Patrick F. Andrews v. United States , 179 A.3d 279 ( 2018 )


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    DISTRICT OF COLUMBIA COURT OF APPEALS
    No. 15-CO-688
    PATRICK F. ANDREWS, APPELLANT,
    02/22/2018
    V.
    UNITED STATES, APPELLEE.
    Appeal from the Superior Court
    of the District of Columbia
    (FEL5460-00)
    (Hon. Ronna Lee Beck, Motions Judge)
    (Argued November 30, 2016                              Decided February 22, 2018)
    Michael S. Bailey, with whom Donald P. Salzman and Michael A. McIntosh
    were on the brief, for appellant.
    Lauren R. Bates for appellee.
    Channing D. Phillips, United States Attorney at the time the brief was filed,
    with whom Elizabeth Trosman, John P. Mannarino, T. Anthony Quinn, Stephen F.
    Rickard, and Ann K. H. Simon, Assistant United States Attorneys, were on the
    brief, for appellee.
    Before BLACKBURNE-RIGSBY, Chief Judge,* and WASHINGTON** and
    *
    Chief Judge Blackburne-Rigsby was an Associate Judge of the court at the
    time of argument. Her status changed to Chief Judge on March 18, 2017.
    **
    Judge Washington was Chief Judge of the court at the time of argument.
    (continued . . .)
    2
    STEADMAN, Senior Judges.
    WASHINGTON, Senior Judge: On May 15, 2002, a jury convicted appellant
    Patrick F. Andrews and his co-defendant, Randall Mack, of the first-degree
    premeditated murder while armed of Deyon Rivers, and of additional firearms
    related offenses arising out of the shooting.       Appellant filed both direct and
    collateral appeals, which were affirmed and denied respectively. In this appeal, his
    second collateral appeal, appellant raises two new constitutional claims: a Brady1
    claim for the government‟s suppression of statements by a critical witness, and
    ineffective assistance of counsel claims for his trial attorney‟s conflicts of interest
    with two possible third party perpetrators. The trial court granted an evidentiary
    hearing on these issues but ultimately denied appellant‟s § 23-110 motion. For the
    reasons stated below, we affirm.
    (. . . continued)
    His status changed to Senior Judge on March 20, 2017.
    1
    Brady v. Maryland, 
    373 U.S. 83
    (1963).
    3
    I.
    The Murder of Deyon Rivers
    Appellant and Mack were convicted of the July 7, 2000, first-degree
    premeditated murder of Deyon Rivers, while Rivers sat in his car near the corner of
    18th and C Streets, N.E. We affirmed appellant‟s conviction on direct appeal, and
    denied his subsequent request for relief alleging ineffective assistance of counsel.
    See Andrews v. United States (Andrews I), 
    922 A.2d 449
    (D.C. 2007); Andrews v.
    United States (Andrews II), No. 07-CO-867, Mem. Op. & J. (D.C. June 3, 2008).
    The shooting of Rivers occurred in the wake of an altercation the previous
    day between Rivers and David Braddy, who was a friend of both appellant and
    Mack. Braddy had complained to appellant and Mack that Rivers, who did not live
    in the neighborhood, had shot “bottle rockets,” one of which had almost hit
    Braddy‟s girlfriend. Braddy was angry about the incident, but the altercation
    ended without violence.
    At the time of the confrontation between Rivers and Braddy, the latter was
    purportedly in the company of Morris Jones, then fifteen years old. Jones, who
    4
    suffered from a learning disability as well as low intellectual functioning and
    substance abuse, was a principal prosecution witness at the trial. According to
    Jones, he and Braddy spoke with appellant and Mack shortly after Braddy‟s
    encounter with Rivers, where Braddy told them what had occurred. Later in the
    evening, well after midnight, Jones and Braddy were sitting on the porch of
    Braddy‟s home, drinking alcohol and smoking marijuana. According to Jones,
    Braddy received a telephone call and went into the house, leaving Jones alone on
    the porch. After Braddy‟s departure, Jones saw a car pull up to the corner of 18th
    and C Streets. He recognized the driver as the individual who had fired the “bottle
    rocket” near Braddy‟s girlfriend. At this point, appellant and Mack came out of an
    alley and fired handguns into the vehicle. Jones further testified that he and
    Braddy encountered appellant on the following day and inquired about the events
    of the previous night. Appellant told them that he had seen “a suspicious car
    coming down the street,” that he had become “paranoid or something like that,”
    and that he had shot at the car. Jones is the sole witness to place appellant at the
    crime scene; there was no forensic evidence linking appellant to the murder.2
    2
    We expressed skepticism in appellant‟s first appeal as to the government‟s
    motive that would have led appellant and his codefendant to kill Rivers, noting that
    “an incident with a firecracker which could have struck, but did not strike,
    someone else’s girlfriend is . . . „something of a stretch.‟” Andrews 
    I, 922 A.2d at 463
    (emphasis in original).
    5
    On July 21, 2000, approximately two weeks after the shooting, an officer
    observed an unoccupied burgundy-colored Cadillac in the 300 block of 17th Place,
    N.E., with an expired rear paper license tag. The officer opened the door of the
    Cadillac, (which, remarkably, was unlocked) for the purpose, inter alia, of
    checking the tag against the VIN number. Inside the vehicle, he observed a black
    ammunition magazine protruding beneath the driver‟s seat in plain view. The
    officer called for Crime Scene Search Officers, and they subsequently recovered a
    Glock 17 semi-automatic pistol loaded with a single round of ammunition, as well
    as a clip containing 26 rounds. This weapon was ultimately identified as having
    fired fourteen of the sixteen spent cartridges recovered near Rivers‟ body.
    Inside the car, officers found a number of items linking it to appellant.
