United States v. Mario Salas ( 2020 )


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  •                                     UNPUBLISHED
    UNITED STATES COURT OF APPEALS
    FOR THE FOURTH CIRCUIT
    No. 18-6906
    UNITED STATES OF AMERICA,
    Plaintiff - Appellee,
    v.
    MARIO SALAS,
    Defendant - Appellant.
    Appeal from the United States District Court for the Eastern District of Virginia, at
    Richmond. Henry E. Hudson, Senior District Judge. (3:98-cr-00166-HEH-1)
    Argued: December 10, 2019                                      Decided: March 23, 2020
    Before DIAZ and QUATTLEBAUM, Circuit Judges, and Max O. COGBURN, Jr., United
    States District Judge for the Western District of North Carolina, sitting by designation.
    Affirmed by unpublished opinion. Judge Cogburn wrote the opinion, in which Judge Diaz
    and Judge Quattlebaum joined.
    ARGUED: Sarah Ray Bennett, MCGUIREWOODS, LLP, Richmond, Virginia, for
    Appellant. Daniel Taylor Young, OFFICE OF THE UNITED STATES ATTORNEY,
    Alexandria, Virginia, for Appellee. ON BRIEF: Matthew Allen Fitzgerald,
    MCGUIREWOODS, LLP, Richmond, Virginia; Nicholas Richard Klaiber, Kelly Marie
    Morrison, CAPITAL ONE, Richmond, Virginia, for Appellant. G. Zachary Terwilliger,
    United States Attorney, OFFICE OF THE UNITED STATES ATTORNEY, Alexandria,
    Virginia, for Appellee.
    Unpublished opinions are not binding precedent in this circuit.
    2
    COGBURN, District Judge:
    Appellant Mario Salas challenges the district court’s denial of his Rule 60(b)
    motion.
    For the following reasons, we affirm.
    I.
    In June 1998, a grand jury sitting in Richmond, Virginia, indicted Salas and his half-
    brother on a single count of conspiring to distribute heroin, in violation of 
    21 U.S.C. §§ 846
     and 841. Under § 841(b)(1)(C), conspiring to distribute any amount of heroin is
    punishable by not more than 20 years’ incarceration, whereas under § 841(b)(1)(A),
    conspiring to distribute one kilogram or more of heroin is punishable by a mandatory
    minimum of 10 years’ incarceration and a maximum term of life imprisonment. While the
    indictment did not allege that the defendants conspired to distribute any specific quantity
    of heroin, it put the defendants on notice that the amount was substantial by seeking
    forfeiture of $1 million in drug proceeds. J.A. 15.
    Before trial, the government met with Salas, previewed its evidence, and offered
    him a plea bargain whereby he would admit to conspiring to distribute approximately 1.5
    kilograms of heroin. Salas rejected the offer and proceeded to trial. J.A. 35–38. After two
    days of testimony, a jury found him guilty. J.A. 6 (ECF Nos. 67–68). Salas was represented
    at trial by Peter Eliades, who was appointed under the Criminal Justice Act. J.A. 3 (ECF
    No. 6).
    The government’s trial evidence established that Salas oversaw a heroin distribution
    organization headquartered in Brooklyn and run out of his restaurant, El Olympico, and his
    3
    night club, called “the 880 Club.” Suppl. App. (“S.A.”) 22–23, 42, 54, 194–95, 226–27.
    Salas and his co-conspirators supervised numerous transporters and distributors whom they
    directed to travel to, and take up residence in, the Richmond area to sell heroin. Salas’s
    drug-runners transported heroin to Virginia in hollowed-out candles, stuffed animals, and,
    in several instances, a machine designed to treat a child’s asthma. S.A. 31–32, 35–37, 80–
    82, 218–19, 230, 254.
    The government called thirteen witnesses, several of whom testified about the
    quantity of heroin involved in the conspiracy. Patricio Mateo testified that, at Salas’s
    direction, he transported 500 grams of heroin from New York to Richmond between three
    and four times per month between June and November 1997. S.A. 29–30, 32. That
    conservatively amounts to about nine kilograms. 1 Mateo also testified that selling 400
    grams of heroin resulted in proceeds of about $50,000, S.A. 56, meaning that the $1 million
    in drug money sought as forfeiture in the indictment was equivalent to around eight
    kilograms. Marcellus Brandon testified that he helped Salas’s dealers in Richmond
    distribute about two to three ounces of heroin per day for about eight months. S.A. 149–
    150. Assuming, conservatively, that two ounces were distributed each weekday, this
    amounts to just under nine kilograms. 2 In addition to the significant drug weight described
    by Mateo and Brandon, Dwayne Jefferson testified that he (or others acting on his behalf)
    1
    0.5 kilograms x 3 shipments per month x 6 months = 9 kilograms.
    2
    2 ounces x 28 grams per ounce x 20 weekdays per month x 8 months = 8.96
    kilograms. See United States v. Jeffers, 
    570 F.3d 557
    , 570 (4th Cir. 2009) (noting that one
    ounce is about 28 grams).
    4
    purchased between one and two ounces of heroin every three or four days for four months
    from an apartment in Richmond for re-distribution, sometimes with Salas present. S.A.
    177–180, 183–84. This amounts to an additional 840 grams. 3
    After the government rested, Salas moved for a judgment of acquittal, and the
    district court denied the motion. S.A. 275–78. Salas called no witnesses. After the parties
    delivered their closing arguments, S.A. 281–304, and the district court instructed the jury,
    S.A. 304–24, the jury deliberated for less than an hour before it returned a verdict of guilty,
    S.A. 325–26.
    In advance of Salas’s sentencing, the Probation Office prepared a Presentence
    Investigation Report (“PSR”). The PSR identified several instances in which members of
    the conspiracy distributed more than one kilogram of heroin. See, e.g., J.A. 227 ¶ 11
    (estimating that Dwayne Jefferson sold at least 1.27 kilograms of heroin for the
    conspiracy); J.A. 228 ¶ 13 (estimating that Patricio Mateo sold over 17 kilograms). The
    PSR ultimately concluded that Salas was accountable for the distribution of 31.44
    kilograms of heroin. J.A. 234 ¶ 44. It further described Salas as “the leader of the
    organization” who was “responsible for the purchasing, packaging, and transporting of
    heroin to Richmond,” in addition to being “the primary recruiter of other participants
    within the conspiracy.” 
    Id.
    3
    1 ounce x 28 grams per ounce x 30 distribution days = 840 grams.
    5
    The attribution of 31.44 kilograms of heroin to the conspiracy resulted in a base
    offense level of 38 under the Sentencing Guidelines. J.A. 243. The PSR then applied
    enhancements for being a leader and organizer of the conspiracy, using a minor in support
    of the conspiracy, and possessing a firearm in furtherance of the conspiracy. This resulted
    in a total offense level of 46. J.A. 243–44. Under the then-applicable Guidelines, any
    offense level of 43 or higher resulted in a term of life imprisonment. J.A. 241.
    Salas objected to the drug-weight calculation in the PSR, arguing that the Probation
    Office had impermissibly looked to the contents of government reports, including DEA
    summaries of witness interviews, to calculate the total amount of heroin involved in the
    conspiracy. J.A. 19–21. He asserted that, “at the very least,” the district court ought to
    conclude that there were only 30 kilograms involved in the conspiracy, instead of 31.44
    kilograms, which would result in a base offense level of 36 instead of 38. J.A. 21. Salas
    also challenged the factual basis for the three Guideline enhancements. J.A. 21–24. The
    district court overruled Salas’s objections to the Guideline enhancements. J.A. 31. Salas
    never argued that the jury was required to determine the relevant drug weight. As to drug
    weight, the district court concluded that the conspiracy involved “at least ten kilograms but
    less than 30 kilograms” of heroin, thereby reducing Salas’s base offense level from 38 to
    36. J.A. 31–32. Salas’s new total offense level of 44 still resulted in a Guideline sentence
    of life imprisonment, which the district court imposed. J.A. 32, 42–47.
    Salas appealed his conviction and sentence, arguing that the evidence was
    insufficient to convict him and the district court erred by imposing the three challenged
    Guideline enhancements. On February 28, 2000—after Salas’s opening brief was filed but
    6
    before the Court issued its opinion—Salas filed a motion in the district court seeking to
    compel his attorney to communicate with him about his appeal. J.A. 8 (ECF No. 96). The
    district court granted the motion and directed Salas’s lawyer “to provide Defendant with a
    copy of the trial transcript, and communicate with Salas and tell him whether or not an
    appeal was filed,” and, “[i]f an appeal was filed . . . to forward to the Defendant copies of
    all pleadings filed with the Fourth Circuit.” J.A. 48. The district court entered its order on
    the same day that we affirmed Salas’s conviction and sentence. United States v. Salas, No.
    99-4488, 
    2000 WL 384040
     (4th Cir. Apr. 17, 2000) (per curiam) (“Salas I”).
    Under Supreme Court rules, Salas had 90 days from April 17, 2000, to file a petition
    for certiorari, Sup. Ct. R. 13(1) (1999), making the deadline July 17, 2000. 4 Meanwhile,
    on June 26, 2000, the Supreme Court decided Apprendi v. New Jersey, 
    530 U.S. 466
    (2000), holding that “any fact that increases the penalty for a crime beyond the prescribed
    statutory maximum must be submitted to a jury, and proved beyond a reasonable doubt.”
    
