Carl Simon v. Government of the Virgin Islan , 929 F.3d 118 ( 2019 )


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  •                                     PRECEDENTIAL
    UNITED STATES COURT OF APPEALS
    FOR THE THIRD CIRCUIT
    Case No. 18-2755
    CARL SIMON,
    Appellant
    v.
    GOVERNMENT OF THE VIRGIN ISLANDS
    On Appeal from the District Court
    of the Virgin Islands
    (District Court No.: 3-03-cv-00024)
    District Judge: Honorable Wilma A. Lewis
    Argued on April 8, 2019
    (Opinion filed: July 9, 2019)
    Before: SMITH, Chief Judge, JORDAN and RENDELL,
    Circuit Judges
    Joseph A. DiRuzzo, III [ARGUED]
    Daniel Lader
    DiRuzzo & Company
    401 East Las Olas Boulevard
    Suite 1400
    Fort Lauderdale, FL 33301
    Counsel for Appellant
    Su-Layne U. Walker [ARGUED]
    Office of Attorney General of Virgin Islands
    Department of Justice
    34-38 Kronprindsens Gade
    GERS Complex, 2nd Floor
    St. Thomas, VI 00802
    Counsel for Appellee
    OPINION
    RENDELL, Circuit Judge:
    Carl Simon was convicted in 1994 for his part in a
    break-in that led to the death of Daniel Ezekiel. Twenty-five
    years later, we review his petition for habeas relief. Although
    we agree with the Appellate Division of the District Court for
    the Virgin Islands that most of Simon’s claims do not entitle
    him to relief, we remand for two reasons. First, the Superior
    Court abused its discretion when it declined to conduct an
    evidentiary hearing to address Simon’s claim that the Virgin
    2
    Islands Government violated its Brady obligations by failing to
    disclose a prior agreement with its key witness, James Roach.
    Second, the Appellate Division erred when it dismissed
    Simon’s claim that his trial counsel was ineffective without
    first remanding to the Superior Court to conduct an evidentiary
    hearing. Simon presented facts that, if true, tend to show his
    counsel had a conflict of interest by representing one of
    Simon’s co-conspirators at the time of his trial. Thus, we will
    affirm in part, reverse in part, and remand to the Appellate
    Division with instructions to remand to the Superior Court to
    conduct an evidentiary hearing on those two issues.
    I.1
    A. The Crime and Pre-trial Events.
    In September 1993, three men broke into the home of
    Elroy Connor. When Connor and Daniel Ezekiel returned in
    the midst of the break-in, a struggle ensued and Ezekiel was
    shot and killed. The three intruders fled the scene.
    Subsequently, James Roach was arrested for his
    involvement in the death of Ezekiel. Roach was charged in the
    District Court for the Virgin Islands with first degree murder
    under Virgin Islands law and unlawful flight to avoid
    prosecution under federal law. As to the murder charge, he
    pled not guilty. The murder trial was prosecuted by the Virgin
    1
    The facts of Simon’s case have been thoroughly discussed in
    several opinions. See JA 30–40; Simon v. Gov’t of V.I., 
    679 F.3d 109
    , 111–13 (3d Cir. 2012); Simon v. Gov’t of V.I., 
    47 V.I. 3
    , 5–11 (2002). We thus set out here only what is necessary
    for the disposition of this appeal.
    3
    Islands Attorney General’s Office. Roach testified on his own
    behalf, stating he was at his girlfriend’s house on the night in
    question, and thus did not commit the crime. When asked about
    a possible co-conspirator, Simon, Roach stated that he did not
    know him. In March 1994, Roach was found guilty of first
    degree murder and subsequently appealed his conviction and
    sentence to us. He later withdrew that appeal in March 1995.
    Roach was also convicted on the unlawful flight charge, but in
    October 1994 he moved to continue sentencing on that count.
    After Roach’s conviction, Simon was arrested. The
    Government filed an Information in the Superior Court of the
    Virgin Islands charging him with burglary, conspiracy, and
    first degree premeditated murder. The Court appointed
    Augustin Ayala, Esq., to represent Simon.
    Two weeks before trial, the Government notified Simon
    that it intended to amend the Information. One week before
    trial, it moved to amend the Information changing
    premeditated murder to felony-murder with a predicate felony
    of robbery. The amendment also added robbery and conspiracy
    to commit robbery. Ayala objected, as the amendment added
    new charges only a week before trial. The Court nonetheless
    granted the motion to amend the Information. Two days before
    trial, the Court again permitted an amendment to cure a defect
    over Ayala’s objection, removing the conspiracy count and
    altering some language to reflect the elements of felony-
    murder.
    B. Trial and Direct Appeal
    4
    At trial, the Government presented Roach as its key
    witness. Shortly after his conviction, Roach provided a
    statement to officials that was diametrically opposed to his
    testimony at his own trial. In the statement, he indicated that
    Simon orchestrated the burglary and shot Ezekiel. Roach
    explained his change in tune, testifying, “I was scared. I was
    scared for my life. That’s why I didn’t tell the truth then, cause
    Carl Simon say he going to kill me. But, I ask for protection,
    and I get it, so I [am] willing to tell the truth now.” JA 444–45.
    Ayala cross examined Roach on, among other things, the
    “protection” he received. Ayala asked, “Do you know which
    Government gave the protection? Was it the Federal
    Government or the Local Government?” JA 482–83. He stated,
    “I can’t—the Local.” JA 483. On redirect examination, the
    Government asked Roach to explain what, if any promises,
    were made to him:
    [The Government]: Mr. Roach, will you state to
    the Court and the . . . Jury, whether or not the
    Government has made any promises to you for
    your testifying here today, in terms of reducing
    or having to do anything with your case?
    [Roach]: I ask for protection.
    [The Government]: And?
    [Roach]: So that Carl Simon and he brother [sic]
    and they couldn’t get to me.
    [The Court]: Are there any other promises that
    were made to you by the Government?
    [Roach]: No, Sir.
    JA 498. Although other witnesses testified at Simon’s trial,
    Roach was the only witness to affirmatively place Simon at
    5
    Connor’s house and identify him as the one who shot Ezekiel.
    Connor, the homeowner, testified that Roach was with a
    shorter man, but never identified the “short man” as Simon, nor
    did he identify him at trial. See JA 578–59 (“No, I couldn’t see
    [his face].”). In addition, Roach and Connor’s testimony
    conflicted: Roach indicated that Simon put a t-shirt over his
    head to cover his face, while Connor indicated the man wore a
    stocking.
    The third intruder was never formally identified. Ayala
    questioned Roach about a man named Daryl Ward, the possible
    third man. Roach stated that he had a conversation with Ward
    in jail and that he “fit the description” of the third man, but “it
    wasn’t him” because “he was in jail, and when I really think, it
    wasn’t him.” JA 465–66. Roach further stated that it “wasn’t
    him” because of “how he express[ed] [him]self.” JA 469.
    Ayala testified years later in an unrelated proceeding that:
    Ward, as far as I’m concerned, notice I said as
    far as I’m concerned, was part of the individuals
    who were in that house. The only problem that
    the government had, and the government didn’t
    call him, was the Bureau of Corrections records
    indicated that Mr. Ward was at the Bureau of
    Corrections at the time. But I know that Mr.
    Ward was out, because I had, Mr. Ward was also
    one of my clients, and I remember Mr. Ward
    being out. And from all indications, it would
    appear to me that Mr. Ward was another
    individual who may have been there along with
    Mr. Simon and Mr. Roach.
    JA 966. Ayala attempted to have Ward testify at Simon’s trial,
    but “he didn’t come to court. I couldn’t force him to come to
    6
    court, because, again . . . [t]he records would indicate that he
    would be in jail[.]” JA 967.
    Simon was found guilty of burglary, robbery, and
    felony-murder, and sentenced to life imprisonment without
    parole. He appealed the conviction to the District Court of the
    Virgin Islands, Appellate Division.2 At that time, the Public
    Defender’s Office signed an agreement with Michael Joseph,
    Esq. to take over Simon’s appeal. Joseph filed a brief arguing
    that the District Court erred by permitting the Government to
    amend the Information to add additional charges before trial.
    The Appellate Division affirmed. Simon wished to appeal the
    decision to us. After he attempted to contact Joseph, Joseph
    sent a letter stating:
    I received your message . . . in which you
    demanded that I file a notice of appeal to the 3d
    Circuit from your direct appeal to the Appellate
    Division. . . . Unfortunately, such an appeal
    would be frivolous and without merit. . . . I am
    therefore advising you that you should seek other
    counsel if you insist on an appeal to the Third
    Circuit Court of Appeals. Note that you must file
    such notice immediately.
    JA 921. Although Simon filed pro se a notice of appeal shortly
    thereafter, it was dismissed as untimely.
    2
    At the time of Simon’s conviction, all appeals from the
    Superior Court (previously known as the Territorial Court)
    were heard by the District Court for the Virgin Islands,
    Appellate Division. As discussed below, appellants were
    further entitled to a second appeal as of right to us.
    7
    In September 1995, the United States Attorney’s Office
    filed a stipulation to vacate Roach’s sentence of first degree
    murder and reduce the conviction to second degree murder.
    Several months after Roach testified and helped secure
    Simon’s conviction, Roach withdrew his ongoing appeal to the
    Third Circuit. The United States Attorney’s Office, in
    exchange, informed the District Court of his substantial
    cooperation and requested that his conviction for first degree
    murder be vacated and reduced to second degree murder. The
    Virgin Islands Assistant Attorney General who prosecuted
    Simon’s case also submitted a letter in support of Roach’s
    resentencing. At a hearing considering this, Roach’s attorney
    indicated that:
    After [Roach] had filed [his] appeal with regards
    to this matter, we were approached by the
    Government and we agreed with regards to that
    matter to testify in the Territorial Court. Upon
    our testimony in the Territorial Court, we agreed
    and we stipulated to vacate the conviction for
    first degree murder.
    JA 868. The District Court vacated the first degree murder
    sentence, and Roach pled guilty to the new count of second
    degree murder. The District Court subsequently sentenced him
    to 20 years’ imprisonment.
    C. Habeas Proceedings.3
    After Simon’s direct appeal, he filed this petition in the
    Superior Court. Simon argued, inter alia, that: (1) the
    3
    There are several habeas petitions not before us but relevant
    to this appeal. Immediately after his trial was completed,
    8
    Government’s amendment to the Information two weeks
    before trial was per se reversible error; and (2) the Government
    violated its Brady obligations by failing to disclose a prior
    agreement with Roach to testify in exchange for reducing his
    conviction and sentence. The Superior Court denied the habeas
    petition in a July 18, 2002 Order without an evidentiary hearing
    (“Simon I”). Simon subsequently appealed to the Appellate
    Division.
    While pending in the Appellate Division, Simon’s
    attorney, believing that there were no meritorious issues to be
    raised on appeal, filed a brief pursuant to Anders v. California,
    
