P. 1925(a)
I .
Petitioner, Bianca Aura Bucano, files this appeal from the order dated June 29,
2015, that denied her amended petition for relief under the Post-Conviction Relief Act
("PCRA"), 42 Pa. C.S.A. Section 9541 et. seq. After the appeal was filed, we issued an
order directing Petitioner to file a statement of errors complained of on appeal
pursuant to Pa. R.A.P. 1925(b). We now issue this opinion in accordance with Pa.
R.A.P. 1925(a).1
BACKGROUND
The factual and procedural history of this case, up through the filing of
Petitioner's direct appeal, is detailed in several opinions previously filed in this case,
including: 1) the memorandum opinion issued by the Superior Court on May 20, 2014,
at No. 599 EDA 2013, that affirmed Petitioner's judgment of sentence; 2) the pre-trial
opinion and order issued by the Honorable Jennifer Harlacher on September 7, 2011
that denied Petitioner's omnibus pre-trial motion; and 3) the Rule 1925(a) opinion
1 In our order denying the PCRA petition, we indicated that an opinion explaining the reasons for denial would
follow. A°s the opinion was being finalized, Petitioner filed this appeal. Accordingly, we held off issuing an
opinion until we received Petitioner's Rule l 925(b) statement. This opinion articulates the reasons for denial and
addresses Petitioner's assignments of error.
EXHIBIT
issued by Judge Sibum in response to Petitioner's direct appeal. We incorporate all
three of the referenced opinions (collectively the "Prior Opinions") into this opinion by
reference.
In addition to the Prior Opinions that were issued in this case, the opinion
issued by the undersigned on June 29, 2015, at Docket No. 781 Criminal 2010, that
denied a PCRA petition filed by Petitioner's daughter and co-defendant, Melissa
Bucano, provides relevant history and effectively addresses several of the issues
raised by Petitioner in this appeal.' A copy of that opinion (the "Melissa Bucano PCRA
Opinon") is attached and incorporated as Appendix 1.
In summary and supplementation sufficient to address Petitioner's claims and
read this decision in context, we offer the following:
Following an Attorney General investigation into insurance fraud, the 30th
Statewide Investigating Grand jury issued a presentment recommending that
Petitioner and eight others, including her son and daughter, be criminally charged. As
a result, Petitioner was arrested and charged with multiple felony and misdemeanor
offenses including Corrupt Organizations, dealing in Proceeds of Unlawful Activities,
Insurance Fraud, Theft, Forgery, Conspiracy, and Attempt.
Initially, Petitioner waived her preliminary hearing to pursue pleas negotiations,
but reserved the right to request remand. Negotiations stalled and the case was
remanded. At the preliminary hearing, one count of Theft by Failure to Make Required
Disposition of funds was withdrawn. The remaining charges were bound over.
2
Like her mother, Melissa Bucano has appealed our order that denied her PCRA petition. Her appeal is docketed
to No. 2278 EDA 2015.
2
During the early plea negotiations and at the preliminary hearing, Petitioner was
represented by Ernest D. Preate, Jr. Esq., the first of six attorneys, including present
PCRA counsel, who would represent her in this case. After the case was bound to
court, Attorney Preate sought leave to withdraw citing, among other reasons,
"irreconcilable" differences with Petitioner.
On May 19, 2011, the Commonwealth filed an information charging Petitioner
with the following thirty-one offenses: two counts of Corrupt Organizations (F-1),
Dealing in Proceeds of Unlawful Activities (F-1), Criminal Conspiracy (F-1), twelve
felony counts of Insurance Fraud (F-3), four counts of Theft by Deception (F-3), three
counts of Attempt to Commit Theft by Deception (F-3), and eight counts of forgery (M-
1 ).
Subsequently, th rough her third attorney, Petitioner filed an omnibus pre-trial
motion. The motion was denied by opinion and order dated September 7, 2011.
On September 8, 2011, Petitioner pied guilty to an amended charge of
Insurance Fraud and five amended counts of Conspiracy to commit various forms of
Theft, all of which were graded a felonies of the third degree. Petitioner was
represented during the plea by Jeffrey G. Velander, Esq., the first of her attorneys
whom she alleges was ineffective.
Thereafter, Attorney Velander filed petitions seeking leave to withdraw citing,
among other things, "irreconcilable" conflicts with Petitioner. The differences between
attorney and client centered on Attorney Velander's belief that the plea Petitioner had
entered was in her best interests and Petitioner's insistence that the plea be
withdrawn.
3
On November 10, 2011, Attorney Ve lander, at Petitioner's demand, filed a
motion seeking leave for Petitioner to withdraw her plea. Despite still being
represented by Attorney Velander and the filing of the counseled motion, Petitioner
filed a pro se motion to withdraw her guilty plea. That motion was forwarded to ·
Attorney Velander.
On December 14, 2011, following a hearing, Petitioner's request for permission
to withdraw her guilty plea was granted, Attorney Velander's motion for leave to
withdraw from representation was granted, the case was placed on a trial list, and
Petitioner's bail was modified to $100,000 straight. Petitioner was incarcerated in lieu
of bail.
On December 28, 2011, William A. Watkins, Esq., the second of her attorneys
whom Petitioner claims was ineffective, was appointed to represent Petitioner.
Attorney Watkins represented Petitioner from that point up through the filing of her
direct appeal.
Trial began with jury selection on April 4, 2012. Testimony began on April 16,
2012. On April 25, 2012, the jury convicted Petitioner of: two counts of Corrupt
Organizations, Dealing in Proceeds of Unlawful Activities, Criminal Conspiracy, eleven
counts of Insurance Fraud, two counts of Theft by Deception, three counts of Attempt
to Commit Theft by Deception, and two counts of Forgery. Petitioner was found not
guilty of two counts of Theft by Deception, two counts of Forgery, and one count of
Insurance Fraud. The remaining charges were withdrawn or dismissed.
On May 7, 2012, Petitioner filed Post-Verdict Motions. Later, she filed a Motion
for Bail Modification. At the hearing on both motions, Petitioner's counsel made an
4
oral motion to withdraw Petitioner's Post-Verdict Motions. By Order dated June 20,
2012, Petitioner's Post-Verdict Motions were dismlssed without prejudice to the right of
Petitioner to re-file as a Post-Sentence Motion or a Motion for Extraordinary Relief at
the time of sentencing. Also by Order dated June 20, 2012, Petitioner's Motion for Bail
Modification was denied.
On or about June 26, 2012, Petitioner filed a prose Petition for Habeas Corpus
Relief and a PCRA Petition. By Order dated July 2, 2012, the Court issued an Order
directing the Clerk of Courts to forward Petitioner's pro se Petition to counsel of record,
Attorney Watkins. On July 13, 2012, the Court issued a Notice of Intent to Dismiss
Petitioner's PCRA Petition and Order due to the premature nature of the Petition. On
August 2, 2012, Petitioner filed a pro se Writ of Habeas Corpus, and again, this Court
directed the Clerk of Courts to forward the motion to Petitioner's counsel of record.
