United States v. Hurst ( 1999 )


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  •                                                                           F I L E D
    United States Court of Appeals
    Tenth Circuit
    UNITED STATES COURT OF APPEALS
    JAN 14 1999
    TENTH CIRCUIT
    PATRICK FISHER
    Clerk
    UNITED STATES OF AMERICA,
    Plaintiff-Appellee,
    vs.                                                     No. 97-7129
    (D.C. No. 97-CR-36-S)
    JERRY D. HURST,                                         (E.D. Okla.)
    Defendant-Appellant.
    ORDER AND JUDGMENT *
    Before KELLY, HOLLOWAY, and LUCERO, Circuit Judges.
    Defendant-Appellant Jerry D. Hurst appeals the judgment entered on his
    guilty plea to a single count of conspiracy to possess with intent to distribute
    methamphetamine in violation of 
    21 U.S.C. §§ 841
    (a)(1) and 846. He was
    sentenced to 135 months of imprisonment and five years of supervised release.
    On appeal, he contends that (1) the district court should have allowed him to
    withdraw his guilty plea to the conspiracy count and enforced an oral plea
    agreement to a lesser offense; (2) his attorney provided ineffective assistance in
    *
    This order and judgment is not binding precedent, except under the
    doctrines of law of the case, res judicata, and collateral estoppel. This court
    generally disfavors the citation of orders and judgments; nevertheless, an order
    and judgment may be cited under the terms and conditions of 10th Cir. R. 36.3.
    advising him to plead guilty without attempting to enforce this agreement; and (3)
    the court improperly calculated his sentence under the Sentencing Guidelines.
    Our jurisdiction arises under 
    28 U.S.C. § 1291
     and 
    18 U.S.C. § 3742
    (a)(2), and
    we affirm.
    Background
    On June 4, 1997, agents of the Drug Enforcement Administration (“DEA”)
    arrested Mr. Hurst during a controlled delivery of four pounds of
    methamphetamine in a motel room in Henryetta, Oklahoma. Shortly thereafter,
    DEA Agent Michael Bulgrin told Mr. Hurst that, if he cooperated with law
    enforcement, Agent Bulgrin would talk to the United States Attorney’s office
    about seeking leniency. See Aplt. App. at 143. The parties agree that Agent
    Bulgrin and Assistant United States Attorney Douglas Horn (“AUSA Horn”)
    discussed allowing Mr. Hurst to plead guilty to a phone count, 
    21 U.S.C. § 843
    (b), which carries a statutory maximum of four years imprisonment, in
    exchange for his full cooperation. See Aplt. Br. at 5; Aple. Br. at 3; Aplt. App. at
    145. However, they disagree over whether Agent Bulgrin was authorized to reach
    an oral agreement with Mr. Hurst, compare Aplt. Br. at 7 with Aple. Br. at 9-10,
    and whether “full cooperation” meant assisting in the arrest of all Mr. Hurst’s
    suppliers and buyers, or merely Steven Tankersly, the person to whom the four
    pounds of methamphetamine were to be delivered. Compare Aplt. Br. at 24 with
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    Aple. Br. at 3.
    After speaking with Agent Bulgrin but before signing a written plea
    agreement or retaining counsel, Mr. Hurst agreed to cooperate with law
    enforcement. See Aplt. Br. at 8; Aple. Br. at 4; Aplt. App. at 145. He made
    several recorded telephone calls to Mr. Tankersly, which did not lead to an arrest.
    He subsequently retained an attorney, Timothy Maxcey, to represent him, and on
    July 15, 1997, Mr. Maxcey met with AUSA Horn to draft a plea agreement. The
    proposed written agreement initially required Mr. Hurst to plead guilty to a one-
    count information alleging conspiracy with intent to distribute methamphetamine
    in violation of 
    18 U.S.C. § 371
    . However, when Mr. Maxcey asked that the
    agreement be amended to reflect oral discussions regarding the phone count,
    AUSA Horn complied. On July 17, Mr. Maxcey returned a copy of the plea
    agreement, which he and Mr. Hurst had signed, to the U.S. Attorney’s office.