    386 U.S. 738
     (1967). The Appellate Division, however,
    realized the Superior Court failed to issue a Certificate of
    Probable Cause (“CPC”) with its order denying the petition, as
    required by V.I. R. App. P. 14(b). Thus, the Appellate Division
    remanded back to the Superior Court where it issued the CPC.
    The CPC stated that several issues, including the Brady
    violation and the amended Information, were worthy of review
    by the Appellate Division. The Appellate Division, however,
    Simon filed pro se his first of several petitions. That petition
    was denied and Simon appealed. Arturo Watlington, Esq., was
    appointed as counsel for the appeal, which was later dismissed
    for failure to prosecute. As discussed below, Simon argues that
    Watlington was ineffective for failing to file an appellate brief.
    Simon also filed a § 2254 habeas petition with the District
    Court of the Virgin Islands, concurrent with the habeas petition
    before us. The District Court conducted an evidentiary hearing,
    where much of the testimony on this record was presented. The
    District Court dismissed that petition, however, for failure to
    exhaust remedies in the territorial courts.
    9
    proceeded to grant Simon’s counsel’s motion to withdraw
    pursuant to Anders, and deny the petition. It did so without
    considering the CPC. Simon then appealed to us.
    We concluded that it was error for the Appellate
    Division to grant the petition to withdraw without considering
    the CPC because it established meritorious issues for appeal.
    Simon v. Gov’t of V.I., 
    679 F.3d 109
    , 115–16 (3d Cir. 2012)
    (“Simon II”). In doing so, we permitted Simon to raise
    additional issues on remand including several ineffective
    assistance of counsel claims. 
    Id. at 116
    . On remand, the
    Appellate Division permitted Simon to raise, inter alia:
    1. Whether Ayala (trial counsel) was ineffective for: (a)
    failing to seek a continuance when new substantive
    counts were added; (b) failing to object to Roach’s
    testimony stating that Simon threatened Roach; (c)
    maintaining a conflict of interest by representing Ward;
    and (d) facilitating a breakdown in communication
    between Simon and himself.
    2. Whether Joseph was ineffective for: (a) refusing to file
    the notice of appeal to us on direct appeal, when Simon
    had an appeal as of right; and (b) failing to raise the
    Brady violation on direct appeal.
    3. Whether Arturo Watlington, Esq., was ineffective for
    failing to prosecute an initial (and different) habeas
    petition.
    4. Whether the Superior Court lacked Jurisdiction to
    preside over Simon’s trial because the crime occurred
    before that Court obtained jurisdiction.
    10
    Simon also raised the Brady violation and the improper
    amendment to the Information.
    The Appellate Division denied the petition in part,
    dismissing all issues except whether Joseph was ineffective. JA
    102–03; Simon v. Gov’t of V.I., 
    116 F. Supp. 3d 529
    , 575 (D.
    V.I. App. Div. 2015) (“Simon III”). For that claim, it remanded
    to the Superior Court to develop a factual record. After the
    Superior Court submitted findings of fact, the Appellate
    Division denied the petition, concluding that Simon had no
    right to counsel on his second appeal as of right to us. JA 9–
    28; Simon v. Gov’t of V.I., 
    2018 WL 2994374
     (D. V.I. App.
    Div. 2018) (“Simon IV”).
    Simon again appealed to us. We now review the
    Appellate Division’s order denying the petition in both Simon
    III and Simon IV.
    II.4
    Simon raises six issues for appeal: (1) The Brady
    violation; (2) Ayala’s ineffectiveness; (3) Joseph’s
    ineffectiveness; (4) Watlington’s ineffectiveness; (5) the
    improper amendment to the Information; and (6) the Superior
    Court’s lack of jurisdiction. We address each argument below.
    4
    The Appellate Division had jurisdiction pursuant to 48
    U.S.C. §§ 1613a(a) and 1613a(d). We have jurisdiction
    pursuant to 
    28 U.S.C. § 1291
     and 48 U.S.C. § 1613a(c).
    11
    A. Brady Violation
    First recognized in Brady v. Maryland, 
    373 U.S. 83
    (1963), the prosecution has an obligation to disclose material
    evidence that could exculpate a defendant or help impeach an
    opposing witness. Failure to do so violates the Due Process
    Clause of the Fourteenth Amendment. See Brady, 
    373 U.S. at 86
    . To establish a Brady violation, the defendant must show
    that “(1) the government withheld evidence, either willfully or
    inadvertently; (2) the evidence was favorable, either because it
    was exculpatory or of impeachment value; and (3) the withheld
    evidence was material.” United States v. Walker, 
    657 F.3d 160
    ,
    185 (3d Cir. 2011) (internal quotation marks omitted).
    Because “the prosecution . . . alone can know what is
    undisclosed,” Kyles v. Whitley, 
    514 U.S. 419
    , 437 (1995), a
    problem arises when the defendant bears the burden to
    establish a violation but is unlikely to uncover evidence
    without assistance. To correct this imbalance, an initial
    showing supporting the claim of a Brady violation may entitle
    a defendant to an evidentiary hearing. The trial court should
    conduct a hearing where a habeas applicant “has made out a
    prima facie case for habeas corpus relief that is not
    procedurally barred[.]” Rivera-Moreno v. Gov’t of V.I., 
    61 V.I. 279
    , 313 (2014). If a petitioner makes a “prima facie showing,”
    then the lower court may abuse its discretion if it nonetheless
    denies an evidentiary hearing. Morris v. Beard, 
    633 F.3d 185
    ,
    196 (3d Cir. 2011). But see Palmer v. Hendricks, 
    592 F.3d 386
    ,
    393 (3d Cir. 2010) (“[E]ven if the factual allegations in the
    habeas petition are sufficient to make out a prima facie claim
    for habeas relief, a district court may decline to convene an
    evidentiary hearing if the factual allegations are ‘contravened
    by the existing record.’”). In considering whether to hold a
    12
    hearing, we have suggested that district courts “focus on
    whether a new evidentiary hearing would be meaningful, in
    that a new hearing would have the potential to advance the
    petitioner’s claim.” Morris, 
    633 F.3d at 196
    .
    Simon argues that the Government failed to disclose a
    prior agreement with Roach promising to reduce his conviction
    and lower his sentence in exchange for his testimony against
    Simon. Simon identifies several pieces of evidence that support
    the existence of an agreement. First, he points to testimony by
    Roach’s attorney at the June 1996 re-sentencing hearing.
    Roach’s attorney indicated that “[a]fter we had filed our appeal
    with regards to [Roach’s conviction], we were approached by
    the Government and we agreed with regards to that matter to
    testify in the Territorial Court. Upon our testimony in the