    These items included: (1) a vial of prescription medicine in appellant‟s name; (2)
    an envelope addressed to appellant; (3) several traffic citations for moving
    violations, all issued to appellant; and (4) an empty bottle of Vodka with
    appellant‟s right palm print on it. The registration was in the name of Deon Long,
    who was the girlfriend of a friend of appellant. She testified appellant had asked
    her to “sign for” a loan for a car that appellant wanted to buy. Ms. Long signed the
    paperwork, and appellant took possession of the vehicle.        Evidence was also
    recovered that suggested individuals other than appellant used the vehicle: (1) a
    6
    hotel receipt with Octavian Brown‟s name on it, (2) a probation report and referral
    for drug and alcohol testing for Douglas Quander, and (3) an empty bottle of
    Vodka found in the Cadillac with twelve usable prints, two of which matched
    appellant.
    While Jones did not report the shooting to police, investigating officers
    apparently learned that he may have been a witness. On August 22, 2000, the
    police brought him to the United States Attorney‟s Office for questioning. By this
    time, appellant and Mack were the primary suspects because police had recovered
    the two pistols with which the decedent had been shot to death and each weapon
    had been in the possession of one of the two defendants. Jones initially told the
    police that he knew nothing about the shooting, but after being questioned for
    approximately three hours, Jones identified appellant and Mack as the shooters.
    He was immediately taken before the grand jury, where he repeated his
    identification of the defendants.
    At trial, Mack presented the testimony of James Braddy, David Braddy‟s
    father. According to James Braddy, he, his wife, and his son were inside the house
    watching television for a “couple of hours” prior to the shooting. When he heard
    shots, James Braddy went to the porch to investigate, and Jones was not there.
    7
    Indeed, James Braddy testified that he had not seen Jones anywhere, either that
    night or on the previous day. He, however, admitted that he had retired upstairs for
    bed thirty minutes prior to the shooting.
    David Braddy’s Statements and Grand Jury Testimony
    The government did not call David Braddy to testify at trial, instead relying
    on Jones‟s testimony. Appellant and his codefendant also did not call Braddy to
    testify in part due to his refusal to speak with defense counsel and their
    investigators prior to the trial.   However, the government had both Braddy‟s
    videotaped statements to police and his grand jury testimony in its possession. The
    government only disclosed limited statements as part of its Brady obligation,
    noting a single contradiction between David Braddy and Jones‟s accounts;
    specifically, Braddy was home alone on the night of the shooting. Braddy‟s grand
    jury testimony, however, differed markedly from Jones‟s trial testimony.
    Appellant notes six major contradictions, where either Braddy excludes Jones‟s
    presence from key events or Braddy‟s account markedly differs from Jones‟s. In
    addition, Braddy‟s videotaped interview with police contradicted his grand jury
    testimony in several respects.
    8
    Co-defendant Randall Mack’s Retrial3
    Although the government failed to disclose Braddy‟s statements for
    appellant and co-defendant Mack‟s original trial, the government disclosed the
    testimony in Mack‟s retrial. Mack‟s defense opted this time to call Braddy to
    testify. Braddy testified that Jones was not present the night of the shooting.
    Mack‟s defense argued Jones was not to be believed and that Jones and Braddy
    intentionally lied to blame appellant and Mack for the murder. The jury was
    unable to return a verdict, and the court ordered a mistrial. After the mistrial,
    Mack pled guilty to second-degree murder. See United States v. Mack, 2000-FEL-
    5243 (D.C. Super. Ct. Jan. 8, 2010).
    Appellant’s Second § 23-110 Evidentiary Hearing
    On March 21, 2014, appellant filed a second § 23-110 motion presenting
    two new ineffective assistance of counsel (“IAC”) claims, a claim of actual
    3
    We reversed Mack‟s conviction finding that the trial court erred in
    redacting an exculpatory portion of Mack‟s statement introduced by the
    government. Andrews 
    I, 922 A.2d at 458-64
    .
    9
    innocence,4 and a Brady claim.      Judge Ronna L. Beck held four evidentiary
    hearings from December 2014 through February 2015.
    At the hearing, Jenifer Wicks, appellant‟s trial counsel, testified that she
    worked to develop Braddy as an alternate perpetrator but decided against calling
    him as a witness because he refused to speak with the defense and she did not
    possess his grand jury testimony.     She testified that statements about Rivers
    tracking Braddy down and threatening him made Braddy a more credible alternate
    perpetrator. Had the government disclosed his statements, she would have called
    Braddy as a defense witness. Wicks further testified that appellant admitted to her
    that he was one of the two people who shot Rivers.
    On May 20, 2015, the trial court denied all of appellant‟s claims in a
    comprehensive order issued from the bench. In regards to appellant‟s Brady claim,
    the trial court found Braddy‟s grand jury testimony and video statements both
    favorable to the defense and suppressed, satisfying the first two prongs of Brady.5
    4
    D.C. Code § 22-4131 (2013 Repl.).
    5
    The trial court identified five classes of impeachment and exculpatory
    evidence: (1) Braddy contradicts Jones‟s presence at his house the night of the
    shooting in several respects; (2) Jones‟s and Braddy‟s accounts of appellant‟s
    alleged confession differed; (3) Braddy contradicts Jones‟s presence at the
    (continued . . .)
    10
    However, the trial court found the statements immaterial. In doing so, the trial
    court expressed its skepticism that Wicks would have called Braddy to testify at
    appellant‟s trial and discredited her testimony to that effect. The trial court found
    that Wicks already knew that Braddy contradicted Jones‟s presence at his house
    the night of the shooting, although it was only later that she learned that Braddy
    had very serious harmful testimony to add to the government‟s case.6
    Additionally, Wicks was still able to elicit contradictions in Jones‟s testimony
    through the testimony of James Braddy without David Braddy. The trial court
    rejected any implication from Mack‟s mistrial, where Braddy testified for the
    defense, because Braddy did not have comparably incriminating testimony
    regarding Mack as he did of appellant.        The trial court held that “under the
    circumstances, no one can honestly say that it is reasonably probable that the trial
    would have had a different result given the double-edge sword represented by
    Braddy‟s testimony.”
    (. . . continued)
    fireworks incident; (4) Braddy‟s account of the fireworks incident also differed
    from Jones‟s; and (5) Jones testified that Braddy said he wanted to kill Rivers, but
    Braddy never testifies to wanting to kill Rivers.
