Reyes-Vejerano v. United States

           United States Court of Appeals
                       For the First Circuit



No. 01-1187

                     FRANCISCO REYES-VEJERANO,

                       Petitioner, Appellant,

                                  v.

                     UNITED STATES OF AMERICA,

                       Respondent, Appellee.




          APPEAL FROM THE UNITED STATES DISTRICT COURT
                 FOR THE DISTRICT OF PUERTO RICO

         [Hon. Héctor M. Laffitte, U.S. District Judge]


                                Before

                     Torruella, Circuit Judge,

                 Kravitch,* Senior Circuit Judge,

                     and Lynch, Circuit Judge.


           Linda Backiel and Rafael F. Castro-Lang for appellant.

           Irene C. Feldman, Assistant United States Attorney, with whom
Guillermo Gil, United States Attorney, and Jorge E. Vega-Pacheco and
Thomas F. Klumper, Assistant United States Attorneys, were on brief for
appellee.


     *     Of the Eleventh Circuit, sitting by designation.
                       January 14, 2002

          LYNCH, Circuit Judge.     Francisco Reyes-Vejerano was

convicted by a jury in 1994 of five counts of conspiracy to

possess heroin with intent to distribute.      Reyes-Vejerano, a

real estate broker, was sentenced to more than 15 years of

imprisonment and fined $50,000.

          His conviction was affirmed in an unpublished opinion.

United States v. Jimenez-Rodriguez, Nos. 94-1968, 94-2072, 1995

WL 709639 (1st Cir. Dec. 1, 1995). He later brought a similarly

unsuccessful petition under 18 U.S.C. § 2255 in the district

court.   Reyes-Vejerano v. United States, 117 F. Supp. 2d 103

(D.P.R. 2000).   The district court did issue a certificate of

appealability under 28 U.S.C. § 2253(c)(2), and so we face on

this appeal the question whether the performance of his trial

counsel, Luis Rafael Rivera, was constitutionally deficient.

          The significant questions in this case are those

arising from Reyes-Vejerano's claim that Rivera's advice and

strategy were motivated by interests that Reyes-Vejerano says

diverged from his own in two ways.      The first claim is that

Rivera was himself the subject of a DEA drug investigation

                              -3-
related to another client of his, Gustavo Delgado-Valencia, and

so had every incentive not to irritate the government.                     The

second    claim    is   that   Rivera   faced   a   conflict     because    he

represented four other people in the Delgado-Valencia group who

were charged with operating a large-scale drug trafficking

enterprise.       A case was pending against at least one member of

this group when Reyes-Vejerano himself was indicted.                  These

conflicts,    Reyes-Vejerano         argues,    began     with     Rivera’s

representation of Reyes-Vejerano in civil forfeiture proceedings

that were pending against Reyes-Vejerano's property from the

Delgado-Valencia group criminal case.

           Reyes-Vejerano advances another set of ineffective

assistance claims based on Rivera's purported failures to

perform    certain      pretrial   investigation,    to   secure    certain

witnesses, and to move for a continuance in order to obtain the

testimony of a codefendant, as well as a claim that the district

court erred in restricting discovery and refusing to hear

certain    evidence      related   to   Reyes-Vejerano's       theories    of

ineffective assistance.         We rest our rejection of these other

contentions on the district court's opinion, 1st Cir. R. 27(c),



                                     -4-
and confine our discussion to the allegations of conflict of

interest on the present record.1

                                   I.

          Where an ineffective assistance claim is premised on

counsel's alleged conflict of interest, we review the ultimate

issue de novo, but defer to the district court's subsidiary fact

findings unless they are clearly erroneous.           Familia-Consoro v.

United States, 160 F.3d 761, 764-65 (1st Cir. 1998).

          The district court treated these allegations seriously,

holding a two-day evidentiary hearing and reviewing in camera

the DEA reports on which the claim was premised that counsel was

himself   under   investigation.         This   was   the    court's   first

opportunity to reach these issues, as there were no objections

at trial from either Reyes-Vejerano or Rivera.              In this regard,

we note that Reyes-Vejerano was well aware of the multiple

representation and he was obviously aware that there had been a

DEA investigation focused on the Delgado-Valencia group composed

of Rivera's clients. Thus, this case does not involve any claim



    1     The district court did not address the discovery-based
claims in its written opinion. We have reviewed these questions
as well and found no error.