    Territorial Court, we agreed and we stipulated to vacate the
    conviction for first degree murder.” JA 868. Simon argues that
    “upon our testimony” suggests the parties reached an
    agreement prior to Roach’s testimony, conditioned upon his
    cooperation. Simon also relies upon a letter from the state
    prosecutor recommending a downward departure for Roach’s
    cooperation. See JA 866. He further argues that this is evidence
    of a relationship between the local and federal prosecutors, and
    thus the local prosecutor in Simon’s case must have known
    about a federal agreement. See United States v. Risha, 
    445 F.3d 298
    , 299 (3d Cir. 2006) (“[C]ross-jurisdiction constructive
    knowledge can be imputed to the federal prosecution because
    of close involvement between the federal prosecution and state
    agents[.]”).5
    5
    Although not raised by Simon, we note that the timing of
    Roach’s motion to continue sentencing on his federal unlawful
    flight charge could also support the existence of an agreement
    13
    The Superior Court denied the claim without
    conducting an evidentiary hearing. It concluded that Simon
    failed to make a showing that the Government and Roach had
    a prior agreement: “[a] request for a reduction in sentence does
    not, in and of itself, establish the existence of a quid pro quo
    between the United States or the Government of the Virgin
    Islands and James Roach.” JA 131–32. The Superior Court
    further concluded that, even if there was an agreement “there
    is no reasonable probability that . . . the outcome of the trial
    would have been different” in light of other corroborating
    testimony. JA 132. The Appellate Division agreed: The
    evidence suggests, at most, “a two-step process” where Roach
    testified and then the Government reached an agreement to
    vacate his sentence and re-sentence him under a lesser offense.
    JA 43. The Appellate Division primarily relied upon our
    decision in United States v. Freeman, 
    763 F.3d 322
     (3d Cir.
    2014). In Freeman, we rejected the defendant’s Brady claim
    that the Government failed to disclose letters between federal
    agents and cooperating witnesses because “there is no record
    evidence that the letters even existed at the time of
    [defendant’s] trial[.]” Id. at 347.
    At this juncture, we believe Simon has made a prima
    facie showing that a prior agreement may have existed between
    the Government and Roach. Roach’s attorney’s testimony
    suggests, at a minimum, that the Government initiated contact
    prior to his testimony in Simon’s case. Roach moved to
    continue sentencing in October 1994, three months prior to his
    testimony. The record indicates that the United States
    Attorney’s Office later filed a § 5K1.1 motion in support of a
    sentence reduction on that count.
    14
    with Roach after he was found guilty. See JA 868 (“[W]e were
    approached by the government[.]”). Then, after that meeting,
    Roach dramatically changed his tune—at his own trial he
    claimed he did not know Simon, but at Simon’s trial, he
    claimed that Simon orchestrated the burglary and shot Ezekiel.
    The Appellate Division concluded that the testimony suggests
    a “two-step process,” JA 43, where Roach testified first and
    then an agreement was reached. But the testimony also
    supports the contrary conclusion: An agreement had been
    reached or assurances made before Simon’s trial, in exchange
    for his testimony against Simon. Such a factual dispute can be
    resolved at an evidentiary hearing.
    It is true the formal agreement between Roach and the
    federal Government may not have been memorialized until
    after trial. And favorable treatment alone is insufficient to state
    a Brady claim. See Akrawi v. Booker, 
    572 F.3d 252
    , 263 (6th
    Cir. 2009) (“[T]he mere fact that a witness desires or expects
    favorable treatment in return for his testimony is insufficient;
    there must be some assurance or promise from the prosecution
    that gives rise to a mutual understanding or tacit agreement.”);
    Shabazz v. Artuz, 
    336 F.3d 154
    , 165 (2d Cir. 2003) (“[T]he fact
    that a prosecutor afforded favorable treatment to a government
    witness, standing alone, does not establish the existence of an
    underlying promise of leniency in exchange for testimony.”).
    But if the agreement was the result of prior discussions,
    promises, or assurances by the Government, then the fact that
    the agreement was put to paper later is of no moment.
    Nor do we agree that even if a prior agreement existed,
    it is unlikely that it would have affected the trial. “Material”
    evidence requires only “a reasonable probability” that the
    outcome of the proceedings would be different. United States
    15
    v. Bagley, 
    473 U.S. 667
    , 682 (1985). Put simply, does the
    evidence “undermine confidence in the outcome”? 
    Id.
     Here,
    Roach was the only witness to place Simon in the house and to
    claim that Simon pulled the trigger. Other testimony
    suggesting that Simon was on St. John at the time pales in
    comparison to Roach’s inculpating evidence. Although Ayala
    attempted to vigorously cross-examine Roach on his prior false
    testimony, he was rebuked by Roach’s claim that Simon had
    threatened to kill him, portraying him as desperate and
    dangerous. If Ayala was armed with the additional evidence
    that Roach reached an agreement for a lesser sentence
    contingent on his testimony, there is a reasonable probability
    the jury may have not believed Roach’s claim. See Bagley, 
    473 U.S. at 676
     (“[Impeachment] evidence . . . is favorable to an
    accused, so that, if disclosed and used effectively, it may make
    the difference between conviction and acquittal.” (internal
    citation and quotation marks omitted)). As a result, resolution
    of this factual dispute is necessary to determine if Simon is
    entitled to relief.6
    6
    Simon raises the additional argument that his appellate
    counsel, Joseph, was ineffective for failing to raise this Brady
    claim on direct review. Such a claim is not outcome
    determinative. If, after an evidentiary hearing, the Court finds
    that there was no Brady violation, then Simon was not
    prejudiced by Joseph failing to raise the issue. See, e.g., Diggs
    v. Owens, 
    833 F.2d 439
    , 446 (3d Cir. 1987) (concluding
    appellate counsel was not ineffective for failing to raise non-
    meritorious issues on appeal). And, if the Court finds that the
    Government did violate its Brady obligations, then that is
    grounds for habeas relief regardless of Joseph’s
    ineffectiveness.
    16
    Our conclusion does not predetermine the merits of
    Simon’s Brady claim. Rather, we conclude that the
    development of a factual record is necessary to determine
    whether the Government violated its obligation to disclose its