    At about this time, DEA agents learned that Mr. Hurst was obstructing their
    investigation by warning his chief methamphetamine supplier, Salvador
    Hernandez (a.k.a. “Chava”), that he was cooperating and that a warrant had been
    issued for Chava’s arrest. See Aplt. App. at 151-52. Concerned that Mr. Hurst
    sought to impede the DEA operation, AUSA Horn requested that he submit to a
    polygraph test. Mr. Hurst took and failed the polygraph in Oklahoma City on July
    21. The next day, AUSA Horn called Mr. Hurst and Mr. Maxcey to his office and
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    informed them that, because Mr. Hurst had lied about his cooperation, the
    government would not enter into the plea agreement. Neither AUSA Horn nor
    any other representative of the U.S. Attorney’s office signed the document. See
    Aplt. App. at 66.
    On the advice of his attorney, Mr. Hurst pled guilty to a single count of
    conspiracy to possess with intent to distribute methamphetamine, 
    21 U.S.C. §§ 841
    (a)(1) and 846. Before the plea was entered, the court apprized Mr. Hurst of
    his rights, asked whether he understood them, and received assurances that he had
    not been forced, threatened, or promised anything in return for his plea. See Aplt.
    App. at 21-25. However, the record reveals some confusion on Mr. Hurst’s part
    about the status of the plea negotiations. When the judge asked whether the plea
    arose from an agreement, Mr. Hurst initially responded that it did. See 
    id.
    Lawyers for both sides quickly interjected that there was no agreement, and, after
    being asked once more whether he wanted to plead guilty without an agreement,
    Mr. Hurst responded, “Yeah. I’m sorry.” 
    Id. at 25-26
    . He thus pled guilty to the
    indictment without a plea agreement.
    After entering his plea but before sentencing, Mr. Hurst hired a new
    attorney. On September 15, 1997, he filed a motion to withdraw his plea of guilty
    to the conspiracy count and enforce an alleged oral plea agreement, which the
    court denied by minute order. See 
    id. at 77
    . After hearing testimony by Mr.
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    Maxcey, Agent Bulgrin, and others at sentencing, the court denied Mr. Hurst’s
    oral motion to reconsider. See 
    id. at 160
    .
    The sentencing court calculated Mr. Hurst’s criminal history as Category III
    because he had four criminal history points; the corresponding Sentencing
    Guideline range, based on a total offense level of 31, was 135 to 168 months.
    The Presentence Report (“PSR”) attributed one criminal history point to Mr.
    Hurst’s 1993 conviction for “wet reckless” driving in San Luis Obispo,
    California, Municipal Court (“SLOM Court”) and added two more points because
    he was subject to a probation violation warrant at the time he committed the
    charged conduct. At his sentencing hearing, Mr. Hurst objected to the PSR’s
    criminal history calculation because he believed USSG §§ 4A1.2(a)(4) and
    (c)(1) excluded “wet reckless” violations and because the SLOM Court recalled
    the warrant after learning that he had served two days in an Oklahoma county jail.
    Testimony at the sentencing hearing cast doubt on Mr. Hurst’s characterization of
    the warrant issue. Most significantly, because Mr. Hurst failed to notify the
    SLOM court that he had served his time in Oklahoma, the warrant was not
    recalled until September 29, 1997; thus, it was still outstanding when DEA agents
    arrested Mr. Hurst on June 4. After hearing this and other evidence, the court
    adopted the PSR’s criminal history calculation and sentenced Mr. Hurst.
    Discussion
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    I. Plea Agreement
    According to Mr. Hurst, the district court made four errors with respect to
    the enforcement of an alleged oral plea agreement. He contends that the court (1)
    failed to ensure that his guilty plea was voluntary because it did not sufficiently
    investigate his confusion over whether a plea bargain existed; (2) erred in
    declining his motion to enforce a purported oral agreement with the government;
    (3) abused its discretion in refusing to allow him to withdraw his guilty plea; and
    (4) failed to develop a sufficient factual record to facilitate appellate review.
    To guarantee that a guilty plea is knowing, intelligent, and voluntary, a
    district court must determine that the defendant understands, inter alia, the nature
    of the charges, the consequences of his plea, and his right to proceed to trial. See
    Fed. R. Crim. P. 11(c); United States v. Gigot, 
    147 F.3d 1193
    , 1197 (10th Cir.
    1998); United States v. Wade, 
    940 F.2d 1375
    , 1377 (10th Cir. 1991). We review
    compliance with Rule 11 de novo and must reverse if an error detrimentally
    affected the defendant’s substantial rights. See Gigot, 
    147 F.3d at 1197
    . Mr.