    6
    The trial court identified six harmful facts: (1) Braddy‟s testimony that his
    father told him that a person whom he saw running from the scene of the shooting
    looked like appellant; (2) appellant‟s confession to Braddy; (3) appellant requested
    Braddy hold onto one of the murder weapons; (4) Braddy saw appellant with the
    murder weapon all the time; (5) appellant regularly drove the Cadillac; and (6)
    appellant and Mack hung out all the time.
    11
    II.
    Appellant alleges two constitutional violations on appeal:      (1) a Brady
    violation associated with the government‟s suppression of David Braddy‟s
    statements, which the trial court found immaterial, and (2) a Sixth Amendment
    right to the effective assistance of counsel resulting from appellant‟s conflict of
    interest with two potential alternate perpetrators.
    III.
    The government‟s obligation to disclose material evidence favorable to the
    accused arises from the Due Process Clause‟s purpose of preventing miscarriages
    of justice. See 
    Brady, 373 U.S. at 87
    . It is, however, the appellant who shoulders
    the burden of proving the three prongs of a Brady violation. Mackabee v. United
    States, 
    29 A.3d 952
    , 959 (D.C. 2011). An appellant must show that evidence in
    question (1) “is favorable to the accused”;7 (2) “was possessed and suppressed by
    the government, either willfully or inadvertently”; and (3) is material to guilt or
    7
    Favorability includes exculpatory and impeachment evidence. See Giglio
    v. United States, 
    405 U.S. 150
    , 154-55 (1972).
    12
    punishment. Vaughn v. United States, 
    93 A.3d 1237
    , 1254 (D.C. 2014) (citation
    and internal quotation marks omitted).
    Under Brady, evidence is material “if there is a reasonable probability that,
    had the evidence been disclosed to the defense, the result of the proceeding would
    have been different.” Miller v. United States, 
    14 A.3d 1094
    , 1115 (D.C. 2011)
    (quoting United States v. Bagley, 
    473 U.S. 667
    , 682 (1985)). “A „reasonable
    probability‟ is a probability sufficient to undermine confidence in the outcome.”
    
    Mackabee, 29 A.3d at 959
    (quoting 
    Bagley, 473 U.S. at 682
    ). It is a fairness
    inquiry of the ultimate verdict that courts must address. The Supreme Court has
    clarified that materiality is not a “sufficiency of [the] evidence test.” Kyles v.
    Whitley, 
    514 U.S. 419
    , 434 (1995). Rather, a defendant demonstrates a Brady
    violation “by showing that the favorable evidence could reasonably be taken to put
    the whole case in such a different light as to undermine confidence in the verdict.”
    
    Id. at 435
    (footnote omitted). Materiality is assessed by the cumulative effect of all
    suppressed evidence favorable to the defense, not item-by-item.           
    Id. at 436.
    Suppressed evidence may be evaluated for its tendency and force item-by-item, but
    only the cumulative effect is evaluated for the purposes of materiality. 
    Id. at 436
    n.10.
    13
    Here, the trial court‟s analysis of appellant‟s Brady claim proceeded as
    follows: (1) the court reviewed the Brady disclosures made by the government; (2)
    it determined that the government suppressed favorable evidence; (3) it gave five
    examples of favorable suppressed evidence; (4) it then discredited appellant‟s trial
    attorney‟s testimony that she would have used the suppressed statements in
    appellant‟s defense; (5) it gave six examples of unfavorable statements; and finally
    (6) the court concluded that due to the “double-edge sword” represented by the
    suppressed statements there was no reasonable probability that the trial would have
    resulted in a different outcome. This review, however, is improper as step four is
    inconsistent with the Brady materiality analysis. Whether a trial attorney would
    have actually used suppressed Brady evidence or whether the defendant could
    demonstrate actual use is irrelevant once evidence is found to be favorable and
    suppressed. Thus, such a consideration was erroneous.
    In its brief, the government supports the trial court‟s unique Brady analysis
    by citing to Mackabee and Cotton v. United States, 
    388 A.2d 865
    (D.C. 1978).8
    8
    Specifically, the government argues “[e]vidence that information . . .
    would have had some effect on the proceeding . . . is a necessary factual predicate
    to the larger question of whether cognizable prejudice „ensued‟ from the
    government‟s failure to disclose the information.” Where a defendant “failed to
    show that disclosure would have had any effect, the question of cognizable
    prejudice simply does not arise.” The government avers that, even if appellant‟s
    (continued . . .)
    14
    We fail to see how either of these cases supports the trial court‟s analysis here.
    Mackabee, for instance, involved the late disclosure—one week prior to trial—of a
    witness who failed to identify Mackabee from a photograph array, but instead,
    identified two other individuals whom the witness believed looked like the
    
    shooter.9 29 A.3d at 956-57
    . Mackabee argued the untimely disclosure cost him
    the opportunity to present the witness‟s “exculpatory testimony” at trial; we
    disagreed. 
    Id. at 962.
    Mackabee‟s claim rested on the mere possibility that his
    defense might have located the witness, might have located the two men identified
    as looking like the shooter, and might have uncovered information to undermine
    the government theory that Mackabee was the assailant. 
    Id. This mere
    possibility,
    the court held, was not shown to be a reasonable probability of a different result
    had the disclosure occurred earlier. 
    Id. at 964.
    Mackabee appropriately applies the
    (. . . continued)
    trial attorney possessed Braddy‟s statements, she never would have risked calling
    him to testify or using his statements at trial, and as such, appellant did not
    demonstrate that the suppression had any effect on his trial.
    9
    Mackabee also appealed the late disclosure of a videotaped police
    interview of an eyewitness‟s account to a murder, who gave an exculpatory
    description of the perpetrator. 
    Mackabee, 29 A.3d at 956-57
    . The defendant
    argued the late disclosure of the videotaped interview amounted to a Brady
    violation because his defense lacked the opportunity to use the evidence effectively
    at trial. 
    Id. at 958.