    prior promises to or agreements with a witness. It is possible
    the Superior Court and the Appellate Division are correct that
    the evidence supports only an after-the-fact agreement. But it
    was an abuse of discretion to make that determination absent
    an evidentiary hearing.7
    B. Ineffectiveness Assistance of Trial Counsel
    The Sixth Amendment guarantees the right to effective
    trial counsel. “The benchmark for judging any claim of
    ineffectiveness must be whether counsel’s conduct so
    undermined the proper functioning of the adversarial process
    that the trial cannot be relied on as having produced a just
    result.” Strickland v. Washington, 
    466 U.S. 668
    , 686 (1984). A
    petitioner, first, must establish “that counsel’s performance
    was deficient.” 
    Id. at 687
    . Counsel’s performance must have
    fallen “below an objective standard of reasonableness.” 
    Id.
     at
    7
    This conclusion does not call into question the longstanding
    principle that “[w]e think it unwise to infer the existence of
    Brady material based upon speculation alone.” United States v.
    Ramos, 
    27 F.3d 65
    , 71 (3d Cir. 1994). Here, Simon has raised
    a colorable claim beyond mere speculation by pointing to the
    testimony of Roach’s attorney who specifically discussed an
    agreement and was ambiguous regarding the time frame of the
    agreement. Such ambiguity can be resolved through an
    evidentiary hearing.
    17
    688; see also Gov’t of V.I. v. Vanterpool, 
    767 F.3d 157
    , 165
    (3d Cir. 2014). Second, the petitioner must establish prejudice:
    a showing that “counsel’s errors were so serious as to deprive
    the defendant of a fair trial, a trial whose result is reliable.”
    Strickland, 
    466 U.S. at 687
    .
    1. Ayala’s Ineffectiveness
    Simon argues Ayala was ineffective for several reasons.
    Simon first claims that Ayala failed to seek a continuance after
    the Superior Court granted the motion to amend the
    Information to add felony-murder and robbery. It is a high bar
    to claim ineffectiveness from failing to seek a continuance or
    lack of time to prepare. Cf. Morris v. Slappy, 
    461 U.S. 1
    , 3–4,
    11–12 (1983) (appointing new counsel six days before trial
    when the evidence was prepared by the original attorney);
    Avery v. Alabama, 
    308 U.S. 444
    , 452 (1940) (affirming
    appointment of counsel three days before trial because “the
    examination and preparation of the case, in the time permitted
    by the trial judge, had been adequate for counsel to exhaust its
    every angle”). A short window of time to prepare is not a
    reason to presume ineffectiveness; counsel is ineffective only
    if the time frame affected the adversarial process. Here, the
    Government informed Ayala of the change two weeks before
    trial. The shift from premeditated murder to felony-murder and
    the addition of robbery were unlikely to meaningfully affect
    the trial strategy, as the differing elements are easily proved,
    and the evidence presented against the different charges is
    likely substantially similar. As a result, Ayala was not
    objectively unreasonable for failing to seek a continuance, nor
    has Simon explained how he was prejudiced.
    18
    Second, Simon argues that Ayala failed to object to
    Roach’s testimony that Simon had threatened Roach’s life and
    failed to object to the Government’s invocation of Roach’s
    testimony in closing argument. But Ayala’s cross-examination
    of Roach spent significant time on whether Roach was actually
    afraid of Simon. He asked Roach whether “Mr. Simon was in
    jail” at the time he claimed to be “afraid” of him, JA 448,
    suggesting that this fear is exaggerated and Roach was lying.
    As a result, Ayala’s decision to not object was reasonable in
    light of the alternative strategy to discredit Roach. For the same
    reasons, Ayala’s decision to respond to the Government’s
    closing statement, rather than object, was not an objectively
    unreasonable decision.
    Third, Simon claims there was a constructive denial of
    counsel because the Court failed to substitute counsel despite
    an “irreparable breakdown of the attorney-client relationship.”
    Pet. Br. at 37. He cites to Ayala’s heavy caseload at the time
    and his repeated attempts to withdraw as counsel as evidence
    of the deteriorating relationship.8 There is no evidence,
    8
    Ayala admitted that, in light of the case load, his work was
    not up to his personal standards: “I would have to characterize
    [my performance] as ineffective, because there is no way.
    Capital cases require a lot of leg work. Public Defender’s
    office[s] are not equipped with the personnel, and I mean the
    supporting personnel. For example, I had to do the
    investigations myself. I didn’t have any competent investigator
    at that time[.]” JA 948. Although the statements of an attorney
    can bear on the conclusion of ineffectiveness, Strickland
    describes the standard as objective. Thus, even though Ayala
    may believe he was unable to be effective, we still evaluate
    whether his conduct was objectively reasonable.
    19
    however, that the relationship or caseload affected the
    reliability of the adversarial process. See United States v.
    Cronic, 
    466 U.S. 648
    , 658 (1984) (“Absent some effect of
    challenged conduct on the reliability of the trial process, the
    Sixth Amendment guarantee is generally not implicated.”).
    The evidence instead points to Ayala being adequately
    prepared for the demands of Simon’s trial.
    2. Conflict of Interest
    We nonetheless believe the Appellate Division erred by
    rejecting Simon’s claim that Ayala operated under a conflict of
    interest without first remanding to develop the factual record.
    See, e.g., Rivera-Moreno, 61 V.I. at 311–12 (2014)
    (concluding once petitioner makes a prima facie case for relief,
    a writ ought to be issued, and a hearing conducted).
    A petitioner claiming a conflict of interest must “prove
    (1) multiple representation that (2) created an actual conflict of
    interest that (3) adversely affected the lawyer’s performance.”
    Sullivan v. Cuyler, 
    723 F.2d 1077
    , 1084 (3d Cir. 1983). The
    “critical inquiry is whether counsel actively represented
    conflicting interests.” Gov’t of V.I. v. Zepp, 
    748 F.2d 125
    , 135
    (3d Cir. 1984) (internal quotation marks omitted). There must
    be a point where “the defendants’ interests diverge with respect
    to a material factual or legal issue or to a course of action.”
    Sullivan, 723 F.2d at 1086.9 This could result from refusing to
    9
    A petitioner need not establish an “actual” conflict of interest
    if the trial counsel moved to withdraw based on a conflict of
    interest. Cuyler v. Sullivan, 
    446 U.S. 335
    , 348 (1980). Simon
    urges “[we] should construe Ayala’s motions [to withdraw] as