    Id. at 490
    . The Supreme Court had granted certiorari in Apprendi on November 29, 1999,
    five days after Salas filed his opening brief on direct appeal in this Court. Even so, Salas
    never filed a reply brief on direct appeal, much less one referencing Apprendi as a pending
    case or one making an Apprendi-type argument. Nor, after Apprendi was issued, did Salas
    file a petition for certiorari in the 21 days remaining before his time to do so expired.
    4
    90 days from April 17, 2000, fell on July 16, 2000, a Sunday. This made the actual
    deadline Monday, July 17. See Sup. Ct. R. 30(1) (1999).
    7
    Instead, on July 13, 2000—four days before his certiorari deadline—Salas filed
    motions in the district court seeking to replace his attorney. J.A. 8 (ECF Nos. 109 & 110).
    The district court ruled on the motions on July 28, 2000, after the time to file a petition for
    certiorari had run. J.A. 49–50. The district court denied the motions as moot, reasoning that
    once we had affirmed Salas’s conviction, his trial counsel no longer represented him. Even
    so, the district court directed Salas’s counsel, Peter Eliades, to file “a letter detailing the
    manner in which he has complied with the Court’s April 17, 2000 Order that directed [him]
    to both provide Defendant with a copy of the trial transcript and any pleadings filed with
    the Fourth Circuit, and to communicate with Salas regarding the status of the appeal.” J.A.
    49. 5 No responsive letter from counsel appears on the district court’s docket.
    Under our decision in United States v. Torres, 
    211 F.3d 836
    , 837 (4th Cir. 2000), in
    the absence of a petition for certiorari, Salas’s conviction became final “on the date that
    this Court’s mandate issue[d] in his direct appeal.” The mandate issued on May 9, 2000,
    see No. 98-4488 (ECF No. 44), and Salas’s conviction was therefore final as of that date.
    Salas filed his first motion to vacate under 
    28 U.S.C. § 2255
     in January 2001. J.A.
    9 (ECF Nos. 118–19). The petition raised three claims, including a claim of Apprendi error,
    J.A. 58–59, and two claims of ineffective assistance of counsel. More specifically, Salas
    5
    There is no “federal constitutional right to counsel on direct discretionary appeals.”
    United States v. Taylor, 
    414 F.3d 528
    , 536 (4th Cir. 2005) (citing Ross v. Moffitt, 
    417 U.S. 600
    , 610 (1974)). Even so, an attorney appointed under the Criminal Justice Act has a duty
    to “inform [a defendant] of the result of his appeal to this court and of his right to petition
    the Supreme Court for certiorari.” Proffitt v. United States, 
    549 F.2d 910
    , 912 (4th Cir.
    1976); accord United States v. King, 11 F. App’x 219, 221 (4th Cir. 2001).
    8
    argued that Eliades, his counsel at trial and on appeal, performed deficiently by failing to
    request a poll of the jury and in advising him not to plead guilty. J.A. 59–61. Salas did not
    claim that Eliades was ineffective for failing to consult with him about filing a certiorari
    petition.
    A few months after Salas’s § 2255 motion was docketed, we held, in United States
    v. Sanders, 
    247 F.3d 139
    , 148 (4th Cir. 2001), that Apprendi does not apply retroactively
    on collateral review. Because, under Torres, Salas’s conviction had become final before
    Apprendi was decided, the district court held that Sanders foreclosed Salas’s Apprendi
    claim. J.A. 92–93. The district court also denied Salas’s ineffective assistance of counsel
    claims. J.A. 93–96.
    Salas appealed, filing an informal brief on June 4, 2002. J.A. 105–07. He continued
    to pursue his Apprendi claim, arguing that, under Griffith v. Kentucky, 
    479 U.S. 314
     (1987),
    his conviction became final when his 90-day window to file a petition for certiorari closed. 6
    Therefore, he claimed, “Apprendi applie[d] retroactively to [his] case.” J.A. 105.
    While the appeal of the denial of Salas’s § 2255 motion was pending, the Supreme
    Court held in Clay v. United States, 
    537 U.S. 522
     (2003), that, under § 2255, “[f]inality
    attaches when this Court affirms a conviction on the merits on direct review or denies a
    petition for a writ of certiorari, or when the time for filing a certiorari petition expires.” Id.
    6
    Griffith held that the rule of Batson v. Kentucky, 
    476 U.S. 79
     (1986), applied “to
    litigation pending on direct state or federal review or not yet final when Batson was
    decided.” Griffith, 
    479 U.S. at 316
    . In a footnote, Griffith stated that “final” meant “a case
    in which a judgment of conviction has been rendered, the availability of appeal exhausted,
    and the time for a petition for certiorari elapsed or a petition for certiorari finally denied.”
    