On August 7, 2012, Petitioner was sentenced to an aggregate term of
incarceration of not less th an 141 months nor more than 282 months to be served in a
State Correctional Institution. Additionally, Petitioner was ordered to: (1) pay
restitution to the Pennsylvania Commission on Crime and Delinquency Victim's
Compensation Program in the amount of $35,000.00; (2) pay restitution to
Philadelphia American Life Insurance Company in the amount of $418,496.28; (3) pay
restitution to Genworth Life Insurance Company in the amount of $371,083.00; (4) pay
restitution to MetLife in the amount of $321,602.00; (5) pay the costs of the criminal
proceedings, (6) have a DNA sample and fingerprints taken pursuant to Act 185 of
2004 and pay the $250.00 fee associated with this requirement; and (7) reimburse the
Commonwealth of Pennsylvania the sum of $2,551.83 for actual witness fees incurred
5
in bringing this matter to trial. Petitioner was deemed eligible for the Recidivism Risk
Reduction Incentive (RRRI) Program, with an alternative minimum sentence calculated
to be 117 months, 15 days. Defendant was given a time credit commencing
December 13, 2011'.
On August 13, 2012, Petitioner, through counsel, filed Post-Sentence Motions,
in which she argued the following: ( 1) there was insufficient evidence to establish that
Petitioner committed crimes against PALIC and Genworth; (2) there was no evidence
or insufficient evidence that Petitioner was part of a corrupt organization; (3) the
verdicts were aqainst the weight of the evidence; (4) the Court improperly admitted
evidence as it related to the crimes of persons other than Petitioner, namely crimes
committed by co-Defendant Judi Grate; (5) the Attorney for the Commonwealth made
..
improper remarks during his closing argument; (6) the Trial Court erred in Petitioner's
Omnibus Pre-trial Motion; (7) it was an error for Judge Sibum to not recuse herself,
and (8) the Trial Court failed to give jury instructions requested by defense counsel
regarding the failure of the Commonwealth to call co-Defendant Judi Grate as a
witness at Petitioner's trial.
On August 20, 20-12, August 28, 2012 and August 30, 2012 Petitioner filed.
additional pro se PCRA motions.
On August 31, 2012, we denied Petitioner's June 26, 2012 PCRA Petition
because she failed to file a response within thirty days of the Notice of Intent to
Dismiss.
On September 6, 2012, Attorney Watkins filed a Motion to Withdraw as
Counsel. On September 10, 2012, this Court filed two Orders: (1) a rule returnable for
6
answer and hearing regarding Attorney Watkins Motion to Withdraw as Counsel; and
(2) pursuant to Pa. R.Crim.P. 576(a)(4), an Order directing the Clerk of Courts to send
Attorney Watkins a copy of Petitioner's prose PCRA motions.
On October 17, 2012, a hearing was held on Petitioner's Post-Sentence
Motions and Attorney Watkins' Motion to Withdraw as Counsel. At the hearing,
Petitioner indicated that she wanted Attorney Watkins to remain in the case and
Attorney Watkins' motion to withdraw was itself withdrawn.
By Order dated January 7, 2013, we denied Petitioner1s Post-Sentence Motions
and Petitioner was advised that she had thirty days to file an appeal. On February 14,
2013, Attorney Watkins filed an Unopposed Petition for Allowance of Appeal Nunc Pro
Tune and for Restoration of Appellate Rights. That petition was granted on February
19, 2013.
Petitioner, through Attorney Watkins, filed a Notice of Appeal on February 22,
2013. During the pendency of the appeal, before briefs were filed, Attorney Watkins
became an assistant Monroe County Public Defender. As a result, Hillary Madden,
Esq., the third attorney Petitioner claims was ineffective, was appointed to represent
Petitioner. Attorney Madden filed Petitioner's appeal brief.
On May 20, 2014, the Superior Court affirmed the judgment of sentence.
Petitioner did not file a petition for allowance of appeal.
On September 26, 2014, Petitioner filed a prose PCRA motion. We appointed
Holly B. Conway, Esq. - Petitioner's sixth attorney - to represent Petitioner in this
collateral proceeding. Attorney Conway ultimately filed an amended PCRA petition.
Thereafter, a PCRA hearing was convened. Petitioner and attorneys Velander,
7
. Watkins, and Madden testified and several exhibits were admitted into evidence. The
parties were granted leave and then extensions of time to file briefs. After
consideration of the PCRA petitions, the record and file in this case, the evidence, and
the submitted briefs, we issued an order denying the amended PCRA petition.
DISCUSSION
A. Allegations of Ineffectiveness and Assignments of Error
Using the shotgun approach to pleading, Petitioner alleged fifteen separate but
somewhat overlapping and inter-related claims of ineffective assistance of counsel:
1. Attorney Verlander was ineffective for failing to adequately advise
Petitioner of potential ramifications of withdrawing a guilty plea versus a trial;
'(
2. Attorney Watkins was ineffective for failing to call necessary witnesses;
3. Attorney Watkins was ineffective for failing to adequately prepare for trial;
4. Attorney Watkins was ineffective for failing to adequately cross-examine
witnesses;
5. Attorney Watkins was ineffective for failing to adequately prepare client
for trial;
6. Attorney Watkins was ineffective for failing to adequately advise
Petitioner of potential ramifications of going to trial versus a plea arrangement;
7. Attorney Watkins was ineffective for failing to adequately advise
Petitioner of potential r_amifications of withdrawal of guilty plea;
8. Attorney Watkins was ineffective for failing to review PSI with Petitioner
prior to sentencing;
8
9. Attorney Watkins was ineffective for failing to advise/explain to Petitioner
regarding plea offers;
10. Attorney Madden was ineffective for failing to appeal the sentence as it
was not proper;
11. Attorney Madden was ineffective for failing to appeal the issue of
Recusal of Judge;
12. Attorney Madden was ineffective for failing to adequately cite to
documents and testimony;
13. Attorney Madden was ineffective for failing to assure the certified record
was complete;
14. Attorney Madden was ineffective for failing to appeal the issue of
severance;
15. Attorney Madden was ineffective for failing to adequately communicate
with Defendant or to ensure factual correctness of the Brief.
In her Rule 1925(b) statement, Petitioner reasserts all fifteen claims and alleges
that we erred in failing to find ineffectiveness under each of them. For the reasons that
follow, Petitioner waived several of her ineffectiveness claims, the remainder of the
claims lack merit, and we properly denied the amended PCRA petition.
B. The Standards
1. Previous Litigation and Waiver
PCRA relief is not available for alleged errors that have been "previously
litigated" or waived. 42 Pa.C.S.A. § 9543(a)(3); Commonwealth v. Fowler, 930 A.2d
586 (Pa. Super. 2007) Accordingly, "[t]o be entitled to PCRA relief, a petitioner must
9
plead and prove, inter alia, that the allegation of error has not been previously litigated
or waived." Commonwealth v. Berry, 877 A.2d 479, 482 (Pa. Super. 2005) (en bane),
appeal denied, 917 A.2d 844 (Pa. 2007). An issue has been previously litigated if "the
highest appellate court in which the petitioner could have had review as a matter of
right has ruled on the merits of the issue." 42 Pa.C.S.A. § 9544(a)(2); Commonwealth
v. Keaton, 45 A.3d 1050, 1060 (Pa. 2012). An issue is waived if it could have been
raised prior to the filing of the PCRA petition, but was not. Commonwealth v. Williams,
900 A.2d 906 (Pa. Super. 2006) (en bane); Commonwealth v. Berry, supra.
Specifically, "an issue is considered waived if the petitioner could have raised it but
failed to do so before trial, at trial, during unitary review, on appeal or in a prior state
post-conviction proceeding." Fowler, 930 A.2d at 594 (citing 42 Pa.C.S.A. § 9544(b)
and Commonwealth v. Williams, 900 A.2d 906, 908-09 (Pa.Super.2006) (en bane)).
2. Ineffective Assistance of Counsel
Petitioner's ineffective assistance of counsel claims implicate Strickland v.
