FILED
United States Court of Appeals
Tenth Circuit
PUBLISH June 17, 2013
Elisabeth A. Shumaker
UNITED STATES COURT OF APPEALS Clerk of Court
TENTH CIRCUIT
UNITED STATES OF AMERICA,
Plaintiff - Appellee,
v. Nos. 11-3366 & 11-3374
FABIAN DUNBAR,
Defendant - Appellant.
APPEAL FROM THE UNITED STATES DISTRICT COURT
FOR THE DISTRICT OF KANSAS
(D.C. NOS. 2:10-CR-20076-KHV-13 and 2:05-CR-20113-KHV-1)
Jill M. Wichlens, Assistant Federal Public Defender, (Raymond P. Moore, Federal
Public Defender, Veronica S. Rossman and O. Dean Sanderford, Assistant Federal
Public Defenders, with her on the brief), Denver, Colorado, for Defendant -
Appellant.
James A. Brown, Assistant United States Attorney, (Barry R. Grissom, United
States Attorney, with him on the brief), Topeka, Kansas, for Plaintiff - Appellee.
Before HARTZ, BALDOCK, and GORSUCH, Circuit Judges.
HARTZ, Circuit Judge.
Defendant Fabian Dunbar pleaded guilty in the United States District Court
for the District of Kansas to distributing cocaine. The plea was conditioned on
the district court’s imposing a sentence of 48 months’ imprisonment, as set forth
in a plea agreement between Defendant and the government under Fed. R. Crim.
P. 11(c)(1)(C). The agreement also stated that the parties would recommend a
consecutive sentence of 12 months’ imprisonment for Defendant’s violating his
supervised release from a 2006 sentence. The agreement did not include a waiver
of Defendant’s right to appeal.
The district court set the same time for hearings to sentence Defendant on
the drug-distribution charge and to consider the petition charging him with
violations of his supervised release. The court announced that it would begin
with sentencing on the drug charge. But when it asked whether defense counsel
had any objections to the presentence report (PSR), defense counsel responded
that Defendant was dissatisfied with his performance and wanted new counsel.
During the ensuing discussion of whether to replace defense counsel, Defendant
submitted a pro se pleading that complained of counsel’s performance in
connection with his guilty plea and asserted that Defendant had “mental
disabilities.” R., Vol. 1 at 75. After further discussion the court ruled that
counsel should continue representing Defendant and sentenced Defendant to 48
months’ imprisonment on the drug charge.
Next the court turned to the charges that Defendant had violated the terms
of supervised release. It found that Defendant had committed the violations, but
it declined to accept the parties’ recommendation of a 12-month sentence and
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proposed three years. Defendant protested that his counsel had assured him that
the recommended 12-month sentence was binding on the court, and asserted that
he would have gone to trial on the drug-distribution charge if he had known that
he could receive a sentence of more than 12 months’ imprisonment for violating
his supervised release. Defense counsel denied telling Defendant that the
recommendation was binding, and the court sentenced Defendant to 36 months’
imprisonment, to run consecutively to his 48-month sentence.
Defendant appeals both his distribution conviction and the revocation of
supervised release. He raises four challenges: (1) that the district court
conducted an inadequate inquiry into his request for new counsel and abused its
discretion in denying his request; (2) that the district court abused its discretion in
failing to construe his pro se pleading and various oral protests as motions to
withdraw his plea; (3) that his plea was not knowing and voluntary because his
counsel had given him inaccurate information; and (4) that his sentence on
revocation of supervised release was procedurally and substantively unreasonable.
Exercising jurisdiction under 28 U.S.C. § 1291, we affirm. First, the
district court conducted an adequate inquiry into Defendant’s request for new
counsel, and did not abuse its discretion in denying the request because defense
counsel’s explanation could persuade a reasonable jurist that counsel’s
performance had been satisfactory and that any failures of communication had
been Defendant’s fault. Second, the court did not err in declining to treat
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Defendant’s pro se pleading and oral statements as motions to withdraw his plea
because Defendant was represented by counsel who did not make a timely motion
to permit withdrawal of the plea and Defendant’s statements in any event were
unclear or untimely. Third, Defendant did not raise in district court a challenge to
the validity of his plea, and there is no plain error because the pertinent facts are
not established in the record. And fourth, as to Defendant’s sentence on violation
of the terms of supervised release, he has failed to show plain error with respect
to the procedural reasonableness of his sentence and his sentence was not
substantively unreasonable.