    Id.
     at 321 n.6.
    9
    at 527 (citing Griffith, 
    479 U.S. at
    321 n.6). Clay thus abrogated our decision in Torres, the
    precedent applied by the district court in ruling that Salas could not raise an Apprendi claim
    because his conviction was final before Apprendi was decided. On July 11, 2003, we
    nonetheless denied a certificate of appealability and dismissed the appeal, stating that Salas
    “ha[d] not made a substantial showing of the denial of a constitutional right.” United States
    v. Salas, 68 F. App’x 484, 484 (4th Cir. 2003) (per curiam) (“Salas II”). Salas then sought
    panel rehearing or rehearing en banc, pointing out that the Supreme Court had decided Clay
    while his appeal was pending. J.A. 109–110. On September 2, 2003, we denied the request.
    J.A. 112–13. Salas then filed a petition for certiorari, which the Supreme Court denied. See
    Salas v. United States, 
    124 S. Ct. 1462
     (2004).
    Salas re-raised his Apprendi claim at least three times in the district court. First, in
    September 2003, Salas filed a motion under Rule 60(b) to alter or vacate the district court’s
    denial of his first § 2255 petition. J.A. 114–121. Salas’s motion raised the same argument
    appearing in his unsuccessful en banc petition—i.e., that Clay abrogated Torres such that
    his conviction was not final when Apprendi was decided. J.A. 114. The district court
    construed the motion as an unauthorized successive petition and dismissed it for lack of
    jurisdiction. Salas did not appeal.
    Then, in June 2005, Salas filed a second motion under Rule 60(b), this time arguing
    that his trial counsel had been ineffective in failing to communicate with him about his
    appeal and failing to file a petition for certiorari that would have preserved his Apprendi
    claim. J.A. 128–38. The district court also construed this motion as an unauthorized
    successive petition and dismissed it for lack of jurisdiction. J.A. 149–50.
    10
    Finally, in July 2005, Salas filed a motion under Rule 59(e) to alter or amend the
    district court’s dismissal of his second Rule 60 motion. J.A. 151–56. The motion relied on
    Gonzalez v. Crosby, 
    545 U.S. 524
     (2005), decided in June 2005. There, the Supreme Court
    held that a Rule 60(b) motion “is not to be treated as a successive habeas petition if it does
    not assert, or reassert, claims of error in the movant’s . . . conviction.” 
    Id. at 538
    . 7 Gonzalez
    further explained that a Rule 60(b) motion challenging only a district court’s application
    of a habeas statute of limitations is not a second or successive petition. 
    Id. at 534
    . Salas
    relied on Gonzalez to argue that he could use Rule 60(b) to challenge the district court’s
    prior determination about his conviction’s finality. The district court denied this motion as
    improperly successive but then instructed Salas that he could “move the Fourth Circuit
    Court of Appeals for an order authorizing the district court to consider his successive
    application.” J.A. 157–160.
    Salas then appealed the denial of his second Rule 60(b) motion and his Rule 59
    motion to this Court, where he filed an informal brief in August 2005. No. 05-7207 (ECF
    Nos. 1 & 11); S.A. 328–34. He argued that the district court had erred in construing his
    second Rule 60(b) motion as a second-or-successive petition, citing Gonzalez. S.A. 329.
    He also asserted that his trial counsel’s purported failure to communicate with him about
    filing a petition for certiorari had unjustly foreclosed him from obtaining Apprendi relief.
    7
    Gonzalez addressed Rule 60(b) as applied to state habeas petitions under 
    28 U.S.C. § 2254
    , but it applies equally to § 2255 motions to vacate. See, e.g., United States v. McRae,
    