Washington, 466 U.S. 668 (1984), as adopted in Pennsylvania by Commonwealth v.
Pierce, 527 A.2d 973 (Pa. 1987), which requires a defendant alleging ineffectiveness
to demonstrate that she was prejudiced by an act or omission of his attorney. In cases
where the Strickland/Pierce test applies, the analysis begins with
the presumption that counsel rendered effective
assistance. Commonwealth v. Basemore, 560 Pa. 258, 277
n. 10, 744 A.2d 717, 728 n. 10 (2000). To obtain relief on a
claim of ineffective assistance of counsel, a petitioner must
rebut that presumption and demonstrate that counsel's
performance was deficient, and that such performance
prejudiced him. Strickland v. Washington, 466 U.S. 668,
687-91, 104 S.Ct. 2052, 80 L.Ed.2d 674 (1984). In our
Commonwealth, we have rearticulated the Strickland
Court's performance and prejudice inquiry as a three-prong
10
test. Specifically, a petitioner must show: (1) the underlying
claim is of arguable merit; (2) no reasonable basis existed
for counsel's action or inaction; and (3) counsel's error
caused prejudice such that there is a reasonable probability
that the result of the proceeding would have been different
absent such error. Commonwealth v. Pierce, 515 Pa. 153,
158-59, 527 A.2d 973, 975 (1987).
Commonwealth v. Dennis, 17 A.3d 297, 301 (Pa. 2011). See Commonwealth v.
Tedford, 960 · A.2d 1 (Pa. 2008); Commonwealth v. Dennis, 950 A.2d 945, 953 (Pa.
2008); Commonwealth v. Gwynn, 943 A.2d 940, 945 (Pa. 2008); Commonwealth v.
Mallory, 941 A.2d 686 (Pa. 2008), ceti. denied, 555 U.S. 884 (2008).
A corollary to the first element, counsel cannot be found ineffective for failing to
pursue a baseless or meritless claim. Commonwealth v. Roney, 79 A.3d 595, 604 (Pa.
2013); Commonwealth v. Washington, 927 A.2d 586, 603 (Pa. 2007); Commonwealth
v. Harvey, 812 A.2d 1190, 1199 (Pa. 2002). With regard to the second, the
reasonable basis element, we do not question whether
there were other more logical courses of action which
counsel could have pursued; rather, we must examine
whether counsel's decisions had any reasonable basis.
[Commonwealth v.] Hanible, [30 A.3d 426J 439 [(Pa.
2011 )] (citation omitted). We will conclude that counsel's
strategy lacked a reasonable basis only if the petitioner
proves that a foregone alternative offered a potential for
success substantially greater than the course actually
pursued. [Commonwealth v.] Spotz, [18 A.3d 244] 260 [Pa.
2011] (citation omitted). To establish the third, the prejudice
element, the petitioner must show that there is a
reasonable probability that the outcome of the proceedings
would have been different but for counsel's action or
inaction. Id.
Roney, 79 A.3d at eo4 (quotation marks omitted).
Since a petitioner must prove all three prongs of the Strickland/Pierce test, if he
or she fails to prove any one of the prongs, the ineffectiveness claim may be
11
dismissed on that basis alone without the need to determine whether the other two
prongs have been met. Commonwealth v, Basemore, 744 A.2d 717 (Pa. 2000).
Similarly, because claims of ineffective assistance of counsel are not self-proving, a
petitioner cannot prevail unless he or she properly develops the claim. Thus, when a
petitioner fails to properly plead all three prongs, or, having done so, to develop the
claim, the petitioner is not entitled to relief and the court may find the claim waived for
lack of development. See Commonwealth v Steele, 961 A.2d 786 (Pa. 2008).
Additionally, trial counsel has broad discretion to determine the course of
defense tactics and strategy. See Commonwealth v. Fowler, 670 A.2d 153 (Pa. Super.
1996); Commonwealth v. Mizell, 425 A.2d 424 (Pa. 1981 ). Where matters of strategy
and tactics
are concerned, counsel's assistance is deemed
constitutionally effective if he chose a particular course that
had some reasonable basis designed to effectuate his
client's interests. A finding that a chosen strategy lacked a
reasonable basis is not warranted unless it can be
concluded that an alternative not chosen offered a potential
for success substantially greater than the course actually
pursued. To demonstrate prejudice, the petitioner must
show that there is a reasonable probability that, but for
counsel's error or omission, the result of the proceeding
would have been different.
Commonwealth v. Colavita, 993 A.2d 874, 887 (Pa. 2010) (citations omitted). Further,
"[tJhe length of time dedicated to client consultation affords no basis for inferring the ,
extent of trial preparation." Commonwealth v. Howard, 732 A2d 1213, 1215 (Pa.
Super. 1999)(citing Commonwealth v. Ellis, 700 A2d 948, 960 (Pa. Super. 1997)).
Where a petitioner has not provided any evidence to support his allegation of
inadequate preparation and it is shown that counsel met with the petitioner prior to
12
trial, trial counsel cannot be deemed to be ineffective for lack of preparation without
sufficient proof. Id. Thus, a petitioner is not entitled to relief simply because he or she
did not like the strategy or because the strategy was unsuccessful. Commonwealth v.
Davis, 554 A.2d 104, 111 (Pa. Super. 1989).
Finally, claims involving ineffectiveness of appellate counsel have unique
concerns:
Arguably· meritorious claims may be omitted in favor of
pursuing claims which, in the exercise of appellate
counsel's objectively reasonable professional judgment,
offer a greater prospect of securing relief. Jones v. Barnes,
463 U.S. 745, 750-54, 103 S.Ct. 3308, 77 L.Ed.2d 987
(1983). Robbins, 528 U.S. at 288, 120 S.Ct. 746
(characterizing Barnes). "This process of 'winnowing out
weaker arguments on appeal and focusing on' those more
likely to prevail, far from being evidence of incompetence,
is the hallmark of effective appellate advocacy." Smith v.
Murray, 477 U.S. 527, 536, 106 S.Ct. 2661, 91 L.Ed.2d 434
(1986), quoting Barnes, 463 U.S. at 751-52, 103 S.Ct.
3308. See also Buehl v. Vaughn, 166 F.3d 163, 174 (3d
Cir.1999) ("One element of effective appellate strategy is
the exercise of reasonable selectivity in deciding which
arguments to raise.").
Commonwealth v. Lambert, 797 A.2d 232,_ 244 (Pa. 2001).
Applying these standards to the facts and circumstances of this case we found,
for the reasons that follow, that Petitioner's allegations of ineffectiveness lacked merit.
C. Plea-Based Claim of Ineffectiveness: Claims 1 (Attorney Velander), 6. 7,
and 9 (Watkins)
In her first claim, Petitioner contends that Attorney Velander was ineffective for
failing to adequately advise her of the potential ramifications of withdrawing her guilty
plea versus going to trial. In claims six, seven, and nine, Petitioner asserts that
Attorney Watkins was similarly ineffective in failing to adequately advise her of the
13
consequences of going to trial versus accepting a plea, failing to advise her of the
ramifications of withdrawing her plea, and for failing to advise and explain plea offers
to her. All of these claims lack merit.
In general, a defense attorney has a duty to inform his client of a plea offer and
to meaningfully discuss the offer with the client. Commonwealth v Napper, 385 A.2d
521 (Pa. super. 1978). See Commonwealth v. Chazin, 873 A.2d 732 (Pa. Super.