    The court disagreed, finding his counsel knew of the witness a
    year prior to trial, his counsel did in fact make effective use of the videotape
    evidence at trial, and the defendant did not advance, given the record, how his
    counsel could have used its contents any more effectively at trial. 
    Id. at 959-60.
                                                 15
    Kyles materiality test to entirely speculative claims. 
    Id. at 964-65
    (“[T]he evidence
    that appellant was the shooter was strong (if not overwhelming), and the matters
    discussed above do not undermine our confidence in the outcome of appellant‟s
    trial.”).   The court never demanded Mackabee prove the suppressed evidence
    would have been used at trial; rather, it dismissed the remote possibility that
    unknown favorable evidence could have been discovered had timely disclosure
    occurred. Here, the trial court permissibly recognized the benefits and potential
    disadvantages of Braddy‟s suppressed statements. The trial court‟s materiality
    analysis, however, should have then appropriately proceeded to consideration of
    that evidence in light of the entire record, without speculation as to defense
    counsel‟s actual use of that evidence and without making a finding as to trial
    counsel‟s credibility. Indeed, in a usual Brady setting, there will be no testimony
    from trial counsel relative to use of the suppressed evidence and the trial court will
    proceed directly to the materiality issue.
    Cotton offers even less support because the Brady issue there involved
    favorability and not materiality.10 Cotton argued, under Brady, that the trial court
    10
    Only in the very last sentence of Cotton does the court address
    
    materiality. 388 A.2d at 873
    (“The strength of the eyewitness identifications of
    appellant renders it unlikely that the questionable array was of sufficient
    materiality to establish a denial of appellant‟s due process rights.”).
    16
    should have granted him a midtrial evidentiary hearing to explore the
    circumstances surrounding a witness‟s pretrial identification of Cotton (given
    conflicting trial testimony as to when a photographic identification occurred in
    relation to the robbery) and to determine the identity of the suspect the witness
    identified. 
    Cotton, 388 A.2d at 872
    . The court rejected Cotton‟s argument because
    it was pure speculation that the witness identified someone other than Cotton 11 and
    the remote possibility of favorable evidence was insufficient. 
    Id. at 873.
    Here, the
    lower court already concluded that the evidence suppressed by the government was
    favorable; Cotton, therefore, is inapplicable.
    Mackabee and Cotton aside, the Supreme Court has said the purpose of
    Brady “is not to displace the adversary system as the primary means by which truth
    is uncovered, but to ensure that a miscarriage of justice does not occur.” 
    Bagley, 473 U.S. at 675
    (footnote omitted).       A prosecutor‟s obligation is to disclose
    evidence favorable to the accused that would deprive the defendant of a fair trial if
    suppressed. 
    Id. Compliance with
    this obligation, therefore, does not turn on
    11
    The witness‟s identification was also based on sources independent of the
    disputed pretrial photographic array: she saw Cotton in the area where she lived
    prior to the robbery, she paid particular attention to him at the robbery because she
    thought he was attractive, and she made prompt identification of Cotton the day
    after the robbery. 
    Cotton, 388 A.2d at 872
    . Additionally, there were two other eye
    witnesses and the prosecutor did not rely on the disputed photographic
    identification in closing arguments. 
    Id. 17 speculation
    as to whether a defendant will use the disclosed evidence at trial. It is
    realistic that, in order to ensure a fair trial, Brady demands the timely disclosure of
    certain exculpatory or impeachment evidence, which may not ultimately fit with
    the defense‟s theory at trial, and for some other reason, may not be used at trial.
    Nonetheless, materiality requires that a trial judge examine the withheld evidence
    “in the context of the entire record, and determine in light of that examination”
    whether the withheld evidence puts the trial in a different light so as to undermine
    confidence in the verdict. Turner v. United States, 
    137 S. Ct. 1885
    , 1893 (2017)
    (internal citation omitted). It is the inculpatory evidence admitted at trial against
    which a court must consider the suppressed evidence in order to determine whether
    “there is a reasonable probability that, had the evidence been disclosed to the
    defense, the result of the proceeding would have been different.” 
    Miller, 14 A.3d at 1115
    (quoting 
    Bagley, 473 U.S. at 682
    ).12
    Though the trial court improperly considered the actual use or non-use of the
    12
    “[A] showing of materiality does not require demonstration . . . that
    disclosure of the suppressed evidence would have resulted ultimately in the
    defendant‟s acquittal . . . .” 
    Kyles, 514 U.S. at 434
    (citation omitted). “A
    defendant need not demonstrate that after discounting the inculpatory evidence in
    light of the undisclosed evidence, there would not have been enough left to
    convict.” 
    Id. at 434-35.
    Nor must a defendant demonstrate that “some of the
    inculpatory evidence should have been excluded.” 
    Id. at 435
    .
    18
    suppressed evidence by defense counsel as part of its Brady analysis, we are
    satisfied that such error was harmless as there is no reasonable probability that had
    Braddy‟s grand jury testimony been disclosed, the result of the proceeding would
    have been different. The materiality question itself is a legal conclusion, in which
    we review de novo. Turner v. United States, 
    116 A.3d 894
    , 915 (D.C. 2015), aff’d,
    
    137 S. Ct. 1885
    (2017).
    Therefore, while we defer in this case to the motions
    judge‟s assessments of credibility, evaluations of the
    weight of the evidence and the inferences to be drawn
    therefrom, and findings of historical fact, so long as they
    have record support, we respect, but we do not accord
    comparable deference to, the judge‟s determination of the
    ultimate question of Brady materiality.
    
    Id. The trial
    court identified five areas of impeachment evidence relating to
    Jones‟s testimony that it considered to be favorable to the appellant, including (1)
    Braddy‟s contradiction of Jones‟s presence at his house on the night of the
    shooting, (2) differences in Braddy‟s and Jones‟s accounts of appellant‟s alleged
    confession, (3) Braddy‟s contradiction of Jones‟s presence at the fireworks incident
    with Rivers, (4) differences in Braddy‟s and Jones‟s explanations of the fireworks
    incident, and (5) Braddy‟s failure to testify that he wanted to kill Rivers, thereby
    contradicting Jones‟s testimony that Braddy had made those comments. With
    respect to the first, the record reveals that it was largely cumulative of other
    19
    impeachment evidence appellant possessed and had used at trial.             “Although
    impeaching information does not have a lesser standing in the context of the
    government‟s Brady disclosure obligations than affirmatively exculpatory
    information, it can be immaterial . . . if it is cumulative and the witness has already
    been impeached by the same kind of evidence.” 
