Bucuvalas v. United States

                  UNITED STATES COURT OF APPEALS
                      FOR THE FIRST CIRCUIT
                                           

No. 96-1472

                       GEORGE M. BUCUVALAS,

                     Petitioner - Appellant,

                                v.

                    UNITED STATES OF AMERICA,

                      Respondent - Appellee.

                                           

           APPEAL FROM THE UNITED STATES DISTRICT COURT

                FOR THE DISTRICT OF MASSACHUSETTS

         [Hon. Douglas P. Woodlock, U.S. District Judge]
                                                                 

                                           

                              Before

                     Torruella, Chief Judge,
                                                     

                  Coffin, Senior Circuit Judge,
                                                        

                   and Tauro,* District Judge.
                                                       

                                           

     Valeriano Diviacchi for appellant.
                                  
     Carole S. Schwartz,  Assistant United States Attorney,  with
                                 
whom  Donald K. Stern, United  States Attorney, was  on brief for
                               
appellee.

                                           

                         October 28, 1996
                                           

                    
                              

*    Chief Judge  of the  District  of Massachusetts,  sitting by
designation.


          TAURO,   Chief  District   Judge.     Appellant  George
                    TAURO,   Chief  District   Judge.
                                                    

Bucuvalas appeals the District Court's  denial of his petition to

vacate   his  sentence  made  pursuant  to   28  U.S.C.     2255.

Essentially, Bucuvalas asserts that  his Sixth Amendment right to

effective  assistance   of  counsel  was   violated  because  his

attorney's fees  were paid by  his co-defendants and  because his

attorney advised him not to testify on his own behalf.

                                I.
                                          I.

                            Background
                                      Background
                                                

          On February 15, 1989,  George Bucuvalas was indicted in

the   District  of  Massachusetts   for  participating   in,  and

conspiring to participate in,  a pattern of racketeering activity

in  violation   of   the   Racketeer   Influenced   and   Corrupt

Organizations  Act, 18 U.S.C.    1962(c)-(d),  for mail  fraud in

violation  of 18 U.S.C.    1341  and 1342, and  for conspiracy to

commit mail fraud in violation of 18 U.S.C.   371.  His employers

-- Arthur Venios, Christy Venios, and Bel-Art Realty, Inc. ("Bel-

Art") -- were indicted for the same offenses.

          The   Venios'  and  Bel-Art  retained  attorney  Morris

Goldings  to represent  them  at trial.   Bucuvalas  subsequently

sought to retain  Goldings as  well.  Goldings  was not  willing,

however, to represent  both Bucuvalas and his co-defendants.  He,

therefore,  referred  Bucuvalas  to Attorney  Terry  Segal,  whom

Bucuvalas  had retained  on  past occasions.   Segal  represented

Bucuvalas in a criminal tax investigation which did not result in

an  indictment and  in a  trial for bribery  which resulted  in a

                               -2-


split   verdict.     Apparently  satisfied   with  Segal's   past

representation,  Bucuvalas  took  Goldings'  advice  and retained

Segal to represent him with respect to the present charges.

          On  prior  occasions,  Bucuvalas'   co-defendants,  the

Venios'  and Bel-Art, had paid Bucuvalas' legal fees.  In keeping

with this  practice, Bucuvalas arranged  for them to  pay Segal's

fee  in  the current  matter.   Upon  retaining  Segal, Bucuvalas

apprised Segal that he would be paid by Bucuvalas' co-defendants.

Goldings was also aware of the payment plan.  Judge Woodlock, the

district  judge to whom the case was assigned, was never informed

of the arrangement.

          Segal took the case to trial.  He adopted a strategy in

which  he sought to portray Bucuvalas as a low-level employee who

was  merely  following  his  employers'  orders  and  who  lacked

knowledge of any wrongdoing.