2005), appeal denied; 887 A.2d 1239 (Pa. 2005); Commonwealth v. Copeland, 554
A.2d 54 (Pa. Super. 1988). More recently, in Missouri v. Frye,_ U.S._, 132 S.Ct.
1399, 182 L.Ed.2d 379 (2012) and Lafler v. Co'oper, _U.S._, 132 S.Ct. 1376, 182
L.Ed.2d 398 (2012), the United States Supreme Court held that, in general, defense
counsel have a duty to timely and meaningfully communicate to their clients formal
offers from the prosecution to accept a plea on terms and conditions that may be
favorable to the accused. The High Court further held that if an attorney fails to fulfill
this duty, he may be found to be ineffective. In order to prove ineffectiveness, a
defendant who rejects a plea offer must show that,
but for the ineffective advice of counsel there is a reasonable
probability that the plea offer would have been presented to the
court (i.e., that the defendant would have accepted the plea
and the prosecution would not have withdrawn it in light of
intervening circumstances), that the court would have accepted
its terms, and that the conviction or sentence, or both, under
the offer's terms would have been less severe than under the
judgment and sentence that in fact were imposed.
Lafler, 132 S.Ct. at 1385.
Here, Petitioner shotguns plea-based claims of ineffectiveness against two
attorneys in the hopes that some pellets will hit the mark and stick. None do.
14
In direct contrast to Petitioner's version of events, Attorney Velander credibly
testified that he meaningfully communicated the Commonwealth's initial plea offer to
Petitioner, that he informed her of the ramifications and risks of going to trial versus
the benefits of pleading guilty, that Petitioner initially willingly accepted the plea, and
that he explained the ramifications of withdrawal of the initial plea. Specifically,
Attorney Velander testified that both he and prior counsel had advised Petitioner that
that the initial plea was in her best interest, that after Petitioner entered the plea he
consulted with Petitioner on several occasions regarding her desire to withdraw the
plea, that he strongly recommended against withdrawal, and that Petitioner's ultimate
decision (and pro se motion) to withdraw the plea was a significant reason for his
request for permission to withdraw from representation. (N.T., 2/23/2015, pp. 37-45).
Similarly, again in contrast to Petitioner's version of events, Attorney Watkins
credibly testified that he meaningfully communicated plea offers and opportunities to
Petitioner and that he, too, explained the risks and ramifications of going to trial versus
accepting a plea. Specifically, after Attorney Watkins inherited the case, the
Commonwealth's offer was that Petitioner would enter an open plea to three third-
degree felonies. As part of the offer, Petitioner's daughter would plead to one count
and receive a time-served sentence. Attorney Watkins spent substantial time
explaining the advantages of the plea, as opposed to going to trial. (Id. at 10-11). He
told Petitioner that she would be facing less time with a guilty plea to the third-degree
felonies than if she was convicted of the first-degree felonies. (Id. at 25-26). He also
discussed the sentencing guidelines with Petitioner noting the statutory limits and
15
comparing first and third degree felonies. (Id. at 27). Additionally, he discussed with
Petitioner the strengths of the Commonwealth's case. (Id. at 22-23). He strongly
advised Petitioner to accept the offer that· took away the most serious felonies and
drastically reduced the number of offenses. His advice, like the advice of the attorneys
who represented Petitioner before him, was ignored.
In sum, both Attorney Velander and Attorney Watkins credibly testified that they
meaningfully communicated and discussed plea offers with Petitioner. Attorney
Velander successfully negotiated a plea that was favorable, especially when compared
to the number of crimes of which the jury found Petitioner guilty. When Petitioner
changed her mind, Attorney Velander tried to talk her out of withdrawing the plea. His
advice was ignored. Later, when Attorney Watkins recommended that Petitioner
accept a favorable plea, his advice was similarly ignored.
In contrast to the testimony of her attorneys, Petitioner's PCRA hearing
testimony regarding her plea-based claims of ineffectiveness was patently incredible,
self-serving, contrary to her prior testimony and statements to this Court, and, at times,
irrelevant or internally inconsistent. In this regard, her claim that the pre-trial
administrative separation of she and her daughter at the Monroe County Correctional
Facility constituted an impropriety that somehow prevented her from pleading guilty, a
claim also raised by her daughter, is at once specious and a red herring. The claim is
debunked in the Melissa Bucano PCRA Opinion (Appendix 1). Further, after observing
Petitioner testify, reviewing the record, and reading the submitted briefs, it is clear to
the undersigned that Petitioner's plea-based PCRA claims are based on "buyer's
remorse," and not on any act, omission, or ineffectiveness on the part of her attorneys.
16
Both the initial plea, which Petitioner accepted and then withdrew, and the plea that
was on the table immediately before trial, would have resulted in conviction of fewer
and less serious crimes and a shorter sentence than she received after going to trial
and being convicted of twenty-two crimes, including more serious felony crimes.
Petitioner was properly and fully informed of the pleas, the risks and benefits of
withdrawing the initial plea, of rejecting the subsequent offer, and of going to trial, and
the potential sentences she faced. To use a colloquialism, by ignoring the advice of
her attorneys, Petitioner, like her daughter, "rolled the dice" and lost Regret for her
decision does not allege, much less prove, ineffectiveness.
D. Additional Claims Against Attorney Watkins~ Claims 2. 3, 4, 5, and 8.
Petitioner's next five claims allege ineffectiveness against Attorney Watkins.
None of these claims holds water.
In claim two, Petitioner alleges that Attorney Watkins was ineffective for failing
to call necessary witnesses at trial. Although not completely clear, it appears from her
brief that Petitioner's third claim -- that Attorney Watkins was ineffective for failing to
adequately prepare for trial ~- is based on the assertion that Attorney Watkins failed to
interview witnesses or call expert witnesses. Both claims lack merit.
Where the underlying claim of ineffectiveness is based on counsel's failure to
present witnesses, the defendant must plead and prove that: (1) the witness existed,
(2) the witness was available, (3) counsel was informed of the existence of the witness
or should have known of their existence, (4) the witness was available and would have
testified on the defendant's behalf, and (5) the absence of the testimony prejudiced the
defendant. Commonwealth v. Purcell, 724 A.2d 293, 306 (Pa. 1999). "Trial counsel's
17
failure to call a particular witness does not constitute ineffective assistance of counsel
without some showing that the absent witness' testimony would have been beneficial
or helpful in establishing the asserted defense." Commonwealth v. Khalil, 806 A.2d
415, 422 (Pa. Super. 2002) (citing Commonwealth v. Durst, 559 A.2d 504 (Pa. 1989)).
Thus, a defendant asserting ineffective assistance based on a failure to call a
particular witness has the burden of showing trial counsel had no reasonable basis for
failing to call a witness. Commonwealth v. Small, 980 A.2d 549, 560 (Pa. 2009). A
strategic decision not to call a witness may furnish a reasonable basis for the failure to
do so, provided that counsel has made an informed strategic choice. See
Commonwealth v. Lee, 585 A.2d 1084, 1088-89 (Pa. Super. 1991). These same
standards apply when evaluating claims of ineffectiveness based on counsel's failure
to interview a witness or to call an expert witness. See Commonwealth v. Priovolos,
715 A.2d 420, 422 (Pa. 1998) (discussing standards of ineffectiveness for failing to
interview a witness) and Commonwealth v. Chmiel, 30 A. 3d 1111, 1143 (Pa. 2011)
(discussing standards of ineffectiveness for failing to call an expert witness).