    Hurst alleges that his Rule 11 hearing was defective because the district court did
    not adequately explore whether a plea agreement existed. We find no error
    because the district court twice asked Mr. Hurst whether he wanted to plead guilty
    without an agreement and only accepted his plea after receiving assurances that
    he did. See Aplt. App. at 25-26. Moreover, even if the judge should have
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    conducted a more exhaustive investigation at the Rule 11 hearing, this error was
    cured by testimony at sentencing which established that the plea negotiations had
    foundered before Mr. Hurst entered his plea. We therefore conclude that Mr.
    Hurst knowingly, intelligently, and voluntarily pled guilty to the conspiracy count.
    Whether the government violated an alleged oral plea agreement is a
    question of law that this court reviews de novo. See United States v. Brye, 
    146 F.3d 1207
    , 1209 (10th Cir. 1998). Yet, before considering whether a breach
    occurred, we must first determine that an agreement existed because “the
    government is held only to those promises that it actually made to the defendant.”
    United States v. Peglera, 
    33 F.3d 412
    , 413 (4th Cir. 1994). Moreover, “a
    petitioner asserting the existence of a bargain outside the record and contrary to
    his own statements under oath bears a heavy burden.” United States v. Hauring,
    
    790 F.2d 1570
    , 1571 (11th Cir. 1986).
    Only if we conclude that an agreement existed do we consider the nature of
    the government’s promise and “evaluate this promise in light of the defendant’s
    reasonable understanding of the promise at the time the guilty plea was entered.”
    Brye, 
    146 F.3d at 1210
    . “[T]he party who asserts a breach of a plea agreement
    has the burden of proving the underlying facts that establish a breach by a
    preponderance of the evidence.” Allen v. Hadden, 
    57 F.3d 1529
    , 1534 (10th Cir.
    1995).
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    We apply general principles of contract law to determine the obligations of
    each party under a purported plea bargain. See Brye, 
    146 F.3d at 1210
    . For such
    an agreement to be enforceable, the person who allegedly made the promise to the
    defendant must have been authorized to do so, and the defendant must have relied
    to his detriment on the promise. See United States v. Kettering, 
    861 F.2d 675
    ,
    677 (11th Cir. 1988).
    There is no evidence that AUSA Horn authorized Agent Bulgrin to orally
    close a deal with Mr. Hurst. Indeed, Agent Bulgrin testified at sentencing that
    “[t]he only agreement . . . that was made with Mr. Hurst was that any information
    or assistance that he provided the Government would be relayed to Mr. Horn, and
    it would be up to the United States Attorney’s office to determine what type of
    cooperation or plea agreement would be provided.” Aplt. App. at 143. The
    record reveals that Agent Bulgrin engaged a series of discussions with the
    defendant and consulted AUSA Horn about proposed plea terms; however, these
    meetings never culminated in a formal offer and acceptance. Furthermore, Mr.
    Maxcey stated under oath that he did not tell AUSA Horn – either at the time the
    written agreement was drafted or after the government refused to sign it – that an
    oral bargain already had been struck. See id. at 130-31, 134. Thus, the
    government never entered a binding oral agreement with Mr. Hurst.
    Mr. Hurst’s contention that he detrimentally relied on the oral negotiations
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    by waiving his Fifth Amendment privilege against self-incrimination is not
    persuasive. Although he began to act as an informant after speaking with Agent
    Bulgrin, the Supreme Court has held that “[a] plea bargain standing alone . . . is a
    mere executory agreement which, until embodied in the judgment of a court, does
    not deprive the accused of liberty or any other constitutionally protected interest.”
    Mabry v. Johnson, 
    467 U.S. 504
    , 507 (1984); see also United States v. Randel, 
    8 F.3d 1526
    , 1528 (10th Cir.1993). Following Mabry, several circuits have
    rejected estoppel arguments similar to Mr. Hurst’s. See, e.g., Kettering, 
    861 F.2d at 678-79
     (finding no merit in defendant’s argument that disclosing crucial
    evidence to the government constituted prejudicial reliance); United States v.
    McGovern, 
    822 F.2d 739
    , 746 (8th Cir. 1987) (holding that permitting defendant
    to proceed to trial restored his constitutional rights when he had cooperated with
    government for more than a year before entering guilty plea); United States v.
    Coon, 
    805 F.2d 822
    , 825 (8th Cir. 1986) (concluding that defendant who relied on
    erroneous fine provision in plea agreement could be restored to status quo ante by
    being allowed to plead not guilty). According to the Eighth Circuit, “[t]he only
    change in position that can be considered ‘detrimental reliance’ is the actual entry
    of an involuntary guilty plea.” Coon, 
    805 F.2d at 825
    .