I. BACKGROUND
A. Proceedings Before Plea to 2011 Drug Charge
In August 2006 Defendant pleaded guilty to the offense of possession of
five grams or more of cocaine base with intent to distribute (the 2006
Conviction). See 21 U.S.C. § 841(a)(1). He was eventually sentenced to 60
months’ imprisonment, to be followed by a term of four years’ supervised release.
In November 2009 Defendant was transferred from a prison to a halfway house to
complete his sentence. He was released from the halfway house and placed on
supervised release in May 2010.
That December Defendant was indicted for being a felon in possession of a
firearm. The government also filed a petition to revoke his supervised release,
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alleging his firearm offense, failure to report in person to the probation office,
and failure to inform the probation office that he had left his job.
In a separate indictment filed the next month, Defendant was charged with
conspiring between January 2009 and May 2010 to manufacture and distribute 50
grams or more of cocaine base. See id. §§ 841(a)(1), (b)(1)(A)(iii); id. § 846.
Because Defendant had a prior felony drug conviction, he faced a statutory
mandatory-minimum sentence of 10 years’ imprisonment and a maximum
sentence of life imprisonment. See id. § 841(b)(1)(B)(iii).
The district court held separate trials on the gun-possession and drug-
conspiracy charges. A jury acquitted Defendant of the gun-possession charge. At
the conspiracy trial the jury deadlocked, and the judge declared a mistrial.
B. Plea Agreement
Defendant then engaged in plea negotiations with the government. To
encourage a guilty plea, the government stated that before any retrial it would file
a superseding indictment charging Defendant with a drug offense that would carry
a mandatory minimum sentence of 20 years’ imprisonment. The parties reached
an agreement, and on September 19, 2011, the government filed a superseding
information accusing Defendant of distributing and possessing with intent to
distribute an unspecified amount of cocaine base (carrying no mandatory
minimum sentence, see id. § 841(b)(1)(C)), and Defendant filed a petition to enter
a guilty plea to the information. Under the agreement the government would
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dismiss the conspiracy count in the indictment. Further, the parties agreed to a
48-month sentence under Fed. R. Crim. P. 11(c)(1)(C), recognizing that
Defendant could withdraw his guilty plea if the district court did not agree to the
stipulated sentence. See Fed. R. Crim. P. 11(c)(5), (d)(2)(A). They also agreed to
recommend a sentence of 12 months’ imprisonment for Defendant’s violation of
his supervised release from his 2006 Conviction. 1
After conducting a plea colloquy the district court found that Defendant
was competent to enter the plea, had entered the plea knowingly and voluntarily,
and was guilty of the offense.
1
This portion of the agreement in Case Number 10-20076-13-KHV stated:
3. Proposed (c)(1)(C) Sentence. The parties propose, as an
appropriate disposition of this case, a sentence of 48 months
imprisonment on Count 1; 6 years of supervised release; no fine; and,
the mandatory special assessment of $100 to be paid during the
defendant’s incarceration. This [sic] parties agree to jointly
recommend that this sentence will run consecutively to a 12 month
term of imprisonment in Case Number 05-20113-01-KHV [the 2006
Conviction], for which the defendant faces revocation of supervised
release. The parties seek this binding plea agreement as an
appropriate disposition of the case because it brings certainty to the
sentencing process and assures that the defendant and the
government will benefit from the bargain they have struck if the
Court permits itself to be bound by the proposed sentence; the
interests of justice are served by the sentence, thereby assuring that
the sentence is consistent with the sentencing factors of 18 U.S.C.
§ 3553(a); and if the Court does not agree with the sentence, the
parties may be restored to the positions they maintained prior to
reaching this plea agreement. . . .
R., Vol. 1 at 62–63 (emphasis added).
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C. The Sentencing Hearing
The district court (although not the judge who had accepted the plea) set
the same time for sentencing on the 2011 drug charge and the hearing on the
petition to revoke Defendant’s supervised release. Soon after the court
announced that it would start with the sentencing, defense counsel stated that
Defendant was dissatisfied with his representation and wanted new counsel
appointed for him. He said that Defendant was “not listening at all,” R., Vol. 2,
pt. 5 at 808, and explained:
[W]hen I come up to go over the original presentence investigation
with him, I came up to meet with him, I had forgotten the actual
physical document. I told him what was contained in it, I told him
what the numbers were. As the Court can see from the presentence
report, we didn’t actually participate in it because of the 11(c)(1)(C)
filing. I told him what the numbers were. Mr. Dunbar then
immediately just left the interview room and would no longer talk.