In this case, Petitioner did not at the PCRA hearing call any of the witnesses
whom she contends Attorney Watkins should have interviewed or called at trial. Thus,
under the cited cases and standards, she did not establish that the witnesses were
available or that they would have testified on her behalf. Similarly, she did not factually
demonstrate that the testimony of the witnesses would have been beneficial or helpful
in establishing a defense. Additionally, since the substance of what the witnesses
purportedly would have said is not factually of record, Petitioner did not and cannot
establish prejudice. Accordingly Petitioner failed to meet her burden of proof.
18
l
,]
1
1
'j
)
;j
Alternatively, if these claims will be reviewed based on Petitioner's statements
and the arguments in her brief, the claims are bootless. In her PCRA petitions, during
the PCRA hearing, and in her brief, Petitioner contends that Attorney Watkins was
ineffective for failing to call Dr. Artamaonov, Dr. Vegari, Christopher Bucano, Attorney
Tim Daly, Attorney Abrahamsen, Attorney Conaboy, Attorney Wes Niemonski, Judi
Grate, Linda Lanzo, Jennifer Miller, PCCD Ortiz, and J. Carlos Colon.
As to these purported witnesses, Petitioner fails to substantively mention
anything about Linda Lanzo, Jennifer Miller, and PCCD Ortiz in her brief. Thus, she
has waived her claims as to theses witnesses and, in any event, has failed plead and
prove any the requirements necessary to show that counsel was ineffective for failing
to call them.
As to Doctors Artamaonov and Vegari, Petitioner wished to have these
witnesses testify to injuries she received in a car accident prior to this criminal case.
However, as Petitioner admits in her brief, the Court indicated multiple times that the
issue of Petitioner's injuries was irrelevant and not to be an issue at trial. For this
reason, Attorney Watkins had a reasonable basis for not calling those witnesses.3
As to the "failure" to call Petitioner's son, Christopher Bucano, there was no
oversight or omission. Attorney Watkins made a conscious, strategic decision not to
call him. As Attorney Watkins stated at hearing, "[i]n my opinion from a trial strategy
standpoint, the less opportunity I gave the Commonwealth to demonstrate how the
Bucano family was operating at that time, the better chance [Petitioner] had of
3 This claim would appear to have been more appropriately brought in Petitioner's direct appeal as a challenge to
Judge Sibum's ruling. Since the issue was not raised in the direct appeal, it has been waived. In any event, the
testimony Petitioner now indicates she would have liked to present was, as Judge Sibum ruled, unquestionably
irrelevant. Thus, there is and can be no merit to Petitioner's contention in any procedural or substantive context.
19
acquittal." (N.T., 2/23/2015, p. 14). In a case where the Petitioner was charged with
Corrupt Organizations, and in which two of her family members, including her son,
were charged with being part of the same corrupt organization, we believe that
deciding not call a member of Petitioner's family -- and orqanization-: was reasonable
trial strategy. See Commonwealth v. Lee, supra.
As to J. Carlos Colon, Petitioner failed to address in her brief that the witness
existed and that the witness was available and would have testified on her behalf.
Instead, she conclusorily asserts only that it was prejudice to not call him because he
could explain "what [heJ did for Ms. Bucano." As to Judi Grate, Petitioner claimed that
the putative witness was available, but did not demonstrate that Ms. Grate would have
testified on her behalf. Additionally, as to both witnesses, Petitioner did not establish
that the absence of their testimony prejudiced her. Thus, as to both of these
witnesses, Petitioner failed to satisfy the standards for ineffectiveness.
Regarding the attorneys, the absence of the testimony they would have given
did not prejudice Petitioner. Petitioner argues that the identified attorneys could have
produced evidence of monetary settlements she received to offset testimony that
insinuated Petitioner was committing fraud because of the expenses she incurred with
little income. However, Petitioner herself testified to the civil settlements that she
received. (N.T., 4/24/2012, pp. 138-39). Thus, the information was presented to the
jury and there was no prejudice in not calling the attorneys to give repetitive testimony.
As to expert witnesses and the suggestion that Attorney Watkins was ineffective
for failing to call them, Petitioner simply failed to substantively develop the claim.
20
l
1;j
Finally, in addition to the above, Attorney Watkins testified that he did not call
l several witnesses based on informed strategy. (N.T., 2/23/2015, pp. 9-10, 14-15, and
24). His testimony was credible.
Simply, Petitioner failed to demonstrate that Attorney Watkins was ineffective
for failing to interview or call witnesses.
In claim four, Petitioner asserts that Attorney Watkins was ineffective for failing
to adequately cross-examine witnesses. However, Petitioner failed to mention any
legal or factual basis for this claim and theory of relief. Where a petitioner, "fails to
meaningfully discuss each of the three ineffectiveness prongs, 'he is not entitled to
relief, and we are constrained to find such claims waived for lack of development."'
Commonwealth v. Fears, 86 A.3d 795, 804 (Pa. 2014) (citing Commonwealth v.
Steele, 599 Pa. 341, 961 A.2d 786, 797 (2008) ). Therefore, this claim is waived for
lack of development.
In claim five, Petitioner argues that Attorney Watkins was ineffective for failing
to adequately prepare her for trial. Specifically, she believes that Attorney Watkins did
not speak to her in regards to trial strategy and did not prepare her to testify at trial.
This claim is also devoid of merit.
Petitioner testified at the PCRA hearing that she never discussed either trial
strategy or the issue of whether or not she should testify at trial with Attorney Watkins.
Similarly, Petitioner testified that she did not know she was going to testify on her own
behalf until the day the trial started when Attorney Watkins supposedly told her that he
did not have a defense for her and, as a result, she would have to testify. Having
observed petitioner testify and having reviewed the record, we did not (and do not) find 'L ••
21
this self-serving testimony credible. Indeed, Petitioner's testimony is direct opposition
to her statements to this Court during trial.
Attorney Watkins testified that Petitioner was "insistent upon testifying," despite
this being against his advice. (N.T., 2/23/2015, p. 16). He also stated that he had
spent, on two separate occasions, three to four hours preparing Petitioner to testify.
(Id.) Besides this testimony, which we find credible, the record demonstrates that,
during the trial, Petitioner was colloquied before she testified. During the colloquy,
Petitioner stated that she had discussed testifying with her attorney and was doing so
of her own volition. (N.T., 4/23/2012, pp. 156 - 57). A break was taken during the
colloquy to allow additional time for Petitioner to discuss her decision with Attorney
Watkins. (Id. at 158). She stated that she was not under duress and was not being
forced or coerced to testify, but rather, was doing so of her own free will. (id. at 159).
From this evidence, we believe that Attorney Watkins properly prepared
Petitioner to testify at trial. Therefore, Petitioner's claim that Attorney Watkins was
ineffective for failing to adequately prepare her for trial fails.
In claim eight, the final claim involving Attorney Watkins, 'Petltioner maintains
that Attorney Watkins was ineffective in failing to review the Pre-Sentence
Investigation ("PSI") with her. Once again this claim has no merit, and Petitioner has
failed to show any prejudice from this action.
Where errors in a PSI are of little or no consequence attime of sentencing, the
presentence report does not prejudice a defendant. As a result, there is no basis for a
claim that trial counsel was ineffective for failure to discuss report with the defendant.
Commonwealth v. French, 390A.2d 1311, 1315 (Pa. Super. 1978).