                                   -5-
about the procedures used by the district court or the district

court's failure to determine whether there was a conflict.   Cf.

Wood v. Georgia, 450 U.S. 261, 272 & n.18 (1981) (placing a

"duty to inquire" on a trial court when a conflict of interest

is "apparent in the record"); Holloway v. Arkansas, 435 U.S.

475, 484 (1978) (requiring a trial court faced with a timely

objection to joint representation "either to appoint separate

counsel or to take adequate steps to ascertain whether the risk

was too remote to warrant separate counsel").

          A defendant who raises no objection at trial must

demonstrate in his § 2255 petition that an actual conflict of

interest adversely affected the adequacy of his representation.

Cuyler   v.   Sullivan, 446 U.S. 335, 348-50 (1980); Familia-

Consoro, 160 F.3d at 764.    That proof of actual conflict (at

least in situations where it is not obvious) has two components,

each of which the defendant must show: "(1) the attorney could

have pursued a plausible alternative defense strategy and (2)

the alternative trial tactic was inherently in conflict with or

not pursued due to the attorney's other loyalties or interests."

Familia-Consoro, 160 F.3d at 764;   see also Brien v. United

States, 695 F.2d 10, 15 (1st Cir. 1982) (adopting this test).

                              -6-
Reyes-Vejerano has satisfied the first part of this test.              It

was a plausible (though likely unwise) alternative defense

strategy for him to take the stand and testify he was innocent.

The body of this opinion therefore deals with the second part.

                                   II.

A.   Allegations that Counsel was Under Investigation

          Reyes-Vejerano    says    that   Rivera   was    mentioned   in

several DEA investigative reports and that this means Rivera was

under investigation. He extrapolates from this that Rivera knew

of the investigation and, therefore, faced an incentive not to

be too aggressive in conducting Reyes-Vejerano's defense.

          The district court reviewed in camera the DEA reports

concerning an investigation into international cocaine smuggling

on which this claim is based.        This court has reviewed those

sealed documents as well.2     Although the district court stated

at the hearing that there was no investigation, its written

opinion made no express finding on the subject.           We will assume

for purposes of this appeal that Rivera was indeed investigated




     2    We have also taken judicial notice of the materials from the
district court pleadings in the original case that Reyes-Vejerano has
submitted to this court.

                                   -7-
by the DEA concerning his involvement in the Delgado-Valencia

operation.

            The district court found that Rivera did not know he

was   the   subject   of   an   investigation   based    upon   Rivera's

testimony at the evidentiary hearing.       He testified that if he

was under investigation he was unaware of it.           He was aware he

had a contentious relationship and had exchanged some heated

words with both a prosecutor and a DEA agent.           He once told the

prosecutor that if the prosecutor thought he was obstructing

justice, the prosecutor should indict him.       He also admitted he

might well have said the government was out to get him.             The

district court's finding that Rivera did not know of any

investigation was not clearly erroneous.           The record does,

however, clearly show at least some thought on Rivera's part --

not rising to the level of certain knowledge -- that the

government might suspect him.

            The district court also found that no conflict of

interest motivated Rivera's advice to Reyes-Vejerano that he not

testify.     At the evidentiary hearing, Rivera said he gave the

advice for a number of reasons.           Reyes-Vejerano had close

personal relationships with several people -- also clients of

                                   -8-
Rivera -- charged with and convicted of drug trafficking.

Indeed, Reyes-Vejerano had put up bail for some of them.

Further, Reyes-Vejerano had rented out space below his own

office to a video store that the government later proved was

used in drug trafficking.   He had also been involved in a real

estate transaction with Delgado-Valencia. Rivera testified that

he thought it too risky to open the door to the government's use

of this potentially prejudicial evidence.         He also feared that

the jury would conclude from Reyes-Vejerano's accent that he was

from Colombia, the source country for the drugs.        Rivera's last

concern was that Reyes-Vejerano was a man of immense wealth and

the jury might conclude his money came from drug dealing.