          As  part  of  his   strategy,  Segal  recommended  that

Bucuvalas  not  testify   at  trial.    Segal  feared   that  the

government's  cross-examination  of  Bucuvalas   would  undermine

Bucuvalas'  defense.    In  particular,  Segal  feared  that  the

government's cross-examination would reveal a prior conviction on

similar charges  and would elicit  admissions to  several of  the

current charges.    Segal  was concerned  that  this  would  draw

attention away from weaknesses in the government's case and focus

it  instead on  Bucuvalas'  credibility.   Bucuvalas agreed  with

Segal's analysis and chose not to testify.

                               -3-


          On  August 16,  1990, Bucuvalas  and his  co-defendants

were convicted on all  counts of the indictment.   Judge Woodlock

sentenced  Bucuvalas to  fifty-one months  in prison  followed by

three  years  of supervised  release.    This  court  upheld  his

conviction on appeal.   United States v. Bucuvalas, 970  F.2d 937
                                                            

(1st Cir. 1992), cert. denied, 507 U.S. 959 (1993).
                                       

          On  November 25,  1994, Bucuvalas  moved to  vacate his

sentence, pursuant to  28 U.S.C.   2255, asserting  violations of

his Sixth Amendment right to effective assistance of counsel.  He

claimed that his rights were violated in two respects.  First, he

argued  that  the  payment of  his  attorney's  fees  by his  co-

defendants created an unconstitutional conflict of interest under

Cuyler  v.  Sullivan,  446  U.S.  335  (1980).    In  particular,
                              

Bucuvalas  claimed that  the fee  arrangement  influenced Segal's

recommendation  that Bucuvalas  not  testify, because  Bucuvalas'

testimony would  have shown  that his  co-defendants orchestrated

the  wrongdoing  and would  have  thereby  incriminated the  very

persons paying Segal's fees.

          Second,   Bucuvalas   claimed   that    Segal's   trial

performance was  deficient under  Strickland  v. Washington,  466
                                                                     

U.S. 668 (1984).  Bucuvalas alleged that Segal's treatment of the

fee  arrangement   was  deficient,  because  he   neither  warned

Bucuvalas  of  the  risks  inherent in  the  payment  scheme, nor

disclosed  the arrangement  to the  trial court.   Bucuvalas also

argued  that  Segal's advice  that he  not testify  was deficient

because  his testimony  would have  been exculpatory.   Bucuvalas

                               -4-


claims  that  it  would  have  demonstrated  that  he  was merely

following orders and that he lacked knowledge of any wrongdoing.

          On March  4, 1996,  Judge Woodlock held  an evidentiary

hearing.   He found that  the fee arrangement  did not create  an

unconstitutional   conflict   of   interest   and   that  Segal's

performance was  not, in any  respect, deficient under  the Sixth

Amendment.  Bucuvalas' petition, therefore, was denied.

                               II.
                                         II.

                             Analysis
                                       Analysis
                                               

          Bucuvalas   appeals   the   district  court's   rulings

regarding both his Cuyler and Strickland claims.  We examine each
                                                  

seriatim.
                  

A.  The Cuyler Claim
          A.  The Cuyler Claim
                              

          Bucuvalas  claims that  the payment  of his  attorney's

fees by his co-defendants created an unconstitutional conflict of

interest.   As a threshold  matter, he asserts  that under United
                                                                           

States  v. Foster,  469 F.2d  1 (1st  Cir. 1972),  the government
                           

bears  the burden of persuasion on the issue, because the alleged

conflict of interest was never addressed at trial by the district

court.

          1.  Foster and the Burden of Persuasion
                    1.  Foster and the Burden of Persuasion
                                                           

          When  the  defendant  fails  to object  to  an  alleged

conflict of interest, the  defendant bears the burden of  proving

that the alleged conflict  violates the Sixth Amendment.   United
                                                                           

                               -5-


States  v.  Soldevila-L pez, 17  F.3d  480, 486  (1st  Cir. 1994)
                                     

(citing Cuyler, 446 U.S. at 348).
                        