I sent him a copy of the report. I also came back up to go over
that with him and also after we had gotten the notice that we were
doing the revocation, to go over the provision relative to the
revocation, the standards on the revocation, and the general process
of how that would work. At which point in time he wouldn’t listen
to anything and said, I’m just not listening anymore. I want to be
done. I want to object to the PSR. I said what do you want to object
to?
He was upset that the amounts—in this particular case, the
numbers are essentially irrelevant, as I went over that with him,
because of the 11(c)(1)(C). And he said, no, they still place me with
too much amounts. And I tried to explain to him with different
amounts it won’t actually impact the numbers.
But he doesn’t want to listen anymore, he doesn’t believe I am
advocating for him, and would like new counsel appointed. And,
again, we just aren’t communicating at all. Apparently, as
Mr. Dunbar comes in today, he would still like new counsel.
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Id. at 809–10. The court asked Defendant why he was worried about the drug
amounts in the PSR when they would make no difference to his sentence if it
accepted the plea agreement. But Defendant was not responsive. He said:
My point—like he come up—my objection to the PSI [sic] was
[due] November 5th—November 7th. He come up [to the prison] on
the 15th. And then he go—then he talk about he forgot [to bring the
PSR] and he come up on Friday right before we go to court trying to
go over it.
Somebody else had to go over it with me. He didn’t never
go—the PSI—he ain’t never told me about the sentence and how it
went to or nothing. . . .
Id. at 810–11. Defendant also argued that his counsel should have objected to
other matters in the PSR. After his counsel said that Defendant was referring to
paragraphs 52 and 53 of the PSR, the court questioned Defendant about what was
erroneous in those paragraphs. Although Defendant raised one complaint, the
PSR conformed to what he asserted and ultimately he responded only, “I don’t
know.” Id. at 814.
Defendant also expressed confusion about the guidelines recommended
sentence for violating his supervised release:
At this point he and I don’t see eye-to-eye since he been my attorney.
And he know and I know, and he’ll tell you that. Now today it’s
something different now he talking about like on a plea it was a year
revoked, now it’s something else, 15 months, 21 months, now it just
changed all of a sudden. But in the Plea Agreement, it just say one
year [for the sentence for the supervised-release violation].
Id. at 815. Defense counsel explained that earlier that day he had told Defendant
that although the parties would recommend a 12-month sentence on revocation,
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the guidelines range was actually 15 to 21 months. But the prosecutor corrected
him, stating that the true range was 8 to 14 months. The court confirmed that the
recommended sentence fell within the guidelines range, and asked defense
counsel and the prosecutor whether the recommended sentence was binding. Both
said it was not, and defense counsel added, “And that’s what I explained to
Mr. Dunbar as well.” Id. at 818. The court then asked Defendant, “So what’s the
problem?” Id. He responded: “I ain’t got nothing to say.” Id.
At that point Defendant handed the court a hand-written pro se pleading
titled, “Judicial Notice of Adjudicative Facts and Preserving of All Appealable
Issues” (the Pro Se Pleading), which listed grievances with his counsel, id., Vol. 1
at 75; it said:
Comes now defendant, Fabian Dunbar setting forth the above entitled
Judicial Notice and submitting the following facts, to wit:
FACTS
1. Defendant has in fact been mis-informed (by his attorney) to enter
into a guilty plea;
2. Defense counsel failed to communicate adequately and properly
investigate defense facts;
3. Defense counsel failed to suppress evidence and/or request
dismissal of the case (herein) with prejudice because said case is
fundamentally unfair due to being founded upon hearsay and other
excludable evidence;
4. Defense counsel knowingly acted to instill fear into defendant to
induce a guilty plea;
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5. Defendant preserves and invokes all rights hereby that he is a
disabled person with mental disabilities, that were not evaluated.
Id. After the court summarized the pleading, Defendant explained: “I just said
I’m talking about my appeal rights. . . . He told me I have my appeal rights even
though I took a plea in this case.” Id., Vol. 2, pt. 5 at 820. The court responded,
“I’m sorry, did you say appeal rights?” Id. And when Defendant answered yes,
the court said, “Okay. So we will docket this as a Notice of Appeal.” Id.
After this exchange the court asked Defendant whether he suffered from
mental disabilities, as he had stated in his Pro Se Pleading, and whether he was
“competent to go forward with sentencing.” Id. Defendant said that he suffered
from mental disabilities and could not “really read,” id., but he did not know if he
was competent to proceed. The court then turned to defense counsel, who
described Defendant as mentally competent:
[T]hroughout the course of these proceedings, [Defendant] is
accurate in the fact that at times our relationship has been somewhat
confrontational. But I would also say that in that confrontation he is
extremely adroit at moderately complex legal concepts. In fact, prior
to the last trial, we had extended discussions relative to the nature
and element of what a conspiracy is and the aspects of that
conspiracy relative to the weights and measures attributable to an
individual.