22
Here, Petitioner fails to point to any specific inaccuracies within the PSI that
prejudiced her. Instead, she claims that Attorney Watkins must have done only a
"cursory" review of the PSI, and therefore, he must have missed some errors in the
PSL However, Attorney Watkins testified at the PCRA hearing that he received the PSI
report a few days before sentencing and reviewed the document with Petitioner. (N.T.,
2/23/2015, pp. 20). His testimony, which we find credible, derails Petitioner's
speculative claim. In addition, while there appeared to be a slight error in the PSI at
the sentencing hearing, the error was caught and addressed at the hearing. As a
result, Petitioner suffered no prejudice. (Id. at 4 - 7). Claim eight fails.
E. Claims Against Attorney Madden - Claims 10 through 15
Petitioner also raises claims of ineffectiveness against her appellate counsel,
Attorney Madden. Like the claims lodged against Attorneys Velander and Watkins,
these claims are meritless.
The first of these claims is that Attorney Madden was ineffective for failing to
appeal the denial of the recusal motion. However, on this issue, Petitioner failed to
specifically allege and argue, much less prove, the requisite prejudice. Therefore, she
failed to sustain her burden of proving ineffectiveness pertaining to the recusal motion.
Additionally, and similarly, Petitioner neither alleged nor proved that Judge
Sibum made any ruling or decision or took any action that was erroneous due to bias,
prejudice, or unfairness. lnstead, Petitioner points us to Judge Sibum's decisions
involving personal injury suits and a support case. However, Judge Sibum fully and
properly addressed those claims and issues in ruling on the motion at the time it was
made.
23
In summary, Petitioner's personal injury suit was dismissed on motion of the
defendant in the civil action for a judgment of non pros due to a prolonged period of
inactivity. The case was dismissed based on the record and on evidence presented
during a hearlng at which neither Petitioner nor her civil attorney appeared despite
notice. In the support action, Judge Sib um may have signed an order that was issued
in the case, but did not decide any substantive issue. As to both prior cases, Judge
Sibum unequivocally stated that her ability to be fair and impartial in the criminal
proceeding had not been compromised or affected. (N.T., 4/16/2012, pp. 7-11). Judge
Sibum's determination is supported by an objective assessment of the record and the
rulings she made both before and after recusal was sought. This is especially true
since the jury made the ultimate decision in the case.
Petitioner also complains that she and her co-defendant daughter were
separated at the jail, a claim asserted by her daughter, in a different context, as
discussed in the Melissa Bucano PCRA Opinion. Specifically, Petitioner claims that
Judge Sibum purposefully split up her and her daughter while they were in jail, which
action was later asserted as the basis for a pro se federal law suit that petitioner filed
against Judge Sibum and others. However, the record in this case, as well as in co-
defendant Melissa Bucano's PCRA proceeding, shows that Judge Sibum called the jail
and asked that the two be separated at the request of her daughter's attorney, that the
request of counsel was made for objectively valid reasons and purposes, and that,
once that purposes had been served, Judge Sibum allowed a request for them to be
reunited. (N.T., 4/16/12, pp. 5-7. See Melissa Bucano PCRA Opinion). As to the
federal lawsuit, the case was dismissed on a motion for dismissal pursuant to F.R.C.P.
24
l
l 12(b)(6). A litigant cannot and should not be permitted to manufacture or manipulate a
judicial recusal simply by filing a lawsuit against the presiding judge. In any event,
1
l
)
Petitioner neither pied nor proved prejudice based on being separated from her
daughter.
Simply, since Petitioner did not prove the requisite prejudice resulting from any
ruling issued by Judge Sibum or the failure of counsel to appeal the denial of the
recusal motion. Similarly, she did not establish that a challenge to the denial of
recusal had arguable merit. Accordingly, this ineffectiveness claim lacks merit.
Next, Petitioner argues that Attorney Madden was ineffective for failing to
appeal the sentence. This claim is likewise without merit.
Initially, in. order to preserve a challenge to the discretionary aspects of a
sentence on appeal, the challenge must be raised in a post-sentence motion or by
presenting the claim to the trial court during the sentencing proceedings.
Commonwealth v. McAfee, 849 A.2d 270, 275 (Pa. Super. 2004). Here, Petitioner did
not challenge her sentence either through post-sentence motions or during the
sentencing hearing. As a result, she waived the issue.
In the alternative, even if the issue is deemed to have been properly preserved,
the claim lacks arguable merit. According to Petitioner, Judge Sibum abused her
discretion by failing to properly. consider mitigating factors and by running her
sentences consecutively. This claim fails to raise the required "substantial question"
and, in any event, the record demonstrates that there was no abuse of discretion.
Sentencing is a matter within the sound discretion of the trial court. See
Commonwealth v. Walls, 926 A.2d 957 (Pa. 2007). In sentencing each particular
25
defendant, the sentencing court may select one or more options with regard to
determining the appropriate sentence to be imposed. The options include guilt without
further penalty, probation, partial confinement, or total confinement. id.; 42 Pa.C.S. §
9721(a). The court must impose a sentence that is "consistent with the protection of
the public, the gravity of the offense as it relates to the impact on the life of the victim
and on the community, and the rehabilitative needs of the defendant." 42 Pa.C.S. §
9721 (b). See Walls, 926 A.2d at 967-68; Commonwealth v. Dodge, 957 A.2d 1198,
1200 (Pa. Super. 2008) ("Dodge If'), appeal denied, 980 A.2d 605 (Pa. 2009).
The sentencing guidelines promulgated by the Pennsylvania Commission on
Sentencing are instructive and advisory, but are not binding on the sentencing court.
The court is obligated to consider the guidelines, but is under no duty to sentence a
particular defendant within the guidelines or to impose the minimum possible
confinement consistent with the guidelines. Walls, 926 A.2d at 575; Dodge II, 957 A.2d
at 1201. Nonetheless, "where a sentence is within the standard range of the
guidelines, Pennsylvania law views the sentence as appropriate under the Sentencing
Code." Commonwealth v. Moury, 992 A.2d 162, 171 (Pa. Super. 2010) (citing
Commonwealth v. Cruz-Centeno, 668 A.2d 536 (Pa. Super. 1995), appeal denied, 676
A.2d 1195 (Pa.1996)).
In general, a sentencing judge must consider pertinent facts and sentencing
factors and the force of the evidence and may not commit an error of law or inflict
punishment that exceeds statutory prescriptions. Commonwealth v. Youngkin, 427
A.2d 1356, 1369 (Pa. Super. 1981). In more specific terms, "[w]hen imposing a
sentence, a court is required to consider the particular circumstance of the offense and
26
the character of the defendant. ... ln particular, the court should refer to defendant's
prior criminal record, his age, personal characteristics and his potential for
rehabilitation." Moury, 992 A.2d at 171 (quoting Commonwealth v. Griffin, 804 A.2d 1,
10 (Pa. Super. 2002), appeal denied, 868 A.2d 1198 (Pa. 2005), cert. den, 545 US
1148 (2005)).
The court determines whether the sentence imposed should run consecutively
or concurrently with other sentences to which the defendant is subject. Jn this regard, it
is well-settled that the sentencing judge has discretion to impose a sentence
concurrently or consecutively to other sentences being imposed at the same time or to
sentences already imposed. See Commonwealth v. Mastromarino, 2 A.3d 581 (Pa.
Super. 2010) (and cases cited therein) and Commonwealth v. Marts, 889 A.2d 608
(Pa. Super. 2005) (same). See also 42 Pa. C.S.A. §9721 (a).
The court [also] determines whether aggravating circumstances exist. If
aggravating circumstances are present, "the court may impose an aggravated
sentence .... " 204 Pa. Code. § 303.13(a). A sentencing judge "has wide discretion in
sentencing and can, on the appropriate record and for the appropriate reasons,
consider any legal factor in imposing a sentence in the ·aggravated range."