          Pursuant  to  our supervisory  powers,  this  court has

carved out a limited exception to this rule.  Foster, 469 F.2d at
                                                              

4.   In  Foster, we  held that  district courts  are required  to
                         

intervene, sua  sponte, when  one lawyer represents  multiple co-
                                

defendants.  Id.   In particular,  Foster requires that  district
                                                   

courts apprise  defendants of the risks  associated with multiple

representation and  of their right to  a court-appointed attorney

if necessary to avoid the multiple representation.  Id. at 5.  If
                                                                 

a court  fails to conduct  an adequate inquiry,  Foster instructs
                                                                 

that  the  burden  of  persuasion  shifts  to  the government  to

disprove  an alleged  conflict of  interest, given  an  appeal or

collateral  attack.    Id.    This  rule  seeks  to  address  the
                                    

heightened   danger    of   prejudice   inherent    in   multiple

representation.  Id. at 4.
                              

          Bucuvalas  argues  that he  was  entitled  to a  Foster
                                                                           

hearing.   Though he  did  not share  an  attorney with  his  co-

defendants, Bucuvalas claims that the fee arrangement  indirectly

implicated  the same concerns as multiple representation, because

it subjected his attorney to the influence of  his co-defendants.

Since  the district court did not inquire into his attorney's fee

arrangement, Bucuvalas  argues that  Foster shifts the  burden to
                                                     

the government.

          We reject  Bucuvalas'  argument and  decline to  extend

Foster to these facts.  The Foster  rule is narrow.  See Brien v.
                                                                        

                               -6-


United  States,  695 F.2d  10, 14  (1st  Cir. 1982)  (refusing to
                        

extend  Foster and impose broader  duty on district  courts).  By
                        

its  own terms,  Foster  only applies  to "criminal  prosecutions
                                 

where one attorney speaks for two or more defendants."  Id.  This
                                                                     

case,  therefore,  does  not  come within  the  scope  of Foster,
                                                                          

because there was no  multiple representation.  Segal represented

Bucuvalas and no one else.

          Moreover, Segal's  fee arrangement does not  foster the

same risks as  multiple representation.  While  we recognize "the

inherent  dangers  that  arise   when  a  criminal  defendant  is

represented by a lawyer hired and paid by a third party," Wood v.
                                                                        

Georgia, 450 U.S. 261, 268-69 (1981), these dangers are different
                 

from  those  arising  in  multiple  representation  cases.    The

existence  of separate  counsel interposes  a buffer  between the

interests of co-defendants which  does not exist when counsel  is

shared.    In this  vein, this  court has  distinguished multiple

representation  from  independent  representation,  holding  that

"where dual  representation is involved, the  danger of conflicts

is not  so great."  United  States v. DiCarlo, 575  F.2d 952, 957
                                                       

(1st Cir.), cert. denied, 439 U.S. 834 (1978).
                                  

          As   here,    DiCarlo   did   not    involve   multiple
                                         

representation.  It concerned  allegations that counsel abandoned

a defense strategy, because  it would have implicated prospective

clients of his law partner.   Id. at 955-57.  Rejecting the Sixth
                                           

Amendment  claim, we  held there  to be  a presumption  that "the

lawyer  will subordinate  his pecuniary  interests and  honor his

                               -7-


primary professional responsibility to  his clients in the matter

at hand."  Id. at 957.  Here, the same presumption applies.
                        

          It  would  be inappropriate  and impractical  to extend

Foster to the facts of this case.  To  do so would be to impose a
                

duty  on district courts  to inquire into  potential conflicts of

interest when  they have no  reason to know or  suspect that such

conflicts might exist.   District judges  do not ordinarily  have

reason to know  who is paying an attorney's fees  and we question

whether  it would  be appropriate  to require  them to  routinely

inquire into such matters without any cause to do so.

          Here,  Bucuvalas never brought  the alleged conflict of

interest to  Judge Woodlock's attention.   Indeed, Judge Woodlock

did not learn  of the contested  fee arrangement until  Bucuvalas

filed this petition, four years after the fact.