    objections [based on an existing conflict of interest] for
    20
    cross-examine a witness, failing to respond to inadmissible
    evidence, or failing to “diminish the jury’s perception of a [co-
    conspirator’s] guilt.” Cuyler v. Sullivan, 
    446 U.S. 335
    , 349
    (1980). A petitioner can also show that the attorney failed to
    pursue an alternative strategy that “(a) could benefit the instant
    defendant and (b) would violate the attorney’s duties to the
    other client.” United States v. Morelli, 
    169 F.3d 798
    , 811 (3d
    Cir. 1999) (emphasis omitted). Such an alternative strategy
    need not “have been successful if it had been used” but must
    have “possessed sufficient substance to be a viable
    alternative.” United States v. Gambino, 
    864 F.2d 1064
    , 1070
    (3d Cir. 1988) (quoting United States v. Fahey, 
    769 F.2d 829
    ,
    836 (1st Cir. 1985)).
    Simon argues that Ayala had an actual conflict of
    interest at the time of his trial because he represented the
    potential third intruder, Daryl Ward. Ayala testified in an
    unrelated proceeding that Ward was “also one of [his] clients”
    and that “from all indications, it would appear” that Ward was
    with Simon and Roach on the night in question. JA 966. At
    trial, Roach testified that Ward “fit the description” of the third
    man, but that it wasn’t him “[be]cause he was in jail, and when
    I really think, it wasn’t him.” JA 465–66. Roach further
    testified, however, that the three men ran from the house and
    that the third man parted ways “[w]here Daryl Ward lives.” JA
    469–70. Taken together, Simon argues that “Ayala knew that
    another individual was either the perpetrator of the crime that
    Simon was charged of, or was a potential witness to the crime.”
    Pet. Br. at 36.
    purposes of appellate review.” Pet. Br. at 36. The record does
    not support that reading, and thus, Simon must establish an
    “actual” conflict.
    21
    The Appellate Division disagreed. It characterized
    Ayala’s statement as “speculation” that Ward was the third
    man and emphasized the portion of Roach’s testimony where
    he claimed that Ward was not the third man. JA 73. It
    concluded that Simon failed to establish a conflict of interest.
    We disagree. Ayala’s statement, made under oath, cannot be
    properly characterized as mere speculation. Ayala stated that,
    based on his relationship with Ward, he believed Ward was the
    third man. Ayala’s testimony is corroborated in part by
    Roach’s testimony, which also implicated Ward. He claimed
    that Ward “fit the description” of the third man and that the
    third man fled towards Ward’s home. JA 465. In closing
    argument, the Government noted that Roach indicated the third
    man was named Crucian; Roach also testified that he has heard
    people refer to Ward as “Crucian.” JA 464. Finally, there was
    evidence that Ward was in jail at the time of the crime. But,
    Ayala definitively testified that Ward was out of jail at that
    time, even though “the [jail] records would have been against
    [him].” JA 967.
    The evidence can be interpreted to reach two different
    results: one putting Ward at the scene of the crime, and one
    placing him in jail at the time. Based on the evidence as it exists
    at this time, neither interpretation can be deemed
    “speculation.” Because Simon set out a prima facie claim of a
    conflict of interest, he was entitled to develop the factual record
    on this issue. We thus remand to the Appellate Division with
    instructions to remand to the Superior Court to develop the
    factual record on this claim.
    C. Joseph’s Ineffectiveness: Second Appeal as of Right
    22
    At the time of Simon’s direct review, a defendant had
    two appeals as of right from the Superior Court: first, to the
    Appellate Division of the District Court of the Virgin Islands
    and, then, to us. See 48 U.S.C. § 1613a(a) (conferring
    Appellate jurisdiction to the District Court over the courts of
    the Virgin Islands); 48 U.S.C. § 1613a(c) (conferring
    jurisdiction to the Third Circuit over the District Court).10
    Simon was represented by Joseph on his appeal to the
    Appellate Division. The Appellate Division affirmed his
    conviction. Then, despite Simon’s desire to file an appeal to
    the Third Circuit, Joseph declined to do so. Simon then filed
    pro se a notice of appeal, which was dismissed as untimely.
    Simon argues that Joseph was ineffective for failing to file a
    notice of appeal to the Third Circuit—his second appeal as of
    right.
    But a petitioner does not have a right to counsel at every
    stage of every proceeding. And if a petitioner does not have a
    right to counsel, then it is not a constitutional violation to
    receive ineffective assistance. See Wainwright v. Torna, 
    455 U.S. 586
    , 587–88 (1982) (“Since respondent had no
    constitutional right to counsel, he could not be deprived of the
    effective assistance of counsel by his retained counsel’s failure
    10
    This system of two-tier appellate review as of right is rare.
    See Gov’t of V.I. v. Hodge, 
    359 F.3d 312
    , 323 (3d Cir. 2004)
    (noting its peculiarity but recognizing Congress intended the
    system of review). Now, with the establishment of the Supreme
    Court of the Virgin Islands, criminal convictions and sentences
    from the Superior Court are appealed as of right to the V.I.
    Supreme Court, not here. Thus, this system of two-tier review
    (although governing at the time of Simon’s appeal) is no longer
    in effect in the Virgin Islands.
    23
    to file the application timely.”).11 So Simon’s claim of
    ineffectiveness depends on whether he had a right to counsel
    on his appeal to the Third Circuit. If he did, failure to file the
    petition was per se ineffective without need for a showing of
    prejudice. See Solis v. United States, 
    252 F.3d 289
    , 293–94 (3d
    Cir. 2001) (concluding that attorney’s failure to file a notice of
    appeal, despite clear instructions from defendant to do so, was
    presumptively prejudicial). To answer this question, we must
    determine whether there is a right to counsel on a second
    appeal as of right. We conclude that there is not.
    Denial of appellate counsel at important stages of
    appellate review may violate a defendant’s rights to due
    process and equal protection under the law. See Douglas v.
    People of State of Cal., 
    372 U.S. 353
    , 355 (1963); see also 
    48 U.S.C. § 1561
     (Virgin Islands Revised Organic Code “Bill of
    Rights”).
    The Supreme Court has consistently addressed two
    concerns when considering the need for appellate counsel.
    First, has the appellant already received some form of appellate
    review? If so, a defendant would have “at the very least, a
    11
    Simon cites Richardson v. Superintendent Coal Township
    SCI, 
    905 F.3d 750
     (3d Cir. 2018) for the assertion that Simon