I think [Defendant] is quite adept in those concepts and, again,
I think he’s been quite intelligent, frankly. I think—he’s very street
savvy. He does not read well and I acknowledge that. And we’ve
tried to do some other things, but I think he’s extremely bright,
actually, and certainly has the capability of understanding what is
going on, I think, to a great degree.
Id. at 821–22 (emphasis added).
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The court asked Defendant whether he agreed with his counsel’s
assessment. In the exchange that followed, Defendant said: “I only got a
learning disability. . . . Reading and paying attention—like—it’s like reading and
it’s like learn or not. I can’t really focus that much, you know, I had a hard
time.” Id. at 823. Defendant’s mother, who was in the courtroom, added that
Defendant had suffered from mental disabilities as a child:
He had a learning disability and it was also diagnosed at one a point
[sic] his motor skills were deteriorating, so—but he’s always had
problems in school with reading and, you know, comprehending. He
just, you know, just really can’t do—and one time he had
psychologist we had that came to the house. We had different people
in and out of his life, you know, we even had someone come out to
the house.
Id. at 824. The court concluded that it would not replace defense counsel because
Defendant had not “shown good reason to substitute” his attorney so late in the
proceedings. Id. at 827.
The court turned to the merits of the plea agreement, hearing from counsel
and offering Defendant an opportunity to speak. It accepted the plea agreement
and sentenced Defendant to 48 months’ imprisonment and six years’ supervised
release on the 2011 charge.
Next the court considered the charge that Defendant had violated the terms
of his supervised release from his 2006 Conviction. Defense counsel stipulated
that Defendant had violated his supervised release by committing the crime
charged in the 2011 information (which actually occurred before the
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commencement of his supervised release) and by failing to report to probation
officers. And the court found that he had committed the firearm offense of which
he had been acquitted.
The court informed the parties that it intended to reject the parties’
recommended sentence of 12 months’ imprisonment and instead impose a
sentence of 36 months, which was the statutory maximum because his conviction
had been for a Class B felony. See 18 U.S.C. § 3583(e)(3). When the district
court asked Defendant if he wanted to say anything, he claimed that he had agreed
to at most a one-year sentence for violating his supervised release:
The Defendant: I mean, my whole thing was they told me 48 months
with a year. And I didn’t know nothing about no three. No three
years on top of it. I’m really confused.
The Court: Okay. Well, the 12 months that you’re talking about was
not binding on the Court.
The Defendant: I mean, if I would have knew that, I might as well
just go to my life in here. I might as well have went to trial. That’s
how I would have felt.
R., Vol. 2, pt. 5 at 850.
The court questioned Defendant further, but he continued to insist that he
“would have just went to trial” if he had known that the 12-month sentence was
not binding. Id. at 851. It then asked defense counsel again whether he had
explained to Defendant that the 12-month sentence for violating his supervised
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release, although recommended by the parties, was not binding on the court.
Defense counsel asserted that he had properly informed Defendant:
I did, Your Honor, and I will state specifically also that I told him I
thought that was a good likelihood the Court would go along with
that because that’s what Mr. Carvin got in the companion case
relative to the first one. I did tell him I thought that was a good
chance, but I did not tell him I thought that was mandatory.
Id. at 856.
Defendant, however, continued to assert that he had been misled and would
not have pleaded guilty if he had understood the plea agreement. The court told
him that “[i]f your guilty plea was not a knowing plea and a voluntarily [sic] plea,
then you should file a motion to vacate it and then the Court will decide whether
to vacate it or not,” id. at 859, but it advised him that “you need to talk with your
attorney about this,” id., and noted that “[i]t’s not necessarily in your best
interests to get the plea vacated because you got a very favorable agreement here
with the government,” id.
Defendant then protested that he was innocent, claiming, “I never messed
up on supervised release—I reported, monthly report, I did all of that with no
problem and no dirties or nothing. . . . I wasn’t selling no drugs. I just plead to
it.” Id. at 861. The district court told Defendant that he should talk to his lawyer
before “continu[ing] along these lines” because he was likely violating the plea
agreement, id. at 862, and sentenced him to three years’ imprisonment. After
sentence was pronounced, Defendant said: “I can’t understand. I might as well
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just take my plea back.” Id. at 865. The court responded: “You don’t have the
right to take your plea back.” Id.