    Id. at 922
    (footnotes and internal
    quotation marks omitted). James Braddy, Braddy‟s father, testified that he, his
    wife, and his son were inside their home at the time of the shooting, watching
    television. Andrews 
    I, 922 A.2d at 453
    . When James Braddy heard the gunshots,
    he went to his porch and did not see Jones anywhere in sight. See 
    id. Moreover, he
    “had not seen Jones anywhere, either that night or on the previous day.” 
    Id. Had Braddy
    testified, he would have provided the same account as his father: that
    no one was present in the immediate area of his home when he and his father went
    outside to the porch to investigate the gunshots.
    As to the remaining evidence, while Braddy‟s testimony would have
    contradicted Jones‟s testimony regarding certain key conversations and events that
    occurred both prior to and after the shooting, the evidence would largely have been
    a further impeachment of Jones‟s testimony. However, Jones‟s testimony had
    already been significantly impeached and his flaws as a witness exposed, so the
    question is one of degree. Here, had Braddy testified, appellant could have used
    20
    Braddy‟s account of the fireworks incident and alleged confession to impeach
    Jones regarding what amounted to discrepancies in the details. However, his
    testimony also would have corroborated Jones‟s testimony that many of those
    incidents actually occurred.     Most notably, Braddy‟s testimony would have
    corroborated Jones‟s testimony that appellant confessed to being involved in the
    shooting, that Rivers had been killed in his car, and that appellant was present
    when Braddy described the fireworks incident.
    Considering this evidence in the context of the entire record, we are
    convinced that there is no reasonable probability that disclosing such information
    would have produced a different outcome at trial. The jury was well aware of the
    flaws in Jones‟s testimony and his overall credibility as a witness. Andrews 
    I, 922 A.2d at 462
    . Thus, we have difficulty giving significant weight to any further
    undermining of Jones‟s credibility especially in light of the other evidence
    presented at trial including the fact that two weeks after the shooting, MPD officers
    “recovered a Glock 17 semi-automatic pistol loaded with a single round of
    ammunition, as well as a clip containing 26 rounds” from a burgundy-colored
    Cadillac, 
    id. at 454;
    that a disinterested witness testified that she had signed a loan
    for the car on behalf of appellant; that MPD officers discovered a number of items
    linking appellant to the car; and an MPD firearms examiner testified that after
    21
    testing, it was determined that fourteen of the sixteen cartridges recovered near
    River‟s body were fired from the Glock that was found in appellant‟s Cadillac.13
    
    Id. We are
    even less persuaded that Braddy‟s grand jury testimony was material
    when we review it without separating the five favorable facts from the six the trial
    court deemed harmful to appellant‟s case. For example, Braddy‟s testimony would
    have provided further corroboration that appellant regularly drove the Cadillac
    where one of the murder weapons was recovered, that appellant frequently had that
    weapon in his possession, that appellant had confessed his role in the shooting to
    friends, and that he and Mack regularly spent time together. Moreover, Braddy‟s
    testimony would have included the fact that his father told him he had looked out
    of his second-story bedroom window and saw someone running from the scene of
    the shooting that resembled appellant.       While Braddy‟s father subsequently
    provided a defense investigator with a statement contradicting his earlier
    identification of appellant as the person he saw running, had Braddy testified about
    his conversation with his father, there would have been evidence that a second, and
    arguably more credible, eyewitness inculpated appellant in the murder. In light of
    13
    But see Gardner v. United States, 
    140 A.3d 1172
    , 1177-78 (D.C. 2016);
    Williams v. United States, 
    130 A.3d 343
    , 351 (D.C. 2016) (Easterly, J. concurring).
    22
    the “double-edged” nature of the evidence, when compared to the strong case
    against appellant, we are unpersuaded that had this evidence not been suppressed
    there is a reasonable probability that the outcome of appellant‟s trial would have
    been different.
    Nor is our materiality assessment swayed by the jury‟s inability to reach a
    verdict in Mack‟s retrial. While Braddy testified in Mack‟s second trial, appellant
    fails to account for the fact that Braddy did not have remotely comparable
    incriminating testimony regarding Mack that he did of appellant. Braddy‟s grand
    jury testimony regarding Mack related to two areas:         (1) appellant‟s alleged
    confession and, (2) Mack‟s possession of one of the murder weapons. As to the
    first, in the grand jury Braddy testified that after appellant confessed to the
    shooting, he had a conversation with Mack. Braddy explained he advised Mack of
    appellant‟s confession and Mack responded that appellant “told me the same
    thing.” Braddy further attested that Mack never told him that he was present at the
    time of the shooting or in a position to observe the shooting. Braddy also testified
    to his observations of Mack‟s possession of the murder weapons. He explained
    that he saw Mack “with the larger gun” once before the shooting but that he held
    the other handgun “most of the time.” This testimony had far less an incriminating
    impact on Mack than Braddy‟s testimony regarding appellant.
    23
    Most notable, however, is the absence of Courtney Burley‟s testimony in
    Mack‟s retrial. At the original trial in 2002, Burley was one of the primary
    government witnesses implicating Mack, not appellant, in the shooting. Burley, a
    juvenile with an extensive delinquency record, testified that on the night of the
    shooting he encountered Mack in an alley near 23rd and C Streets, N.E. Andrews
    
    I, 922 A.2d at 453
    . As he approached Mack, who was in a concealed position,
    Mack told him “that it was about to get hot out there because of some gangster
    shit.” 
    Id. (internal quotation
    marks omitted). Burley called his brother to pick him
    up, who arrived approximately fifteen minutes later. 
    Id. As the
    two drove away,
    Burley testified he heard the sound of gunshots. 