    793 F.3d 392
    , 397 (4th Cir. 2015).
    11
    S.A. 331. We dismissed the appeal in November 2005. United States v. Salas, 155 F.
    App’x 691 (4th Cir. 2005) (per curiam) (“Salas III”). We simultaneously construed Salas’s
    appeal as an application for a certificate of appealability and as an application to file a
    second-or-successive habeas petition, and we denied the application. Salas filed a petition
    for panel rehearing or rehearing en banc, which we denied. No. 05-7207 (ECF Nos. 22,
    28). He then filed a petition for certiorari, which the Supreme Court denied. See Salas v.
    United States, 
    126 S. Ct. 2047
     (2006).
    In May 2010, Salas filed an application for a writ of mandamus in this Court, which
    we construed as a motion to recall the mandate and docketed as a motion in his direct
    appeal. See No. 99-4488 (ECF No 48); J.A. 166–74. 8 In substance, Salas sought to file an
    out-of-time petition for certiorari to the Supreme Court on the theory that, if such a petition
    were filed, it would have the effect of retroactively making Apprendi relief available to
    him. J.A. 166. Salas argued that such relief was appropriate because, he claimed, his
    counsel had never communicated with him after he was convicted, either about the
    substance of his direct appeal or about filing a petition for certiorari. J.A. 170, 183. In June
    8
    Salas filed other motions not relevant to this opinion in the interim. In 2006, Salas
    filed a notice with the district court seeking to preserve a claim under United States v.
    Booker, 
    543 U.S. 220
     (2005). The district construed the filing as a motion and denied it.
    From 2007 to 2009, Salas continued to pursue relief, filing one motion unrelated to his
    Apprendi claim and the denial of his first § 2255 petition. See J.A.11. Furthermore, from
    2011 through 2016, Salas filed one motion unrelated to his Apprendi claim and the denial
    of his first § 2255 petition. He unsuccessfully pursued an appeal of this motion. See J.A.11–
    12.
    12
    2010, we issued a notice to Salas’s prior attorney, Peter Eliades, requiring him to respond.
    No. 99-4488 (ECF No. 50).
    Eliades filed a two-page response, asserting that his prior law firm could no longer
    retrieve Salas’s file because it had been “shredded.” J.A. 185. He also disclaimed having
    any “independent recollection of Salas requesting that this case be appealed to the U.S.
    Supreme Court,” although he acknowledged that he “[d]id not recall advising Salas, in
    writing, of his right to file” a certiorari petition. J.A. 186. Eliades also stated that he could
    only “assume” that he was “totally compliant” with the district court’s two orders to him—
    the first, from April 2000, requiring him to communicate with Salas about his appeal, J.A.
    48, and the second, from July 2000, requiring him to file a letter with the district court
    detailing those communications. J.A. 49–50. We then denied the motion to recall the
    mandate. J.A. 187. Salas sought panel rehearing or rehearing en banc, and the Clerk of the
    Court informed him that his request was impermissible given the procedural posture of the
    case. No. 99-4488 (ECF Nos. 54 & 55).
    In December 2016, Salas moved for a sentence reduction under 
    18 U.S.C. § 3582
    (c)
    and amendment 782 to the Guidelines, which lowered the offense levels applicable to
    various drug offenses. J.A. 12 (ECF No. 174). The district court granted the motion,
    reducing Salas’s sentence to thirty years. J.A. 12 (ECF No. 178).
    13
    In March 2018, Salas filed his third motion under Rule 60(b)(4). J.A. 188–97. 9 He
    again sought to re-raise his Apprendi claim, this time by arguing that his judgment of
    conviction was void for lack of jurisdiction. See Fed. R. Civ. P. 60(b)(4). Salas advanced
    two arguments. First, he again asserted that, under the Supreme Court’s decision in Clay,
    his conviction was not final when Apprendi was decided and the district court had erred in
    concluding otherwise. J.A. 189–91. Second, he argued that under the Supreme Court’s
    decision in Gonzalez, his Rule 60(b) motion properly attacked a defect in the habeas
    proceeding and did not raise an impermissible second-or-successive claim. J.A. 191–95.
    Salas did not renew his attack on his trial counsel’s performance.
    The district court denied the motion in May 2018 as untimely and for failure to
    establish extraordinary circumstances. J.A. 210–14. Although Salas had styled his motion
    as one brought under only Rule 60(b)(4), the district court also considered whether Salas
    might be entitled to relief under Rule 60(b)(6). The district court reasoned that a Rule 60(b)
    motion “must be made within a reasonable time” of the proceeding it challenges, Fed. R.
    Civ. P. 60(c)(1). The court stated that since Salas’s motion sought relief from the district
    court’s denial of his first habeas petition, Salas was obliged to file it shortly after the district
    court entered its order denying that petition in January 2002. Accordingly, Salas’s motion,
    “filed over sixteen years after the entry of the challenged judgment, was not filed in a
    9
    The motion was erroneously docketed in the Alexandria Division as a petition
    under 
    28 U.S.C. § 2241
    . The request was subsequently transferred to the Richmond
    Division and properly docketed as a Rule 60(b) motion. J.A. 206–08.
    14
    reasonable time.” J.A. 211. Second, the district court noted that the Supreme Court has
    explained that “a movant seeking relief under Rule 60(b)(6) [needs] to show ‘extraordinary
    circumstances’ justifying the reopening of a final judgment.” Gonzalez, 
    545 U.S. at 535
    (quoting Ackermann v. United States, 
    340 U.S. 193
    , 199 (1950)). Applying Supreme Court
    and Circuit precedent, the district court concluded that the change in law regarding when a
    conviction becomes “final” under § 2255 (i.e., the shift from Torres to Clay in 2003) did
    not satisfy this requirement.
    This appeal followed.
    II.
    A.
    Salas conceded at oral argument that, although styled as a Rule 60(b)(4) motion, the
    district court properly construed it as one also brought under Rule 60(b)(6). Salas also
    conceded that the 60(b)(4) motion was properly denied and that the focus of the appeal is
    the Rule 60(b)(6) motion.
    To obtain relief from a judgment under Rule 60(b), “a moving party must first show
    (1) that the motion is timely, (2) that he has a meritorious claim or defense, and (3) that the
    opposing party will not suffer unfair prejudice if the judgment is set aside.” United States
    v. Welsh, 
    879 F.3d 530
    , 533 (4th Cir. 2018). Under Rule 60(b)(6), the party must also show
    extraordinary circumstances. Gonzalez, 
    545 U.S. at 535
    . Denial of a Rule 60(b)(6) motion
    is reviewed for abuse of discretion. Welsh, 879 F.3d at 533 (4th Cir. 2018). Salas contends
    that the district court abused its discretion in denying the Rule 60(b)(6) motion because of
    the “extraordinary circumstances” in this case—namely, that over a span of almost twenty
    15
    years, Salas was incorrectly and repeatedly deprived of his right to pursue an Apprendi
    claim, which he maintains would have resulted in a reduction in his sentence. Salas argues
    that, had he been able to pursue his Apprendi claim, he likely would have been sentenced
    to twenty years of imprisonment, rather than to life, and that he would have been released
    from prison by now. 10 Salas asserts that we first erred in 2003 when we declined to rehear
    Salas’s appeal from the denial of his § 2255 petition after the Supreme Court decided Clay.
    Salas maintains that our alleged error in 2003 was the beginning of the “extraordinary
    circumstances” that have allegedly resulted in an injustice to Salas. For the following
    reasons, we cannot agree.
    As Salas notes, in declining to hear his appeal from the denial of his first § 2255
    petition, we held:
    Mario Salas seeks to appeal the district court’s order denying his motion filed
    under 
    28 U.S.C. § 2255
     (2000). We have reviewed the record and the district
    court’s opinion and conclude that Salas has not made a substantial showing
    of the denial of a constitutional right. See 
    28 U.S.C. § 2253
    (c)(2) (2000).
    Accordingly, we deny a certificate of appealability and dismiss the appeal.
    Salas II, 68 F. App’x at 484. Critically, we did not hold that Salas’s conviction was final
    when Apprendi was decided. Rather, we held that Salas had failed to make “a substantial
    showing of the denial of a constitutional right.” 
    Id.
     That holding was correct for several
    reasons.
    10
    As noted, Salas’s sentence has been reduced to a 30-year term of incarceration.
    The Bureau of Prisons website indicates that his release date is July 29, 2024.
    16
    First, because Salas did not raise an argument at trial or on direct appeal that the
    jury was required to determine the relevant drug weight, he procedurally defaulted this
    claim. 11 See Bousley v. United States, 
    523 U.S. 614
    , 622 (1998). A defendant can overcome
    his default if he can show either (1) cause for the default and prejudice resulting therefrom,
    or (2) actual innocence. 
    Id.
     Salas has never argued that he is actually innocent of conspiring
    to distribute one kilogram or more of heroin. Accordingly, his Apprendi claim is viable
    only if he can satisfy the cause-and-prejudice exception to procedural default.
    Salas cannot show cause for his default. He has not attempted to argue that Apprendi
    was so novel that he should be excused from his failure to raise such a claim before
    Apprendi was decided. Even if he had raised this argument, our decision in Sanders would
    foreclose this assertion. See Sanders, 
    247 F.3d at
    144–46. Sanders rejected two
    arguments—first, that the basis for an Apprendi claim was not reasonably available before
    Apprendi was decided, and second, that it would have been futile to raise such a claim.
    Sanders noted that, in Bousley itself, the Supreme Court explained that “futility cannot
    11
    At argument, the government denied that it has waived the right to raise this
    procedural default argument, and the government alternatively invoked the exceptions to
    the “waiver of the waiver” rule as set forth in United States v. Metzger, 
    3 F.3d 756
     (4th Cir.
    1993). We agree that the Metzger exceptions—the interests in “judicial efficiency,
    conservation of scarce judicial resources, and orderly and prompt administration of
    justice”—are particularly applicable here. In any event, we find that, even if the
    government’s procedural default argument was not preserved, we could reach the same
    conclusion. This is because, as we discuss, infra, even if the government waived the right
    to raise procedural default, Salas must still show prejudice, and he has failed to do so.
    17
    constitute cause if it means simply that a claim was unacceptable to that particular court at
    that particular time.” 12 Id. at 145 (quoting Bousley, 
    523 U.S. at 623
    ).
    A defendant may also establish cause for a procedural default by showing that
    defense counsel performed deficiently by failing to raise a particular claim. See Murray v.
    Carrier, 
    477 U.S. 478