Commonwealth v. Stewart, 867 A.2d 589, 593 (Pa. Super. 2005) (citation omitted).
See also Commonwealth v. Duffy, 491 A.2d 230, 233 (Pa. Super. 1985) (holding that a
sentencing judge may consider any legal factor in deciding whether a defendant
should be sentenced within the aggravated range). A sentencing judge may even
consider uncharged criminal conduct for sentencing purposes.
Not only does the case law authorize a sentencing court to
consider unprosecuted criminal conduct, the sentencing
27
1
1
1 guidelines essentially mandate such consideration when a
j
prior record score inadequately reflects a defendant's
criminal background.
Commonwealth v. P.L.S., 894 A.2d 120, 131 (Pa. Super. 2006), appeal denied, 906
A.2d 542 (Pa. 2006). See also 204 Pa. Code §303.5(d).
The sentencing judge must state his or her reasons for the sentence on the
record. 42 Pa.C.S.A. § 9721 (b). The judge may satisfy this requirement by stating or
demonstrating at time of sentencing that the judge has been informed of the reasons
by the PSI report. Commonwealth v. Coss, 695 A.2d 831, 834 (Pa. Super. 1997); 42
Pa.C.S.A. § 9721 (b). When, as here, a PSI report exists, the law presumes that
the sentencing judge was aware of the relevant information
regarding the defendant's character and weighed those
considerations along with mitigating statutory factors. A
pre-sentence report constitutes the record and speaks for
itself .... [Sentencing courts} are under no compulsion to
employ checklists or any extended or systematic definitions
of their punishment procedure. Having been fully informed
by the pre-sentence report, the sentencing court's
discretion should not be disturbed. This is particularly true
... in those circumstances where it can be demonstrated
that the judge had any degree of awareness of the
sentencing considerations, and there we will presume also
that the weighing process took place in a meaningful
fashion. It would be foolish, indeed, to take the position
that if a court is in possession of the facts, it will fail to apply
them to the case at hand.
Commonwealth v. Devers, 546 A.2d at 18. See also Moury, 992 A.2d at 171;
Commonwealth v. Fowler, 893 A.2d 758 (Pa. Super. 2006); Commonwealth v. Tirado,
870 A.2d 362 (Pa. Super. 2005); Commonwealth v. Burns, 765 A.2d 1144, 1150-1151
(Pa. Super. 2000). In this regard, a sentencing judge is not required, when grving the
reasons for a particular sentence, to make a specific reference to the factors set forth
ln the sentenclnq Code that were considered in deciding the sentence, but the record
28
as a whole must reflect . that the judge in fact considered the sentencing factors.
Commonwealth v. Coulverson, 34 A. 3d 135, 145,.146 (Pa. Super. 2011 ).
When imposing a sentence within the guidelines that departs from the standard
range, the sentencing judge must state on the record his or her reasons for the
sentence in the aggravated or mitigated range. 204 Pa. Code § 303 .13. See
Commonwealth v. Garcia-Rivera, 983 A.2d 777 (Pa. Super. 2009); Commonwealth v.
Hoover, 492 A.2d 443 (Pa. Super. 1985). Similarly, if the sentencing court imposes a
sentence outside of the guidelines, it must provide a sufficient statement of its reasons
for the deviation, and its failure to do so may constitute grounds for resentencing.
Walls, 926 A.2d at 963. See Commonwealth v. Warren, 84 A.3d 1092 (Pa. Super.
2014); 42 Pa.C.S. § 9721; 204 Pa. Code§ 303.1.
While a sentencing judge may satisfy the requirement to state reasons for the
sentence given in a variety of ways, the reasons must be articulated at the time
sentence is imposed and may not be supplied later in an appeal opinion issued in
accordance with Pa. R.A.P. 1925(a). See Commonwealth v. Giles, 449 A.2d 641 (Pa.
Super. 1982) (and cases cited therein). Accordingly, the intent of a judge's given
sentence is determined at sentencing, rather than after an appeal from the judgment of
sentence has been taken. (Id.).
In sum, our sentencing laws establish a framework for sentencing. Within the
established framework, trial courts have broad discretion in determining the range of
permissible confinements that best suits the particular defendant and the
circumstances surrounding the event. See Commonwealth v. Moore, 617 A.2d 8, 12
(Pa. Super. 1992).
29
The statutory and judicial standards of review are reflective of the type of
discretion vested in sentencing courts. Statutorily, the Sentencing Code prescribes a
slightly different standard of appellate review for sentences that are outside the
guidelines as opposed to sentences that fall within guideline ranges. Sentences that
fall within guideline ranges are subject the "clearly unreasonable" standard of 42 Pa.
C.S.A. Section 9781 (c)(2), while sentences that fall outside the guidelines are subject
to the "unreasonable" standard of Section 9781 (c)(3). An "unreasonable" decision from
the sentencing court would be one that is " 'irrational' or 'not guided by sound
judgment.' " Walls, 926 A.2d at 963. See also Dodge II, 957 A.2d at 1200; 42 Pa.
C.S.A. § 9781 (c)(2) and (3).
Judicially, our Supreme Court has articulated the appellate standard of review
as follows:
[T]he proper standard of review when considering whether
to affirm the sentencing court's determination is an abuse
of discretion .... [A]n abuse of discretion is more than a mere
error of judgment; thus, a sentencing court will not have
abused its discretion unless the record discloses that the
judgment exercised was manifestly unreasonable, or the
result of partiality, prejudice, bias, or ill-will. In more
expansive terms, our Court recently offered: an abuse of
discretion may not be found merely because an appellate
court might have reached a different conclusion, but
requires a result of manifest unreasonableness, or
partiality, prejudice, bias, or ill-will, or such lack of support
so as to be clearly erroneous.
The rationale behind such broad discretion and the
concomitantly deferential standard of appellate review is
that the sentencing court is in the best position to
determine the proper penalty for a particular offense based
upon an evaluation of the individual circumstances before
it.
30
Commonwealth v. Walls, 926 A.2d at 961 (internal citations, quotation marks, and
footnote omitted).
Challenges to the discretionary aspects of sentencing do not entitle a defendant
to review as of right. In order to establish that review is warranted, the appellant must
demonstrate that there is a substantial question that the sentence appealed from is not
appropriate under the Sentencing Code. A substantial question exists only when the
defendant advances a colorable argument that the sentencing judge's actions were
either: 1) inconsistent with a specific provision of the Sentencing Code; or 2) contrary
to the fundamental norms of the sentencing process. See Commonwealth v. Mouzon,
812 A.2d 617, 627-628 (Pa. 2002) (plurality); Commonwealth v. Crump, 995 A.2d
1280, 1282 (Pa. Super. 2010), appeal denied, 13 A.3d 475 (Pa. 2010); Moury, supra;
Commonwealth v. Sierra, 752 A.2d 91 O (Pa. Super. 2000). These issues must be
examined and determined on a case-by-case basis. Commonwealth v. Marts, 889
A.2d 608, 613 (Pa. Super. 2005).
Before reviewing the discretionary aspects of a sentencing claim, the Superior
Court conducts:
a four-part analysis to determine: (1) whether appellant has
filed a timely notice of appeal, see Pa.R.A.P. 902 and 903;
(2) whether the issue was properly preserved at sentencing
or in a motion to reconsider and modify sentence, see
Pa.R.Crim.P. [720J; (3) whether appellant's brief has a fatal
defect, Pa.RAP. 2119(f); and (4) whether there is a
substantial question that the sentence appealed from is not
appropriate under the Sentencing Code, 42 Pa.C.S.A. §
9781(b) .... Objections to the discretionary aspects of a
sentence are generally waived if they are not raised at the
sentencing hearing or raised in a motion to modify the
sentence imposed at that hearing.