    Id. On the
    day following the
    shooting, Burley again ran into Mack.        
    Id. “In response
    to Burley‟s inquiry
    regarding what had occurred the previous night, Mack allegedly stated that he had
    been „shooting.‟” 
    Id. At Mack‟s
    retrial, Burley completely recanted his original
    trial testimony. The absence of this highly inculpatory testimony as well as the
    presence of Braddy‟s testimony, which did not have a remotely comparable
    incriminating effect on Mack as it did on appellant, leads us to conclude that
    Mack‟s retrial has no bearing on our materiality determination in appellant‟s case.
    24
    On the basis of our review of the record, we agree with the trial court that
    there is not a reasonable probability that the withheld evidence would have
    changed the outcome of appellant‟s trial. While we find the trial court‟s error was
    harmless after a proper Brady analysis, we remind the trial court that a proper
    materiality evaluation precludes it from considering the actual use of the
    suppressed evidence and substituting its judgment for that of defense counsel.
    IV.
    Appellant also raises two new IAC claims in his second § 23-110 motion
    that center on his trial counsel‟s alleged conflicts of interest from her simultaneous
    representation of Kevin Bellinger and acceptance of compensation from Octavian
    Brown, two possible alternative perpetrators.       We find appellant‟s arguments
    unpersuasive and affirm the trial court‟s ruling.
    At the § 23-110 evidentiary hearing, Jenifer Wicks was questioned regarding
    her alleged conflicts with Kevin Bellinger and Octavian Brown. At one of their
    first meetings, appellant informed Wicks that one of the handguns used in the
    Rivers murder was the same gun used by Bellinger in an earlier non-fatal shooting
    that occurred on May 26, 2000. Bellinger was eventually convicted in connection
    25
    with that earlier shooting on April 5, 2002, and, within a few days, contacted
    Wicks requesting her representation during his sentencing and post-trial
    proceedings.14 Wicks visited Bellinger in jail a few days later and they discussed
    possible representation and fee arrangements, but it wasn‟t until after appellant‟s
    trial had concluded in May of 2002 that Wicks formally agreed to represent
    Bellinger during his sentencing and post-conviction proceedings and entered her
    appearance.
    Appellant alleges that when Wicks met with Bellinger an actual conflict of
    interest was created. He argues that Wicks used confidential information regarding
    the weapon, which she learned from appellant, “to file a motion on behalf of
    Bellinger seeking access to ballistics evidence from the Rivers murder” with the
    goal of presenting Mack as a third party perpetrator in Bellinger‟s case, but never
    sought the same ballistics evidence to present Bellinger as a third party perpetrator
    in his case as a possible defense.
    In addition to the conflict with Bellinger, appellant alleges that Wicks
    14
    Bellinger had originally sought Wicks‟s representation in January 2001,
    but the inquiry was never pursued. Wicks did not remember that Bellinger had
    extended an offer to her when she agreed to represent appellant.
    26
    possessed a second conflict with Octavian Brown because (1) Brown had agreed to
    pay Wicks an initial $5,000 retainer fee to represent appellant but still owed $1,500
    by the time of trial and (2) Wicks was also representing Brown in two unrelated
    traffic cases.15 Appellant argues that the representation created a conflict because
    some of the evidence in his case alluded to a connection between Brown and the
    Rivers murder.16 However, Wicks testified that her contacts with Brown did not
    negatively affect her representation of appellant. She further testified that she
    made it clear to appellant that her duty was to him and not to those paying her fee
    but also acknowledged that she never discussed the possibility that appellant and
    Brown could have had adverse interests.
    The trial court rejected both IAC claims. It found that Wicks and Bellinger
    lacked an attorney-client relationship until after appellant‟s trial and credited
    Wicks‟s testimony that she held nothing back out of loyalty to Bellinger. The trial
    court further determined that Bellinger was not a sustainable third party perpetrator
    because there was no evidence discovered that, despite what the trial court
    15
    The first traffic case was dismissed in January 2002, four months before
    appellant‟s 2002 trial, and the second traffic case was dismissed the day after
    Brown retained Wicks. Neither matter was pending when appellant went to trial.
    16
    Police found a hotel receipt in Brown‟s name during the search of the
    Cadillac, and Brown reportedly drove the vehicle two or three times. Wicks also
    elicited testimony at appellant‟s trial that Brown was seen driving the Cadillac.
    27
    considered best efforts by Wicks and her investigator, put Bellinger near the scene
    of the murder during the relevant times.       Similarly, the trial court rejected
    appellant‟s claim of a conflict due to the fiduciary relationship between Wicks and
    Brown because appellant‟s retainer agreement with Wicks clearly set forth her duty
    of loyalty to appellant, notwithstanding any fee payments by Brown.          Again
    crediting Wicks‟s testimony, the trial court found that the payment arrangement
    had no impact on her trial strategy because, like Bellinger, there was no evidence
    that Brown was present during the day and night in question.17
    A.
    “Our review of the trial court‟s determination of whether a conflict of
    interest exists is a deferential one, presenting a mixed question of law and fact.”
    Alston v. United States, 
    838 A.2d 320
    , 324 (D.C. 2003) (citation and internal
    quotation marks omitted). Review of legal conclusions is de novo, but the trial
    judge‟s factual determinations are accepted, unless unsupported by the evidence.
    
    Id. 17 The
    trial court explained, “[t]here is no evidence that Wicks failed to do
    anything because of her relationships with Bellinger and Brown” and “if [Wicks]
    had had more compelling evidence against either or both of them she would have
    used it.”
    28
    When claiming ineffective assistance of counsel, a defendant must establish
    that his counsel‟s performance was deficient and that the deficiency resulted in
    prejudice. Strickland v. Washington, 
    466 U.S. 668
    , 687 (1984). In cases where
    counsel is burdened by an actual conflict of interest, there is a presumption of
    prejudice. 