Defendant raises four grounds for reversal: (1) that the district court
conducted an inadequate inquiry into his request for new counsel and abused its
discretion in denying his request; (2) that the district court abused its discretion in
failing to construe the Pro Se Pleading and various oral statements as motions to
withdraw his plea; (3) that his plea was not knowing and voluntary because he
thought that the 12-month recommendation was binding on the court, and his
counsel misinformed him of his sentencing exposure if the government filed a
superseding indictment; and (4) his sentence on revocation of supervised release
was procedurally and substantively unreasonable. We address each argument in
turn.
II. DISCUSSION
A. Denial of Motion to Substitute Counsel
“To warrant a substitution of counsel, the defendant must show good cause,
such as a conflict of interest, a complete breakdown of communication or an
irreconcilable conflict which leads to an apparently unjust verdict.” United States
v. Lott, 310 F.3d 1231, 1249 (10th Cir. 2002) (internal quotation marks omitted).
“[M]ere strategic disagreement between a defendant and his attorney” is not
enough to show good cause; “rather, there must be a total breakdown in
communications.” Id. When presented with a motion to substitute counsel, “[t]he
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district court is under a duty to make formal inquiry into the defendant’s reasons
for dissatisfaction with present counsel.” United States v. Anderson, 189 F.3d
1201, 1210 (10th Cir. 1999) (internal quotation marks omitted). We review for
abuse of discretion. See United States v. Hutchinson, 573 F.3d 1011, 1024 (10th
Cir. 2009). “It is only when the district court’s decision is legally erroneous, or
when the facts are so lopsided against the option the district court has chosen
(even when abiding the rule a district court’s factual findings may be reversed
only when clearly erroneous), that we reverse.” Id. We examine (1) the timing of
the motion, (2) the adequacy of the trial court’s inquiry into the reasons for the
motion, (3) “whether the defendant-attorney conflict was so great that it led to a
total lack of communication precluding an adequate defense,” and (4) “whether
the defendant substantially and unreasonably contributed to the communication
breakdown.” Lott, 310 F.3d at 1250. In the absence of specific findings by the
court, we construe the evidence in the light most favorable to the court’s ruling.
See United States v. Jenkins, 175 F.3d 1208, 1212 (10th Cir. 1999).
Defendant argues that he demonstrated good cause for substitution of
counsel because: (1) he lost faith in his counsel; (2) there was no meaningful
communication between Defendant and his counsel; and (3) Defendant had
legitimate reasons for losing faith in his counsel because counsel (a) had failed to
object to the drug amounts and criminal-history score in the PSR, (b) did not meet
with Defendant about the PSR until after the objections were due, (c) did not
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inform Defendant of the possible length of his sentence on revocation, (d)
described Defendant as “extremely bright,” R., Vol. 2, pt. 5 at 822, even though
he was “functionally illiterate and mentally disabled,” Aplt. Br. at 54, and (e)
stipulated to Defendant’s violation of his supervised release even though
Defendant claimed he was innocent. And he contends that the district court
conducted an inadequate inquiry into his request for substitution of counsel
because it (1) denied the motion without fully understanding the basis of
Defendant’s complaints, (2) focused on Defendant’s objections to the PSR rather
than his problems with counsel, and (3) put the burden entirely on Defendant to
explain why substitution was appropriate even though his ability to express
himself was hampered by his mental retardation.
We are not persuaded. We begin with the claims of deficient
representation. The district court could properly find that defense counsel’s
performance had been satisfactory. Defendant has not explained what purpose
would have been served by his counsel’s challenging anything in the PSR; his
stipulated sentence was not based on the PSR, and, as the court noted, had it
rejected the plea agreement, Defendant would have gone back to square one and
have had the opportunity to challenge the PSR if later found guilty. Likewise,
there was no reason for counsel to meet with Defendant about the PSR before the
sentencing hearing. Also, if the court believed the representations of counsel, as
it could reasonably do, then Defendant had been told that he was not guaranteed a
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one-year sentence on revocation, and was competent to understand the plea
agreement. As to the assertion that counsel had improperly stipulated to
violations of his supervised release, the stipulation occurred after the court had
denied the motion to replace counsel, so it is irrelevant to our review of the
denial. But in any event, Defendant voiced no objection at the time of the
stipulation, he had already admitted to his drug-distribution offense, and he did
not assert his innocence until he was informed of his sentence on revocation. The
court consequently had no reason to believe that counsel’s stipulation had been
contrary to Defendant’s wishes. Thus, the record supports a determination that
Defendant had no justification for losing faith in his attorney. And the court
could reasonably credit counsel’s comments to the effect that Defendant was the
one solely responsible for any failure of communication. See Lott, 310 F.3d at
1250 (court must examine “whether the defendant substantially and unreasonably
contributed to the communication breakdown”).