Finally,   Rivera   testified   that   it   was    ultimately   Reyes-

Vejerano's choice, free from coercion, not to testify.3


    3     The district court found that Rivera did not coercively
prevent Reyes-Vejerano from testifying. It thus credited Rivera
over Reyes-Vejerano, who testified that he insisted on
testifying but that Rivera would not permit him to do so, and
that had he known the decision was his, he would have testified.
We discount the relevance of this finding because defendants
have the right to receive independent advice from their lawyers
unburdened by an actual conflict of interest on the part of
counsel.     Every defendant is, after all, entitled to
"representation that is free from conflicts of interest." Wood
v. Georgia, 450 U.S. 261, 271 (1981). Had Rivera's conduct been
caused by an actual conflict of interest, we would not require

                                -9-
           At the hearing before the district court, Reyes-

Vejerano's current counsel argued that these reasons did not

hold up.   Because Reyes-Vejerano was not indicted in the cases

involving Gustavo and Jules Delgado-Valencia, Jairo Parra, and

Ismenia Perdomo, any cross-examination regarding them would

arguably be irrelevant, or inadmissible as collateral evidence,

or both.    If the evidence came in, Reyes-Vejerano maintained

that he had innocent explanations for all suspicious links.

Moreover, as Rivera admitted at the hearing, Reyes-Vejerano was

articulate and presentable and would not have made a bad

witness.    Reyes-Vejerano does not repeat these arguments on

appeal, possibly because they tend to undermine his second claim

that Rivera kept him off the stand in the interest of the other

clients. Instead, he focuses on his assertion that Rivera faced

a substantial incentive to curry favor with the agents and

prosecutors handling Reyes-Vejerano's case.

           The argument is not frivolous that a defense lawyer

within the sights of a targeted criminal prosecution may find

his personal interests at odds with his duty to a client.


that it rise to the level of coercion to sustain Reyes-
Vejerano's claim.

                              -10-
            A lawyer in these circumstance[s], while dealing on
            behalf of his client with the office that is
            prosecuting him personally may, consciously or
            otherwise, seek the goodwill of the office for his own
            benefit. A lawyer's attempt to seek the goodwill of
            the prosecutor may not always be in the best interest
            of the lawyer's client.

Armienti v. United States, 234 F.3d 820, 825 (2d Cir. 2000).

While recognizing that a defense lawyer afraid of retaliation

might lack vigor, see Thompkins v. Cohen, 965 F.2d 330, 332 (7th

Cir. 1992), the Seventh Circuit has rejected any per se rule of

conflict.    See United States v. Montana, 199 F.3d 947, 949 (7th

Cir. 1999); United States v. Hubbard, 22 F.3d 1410, 1418 (7th

Cir. 1994).     We, too, adopt a rule that a defendant has not

shown a fatal conflict by showing only that his lawyer was under

investigation and that the lawyer had some awareness of an

investigation.

            The defendant must still meet the Cuyler standard of

actual conflict and adverse effect: the defendant must show some

causal relationship     between    the   lawyer's   awareness   of   the

investigation and the alleged deficiency in representation.

Here it is unclear whether, but arguable that, counsel was being

investigated and that counsel had some sense the prosecutors

were "out to get him," even if he did not know in an absolute

                                  -11-
sense that he was being investigated.           But there is nothing to

show counsel pulled any of his punches.          The defense throughout

was actual innocence, and no effort was made, on the evidence

presented, to    force     Reyes-Verejano     into   an   unwelcome    plea

bargain.   Indeed, even were counsel under investigation about

his relationship with the Delgado-Valencia operation, Reyes-

Vejerano has offered no reason to think Rivera's personal

interests diverged from those of Reyes-Vejerano other than the

general and unspecified theory that Rivera must have wanted to

please the government.

           This is a far cry from the situation of a government

witness    at   trial    suddenly     accusing    defense    counsel    of

involvement in drug trafficking.           Cf. United States v. Fulton,

5 F.3d 605 (2d Cir. 1993) (holding that such a situation

presented a conflict too great for the defendant to waive). Nor

is it a case of defense counsel being indicted during his

representation of a client by the same office prosecuting his

client, and then entering a plea of guilty after negotiations

with that office.       Cf. United States v. DeFalco, 644 F.2d 132,

136-37 (3d Cir. 1980) (en banc) (plurality opinion) (holding

that such a situation presented a conflict possibly subject to

                                    -12-
waiver).   Rather, we are left with sheer speculation, and that

is not enough.     See United States v. Canessa, 644 F.2d 61, 63-64

(1st Cir. 1981).