    had a right to counsel on the notice of appeal to the Third
    Circuit. There, we said “the line dividing trial from appeal falls
    naturally at the notice of appeal.” Id. at 756. Richardson did
    not, however, address counsel’s ineffectiveness for failing to
    file the notice of appeal, but rather ineffectiveness in the post-
    sentencing proceedings. Id. The Supreme Court’s decision in
    Wainwright v. Torna, which addressed an attorney’s failure to
    file a timely application for certiorari, is consistent with
    Richardson and controls here.
    24
    transcript or other record of trial proceedings, a brief on his
    behalf in the Court of Appeals setting forth his claims of error,
    and in many cases an opinion by the Court of Appeals
    disposing of his case.” Ross v. Moffitt, 
    417 U.S. 600
    , 615
    (1974). And second, does the court have discretion to review?
    That is to say, can the reviewing court deny review “even
    though it believes that the decision of the Court of Appeals was
    incorrect[?]” 
    Id.
     Discretionary appeals, contrary to appeals as
    of right, are not wholly concerned with “whether there has been
    a correct adjudication of guilt in every individual case[.]” 
    Id.
    (internal quotation marks omitted). We are, thus, less
    concerned if a defendant does not receive the assistance of
    counsel on discretionary review.
    Applying these principles, the Court has twice extended
    the right to counsel to the first tier of appellate review. In
    Douglas, it concluded that a state violates the Fourteenth
    Amendment if it fails to provide an indigent defendant counsel
    on his first appeal as of right: “[W]here the merits of the one
    and only appeal an indigent has as of right are decided without
    benefit of counsel, we think an unconstitutional line has been
    drawn between rich and poor.” Douglas, 
    372 U.S. at 357
    . The
    Court feared that having an indigent defendant “run this
    gantlet” without counsel results in a “meaningless ritual.” 
    Id.
    at 357–58. Similarly, in Halbert v. Michigan, the Court
    extended the right of counsel to first-tier appellate review, even
    though review was discretionary. 
    545 U.S. 605
    , 616–17
    (2005). The Court concluded that because the reviewing court
    “looks to the merits of the claims” and the indigent defendant
    is “generally ill-equipped” to argue the merits unassisted,
    failure to provide counsel on such denial draws an
    unconstitutional line. 
    Id. at 617
    .
    25
    The Court, however, has not recognized a right to
    counsel beyond the first-tier of appellate review. In Ross, the
    Court concluded that the right to counsel does not extend to
    subsequent discretionary appeals, since “both the opportunity
    to have counsel prepare an initial brief . . . and the nature of
    discretionary review . . . make this relative handicap far less
    than the handicap borne by the indigent defendant denied
    counsel on his initial appeal as of right in Douglas.” Ross, 
    417 U.S. at 616
    . And in Pennsylvania v. Finley, the Court extended
    Ross to uphold Pennsylvania’s decision to deny counsel on
    postconviction review because “[p]ostconviction relief is even
    further removed from the criminal trial than is discretionary
    direct review.” 
    481 U.S. 551
    , 556–57 (1987).12
    The second appeal as of right situates itself between the
    two rationales outlined by the Supreme Court. Unlike a first
    appeal, the defendant seeking a subsequent appeal has “at the
    very least, a transcript or other record of trial proceedings, a
    12
    In Finley, the Court stated “[o]ur cases establish that the right
    to appointed counsel extends to the first appeal of right, and no
    further.” Finley, 
    481 U.S. at 555
    . Other courts have relied upon
    this statement alone to reject a right to counsel on second
    appeals as of right. See State v. Buell, 
    639 N.E.2d 110
    , 110
    (Ohio 1994) (relying on “and no further” to extend the right to
    counsel only to first appeals as of right); State v. Hughan, 
    703 N.W.2d 263
    , 265–66 (Neb. Ct. App. 2005) (same). But the
    Court has never squarely reached second appeals as of right.
    Because we should only apply dicta when “the case at bar is []
    the situation the Court’s dictum anticipated,” Off. Comm. of
    Unsecured Creditors of Cybergenics Corp. v. Chinery, 
    330 F.3d 548
    , 561 (3d Cir. 2003), we decline to apply it here
    without further analysis.
    26
    brief on his behalf in the Court of Appeals setting forth his
    claims of error, and in many cases an opinion by the Court of
    Appeals disposing of his case.” Ross, 
    417 U.S. at 615
    . But,
    unlike discretionary review, a second appeal as of right must
    be reviewed, and is thus intended to ensure the “correct
    adjudication of guilt.” 
    Id.
    Here, given the specific nature of the two layers of
    review, we conclude that deprivation of counsel on Simon’s
    second appeal as of right to the Third Circuit does not deny
    equal protection or due process. After review by the Appellate
    Division, Simon had at his disposal the full record of the trial
    court, a merits brief arguing the Superior Court erred by
    amending the Information two weeks before trial, and an
    opinion addressing the merits of that claim. Any concern that
    he may be “ill-equipped” is significantly lessened by the
    thorough review on his first appeal as of right. And although
    review by the Court of Appeals under the Virgin Islands’
    scheme is also as of right, and therefore concerned with the
    adjudication of guilt, our review is not meaningfully different
    from the Appellate Division’s review. See BA Props. Inc. v.
    Gov’t of V.I., 
    299 F.3d 207
    , 211–12 (3d Cir. 2002) (noting that
    the Appellate Division is “essentially a federal creature” where
    panels are comprised of “a majority of federal judges”). The
    same concerns present in Douglas and Halbert do not apply
    with equal force when the defendant lacks counsel on a second
    appeal as of right. Because Simon was not entitled to counsel
    on his second appeal as of right, any ineffectiveness does not
    amount to a constitutional violation.13
    13
    Simon filed a legal malpractice claim based in part on
    Joseph’s failure to file a notice of appeal to the Third Circuit.
    See Simon v. Joseph, 
    59 V.I. 611
    , 613 (2013). Whether Simon
    27
    D. Watlington’s Ineffectiveness
    Simon also argues that Attorney Arturo Watlington was
    ineffective when he failed to file a brief in a separate habeas
    petition that was dismissed for failure to prosecute. We agree
    with the Appellate Division that we are unable to review this
    claim, as it involves a habeas petition distinct from the petition
    here.14
    E. The Amendment to the Information
    The Government initially filed an Information charging