We likewise see no merit to Defendant’s argument that the district court’s
inquiry was inadequate. The court afforded defense counsel and Defendant ample
opportunity to explain Defendant’s grievances. That Defendant was unpersuasive
was not because he was denied the chance to express himself. There is no reason
to believe that the court did not understand Defendant’s complaints or ignored
any of them. As to Defendant’s contention that because of his alleged mental
retardation the court should not have imposed on him the burden of showing the
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need for new counsel, his briefs on appeal do not point to any concerns with
counsel that Defendant failed to articulate during the hearings. We conclude that
the court’s inquiry was “sufficient to explore and understand the defendant’s
concerns about the inadequacy of counsel.” United States v. Vargas, 316 F.3d
1163, 1166 (10th Cir. 2003); see Lott, 310 F.3d at 1249 n.15 (when a defendant’s
reasons for withdrawal are “insubstantial” and he received “competent
representation,” no further inquiry is required (internal quotation marks omitted));
United States v. Beers, 189 F.3d 1297, 1302 (10th Cir. 1999) (district-court
inquiry into defendant’s eve-of-trial motion to substitute counsel was adequate
even though it did not afford defendant himself an opportunity to speak; defense
counsel informed the district court of defendant’s reasons, and those reasons were
not substantial); United States v. Johnson, 961 F.2d 1488, 1491 (10th Cir. 1992)
(district-court inquiry into defendant’s motion to substitute counsel was sufficient
when the court afforded defendant the opportunity to explain his grievances with
counsel and those grievances did not show good cause).
In short, the district court did not abuse its discretion in refusing to provide
new counsel to Defendant at such a late stage of the prosecution.
B. Motion to Withdraw Guilty Plea
Defendant argues that his Pro Se Pleading and oral statements should have
been interpreted as motions to withdraw his guilty plea and that the district court
abused its discretion in failing to consider them and grant withdrawal. He admits
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that the Pro Se Pleading did not “expressly request” withdrawal of his plea, but
contends that his allegations that defense counsel had induced him to plead guilty
“could mean nothing else.” Aplt. Br. at 50. And he contends that “he repeated
[his request to withdraw his plea] over and over through the course of the
hearing.” Id.
We disagree. To begin with, when Defendant submitted his Pro Se
Pleading the matter before the district court was whether his counsel should be
replaced. Unless that issue was resolved by permitting him to proceed pro se,
Defendant had no right to submit motions other than through his attorney. See
United States v. Jarvi, 537 F.3d 1256, 1262 (10th Cir. 2008) (court has discretion
to refuse to consider pro se motion submitted by defendant with counsel); United
States v. Bennett, 539 F.2d 45, 49 (10th Cir. 1976) (same). And if the trial judge
has no duty to consider pro se motions by a represented defendant, she likewise
has no duty to investigate whether the defendant is trying to make a pro se
motion.
Moreover, the pleading spoke in terms of Defendant’s complaints about
counsel, not withdrawal of the plea; and when asked about the pleading by the
district court, Defendant responded, “I just said I’m talking about my appeal
rights. . . . He told me I have my appeal rights even though I took a plea in this
case.” R., Vol. 2, pt. 5 at 820. The court accepted the pleading as a notice of
appeal. (Filing a notice of appeal could not prejudice Defendant.) The court
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acted reasonably in not construing Defendant’s pleading as a pro se motion to
withdraw his plea. And if it had viewed it as such a motion, we can be confident
that it would have exercised its discretion by refusing to consider it: when
Defendant was later explicit in expressing regret about his plea, the court, after
pointing out that withdrawal of the plea would void a very favorable plea bargain,
suggested to Defendant that he consult with his attorney.
As for the later oral statements by Defendant that he asserts should have
been treated as motions to withdraw his plea, not only were they not framed as
motions (they expressed discontent but did not request relief), but even if
considered to be motions, they were pro se motions by a defendant represented by
counsel. And they were untimely; all were made in response to the district
court’s declaration that it intended to impose a 36-month sentence for violating
the terms of supervised release, after Defendant had already been sentenced on
the drug-distribution charge. See Fed. R. Crim. P. 11(e) (“After the court imposes
sentence, the defendant may not withdraw a plea of guilty or nolo contendere, and
the plea may be set aside only on direct appeal or collateral attack.”). In sum, we
see no error in the district court’s not treating Defendant’s written and oral
communications as motions to withdraw his plea.