          We  hold that,  where an  alleged conflict  of interest

does not  involve multiple representation, where  no party raises

the   issue  before  the  court,  and  where  the  court  has  no

independent  reason to  know  of the  alleged conflict,  district

courts  have no  duty  to  inquire  into potential  conflicts  of

interest.  In  such circumstances, a district  court's failure to

inquire does not shift  the burden of persuasion on  a subsequent

Sixth Amendment claim  to the  government.  It  follows that,  in

this case,  the district  court had no  duty to  inquire and  the

burden of persuasion did not shift to the government.  The burden

remained  on Bucuvalas to  establish an unconstitutional conflict

of interest.

                               -8-


          2.  Conflict of Interest Analysis
                    2.  Conflict of Interest Analysis
                                                     

          The Sixth  Amendment right  to effective  assistance of

counsel is violated when an actual conflict of interest adversely

affects counsel's representation.   Cuyler, 446 U.S. at 348.   To
                                                    

meet this standard, the defendant must show that (1) the attorney

could have pursued a  plausible alternative defense strategy, and

(2) the alternative strategy  was inherently in conflict  with or

not  undertaken   due  to  the  attorney's   other  interests  or

loyalties.   United States v.  Soldevila-L pez, 17 F.3d  480, 486
                                                        

(1st  Cir. 1994).   When  an alleged  conflict of interest  is at

issue, actual  prejudice need not  be established.   Id.; Cuyler,
                                                                          

446 U.S. at 349-50.

          No  unconstitutional  conflict of  interest  existed in

this case.  Bucuvalas claims that a plausible alternative defense

strategy  existed in  that he  should have  testified on  his own

behalf to explain  that he was merely carrying out  the orders of

his co-defendants.   According to Bucuvalas,  Segal's advice that

he  not  testify  was  impermissibly  tainted because  Bucuvalas'

testimony would  have incriminated the  very persons  responsible

for Segal's fees.

          The flaw in Bucuvalas'  argument is that his testifying

was not a  plausible alternative defense strategy.  Had Bucuvalas

testified,  a prior  conviction  on a  remarkably similar  charge

would have been introduced into evidence.  One of the allegations

at  trial was that Bucuvalas  had bribed a  police detective; the

prior  conviction was  for bribing  an  I.R.S. agent.   Moreover,

                               -9-


according to  Bucuvalas' own testimony during  the district court

hearing on  his Sixth  Amendment claims,  his testimony  at trial

would have resulted in an  admission to the current charges.   We

agree with Judge  Woodlock, who found  that Bucuvalas would  have

"offered  himself up  to  a cross-examinational  meat-grinder  on

virtually  every  relevant issue,  effectively  admitting to  the

elements  of the offenses against  him and calling  to the jury's

attention in a very specific way his role in this offense."1

          Even if Bucuvalas had put forth a plausible alternative

strategy,   his  claim   would  still   fail  because   there  is

insufficient  evidence that  Segal's  advice was  tainted by  his

relationship  with Bucuvalas'  co-defendants.   A  defendant must

show   that   his  counsel   "actively   represented  conflicting

interests."  Cuyler, 446 U.S.  at 350.  See also Carey  v. United
                                                                           

States, 50 F.3d 1097,  1100 (1st Cir. 1995) ("the  defendant must
                

demonstrate  that  the  alleged   conflict  is  more  than  'some

attenuated hypothesis having  little consequence to the  adequacy

of representation'") (citing Brien v. United States, 695 F.2d 10,
                                                             

15   (1st  Cir.   1982));   Soldevila-L pez,  17   F.3d  at   487
                                                     

("theoretical  or merely  speculative conflict of  interest" does

not  constitute  Sixth  Amendment  violation).    In  Carey,  for
                                                                     
                    
                              

1   The  standard  by which  this court  reviews findings  of the
district court in ineffective assistance of counsel claims raised
on collateral attack is  not clear. United States v.  Raineri, 42
                                                                       
F.3d 36, 43 (1st Cir. 1995), cert. denied, 115 S. Ct. 2286 (1995)
                                                   
(standard of  review is uncertain);  United States v.  McGill, 11
                                                                       
F.3d 223, 226 n.2 (1st Cir. 1993) (same).  But see Lema v. United
                                                                           
States, 987 F.2d 48,  53 (1st Cir. 1993) (applying  "clear error"
                
standard).   We refrain  from choosing a  standard here, however,
because Bucuvalas' claims fail under any standard.