    Id. at 692;
    see also (Jermaine) Thomas v. United States, 
    685 A.2d 745
    ,
    751 (D.C. 1996). This is not, however, a per se rule, and prejudice is only
    presumed “if the [appellant] demonstrates that counsel „actively represented
    conflicting interests‟ and that „an actual conflict of interest adversely affected his
    lawyer‟s performance.‟” 
    Strickland, 466 U.S. at 692
    (quoting Cuyler v. Sullivan,
    
    446 U.S. 335
    , 348, 350 (1980)). The mere “possibility of conflict is insufficient to
    impugn a criminal conviction.” 
    Cuyler, 446 U.S. at 350
    .
    We have recognized that an attorney has an actual conflict of interest when
    “the attorney‟s and the [client‟s] interests diverge with respect to a material factual
    or legal issue or to a course of action.” Veney v. United States, 
    738 A.2d 1185
    ,
    1192-93 (D.C. 1999) (recognizing actual conflict of interest where defense
    attorney is required to make choices advancing one client‟s interest to the
    detriment of another‟s) (citation and internal quotation marks omitted). See also
    Douglas v. United States, 
    488 A.2d 121
    , 138 (D.C. 1985) (finding a conflict where
    29
    the defendant complained of his lawyer‟s performance to Disciplinary Counsel,
    which initiated an investigation, and the lawyer thereby acquired a personal,
    potentially conflicting interest in how the defense would be conducted). While
    “[c]onflicts of interest can arise both in cases of simultaneous and successive
    representation,” “[r]epresenting more than one person charged in the same criminal
    transaction . . . does not automatically create a conflict of interest.” 
    Veney, 738 A.2d at 1193
    . Thus, “a conflict alone is not enough to permit reversal of a
    conviction on appeal”; “the conflict must [also] be shown to have adversely
    affected the trial attorney‟s performance.” Malede v. United States, 
    767 A.2d 267
    ,
    272 (D.C. 2001) (rejecting automatic reversal where an attorney expressed hostility
    to his client, calling him a “malevolent little man”).      Likewise, “[a]n alleged
    conflict of interest that obstructs the use of a particular strategy or defense is not
    significant unless the defense is plausible.” Derrington v. United States, 
    681 A.2d 1126
    , 1133 (D.C. 1996) (quoting Fitzgerald v. United States, 
    530 A.2d 1129
    , 1138
    (D.C. 1987)).
    B.
    Appellant argues that, but/for Wicks‟s conflict of interest, she would have
    presented Bellinger as a potential third party perpetrator in his trial.        Even
    30
    assuming, arguendo, appellant met his burden of establishing that an attorney-
    client relationship existed between Wicks and Bellinger,18 appellant has failed to
    demonstrate how a possible conflict could have adversely affected Wicks‟s
    performance. See 
    Malede, 767 A.2d at 272
    . The trial court found that, even if
    Wicks presented Bellinger as a third party perpetrator, he would not be charged
    simply because Wicks accused him of committing a criminal act,19 and Wicks
    18
    Appellant argues that Wicks owed a duty of loyalty to Bellinger after
    meeting with him in prison and a third party agreed to pay his fee. While we have
    recognized that an attorney-client relationship may be established before a contract
    exists or before the payment of any fees, the parties must still “manifest an
    intention to create the attorney/client relationship,” either “explicitly or by their
    conduct.” In re Ryan, 
    670 A.2d 375
    , 379 (D.C. 1996). Moreover, “[r]epresenting
    more than one person charged in the same criminal transaction. . . does not
    automatically create a conflict of interest.” 
    Veney, 738 A.2d at 1193
    . On these
    facts, we cannot say definitively whether Wicks and Bellinger, explicitly or by
    their conduct, manifested an intention to establish an attorney-client relationship.
    See In re Fay, 
    111 A.3d 1025
    , 1030 (D.C. 2015) (“[W]e consider the totality of the
    circumstances to determine whether an attorney-client relationship exists.”).
    However, we do not need to address this question further because Wicks could not
    have presented Bellinger as a third party perpetrator, and as such, appellant fails to
    demonstrate how Wicks‟s performance was adversely affected.
    19
    The trial court is correct on this point; though, it bears less weight in our
    analysis. The government already possessed evidence that a number of different
    individuals had access to the Cadillac and murder weapons. The government, at its
    sole discretion, charged those individuals, whom it believed it could prove guilt
    beyond a reasonable doubt. Unless Wicks possessed additional evidence linking
    Bellinger to the Rivers murder, Bellinger would not have been charged simply
    because she accused him. The absence of any evidence placing Bellinger on the
    scene during relevant times strengthens this observation. Appellant‟s reliance on
    United States v. Nicholson, 
    475 F.3d 241
    (4th Cir. 2007), is therefore misplaced,
    and additionally, we find the unique facts in Nicholson distinguishable and
    (continued . . .)
    31
    could not place Bellinger on the scene during the relevant times.20 The lack of
    evidence linking Bellinger to the murder is significant because appellant‟s
    argument of adverse performance relies entirely on the fact that Wicks did not
    present Bellinger as a third party perpetrator. Accordingly, appellant‟s argument
    must fail if we determine that there was insufficient evidence in the record to
    support appellant‟s third party perpetrator defense. See 
    Derrington, 681 A.2d at 1133
    .
    Evidence offered to show that someone other than the defendant committed
    the alleged crime is commonly known as Winfield evidence. See Winfield v.
    United States, 
    676 A.2d 1
    (D.C. 1996) (en banc).          For such evidence to be
    admissible, “there must be proof of facts or circumstances which tend to indicate
    some reasonable possibility that a person other than the defendant committed the
    charged offense.” 
    Winfield, 676 A.2d at 4
    (citation and internal quotation marks
    omitted) (emphasis added). “Conversely, the trial court should exclude Winfield
    evidence if it is too remote in time and place, completely unrelated or irrelevant to
    (. . . continued)
    unpersuasive.
    20
    As the trial court explained, “[t]here was no evidence [Bellinger] was
    around when Braddy was describing the fireworks incident to Mack and Andrews
    that provided the . . . motive for . . . this murder. There was no evidence he was in
    the neighborhood near the time of the shooting.”
    32
    the offense charged, or too speculative with respect to the third party‟s guilt.”