C. Voluntariness of Plea to 2011 Charge
To be valid, a guilty plea must “represent[] a voluntary and intelligent
choice among the alternative courses of action open to the defendant.” Hill v.
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Lockhart, 474 U.S. 52, 56 (1985) (internal quotation marks omitted). Defendant
argues that his plea to the 2011 offense was involuntary because (1) he did not
understand that the trial court could sentence him to more than 12 months on the
supervised-release violation, and (2) defense counsel misinformed him of the
mandatory-minimum sentence that the government could impose if it filed a
superseding indictment.
These arguments were not properly presented in the district court. The
court did not err in failing to treat Defendant’s Pro Se Pleading or any of his later
oral complaints as a motion to withdraw his plea because, as explained above, the
court need not consider pro se motions by represented defendants, the purported
motions were not clearly motions, and most of the purported motions were
untimely. Nor has Defendant pointed to a proper motion in district court
challenging his plea. Accordingly, our review is only for plain error. See United
States v. Weeks, 653 F.3d 1188, 1198 (10th Cir. 2011). We are particularly
reluctant to hold that a pro se motion by a represented defendant preserves an
issue for appeal because to do so is to instruct district courts that they must
consider and resolve such pro se motions. If such a motion preserved an issue
even if the trial court exercised its discretion not to address the motion, we could
not impose the restrictions attendant to plain-error review and would ordinarily
(unless the motion was patently meritless) have to remand for a hearing on the
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motion if the issue was pursued on appeal. District courts would soon learn that
the more efficient approach would be to rule on all pro se motions.
“Plain error occurs when there is (1) error, (2) that is plain, which (3)
affects the defendant’s substantial rights, and which (4) seriously affects the
fairness, integrity, or public reputation of judicial proceedings.” Id. (internal
quotation marks omitted). The obstacle that Defendant cannot surmount is the
second requirement of plain-error review—namely, that the alleged error is plain.
When the existence of an error depends on what the facts are—such as whether
defense counsel informed the defendant of the maximum possible sentence—the
error cannot be said to be “plain” unless the facts are uncontestably established,
either because they are undisputed or undisputable or because the factfinder made
a proper finding of fact. The error is not “plain” if the “fact” establishing the
error may be false. As we have stated:
It is not enough that a hearing on remand may show that [there was
error]. If that were all that is required, we could reverse and remand
because of ‘plain error’ even though it may ultimately be resolved
that there was no error at all. Such a fruitless, wasteful procedure is
not the office of plain-error review.
United States v. Lewis, 594 F.3d 1270, 1288 (10th Cir. 2010); see United States v.
Frost, 684 F.3d 963, 977 (10th Cir. 2012) (“Where the determinative facts are
missing from the record due to the defendant’s failure to make a timely objection,
we will not find plain error based on the possibility that better factual
development would have made the error clear.”). A disputed assertion of fact
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cannot support a claim of plain error except in the rare case—not present
here—where “the appellant can establish the certainty of a favorable finding on
remand.” Lewis, 594 F.3d at 1288.
Here, there is no such certainty that there would be a finding favorable to
Defendant on remand. To be sure, some of Defendant’s own statements support
his contentions. But they are not unchallenged. Defendant’s attorney twice told
the district court that he had properly informed Defendant that the 12-month
sentence was not guaranteed. Most relevant, on the first occasion, before
Defendant was sentenced on the drug charge, Defendant voiced no objection to
his attorney’s statement, responding only “I ain’t got nothing to say” when the
court asked “So what’s the problem?” R., Vol. 2 pt. 5 at 818. Nor is the record
clear that defense counsel misinformed Defendant about the potential mandatory
minimum sentence; counsel told the court only that he had “talked to [Defendant]
specifically about the 20 years mandatory minimum if he was found guilty” under
the superseding indictment. Id. at 855.
D. Sentence on Revocation of Supervised Release
Defendant challenges his three-year sentence for violating the terms of his
supervised release as both procedurally and substantively unreasonable. We are
not persuaded.
Defendant argues that his sentence is procedurally unreasonable because (1)
the district court failed to take into account his mental retardation in sentencing
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him and did not read the PSR; (2) the court failed to consider the guidelines
policy statements for supervised-release violations; and (3) the court premised its
sentencing decision on the mistaken belief that Defendant had committed his new
drug offense while on supervised release. These arguments, however, were not
presented to the district court. Therefore our review is for plain error. See
United States v. Ruby, 706 F.3d 1221, 1225–26 (10th Cir. 2013).