B.   Counsel's Representation of Other Defendants

           Reyes-Vejerano next says that the reason Rivera advised

Reyes-Vejerano not to testify was that Rivera feared Reyes-

Vejerano   would    be    cross-examined   about   Gustavo   and   Jules

Delgado-Valencia, Jairo Parra, and Ismenia Perdomo, all of whom

Rivera represented, and that the cross-examination would hurt

these other clients.

           The government's initial argument is that there is no

connection at all between the two cases and so there could be no

conflict created.        Some background is needed.    Reyes-Vejerano

initially retained Rivera to represent him in civil forfeiture

proceedings in which the United States alleged that Reyes-

Vejerano was laundering money for the Gustavo Delgado-Valencia

drug operation.4 His defense against forfeiture was successful.


     4    Reyes-Vejerano argues that Rivera had a duty to Reyes-
Vejerano as an innocent owner to show he was not a part of the
Delgado-Valencia criminal enterprise, and that counsel's
appearance for Reyes-Vejerano "could only signal to the United
States that Reyes, too, was part of the enterprise." Any such
signal followed from Reyes-Vejerano's knowing choice of counsel

                                  -13-
For this and other reasons, we reject as too blithe the

government's argument that there is absolutely no connection

between the Delgado-Valencia drug case and this one. But Reyes-

Vejerano has not shown that the connection is such as to create

an actual conflict of interest.

            The district court concluded that Reyes-Vejerano had

shown neither that his counsel faced a conflict of interest nor

that his advice was motivated by his representation of others,

rather   than   by   his    obligations   to     Reyes-Vejerano.       The

subsidiary factual findings are not clearly in error, and these

conclusions follow from them.

            Representation of different defendants in different but

related cases by one counsel may give rise to a conflict of

interest.    See, e.g., Horowitz v. Henderson, 514 F.2d 740 (5th

Cir. 1975) (affirming a grant of habeas corpus to a petitioner

whose attorney had represented a codefendant who pled guilty

separately and then testified at the petitioner's trial).              For

example, one client may stand to gain through negotiations with

prosecutors that     will    injure   another,    raising   concerns   of


and occurred in the civil forfeiture case, long before this
criminal case.

                                  -14-
loyalty; or information obtained in the representation of one

client may be potentially useful to another, raising concerns of

confidentiality    --   particularly   if   the   first   client   is   a

possible witness at the second client's trial.        The record does

not reveal, however, any specific facts that demonstrate any of

these problems arising in Rivera's defense of Reyes-Vejerano.5

          It might arouse our suspicion if Rivera, seeing some

potential overlap between the two representations, had failed to

disclose that representation.      We observe, however, that just

the   opposite   happened.    Reyes-Vejerano      retained   Rivera     to

represent him, initially in the forfeiture action and later in

the criminal action, precisely because Rivera was representing

the others. We are not suggesting that Reyes-Vejerano's conduct

rose to the level of a knowing and voluntary waiver of his


      5   Reyes-Vejerano does point out that the district court
found that Rivera was motivated by the desire not to reveal
Reyes-Vejerano's relationship with the Delgado-Valencia clients
in advising him not to testify.     In context, however, it is
clear what the district court meant: Rivera's worry was not that
the Delgado-Valencia clients, convicted felons, would be tainted
by association with Reyes-Vejerano, a purportedly innocent
businessman, but instead the more reasonable fear that Reyes-
Vejerano would be tainted by association with the Delgado-
Valencia clients. This finding is therefore no evidence that
Rivera's advice was motivated by anything but his professional
judgment exercised on Reyes-Vejerano's behalf.

                                -15-
rights as to an existing conflict; the district court made no

such finding and the issue was never developed.    Instead, that

conduct is one factor among several that show the absence of a

conflict in the first place.

                               III.

          Because Reyes-Vejerano has not shown an actual conflict

of interest on either theory, we reject that claim, and so

reject his Sixth Amendment ineffective assistance of counsel

claim.   The denial of the § 2255 petition is affirmed.




                               -16-