    Mr. Hurst’s cooperation with the DEA did not foreclose his right to a jury
    trial once plea negotiations collapsed, and, if the district court deemed statements
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    that he made to the DEA involuntary, it could have excluded them had the case
    proceeded to trial. 
    Id.
     (citing Bram v. United States, 
    168 U.S. 532
    , 542-43
    (1897)). We decline to require specific performance of Agent Bulgrin’s oral
    representations because they did not amount to an agreement and because Mr.
    Hurst did not detrimentally rely on them.
    Mr. Hurst requests, in the alternative, that we instruct the district court to
    conduct a hearing in which the government must prove, by a preponderance of the
    evidence, that he breached the written contract by hindering the DEA operation.
    This form of relief is unwarranted. The proposed written agreement specifically
    provided that “[n]one of the terms . . . shall be binding on the Office of the
    United States Attorney for the Eastern District of Oklahoma until this agreement
    is signed by the defendant, defense counsel and the United States Attorney, or his
    authorized representative.” Aplt. App. at 64 (emphasis added). AUSA Horn
    refused to sign the agreement once he learned that Mr. Hurst was obstructing the
    investigation. Analyzing the express language of the unexecuted document, we
    conclude that no agreement existed when Mr. Hurst entered his guilty plea to an
    indictment containing the conspiracy count. Accordingly, the district court had
    no need to hold a hearing on his failure to cooperate.
    Mr. Hurst also asserts that the district court did not develop a sufficient
    factual basis to permit meaningful appellate review. Remand is proper where the
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    district court fails to “engage in clear and specific factfinding” because “we are
    neither equipped nor inclined to assume that role.” Wolfe v. New Mexico Dept.
    of Human Services, 
    69 F.3d 1081
    , 1089 (10th Cir. 1995). In the context of plea
    negotiations, the Supreme Court has declared that a lower court is in a better
    position than an appellate court to decide whether a breach has occurred and what
    the appropriate remedy should be. See Santobello v. New York, 
    404 U.S. 257
    ,
    263 (1971). Yet, here, we have not only a copy of the written document, which
    plainly lacks the U.S. Attorney’s signature, but also a transcript of the sentencing
    proceedings at which Agent Bulgrin and Mr. Maxcey testified about the oral plea
    negotiations and Mr. Hurst’s failure to cooperate. The district court based its
    decision not to reconsider Mr. Hurst’s motion to enforce the oral agreement on
    this testimony. The record thus affords ample opportunity to determine that no
    agreement existed.
    Finally, Mr. Hurst challenges the district court’s decision not to allow him
    to withdraw his guilty plea. We review such a decision for abuse of discretion,
    see United States v. Burger, 
    964 F.2d 1065
    , 1070 (10th Cir. 1992), and the
    defendant bears the burden of showing “a fair and just reason for the withdrawal
    of the plea.” Wade, 
    940 F.2d at 1377
    . Because the district court neither failed to
    comply with Rule 11 nor erroneously declined to enforce the alleged oral
    agreement, its denial of Mr. Hurst’s motion to withdraw his guilty plea does not
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    constitute an abuse of discretion.
    II. Ineffective Assistance of Counsel
    As part of his claim concerning the plea bargain, Mr. Hurst alleges that he
    was deprived of effective assistance of counsel when his first attorney advised
    him to plead guilty without seeking to enforce the proposed plea agreement.
    According to Mr. Hurst, Mr. Maxcey’s rationale – that letting the agreement lapse
    would help the defendant qualify for acceptance of responsibility and safety valve
    departures – was “so implausible as . . . to be no strategic reason at all.” Aplt. Br.
    at 32-33.
    In this circuit, “[i]neffective assistance of counsel claims should be brought
    in collateral proceedings, not on direct appeal. Such claims brought on direct
    appeal are presumptively dismissible, and virtually all will be dismissed.” United
    States v. Gell-Iren, 
    146 F.3d 827
    , 831 (10th Cir. 1998) (quoting United States v.
    Galloway, 
    56 F.3d 1239
    , 1240 (10th Cir. 1995) (en banc)). We have justified our
    preference for defendants to allege ineffective assistance in 28 U.S.C.§ 2255
    proceedings by reference to the need for a fully developed factual record. See
    Galloway, 
    56 F.3d at 1240
    . Accordingly, we dismiss this claim without prejudice.
    See Gell-Iren, 
    146 F.3d at 832
    .