    Simon with premeditated murder and third degree burglary.
    Two weeks before trial, the Government notified Simon that it
    intended to amend the Information. One week before trial, it
    moved to amend the Information changing premeditated
    murder to felony-murder with a predicate felony of robbery.
    The amendment also added robbery and conspiracy to commit
    robbery. Ayala objected, as the amendment added new charges
    only a week before trial. The Court nonetheless granted the
    motion to amend the Information. Two days before trial, the
    Court again permitted an amendment to cure a defect, over
    had a constitutional right to counsel is a separate inquiry from
    whether Joseph committed malpractice by failing to file the
    notice.
    14
    Even so, because there is generally no right to counsel on
    habeas review, and never a right to counsel on appellate habeas
    review, there can be no denial of effective assistance for any
    alleged failure to prosecute. See Martinez v. Ryan, 
    566 U.S. 1
    ,
    16 (2012); Torna, 
    455 U.S. at
    587–88 (concluding there can be
    no denial of effective assistance if there is no right to counsel).
    28
    Ayala’s objection, removing the conspiracy count and altering
    some language to reflect the elements of felony-murder.
    Simon argues that these eleventh hour amendments
    constituted constructive amendments, violating his Sixth
    Amendment right to be informed of charges against him.
    Simon’s constitutional claim ends with the definition of a
    constructive amendment: “An indictment is constructively
    amended when, in the absence of a formal amendment, the
    evidence and jury instructions at trial modify essential terms of
    the charged offense[.]” United States v. Vosburgh, 
    602 F.3d 512
    , 532 (3d Cir. 2010) (internal quotation marks omitted)
    (emphasis added). The amendment here was granted after a
    formal motion to amend. Thus, this is not a constructive
    amendment. Rather, the issue is whether the Superior Court
    abused its discretion in permitting the amendment of the
    Information to add a new charge of robbery, one week before
    trial in violation of Federal Rule of Criminal Procedure 7(e).
    Rule 7(e) provides “[u]nless an additional or different
    offense is charged or a substantial right of the defendant is
    prejudiced, the court may permit an information to be amended
    at any time before the verdict or finding.” Whether the
    amendment adds an “additional or different offense” is “not
    coextensive with the question of whether a crime is a lesser
    included offense of another.” Gov’t of V.I. v. Bedford, 
    671 F.2d 758
    , 765 (3d Cir. 1982). To determine if the offense is
    additional or different, we look to whether the original
    Information provides adequate notice of the added charge. 
    Id.
    The Superior Court on habeas review concluded that the
    substitution of the felony murder charge for premeditated
    murder did not amount to the charge of a different offense, but
    that the trial court technically erred when it permitted the
    29
    Government to add the robbery charge because it is an
    “additional or different offense” than those offenses originally
    charged. We agree: A plain reading of Rule 7(e) confirms that
    it was an error to amend the original Information to include the
    robbery count. Robbery is an additional and different offense
    from burglary,15 and the Information was not sufficiently
    detailed to alert Simon of the new offense.
    Even though it was error to permit the amendment, the
    error was harmless.16 See United States v. Steiner, 
    847 F.3d 103
    , 113 (3d Cir. 2017) (“We can call a non-constitutional
    error harmless, and uphold the conviction, if there is a high
    probability that the error did not contribute to the judgment,
    requiring us to have a sure conviction that the error did not
    prejudice the defendant.”) (internal quotation marks omitted).
    Here, Simon received adequate notice—two weeks before the
    15
    The offenses are different because each requires the
    Government to establish an element the other does not:
    Robbery requires the unlawful taking of personal property in
    the possession of another, 14 V.I.C. § 1861, and burglary
    requires breaking and entering into a building. 14 V.I.C. §
    444(1). See Gov’t of V.I. v. Brathwaite, 
    782 F.2d 399
    , 406–07
    (3d Cir. 1986) (describing the Blockburger test).
    16
    The Superior Court elected to impose the Chapman standard
    of harmless error review, concluding that the error was
    “harmless beyond a reasonable doubt.” JA 122–24; Chapman
    v. California, 
    386 U.S. 18
    , 24 (1967). In doing so, it conflated
    a Rule 7(e) violation with a Sixth Amendment violation. As
    noted here, we see those as two separate inquiries, and thus
    reject the Sixth Amendment claim, because there was no
    constructive amendment or variance, and apply the lower
    harmless error standard to the Rule 7(e) violation.
    30
    trial—of the robbery charge and the facts significantly
    overlapped with the already charged offense of burglary. There
    is a high probability the change from burglary to robbery did
    not affect the trial strategy. Even so, given the record, two
    weeks was enough time to address any effect it may have had.
    Thus, to the extent that there was error, it was harmless.
    F. The Superior Court’s Jurisdiction
    Prior to January 1994, the Superior Court of the Virgin
    Islands did not have jurisdiction to hear first degree murder
    cases. That jurisdiction was conferred effective on January 1,
    1994. The crime here occurred in September 1993 and the
    Government filed charges against Simon in May 1994. On
    appeal, Simon argues the Superior Court did not have
    jurisdiction over his felony-murder case because the crime
    occurred before the Superior Court had jurisdiction.17 He
    claims the date the crime is committed is the date that
    determines whether a court has jurisdiction.
    We disagree. The date that a court must have
    jurisdiction is the date that charges are filed against the
    defendant. See Gov’t of V.I. v. Colbourne, 
    31 V.I. 22
    , 26 (Terr.
    Ct. 1994) (“[A]s long as the . . . action was filed after
    jurisdiction passed to the Territorial Court, the Territorial
    17
    Simon also argues that one must look to the intent of the
    legislature when determining whether a statute should be
    applied retroactively, citing to Brewer v. A.D. Transp. Express,
    Inc., 
    782 N.W. 2d 475
     (Mich. 2010). Not only is Brewer not
    binding on this court, it is inapplicable, as it addresses the
    expansion of substantive rights in a workers’ compensation
    context, rather than the transfer of jurisdiction between courts.
    31
    Court had jurisdiction over the matter.”) (citing Skelton v.
    Gov’t, T.C. Crim. No. F155/1992 (V.I. Terr. Ct. 1992), aff’d,
    