                               -10-


instance,  counsel  simultaneously represented  co-defendants and

advised one  not to divulge  any information regarding  the other

when  cooperating with the government.   Carey, 50  F.3d at 1099-
                                                        

1100.    The  cooperating  defendant  alleged  that  this  advice

precluded  him from obtaining a sentence reduction.  Id. at 1101.
                                                                  

The  court held  that  the  link  between  counsel's  advice  and

counsel's  interest  in  protecting  his  other  client  was  too

speculative  to establish an actual conflict of interest.  Id. at
                                                                        

1100.

          Bucuvalas argues that  an actual  conflict of  interest

can  be inferred from Segal's fee arrangement.  The facts alleged

by  Bucuvalas, however, are even less  suspect than those alleged

in  Carey.  Bucuvalas had his own attorney, whereas the defendant
                   

in  Carey shared counsel  with a  co-defendant. See  DiCarlo, 575
                                                                      

F.2d at  957 (individual representation less  risky than multiple

representation).  Moreover, Bucuvalas  offers no additional facts

to show that Segal had conflicting interests.

          Significantly, Judge Woodlock,  who observed  firsthand

the  dynamics  of  the  trial  below,  explicitly  found  that no

conflict existed,  stating, "I do not find  that Mr. Segal in any

fashion permitted himself to be directed by any other person  . .

.  in his  professional judgment  with respect  to  the strategic

dimensions  of this  case."   Bucuvalas has  failed to  show that

Segal's  representation  was tainted  by  an  actual conflict  of

interest.

                               -11-


          The Eleventh  Circuit addressed a similar  set of facts

in Danner v. United States, 820 F.2d 1166 (11th Cir. 1987), cert.
                                                                           

denied, 484 U.S. 1012 (1988), and arrived at the same conclusion.
                

In  Danner,  counsel's  fees  were  paid  through  co-defendant's
                    

counsel.  Id. at  1168-69.  Like Bucuvalas, the defendant alleged
                       

that counsel's  advice not  to testify conflicted  with counsel's

interest in receiving his fees because  such testimony would have

incriminated  his co-defendants.   Id.   The  court held  that no
                                                

conflict of interest existed.  Id.
                                            

          For all  of these  reasons, we conclude  that Bucuvalas

has not met his burden of demonstrating that his attorney, Segal,

labored under an unconstitutional conflict of interest.

B.  The Strickland Claim
          B.  The Strickland Claim
                                  

          Bucuvalas alternatively claims that his Sixth Amendment

right  to counsel was violated by strategic errors made by Segal.

Under  Strickland  v.  Washington,  a Sixth  Amendment  violation
                                           

occurs when (1) counsel's performance  was deficient, and (2) the

deficient performance  prejudiced the defense.   Strickland,  466
                                                                     

U.S.  at 687.   The defendant  bears the  burden of  proving both

prongs of this test.  Id.   This burden is heavy.   Argencourt v.
                                                                        

United States, 78 F.3d  14, 16 (1st Cir. 1996); United  States v.
                                                                        

Lema, 987 F.2d 48, 51 (1st Cir. 1993).
              

          Counsel's performance is  deficient under  Strickland's
                                                                         

first  prong when  it  is  "so  inferior  as  to  be  objectively

unreasonable."   United States v.  McGill, 11 F.3d  223, 226 (1st
                                                   

                               -12-


Cir. 1993).  In making this determination, "judicial scrutiny  of

counsel's  performance must  be highly  deferential." Strickland,
                                                                          

466 U.S. at 689.  "A court must indulge a strong presumption that

counsel's  conduct  falls within  the  wide  range of  reasonable

professional assistance."  Id.
                                        