31
Commonwealth v. Evans, 901 A.2d 528, 533 (Pa. Super. 2006), appeal denied, 909
A.2d 303 (Pa. 2006) (citations and quotation marks omitted). See also Commonwealth
v. Oree, 911 A.2d 169 (Pa. Super. 2006) (explaining challenges to discretionary
aspects of sentencing must be raised in post-sentence motion or during sentencing
proceedings; absent such efforts, claim is waived; inclusion of discretionary aspects of
sentencing claim in Pa.R.A.P. 1925(b) statement will not cure waiver), appeal denied,
918 A.2d 744 (Pa. 2007).
"An allegation that a sentencing court 'failed to consider' or 'did not adequately
consider' certain factors does not raise a substantial question that the sentence was
inappropriate. Such a challenge goes to the weight accorded the evidence and will not
be considered absent extraordinary circumstances." Commonwealth v. Hoag, 665
A.2d 1212, 1214 (Pa. Super. 1995). Also, it is now well-settled that the imposition of
consecutive, rather than concurrent, sentences generally does not raise a substantial
question. Such a claim may raise a substantial question in only the most extreme
circumstances, such as where the aggregate sentence is unduly harsh and prima facie
appears excessive considering the criminal conduct that occurred in the case, the
nature of the crimes, and the length of imprisonment. See Commonwealth v. Dodge,
77 A.3d 1263 (Pa. Super. 2013) ("Dodge Ill") (and cases cited therein), appeal denied,
91 A.3d 161 (Pa. 2014); Commonwealth v. Mastromarino, supra (same);
Commonwealth v. Moury, supra (same). As the Superior Court stated in Dodge///:
To make it clear, a defendant may raise a substantial question
where he receives consecutive sentences within the guideline
ranges if the case involves circumstances where the application
of the guidelines would be clearly unreasonable, resulting in an
excessive sentence; however, a bald claim of excessiveness
32
l
'i
·.f
1
1
l
i due to the consecutive nature of a sentence will not raise a
substantial question.
I Dodge If/, 77 A.3d at 1270 (emphasis in oriqinal: citations and footnote omitted).
l
j
In this case, Petitioner's bald claims that Judge Sibum failed to properly
consider mitigating factors does not raise the requisite substantial question. In any
event, since there was a PSI that was reviewed by the sentencing judge, and because
reasons for imposition of the sentence were stated on the record, Petitioner's claims
substantively lack even arguable merit.
Similarly, the separate but related contention that imposition of consecutive
sentences was improper fails to state the requisite substantial question and, in the
alternative, is substantively without merit. This case simply does not present "extreme
circumstances" and, objectively, the aggregate sentence is not unduly harsh
considering the criminal conduct that occurred in the case, the nature of the crimes,
and the length of imprisonment. See Dodge Ill, supra. On the contrary, considering
that Petitioner's criminal enterprise was a sophisticated operation that spanned ten
years, that Petitioner involved her children, that large sums of money were stolen, and
that Petitioner failed to show remorse, the sentence was neither extreme nor harsh.
Additionally, Judge Sibum adequately stated her reasons for imposing the sentence on
the record.
Finally, Petitioner's comparison of her sentence to that of co-defendant Judi
Grate is made of whole cloth. As Judge Sibum noted at time of sentencing, Grate pied
guilty to substantially fewer and less serious charges than the offenses of which
Petitioner was convicted by the jury. (N.T., 4/7/2012, p. 3).Specifically, Grate pied
33
guilty to third-degree felonies, with the Corrupt Organizations charges being
withdrawn.
In sum, Petitioner's sentencing challenge and the claim that counsel was
ineffective for failing to appeal the sentence are baseless.
Petitioner next claims that Attorney Madden was ineffective for failing to appeal
the denial of-Petitioner's request to sever this case from Grate's case. This claim lacks
merit for three reasons. First, Petitioner and Grate were not tried together. As noted,
Grate pJed guilty before trial. Accordingly, there was no basis on which to appeal the
denial of the severance motion. Second, as also noted, a petitioner is not eligible for
PCRA relief if the issue was previously litigated or waived. Previously litigated means
the highest appellate court in which the petitioner could have had review as a matter of
right has ruled on the merits of the issue. 42 Pa. C.S.A. §§ 9542, 9544(a). The issue of
evidence involving Grate being used at trial was raised on direct appeal and
addressed by the Superior Court, which found that the evidence was properly admitted
at trial, and Petitioner did not thereafter file a petition for allowance of appeal. Finally,
as with other ineffectiveness claims, Petitioner failed to demonstrate the requisite
prejudice. For these reasons, the severance-based ineffectiveness claim fails.
Petitioner further alleges that Attorney Madden was ineffective in writing a brief
that "was lacking" and in failing to produce a complete appeal record. According to
Petitioner, the Superior Court's memorandum opinion in her direct appeal indicated
that the certified record was not complete and noted a lack of citation to the record.
However, Petitioner failed to establish what prejudice this caused her. This is most
likely because the Superior Court substantively ruled on the issue (evidence
34
concerning Grate) for which it pointed out the lack of citation to specific portions in the
record. In addition, Petitioner failed to produce any missing parts of the record or even
to establish that the allegedly missing evidence exists. Without a showing of prejudice,
and given that the Superior Court was able to rule on the substantive issues raised,
this ineffectiveness claim cannot stand.
Petitioner's final claim is that Attorney Madden failed to adequately
communicate with her because Attorney Madden failed to send her a copy of the
appellate brief filed in her direct appeal before the brief was mailed to the Superior
Court. Defendant offers no legal authority for the proposition that an attorney may be
required to provide a client with a draft of an appellate brief. Moreover, the sole
assertion of prejudice for this claim is that Petitioner does not think that she committed
forgery despite the jury finding otherwise. As to this contention, it is hard to imagine
how Petitioner's assertion of innocence and disagreement with the verdict would have
prompted the Superior Court to order a new trial or to find that there was insufficient
evidence of forgery. This is especially true since Petitioner did not advance the legal
argument she would have made, or that she would have had appellate counsel make,
had she been provided with a copy of the brief. Additionally, even if some obligation to
provide an advance, draft copy of an appellate brief exists, Attorney Madden had a
reasonable basis for mailing her brief before giving Petitioner a copy. As noted,
Attorney Madden was appointed to replace Attorney Watkins after the direct appeal
had been filed. With the time constraints and filing deadlines Attorney Madden faced,
she did not finish the brief until two days before it was due. Accordingly, there was no
time for Petitioner, who was at the time incarcerated, to review the brief before it was
35
sent to the Superior Court. (N.T., 2/23/15, p. 67). Once again, Petitioner failed to
demonstrate prejudice or establish that, but for the purported error, the result of the
appeal would have been different.
For these reasons, as well as those cited in the separate but related opinions
referenced above, we denied Petitioner's request for relief under the PCRA. Her
ineffectiveness claims were either waived or lacking in arguable merit. In addition,
Petitioner failed to establish prejudice. Her assignments of error, which mirror her
ineffectiveness claims, are meritless for the same reasons.
J.
Cc: Superior Court of Pennsylvania
Jonathan Mark, J.
Kelly M. Sekula, Esq., Sr. DAG
Holly B. Conway, Esq.
'I
36