    , 488 (1986) (holding that constitutionally ineffective assistance of
    counsel may provide cause for a procedural default). In United States v. Dyess, 
    730 F.3d 354
     (4th Cir. 2013), however, we held that a defense attorney’s failure to anticipate
    Apprendi does not constitute deficient performance. See 
    id. at 363
    . Thus, under Sanders
    and Dyess, Salas cannot show cause for failing to raise an Apprendi-type claim on direct
    appeal.
    Moreover, Salas’s counsel’s performance in this case did not result in an injustice
    to Salas. Salas argues that counsel’s failure to file a petition for certiorari raising an
    Apprendi claim somehow forfeited his ability to seek Apprendi relief. But a defendant who
    raises a claim for the first time in a certiorari petition has still procedurally defaulted that
    claim. See Bousley, 
    523 U.S. at 622
     (stating that a petitioner procedurally defaults a claim
    “by failing to raise it on direct review”); Peveler v. United States, 
    269 F.3d 693
    , 698–99
    (6th Cir. 2001) (holding that a defendant “cannot avoid procedural default by asserting [a]
    claim” for the first time in a certiorari petition). Thus, even if counsel had raised an
    12
    Sanders also favorably quoted a case, United States v. Nance, 
    236 F.3d 820
     (7th
    Cir. 2000), where the Seventh Circuit noted that “as far back as 1997 defendants were
    arguing . . . that the type of drug that they were charged with distributing in violation of 
    21 U.S.C. § 841
     was an element of the offense that had to be proven to the jury beyond a
    reasonable doubt.” Sanders, 
    247 F.3d at 145
     (quoting Nance, 236 F.3d at 823).
    18
    Apprendi argument in a petition for certiorari, Salas would nonetheless need to show cause
    and prejudice to obtain relief on his procedurally defaulted claim. Because Sanders and
    Dyess foreclose him from showing cause, his claim necessarily fails. 13
    Even if Salas could show cause for failing to raise an Apprendi-type argument at
    trial or on direct appeal, he still could not establish prejudice. To establish prejudice, a
    “habeas petitioner must show ‘not merely that the errors at . . . trial created a possibility of
    prejudice, but that they worked to his actual and substantial disadvantage, infecting his
    entire trial with error of constitutional dimensions.” Carrier, 
    477 U.S. at 494
     (quoting
    United States v. Frady, 
    456 U.S. 152
    , 170 (1982)) (ellipsis in original). “The burden rests
    with the petitioner to show that there is a reasonable probability that the jury would have
    reached a different, more favorable conclusion.” Derman v. United States, 
    298 F.3d 34
    , 46
    (1st Cir. 2002) (citing Coleman v. Thompson, 
    501 U.S. 722
    , 750 (1991)); accord Pettigrew,
    346 F.3d at 1144–45. “[T]he ‘showing of prejudice’ required to overcome procedural
    default on collateral review ‘is significantly greater than that necessary’ to establish plain
    error on direct review.” Pettigrew, 346 F.3d at 1144 (quoting Carrier, 
    477 U.S. at
    493–
    94). For purposes of assessing an Apprendi error, the “inquiry focuses on the likelihood
    that the jury, had it been asked the question, would have found that the underlying
    13
    The government also argues that, even if Salas’s claim is not procedurally
    defaulted and time-barred, Salas’s claim would still fail under a plain error standard of
    review. The plain error standard of review does not apply. The government is correct,
    however, that Salas’s claim would fail under this standard of review if it did apply. See
    United States v. Cotton, 
    535 U.S. 625
     (2002); United States v. Brown, 
    757 F.3d 183
    , 194
    (4th Cir. 2014); Dyess, 730 F.3d at 361; United States v. Hadden, 
    475 F.3d 652
    , 671–72
    (4th Cir. 2007); United States v. Smith, 
    441 F.3d 254
    , 272 (4th Cir. 2006); United States v.
    Mackins, 
    315 F.3d 399
    , 408 (4th Cir. 2003).
    19
    conspiracy involved the manufacture and distribution of at least” the required quantity of
    drugs. Derman, 
    298 F.3d at 46
    .
    The jury in this case would easily have concluded that the conspiracy involved one
    kilogram or more of heroin. Two witnesses, Patricio Mateo and Marcellus Brandon,
    testified that they transported or distributed multiple kilograms of heroin in furtherance of
    the conspiracy. S.A. 29–30, 150. Another witness, Dwayne Jefferson, testified that he (or
    others acting on his behalf) purchased between one and two ounces of heroin every three
    or four days for four months from persons associated with the conspiracy, sometimes with
    Salas present. S.A. 177–180, 183–84. Salas did not contest these amounts during trial,
    instead focusing on the witnesses’ credibility. Then, at sentencing, Salas’s chief argument
    as to drug weight was that the district court should find that the conspiracy involved 30
    kilograms of heroin rather than 31.44 kilograms. J.A. 21. To receive a life sentence, Salas
    only had to be found responsible for at least one kilogram. Salas’s argument that the jury
    would not have found him to be responsible for at least this amount strains credulity. Thus,
    Salas cannot establish prejudice arising from his procedural default. 14 Accord Derman, 
    298 F.3d at 46
     (where the defendant did not raise an Apprendi-type claim on direct appeal,
    Apprendi was decided between the appellate court’s affirmance of the defendant’s
    conviction and the date the defendant’s conviction became final, and the defendant raised
    14
    As we explained in Dyess, prejudice is particularly difficult to show in this
    context. That is, if, before trial, Salas had made a pre-Apprendi argument that the jury was
    required to find the requisite drug weight, “the Government could have simply issued a
    superseding indictment with drug weights” expressly charged. 730 F.3d at 363–64. Had
    the government done so here, the jury easily would have convicted Salas of conspiring to
    distribute one kilogram or more of heroin.
    20
    an Apprendi claim for the first time in a timely § 2255 petition, finding no prejudice where
    the evidence of sufficient drug weight was “commanding”); see also United States v.
    Pettigrew, 
    346 F.3d 1139
    , 1144–48 (D.C. Cir. 2003) (holding that the defendant could not
    show prejudice sufficient to overcome his procedural default, noting that when “quantity
    [is] uncontested at trial, there is no reason to expect that the trial’s outcome would have
    been different had the issue been specifically put to the jury”).
    In sum, when, in 2003, we declined to issue a certificate of appealability on Salas’s
    § 2255 petition because he “ha[d] not made a substantial showing of the denial of a
    constitutional right,” Salas II, 68 F. App’x at 484, we were correct in so finding. The
    finality issue was not, and never has been, dispositive. 15 If we had vacated the district
    court’s finality ruling in 2003 and remanded the case for further consideration in light of
    Clay, the district court simply would have concluded that Salas had procedurally defaulted
    his claim and could not overcome that default through a showing of cause or prejudice. For
    the same reason, any Apprendi error in this case had no “substantial and injurious effect”
    and was therefore harmless. United States v. Smith, 
    723 F.3d 510
    , 517 (4th Cir. 2013)
    (explaining how harmlessness standards apply on collateral review); accord Sustache-
    15
    As the government notes, we remanded several cases that were on appeal from
    the denial of habeas relief when Clay was decided. See, e.g., United States v. McDonald,
    64 F. App’x 359, 361 (4th Cir. 2003). The fact that we chose not to do so here supports the
    conclusion that we did not view the finality issue as critical. That is, whereas we decided
    in some cases that Clay might affect the resolution of some Apprendi claims, our rejection
    of Salas’ Apprendi claim reflects a determination in this case that Clay would not affect
    the resolution of Salas’s Apprendi claim, given the overwhelming evidence of drug
    quantity against Salas at trial.
    21
    Rivera v. United States, 
    221 F.3d 8
    , 18 (1st Cir. 2000) (rejecting an Apprendi claim raised
    on collateral review on harmlessness grounds).
    B.
    We also affirm for another reason: the district court’s two reasons for denying
    Salas’s motion—untimeliness and failure to show “extraordinary circumstances”—were
    correct. First, Salas’s motion was untimely. Under Rule 60(c)(1), “[a] motion under Rule
    60(b) must be made within a reasonable time,” and “the movant bears the burden of
    showing timeliness.” Moses v. Joyner, 
    815 F.3d 163
    , 166 (4th Cir. 2016). Salas’s
    “extraordinary circumstances” claim derives from his argument that the district court
    wrongly concluded in January 2002 that Salas’s conviction was final before Apprendi was
    decided. That error was apparent, however, by the latest, when Clay was decided in March
    2003, which is why Salas relied on Clay in his first Rule 60(b) motion filed in September
    2003, in which he raised the same Apprendi claim he raises here, and where he first raised
    the Clay issue before the district court. J.A. 114–21. The claim may have been timely at
    that point. Salas did not, however, appeal the denial of this first Rule 60(b) motion, and his
    claim is certainly not timely now, well over a decade after the purported error became clear.
    See Wells Fargo Bank, N.A. v. AMH Roman Two NC, LLC, 
    859 F.3d 295
    , 300 (4th Cir.
    2017) (delay of two years was “not reasonably timely”); Moses, 815 F.3d at 166 (delay of
    fifteen months was “inordinate”); McLawhorn v. John W. Daniel & Co., 
    924 F.2d 535
    , 538
    (4th Cir. 1991) (per curiam) (finding no abuse of discretion where district court denied as
    untimely a Rule 60(b) motion filed four months after entry of summary judgment).
    22
    We have consistently barred litigants from using Rule 60 to bring what are
    essentially untimely appeals. See Aikens v. Ingram, 
    652 F.3d 496
    , 501 (4th Cir. 2011) (en
    banc) (“[I]f the reason asserted for the Rule 60(b)(6) motion could have been addressed on
    appeal from the judgment, we have denied the motion as merely an inappropriate substitute
    for an appeal.”); In re Burnley, 
    988 F.2d 1
    , 3 (4th Cir. 1992) (per curiam) (“A Rule 60(b)
    motion may not substitute for a timely appeal.”). To the extent that Salas believes his claim
    of Clay error should have justified relief under Rule 60, he could have sought appellate
    review after the district court dismissed his first Rule 60 motion in 2004. The district court
    did not abuse its discretion in dismissing the same claim when it was re-raised over a
    decade later.
    C.
    In addition to finding that the district court properly found that the Rule 60(b)
    motion was untimely, we also find that the district court did not abuse its discretion to the
    extent that it denied the Rule 60(b) motion on its merits. Rule 60(b)(6) empowers a district
    court to “relieve a party …from a final judgment, order, or proceeding for … any other
    reason that justifies relief.” To obtain such relief, a defendant must make a showing of
    “‘extraordinary circumstances’ justifying the reopening of a final judgment.” Gonzalez,
    