    290 F. Supp. 2d 603
     (D. V.I. App. Div. 1994)); see also Old
    Colony Trust v. Comm’r of Internal Revenue, 
    279 U.S. 716
    ,
    727–28 (1929) (having jurisdiction over a tax deficiency that
    occurred in 1919 and 1920, where the court gained jurisdiction
    in 1926 and the petition for review was perfected in 1927).
    Here, the Government filed the charges against Simon in the
    Superior Court several months after the Superior Court gained
    jurisdiction. Thus, the Superior Court had jurisdiction.
    III.
    For the above reasons, we will affirm in part, reverse in
    part, and vacate the Appellate Division’s order. We will
    remand to the Appellate Division of the District Court for the
    Virgin Islands with instructions to remand to the Superior
    Court to conduct an evidentiary hearing regarding the Brady
    violation and the conflict of interest claim.
    32
    

Document Info

Docket Number: 18-2755

Citation Numbers: 929 F.3d 118

Filed Date: 7/9/2019

Precedential Status: Precedential

Modified Date: 1/12/2023

Authorities (36)

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Faiz Shabazz v. Christopher Artuz, Supt. Green Haven Cor. ... , 336 F.3d 154 ( 2003 )

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the-official-committee-of-unsecured-creditors-of-cybergenics-corporation , 330 F.3d 548 ( 2003 )

Palmer v. Hendricks , 592 F.3d 386 ( 2010 )

Government of the Virgin Islands v. Bedford, Warren , 671 F.2d 758 ( 1982 )

Charles Diggs v. David Owens, Superintendent and John ... , 833 F.2d 439 ( 1987 )

United States v. Vosburgh , 602 F. Supp. 3d 512 ( 2010 )

Government of the Virgin Islands v. Zepp, Jo-Ann. Appeal of ... , 748 F.2d 125 ( 1984 )

United States v. Walker , 657 F.3d 160 ( 2011 )

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Morris v. Beard , 633 F.3d 185 ( 2011 )

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Akrawi v. Booker , 572 F.3d 252 ( 2009 )

Old Colony Trust Co. v. Commissioner , 49 S. Ct. 499 ( 1929 )

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united-states-v-morelli-anthony-dc-crim-no-93-cr-00210-1-in-no , 169 F.3d 798 ( 1999 )

Avery v. Alabama , 60 S. Ct. 321 ( 1940 )

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