    III. Criminal History Calculation
    In 1993, Mr. Hurst was convicted of “wet reckless” driving. The
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    imposition of his sentence was suspended, and he was placed on probation for two
    years, ordered to serve two days in jail, and fined $550.00. He now argues that
    the “wet reckless” conviction should not count toward his criminal history for the
    purposes of sentencing. He attempts to convince us that, because his sentence
    was suspended, he has “not yet [been] sentenced” under USSG § 4A1.2(a)(4) and
    that his conviction would only qualify for a criminal history point if it were
    “countable regardless of type or length.” Section 4A1.2(c)(1) only classifies
    reckless driving as a “prior sentence” under specified conditions; thus, Mr. Hurst
    contends, his conviction does not satisfy the requirements of § 4A1.2(a)(4).
    This argument is without merit. A suspended sentence falls under
    § 4A1.2(a)(3), rather than § 4A1.2(a)(4), and “shall be counted as a prior
    sentence” for the purposes of calculating a defendant’s criminal history. See
    United States v. Hernandez, 
    160 F.3d 661
    , 670 (11th Cir. 1998) (one criminal
    history point appropriate where defendant’s prior conviction had been suspended).
    Mr. Hurst also incorrectly contends that “wet reckless” driving lies outside
    the rubric of countable offenses. In California, defendants may reduce a drunk
    driving charge to “wet reckless” through plea negotiations, although the resulting
    conviction carries the same weight as driving under the influence (“DUI”) for the
    purpose of penalizing recidivists. See, e.g., People v. Claire, 
    229 Cal. App. 3d 647
    , 650 (Cal. Ct. App. 1991). According to Application Note 5 to USSG §
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    4A1.2, neither drunk driving convictions nor “similar offenses by whatever name
    they are known” are minor traffic infractions to be excluded from the criminal
    history under § 4A1.2(c)(1); indeed, we have previously held that the phrase
    “similar offenses” renders all “offenses involving driving and alcohol” eligible
    for one criminal history point. See United States v. Walling, 
    974 F.2d 140
    , 142
    (10th Cir. 1992); see also United States v. Loeb, 
    45 F.3d 719
    , 722 (2nd Cir. 1995)
    (holding that offense of “driving while ability impaired” was properly counted).
    Moreover, even if we consider Mr. Hurst’s prior offense reckless driving,
    without regard for his intoxication, reckless driving does not constitute a minor
    traffic infraction under § 4A1.2(c)(1). See United States v. Ayala-Rivera, 
    954 F.2d 1275
    , 1277& n.4 (7th Cir. 1992). Section 4A1.2(c)(1) specifically provides
    that the court may count convictions for reckless driving “if (A) the sentence was
    a term of probation of at least one year or a term of imprisonment of at least thirty
    days, or (B) the prior offense was similar to an instant offense.” Mr. Hurst
    satisfied the requirements of this subsection because he was placed on probation
    for more than one year. Reviewing the sentencing court’s legal interpretation of
    the guidelines de novo and its factual findings for clear error, see United States v.
    Cuthbertson,
    138 F.3d 1325
    , 1326 (10th Cir. 1998), we conclude that it properly
    attributed one criminal history point to the wet reckless conviction.
    Mr. Hurst also challenges the addition of two points to his criminal history
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    because he committed the charged offense while he was the subject of an
    allegedly invalid warrant. Section 4A1.1 instructs the sentencing court to add two
    points “if the defendant committed the instant offense while under any criminal
    justice sentence, including probation . . . or escape status.” Mr. Hurst failed to
    spend two days in jail for the wet reckless conviction at the time specified by the
    SLOM court. As a result, his probation was revoked on January 13, 1994, and a
    warrant for his arrest was issued. Mr. Hurst was informed that the warrant would
    remain in effect until he offered the SLOM Court proof of time served. See Aplt.
    App. at 213. Thus, although he spent two days in county jail in Oklahoma, he
    was still wanted as a probation violator when the DEA apprehended him because
    he had not provided proper notice to the SLOM court. See 
    id.
     According to §
    4A1.2(m), a defendant “shall be deemed to be under a criminal justice sentence if
    that sentence is otherwise countable, even if that sentence would have expired
    absent such warrant.” Because we have already concluded that wet reckless
    driving is a countable offense, we hold that Mr. Hurst was on escape status when
    arrested, despite the fact that he subsequently offered a mistake-ridden sworn
    statement attesting to his jail time. The sentencing court did not err in attributing
    two points to his escape status under § 4A1.1.
    AFFIRMED.
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    Entered for the Court
    Paul J. Kelly, Jr.
    Circuit Judge
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