    
    Turner, 116 A.3d at 917
    (quoting (Todd) Thomas v. United States, 
    59 A.3d 1252
    ,
    1264 (D.C. 2013)) (internal quotation marks omitted). This is not an impotent bar
    to admissibility.   Even in circumstances where other individuals had stronger
    motives to murder the victim than the accused, there must still be proof that the
    other individual had the practical opportunity to commit the crime. See 
    Turner, 116 A.3d at 916
    ; 
    Winfield, 676 A.2d at 4
    . The trial court has the discretion to
    exclude such evidence if “its marginal probative value is substantially outweighed
    by the risk of unfair prejudice, confusion of the jury, or similar considerations.”
    
    Turner, 116 A.3d at 917
    (footnote omitted).
    Here, we are unpersuaded by appellant‟s arguments that Bellinger was a
    viable third party perpetrator. Appellant‟s entire argument can be summarized as
    “guilt by association.” It relies exclusively on evidence that Bellinger had access
    to the murder weapon linked to Mack and to the Cadillac—as did many others in
    the neighborhood—in order to assert a “plausible defense strategy,” while wholly
    ignoring the dearth of evidence placing Bellinger at the scene during the fireworks
    incident or in the neighborhood near the time of the shooting. Further, the record
    clearly indicates the scope of Wicks‟s investigative efforts and the information she
    obtained. Wicks testified that she and her investigator looked for any evidence
    33
    linking Bellinger to the scene of the murder. They interviewed Bellinger himself,
    who provided an alibi that he was in Maryland during the relevant time period.
    They interviewed mutual friends of Bellinger and appellant to either confirm or
    deny Bellinger‟s absence.     Wicks was unable to uncover any evidence that
    Bellinger was in the neighborhood the evening of the shooting or during the early
    morning hours. When asked why she did not present Bellinger as an alternative
    perpetrator, Wicks testified that she was unable to establish that Bellinger had the
    means, motive, or opportunity to murder Rivers.21 So, even though there was
    evidence that linked Bellinger to one of the murder weapons six weeks earlier,
    there was no evidence that connected him to the weapon on the day of the murder,
    no evidence that connected him to the Cadillac other than the fact that it was
    shared by a number of people in the neighborhood, and no evidence that indicated
    he had any motive to kill Rivers.
    There is simply no reasonable possibility that Bellinger was involved in the
    River‟s murder or that he had a practical opportunity to be involved. Certainly, he
    previously possessed one of the murder weapons used in this heinous crime, but
    21
    Wicks also testified that the Public Defender Service, who was
    representing co-defendant Mack at the time, was investigating whether Bellinger
    was present the night of the shooting because of his connection with the gun linked
    to Mack. There is no indication that the Public Defender Service uncovered any
    additional evidence linking Bellinger to the Rivers murder.
    34
    that fact alone is insufficient under Winfield and its progeny to offer Bellinger as a
    viable third party perpetrator. For these reasons, appellant has failed to sustain his
    IAC of a possible conflict from Wicks‟s connection to Bellinger, and we affirm the
    trial court‟s ruling in this regard.
    C.
    Appellant makes a similar IAC claim with regard to Octavian Brown, a third
    party who paid for appellant‟s legal services. In this instance, appellant contends
    that Wicks also failed to present Brown as a third party perpetrator because he paid
    appellant‟s legal fees and still owed Wicks $1,500 when appellant‟s case went to
    trial. Again however, the only evidence linking Brown to the Rivers murder was
    his shared access to the Cadillac and the murder weapon contained therein.
    The trial court once again rejected appellant‟s argument, finding that Wicks
    “did not have an actual conflict of interest, and her trial strategy was in no way
    impacted by any conflict of interest.” In coming to that determination, the trial
    court credited Wicks‟s testimony that the retainer agreement signed by both Brown
    and appellant clearly indicated that Wicks‟s loyalty was to appellant,
    35
    notwithstanding Brown‟s payments,22 and that Brown‟s payments had no impact
    on her trial strategy because of the insufficient evidence linking Brown to the
    Rivers murder.23 After a four-day evidentiary hearing, the trial court recognized
    that Wicks‟s most sound trial strategy was to have the jury believe Mack and
    Braddy murdered Rivers, but also to establish that the police did an inadequate
    investigation and that other people in the neighborhood had access to the murder
    weapons.
    We agree with the trial court that there was no conflict of interest due to
    Brown‟s payment of appellant‟s legal fees or due to Wicks‟s representation of
    Brown in two unrelated traffic offenses. Simultaneous representation and third
    party fee agreements do not automatically equate a conflict of interest.          See
    
    Malede, 767 A.2d at 272
    ; 
    Veney, 738 A.2d at 1192-93
    . Nor are we persuaded by
    appellant‟s contention that a small outstanding debt would cause a professional
    attorney to outright forgo a plausible defense strategy for his or her client, whom
    22
    Appellant argues that any waiver of a conflict was invalid because the
    original trial court never conducted the requisite on-the-record waiver colloquy.
    See Pinkney v. United States, 
    851 A.2d 479
    , 488-89 (D.C. 2004). However, the §
    23-110 trial court found, and we agree, that there was no conflict of interest, and as
    such, no requirement that the original court conduct a colloquy.
    23
    Wicks had, in fact, elicited testimony during the cross-examination of a
    government witness linking Brown to the Cadillac.
    36
    was facing considerable incarceration for first-degree murder. Finally, for the
    same reasons discussed above, we are unconvinced that Wicks would have been
    able to present Brown as a viable third party perpetrator because, on these facts,
    there was even less evidence linking Brown to the murder weapons and the scene
    of the shooting than there was for Bellinger. As such, Wicks‟s performance was
    not adversely affected nor was appellant deprived of a plausible defense strategy.
    See 
    Derrington, 681 A.2d at 1133
    .
    Because appellant has failed to meet his burden in demonstrating an actual
    conflict of interest that adversely affected his counsel‟s performance, we affirm the
    trial court‟s ruling that he was not deprived of the effective assistance of counsel.
    So ordered.