    545 U.S. at 535
     (quoting Ackermann, 
    340 U.S. at 199
    ). The gravamen of Salas’s claim is
    that, because his conviction was not final under Clay when Apprendi was decided, he
    should be able to raise a forfeited claim of Apprendi error on collateral review. However,
    as set forth by the Supreme Court in Gonzalez, a change in the law governing finality
    simply does not constitute an extraordinary circumstance justifying relief under Rule 60(b).
    23
    In Gonzalez, the defendant unsuccessfully sought post-conviction relief in state
    court and then filed a federal habeas petition. Gonzalez, 
    545 U.S. 524
    . The district court
    held that the habeas petition was untimely. The Supreme Court then changed the law,
    holding in Artuz v. Bennett, 
    531 U.S. 4
    , 8–9 (2000), that the applicable statute of limitations
    was subject to tolling in circumstances mirroring those in Gonzalez’s case. After Artuz was
    decided, the petitioner in Gonzalez filed a Rule 60(b)(6) motion, seeking relief from the
    order dismissing his federal habeas petition. Gonzalez held that “[b]ecause petitioner’s
    Rule 60(b) motion challenge[d] only the District Court’s previous ruling on the [applicable]
    statute of limitations, it [was] not the equivalent of a successive habeas petition.” 
    545 U.S. at
    535–36. The Supreme Court nonetheless affirmed the denial of habeas relief on
    alternative grounds. The Court assumed that the district court’s statute-of-limitations ruling
    was incorrect under Artuz, but the Court nevertheless rejected the argument that an Artuz
    error constituted the kind of “extraordinary circumstance” justifying relief under Rule
    60(b):
    The District Court’s interpretation was by all appearances correct under the
    Eleventh Circuit’s then-prevailing interpretation of 
    28 U.S.C. § 2244
    (d)(2).
    It is hardly extraordinary that subsequently, after petitioner’s case was no
    longer pending, this Court arrived at a different interpretation. Although our
    constructions of federal statutes customarily apply to all cases then pending
    on direct review, not every interpretation of the federal statutes setting forth
    the requirements for habeas provides cause for reopening cases long since
    final.
    