          Bucuvalas   suggests   that  Segal's   performance  was

deficient in two  respects.  First,  Bucuvalas claims that  Segal

should  have discussed the  potential risks presented  by the fee

arrangement  with Bucuvalas  and  should have  disclosed the  fee

arrangement  to  the  court.    Segal's  failure  to  take  these

measures,   however,  was  not   unreasonable.     An  attorney's

obligation in such circumstances is encapsulated by Massachusetts

Supreme Judicial Court Rule 3:07, DR 5-107.  It states, "[e]xcept

with  the consent of his  client after full  disclosure, a lawyer

shall not . .  . accept compensation for his  legal services from

one other than his client."  Massachusetts Supreme Judicial Court

Rule 3:07, DR 5-107 (West 1996).  Segal fulfilled his obligations

under this  rule.   Bucuvalas' consent  was evident,  and further

disclosure was  not necessary because  Bucuvalas orchestrated the

fee arrangement.   Judge Woodlock, in fact,  found that Bucuvalas

"was  fully  aware  of  the relationships  that  are  necessarily

involved in  this  case  and, consequently,  made  his  own  good

judgments or, at least, fair judgments about how to proceed . . .

."

          We agree  that Segal's handling of  the fee arrangement

did not constitute deficient performance.

                               -13-


          Bucuvalas  also claims  that  Segal's  performance  was

deficient, because he should have advised Bucuvalas to testify on

his  own behalf.    In  Lema,  however,  this  court  found  that
                                      

counsel's  advice that his client  not testify did not constitute

deficient performance  when such testimony would  have divulged a

prior conviction.   Lema, 987  F.2d at  50-53.   Lema held  that,
                                                               

"[u]naccompanied by coercion, legal advice concerning exercise of

the right to testify infringes no  right."  Id. at 52.   See also
                                                                           

United States v. Teague,  953 F.2d 1525, 1534-35 (11th  Cir.) (en
                                                                           

banc), cert. denied, 506 U.S. 842 (1992).
                             

          Bucuvalas makes no allegations  of coercion.  This case

is,  therefore, analogous  to  Lema because  Bucuvalas' testimony
                                             

would  have  divulged a  prior  conviction  for similar  charges.

Here, in fact,  there was  an additional reason  not to  testify.

His testimony at trial  would likely have led to  an admission of

several of the charges.  Judge Woodlock commented that "[p]utting

Mr.  Bucuvalas on  the stand  in  these circumstances  would have

opened  him up to a  scorching cross examination,"  and that "Mr.

Segal  gave  the  recommendation  which,  frankly,  any competent

criminal  defense   attorney  would   have   given  under   these

circumstances, that  Mr. Bucuvalas not  take the witness  stand."

We agree.   Segal gave Bucuvalas the  best possible advice.   His

performance was  not constitutionally  deficient in  any respect.

Bucuvalas has,  therefore, failed to  satisfy the first  prong of

Strickland.
                    

                               -14-


          Even   if  Bucuvalas   had  established   that  Segal's

performance was deficient,  his claim still fails  because he has

not satisfied  the second prong  of Strickland, which  requires a
                                                        

showing  of prejudice.  To  establish prejudice, a defendant must

show  that  "there  is  a reasonable  probability  that,  but for

counsel's unprofessional  errors, the  result  of the  proceeding

would  have  been  different."    Strickland, 466  U.S.  at  694;
                                                      

Argencourt, 78 F.3d  at 16.   Bucuvalas claims  that, absent  the
                    

alleged errors,  he would have taken the  stand on his own behalf

and, as a result, he would not have been convicted.  We disagree.

Had Bucuvalas  testified, the likelihood of  his conviction would

have  been increased by the introduction  of the prior conviction

and by Bucuvalas'  inevitable admissions.  We find that Bucuvalas

has  failed  to  establish   prejudice  and  cannot,   therefore,

establish a Sixth Amendment violation under Strickland.
                                                                

                               III.
                                         III.

                            Conclusion
                                      Conclusion

          For the  reasons discussed above, we  find that neither

counsel's fee arrangement nor counsel's advice that Appellant not

testify violated Appellant's  Sixth Amendment right  to effective

assistance of counsel.

          AFFIRMED.

                               -15-