We easily dispose of Defendant’s first two arguments because they lack a
proper factual basis. Absent argument on these matters at sentencing, the district
court had no obligation to say that it was taking Defendant’s mental deficiencies
into account, that it had read the PSR, and that it had considered the guidelines
policy statements. See United States v. Pinson, 542 F.3d 822, 833–36 (10th Cir.
2008) (Sentencing court that varies from the guidelines need not discuss every
§ 3553(a) factor but need only state its reasons for varying and address
defendant’s material, nonfrivolous arguments.); United States v. Zuniga-Chavez,
464 F.3d 1199, 1202 (10th Cir. 2006) (“The sentencing court is not required to
consider individually each factor listed in § 3553(a) before issuing a sentence.
Moreover, we do not demand that the district court recite any magic words to
show that it fulfilled its responsibility to be mindful of the factors that Congress
has instructed it to consider.” (brackets and internal quotation marks omitted)).
Therefore, we cannot presume from the court’s silence that Defendant’s
allegations are true. Indeed, the evidence in the record suggests otherwise; for
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example, the court apparently had read the PSR because it referenced specific
facts from the PSR during its comments. We will not remand for an evidentiary
hearing on whether the district court considered Defendant’s mental condition or
the guidelines policy statement, because the very fact that the court could well
state on remand that it did consider them is enough to establish that the alleged
errors could not be “plain.” See Frost, 684 F.3d at 977; Lewis, 594 F.3d at 1288.
Defendant’s third argument requires further discussion. He argues that the
district court’s “sentencing decision . . . rested on a significant factual error,
namely, [its] belief that [Defendant] committed the new drug offense while on
supervised release, when in fact his alleged drug activities had ended before his
supervised release began.” Aplt. Br. at 58. Defendant is correct (1) that he
committed the drug offense while he was still at the halfway house and before his
term of supervised release, and (2) that the district court incorrectly assumed that
Defendant had committed the offense while on supervised release. The court’s
error, however, appears to have been an invited one. At the outset of the
proceedings on revocation, immediately after Defendant was sentenced on his
drug offense, defense counsel stated:
Your Honor, I did explain to my client that the reason for the
revocation is because the conviction that we just went through and I
think he understands that as not only an offense, it’s a mandatory
revocation offense, and as such, I think we can stipulate to the actual
offense. In the Plea Agreement it also outlined that we would be
stipulating and that there would be revocation.
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R., Vol. 2, pt. 5 at 843–44. This was error, because the probation-office petition
for revocation referenced only the firearms charge and failures to communicate
with the probation office, not the drug charge, and the plea agreement did not
state the grounds for revocation. Invited errors are waived and not grounds for
reversal. See United States v. Lopez-Medina, 596 F.3d 716, 733 n.10 (10th Cir.
2010) (“[T]he invited-error doctrine . . . prevents a party from inducing action by
a court and later seeking reversal on the ground that the requested action was in
error.” (internal quotation marks omitted)). Further, Defendant has not satisfied
his burden under plain-error review to show that he was prejudiced by the court’s
error. The district court found that Defendant had committed the violations
alleged in the revocation petition. And we have no reason to believe that the
court would have imposed a lesser sentence if it had been advised that the drug
offense predated Defendant’s supervised release. Indeed, defense counsel was
probably incautious when he made his error because the accuracy of his statement
was inconsequential.
As for Defendant’s claim of substantive unreasonableness, he argues that
his mental retardation so diminishes his personal culpability that the three-year
sentence must be set aside. But we can reverse only if the sentence, in light of
the sentencing factors referenced in 18 U.S.C. § 3583(e), was an abuse of
discretion because it was “arbitrary, capricious, whimsical, or manifestly
unreasonable.” United States v. Damato, 672 F.3d 832, 838 (10th Cir. 2012)
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(internal quotation marks omitted). In light of Defendant’s criminal history, as
well as his denial of responsibility at the sentencing hearing, we cannot say that
the sentence was an abuse of discretion. It was eminently reasonable to believe,
as the district court did, that Defendant would continue his criminal ways if not
incarcerated because he had “already squandered a chance to show that he is
capable of leading a law-abiding life and following the terms of supervision and
working with the Probation Office.” R., Vol. 2, pt. 5 at 849–50. Although
retardation may reduce culpability, it need not override all other proper
sentencing considerations.
III. CONCLUSION
We AFFIRM the judgment of the district court.
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