    Id. at 536
     (internal citation omitted). Gonzalez explained that “[t]he change in the law
    worked by Artuz is all the less extraordinary in petitioner’s case, because of his lack of
    diligence in pursuing review of the statute-of-limitations issue.” 
    Id. at 537
    .
    24
    Here, as in Gonzalez, the district court’s dismissal of Salas’s Apprendi claim “was
    by all appearances correct” under Torres and Sanders. Here, too, the Supreme Court
    changed the law in Clay, just as Gonzalez arose from the change in the law following Artuz.
    Yet, as Gonzalez held, a change in the law is “hardly extraordinary” and does not “provide[]
    cause for reopening cases long since final.” 16 
    545 U.S. at 536
    ; see also Agostini v. Felton,
    
    521 U.S. 203
    , 239 (1997) (stating that “[i]ntervening developments in the law by
    themselves rarely constitute the extraordinary circumstances required for relief under Rule
    60(b)(6)”).
    Relying on two arguments, Salas asserts that the test for whether “extraordinary
    circumstances” exist is fact-specific and that the facts here differ from those in Gonzalez.
    Salas first asserts that neither Gonzalez nor Moses forecloses relief because those cases
    dealt with changes in decisional law after final judgment, whereas Salas relies on a change
    in decisional law that occurred while his first post-conviction appeal was still pending. But
    that argument is not persuasive. As discussed above, even if the Court applied Clay and
    remanded Salas’s habeas case for further consideration, Salas still would not have been
    able to overcome his procedural default.
    16
    Even before Gonzalez was decided, we had already “held that ‘a change in
    decisional law subsequent to a final judgment provides no basis for relief under Rule
    60(b)(6).’” Moses, 815 F.3d at 168–69 (quoting Dowell v. State Farm Fire & Cas. Auto.
    Ins. Co., 
    993 F.2d 46
    , 48 (4th Cir. 1993)); see also Hall v. Warden, Md. Penitentiary, 
    364 F.2d 495
    , 496 (4th Cir. 1966) (en banc) (stating that “judgments which had become final
    long before [an intervening Supreme Court case] was decided should not be reopened
    merely upon a showing of inconsistency with that decision”).
    25
    Salas also argues that his attorney’s purported abandonment in failing to advise him
    about filing a petition for certiorari constitutes an extraordinary circumstance. 17 We cannot
    agree with Salas’s characterization of counsel’s performance. First, there has never been
    any factual showing that Salas’s trial lawyer rendered deficient performance. Salas did not
    raise a claim of ineffective appeal advice in his first § 2255 petition, and the district court
    never held an evidentiary hearing on that issue. As the government notes, it would be odd
    indeed for us to treat counsel’s purported neglect as a basis for Rule 60(b)(6) relief when
    there has never been a factual finding that defendant’s trial counsel acted deficiently.
    Next, even assuming that counsel was ineffective in failing to advise Salas of his
    right to file a certiorari petition, this claim is time-barred. Any ineffectiveness claim here
    must relate to the failure to advise Salas about his ability to file a petition for certiorari,
    rather than a failure to anticipate Apprendi, because the Court has previously held that
    failure to anticipate the result in Apprendi is not a basis for a claim of ineffective assistance
    of counsel. Dyess, 730 F.3d at 363. Insofar as Salas argues that his failure to file a petition
    for certiorari is the result of attorney negligence, he is really making a claim of “excusable
    neglect” under Rule 60(b)(1), rather than a claim for relief under Rule 60(b)(6). See
    Augusta Fiberglass Coatings, Inc. v. Fodor Contracting Corp., 
    843 F.2d 808
    , 811 (4th Cir.
    1988) (“[W]hen the party is blameless, his attorney’s negligence qualifies as a ‘mistake’ or
    17
    This claim of attorney neglect, while previously raised by Salas in the district
    court (in his second Rule 60(b) motion and his Rule 59 motion), and before this Court (in
    Salas’s second post-conviction appeal and in his motion to recall the mandate), appears
    nowhere in the motion that forms the basis for this appeal. See J.A. 188–97.
    26
    as ‘excusable neglect’ under Rule 60(b)(1).”). Any claims under Rule 60(b)(1) are,
    however, subject to a one-year limitations period. And collateral consequences of any
    ineffectiveness on the part of Salas’s trial attorney would have been apparent once the
    Supreme Court decided Clay in March 2003. And indeed, after Clay, Salas filed his second
    motion under Rule 60(b)(6), where he, for the first time, tied his Apprendi claim to his
    counsel’s allegedly deficient performance. The district court then dismissed the motion,
    and we affirmed on appeal. Even assuming that Salas’s second Rule 60(b) motion was
    timely, Salas’s third such motion—filed over a decade later—is not. 18
    ***
    In sum, the district court did not abuse its discretion in concluding that Salas has
    failed to show extraordinary circumstances justifying relief under Rule 60(b)(6).
    III
    For the foregoing reasons, the judgment of the district court is:
    AFFIRMED.
    18
    As the government also notes, an ineffectiveness claim related to counsel’s failure
    to advise Salas about his ability to file a petition for certiorari would also constitute an
    impermissible successive petition under § 2255. See United States v. Dias, 694 F. App’x
    175 (2017) (per curiam). Additionally, we note that, although the government raised the
    law of the case doctrine as another reason to affirm, Salas argues, and we agree, that the
    law of the case doctrine is not appropriate to the facts in this case. Indeed, at oral argument,
    the government did not pursue its law of the case doctrine argument.
    27
    

Document Info

Docket Number: 18-6906

Filed Date: 3/23/2020

Precedential Status: Non-Precedential

Modified Date: 3/23/2020

Authorities (31)

Derman v. United States , 298 F.3d 34 ( 2002 )

Sustache-Rivera v. United States , 221 F.3d 8 ( 2000 )

United States v. Jeffers , 570 F.3d 557 ( 2009 )

Leonard Hall, Jr. v. Warden, Maryland Penitentiany , 364 F.2d 495 ( 1966 )

Lester C. McLawhorn v. John W. Daniel & Company, ... , 924 F.2d 535 ( 1991 )

United States v. Randy Metzger , 3 F.3d 756 ( 1993 )

United States v. Lynell Lynnie Taylor, A/K/A Scoop, A/K/A ... , 414 F.3d 528 ( 2005 )

United States v. D'AnDre Torres, A/K/A Danny Scott, A/K/A D , 211 F.3d 836 ( 2000 )

united-states-v-terrance-smith-aka-ty-united-states-of-america-v , 441 F.3d 254 ( 2006 )

United States v. Donathan Wayne Hadden , 475 F.3d 652 ( 2007 )

Augusta Fiberglass Coatings, Inc. v. Fodor Contracting ... , 843 F.2d 808 ( 1988 )

Ronald W. Dowell, Administrator of the Estate of Jackie ... , 993 F.2d 46 ( 1993 )

United States v. Sean Lamar Sanders, A/K/A Sean Lamont ... , 247 F.3d 139 ( 2001 )

united-states-v-willie-jerome-mackins-united-states-of-america-v-alonzo , 315 F.3d 399 ( 2003 )

Bousley v. United States , 118 S. Ct. 1604 ( 1998 )

United States v. Pettigrew, Craig , 346 F.3d 1139 ( 2003 )

Terry L. Peveler v. United States , 269 F.3d 693 ( 2001 )

Aikens v. Ingram , 652 F.3d 496 ( 2011 )

Ross v. Moffitt , 94 S. Ct. 2437 ( 1974 )

Ackermann v. United States , 71 S. Ct. 209 ( 1950 )

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