STATE OF NEW JERSEY VS. FUQUAN STRIBLING (09-11-0986, UNION COUNTY AND STATEWIDE) ( 2018 )


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  •                                  NOT FOR PUBLICATION WITHOUT THE
    APPROVAL OF THE APPELLATE DIVISION
    This opinion shall not "constitute precedent or be binding upon any court ." Although it is posted on the
    internet, this opinion is binding only on the parties in the case and its use in other cases is limited . R. 1:36-3.
    SUPERIOR COURT OF NEW JERSEY
    APPELLATE DIVISION
    DOCKET NO. A-3592-16T1
    STATE OF NEW JERSEY,
    Plaintiff-Respondent,
    v.
    FUQUAN STRIBLING, a/k/a
    FUQUAM SCRIBLING, JOHN
    L. MURRAY, FU SCRIBLING,
    FUGUAN SCRIBLING, FUQUAN
    L. STRIBLING, FUGUAN
    T. STRIBLING, FUQUAN L.
    SCRIBLING, and FUGUAN T.
    STRIBING,
    Defendant-Appellant.
    __________________________________
    Submitted October 22, 2018 – Decided November 1, 2018
    Before Judges Sabatino and Mitterhoff.
    On appeal from Superior Court of New Jersey, Law
    Division, Union County, Indictment No. 09-11-0986.
    Joseph E. Krakora, Public Defender, attorney for
    appellant (Steven M. Gilson, Designated Counsel, on
    the briefs).
    Michael A. Monahan, Acting Union County
    Prosecutor, attorney for respondent (Michele C.
    Buckley, Special Deputy Attorney General/Acting
    Assistant Prosecutor, of counsel and on the briefs).
    PER CURIAM
    Defendant Fuquan Stribling, who a jury in 2012 found guilty of various
    crimes, appeals the trial court's February 7, 2017 order denying his petition for
    post-conviction relief ("PCR") without an evidentiary hearing. The primary
    issue raised by defendant is that his trial counsel were ineffective. Among other
    things, defendant contends that his counsel's fee arrangements concerning his
    criminal defense and a related civil lawsuit caused them to give short shrift to
    the criminal matter.
    For the reasons that follow, we remand this matter for an evidentiary
    hearing, with testimony exploring in greater depth the fee arrangements and
    whether they materially prejudiced defendant in his criminal case.
    I.
    In March 2012, defendant was tried by a jury on an eleven-count
    indictment, including eight counts of aggravated assault, N.J.S.A. 2C:12-1(b),
    for using his vehicle to strike or attempt to strike Hillside Towns hip police
    officers, along with one count of second-degree eluding, N.J.S.A. 2C:29-2(b),
    one count of fourth-degree obstructing the administration of law, N.J.S.A.
    A-3592-16T1
    2
    2C:29-1, and one count of third-degree possession of a weapon for an unlawful
    purpose, in violation of N.J.S.A. 2C:39-4(d).
    The charges arose out of an incident that occurred in the early morning
    hours of March 30, 2009, in which, after two Hillside police officers attempted
    a traffic stop, defendant drove at them, injuring one officer, and then the officers
    began firing their weapons at defendant. Defendant then rammed his vehicle
    repeatedly into a second police vehicle that had arrived as backup. The second
    set of police officers also fired rounds at defendant, who was ultimately struck
    by seven bullets, suffering gunshot wounds to the arm, neck, back, chest,
    shoulder, and leg.
    The jury acquitted defendant on count seven, one of the aggravated assault
    counts, but found him guilty of the remaining ten charges. The court sentenced
    defendant to a twenty-year aggregate term of incarceration with an eighty-five
    percent period of parole ineligibility under the No Early Release Act ("NERA"),
    N.J.S.A. 2C:43-7.2. Defendant appealed his convictions and sentence, which
    we affirmed in an unpublished opinion, State v. Stribling, No. A-1147-12 (App.
    Div. Apr. 23, 2015). The Supreme Court denied certification. State v. Stribling,
    
    222 N.J. 311
     (2015).
    A-3592-16T1
    3
    Thereafter, in February 2016, defendant filed a petition for PCR, alleging
    that he had received ineffective assistance of trial counsel. Defendant had been
    represented throughout his criminal trial by two private attorneys: Vincent C.
    Scoca and Maurice Snipes. Although the record is not entirely clear, it appears
    that Scoca and Snipes were not law partners but shared an office address.
    In his sworn affidavit in support of his petition, defendant alleged "there
    was a conflict of interest" in his counsels' representation, because his attorneys
    had also represented him in a civil lawsuit against Union County and other
    governmental defendants. Defendant asserted his attorneys did not actually file
    suit, and he did not pay his counsel "one penny" for representing him because
    they allegedly expected "to be paid from [the] lawsuit."
    Defendant further alleged that his attorneys failed to present him "with all
    the material information he needed in making his decision to accept a plea offer
    or exercise his right to trial by jury" and failed to advise him that he was subject
    to an extended term sentence. Defendant also alleged that he only met his
    attorneys once prior to trial, that they failed to properly investigate his claim,
    and that they made other trial errors.
    Relying on documents from the State's appendix to its brief opposing
    defendant's petition, the PCR judge found that on June 7, 2011, Snipes filed a
    A-3592-16T1
    4
    civil action in the Law Division on defendant's behalf against Union County,
    Hillside Township, the Hillside Police Department, and various police officers
    who had been involved in the shooting. The civil action was removed to federal
    court in October 2011, and then dismissed with prejudice by stipulation of the
    parties in June 2012.
    From his review of the submitted written materials, the PCR judge also
    determined that, with respect to the fee arrangement, Scoca, defendant's lead
    criminal attorney, who examined most of the witnesses and presented the
    opening and closing statements at the criminal trial, "had absolutely no
    involvement or interest in the outcome of defendant's civil matter." Although
    the judge recognized Snipes was involved in the criminal matter, the judge found
    that defendant failed to demonstrate how Snipes' joint representation of
    defendant in the two cases prejudiced him or posed a conflict of interest.
    The PCR judge similarly rejected defendant's claim that his former
    counsel failed to conduct an adequate investigation as lacking in factual support.
    Finding that defendant had failed to set forth a prima facie basis for relief, the
    judge denied PCR without an evidentiary hearing.
    A-3592-16T1
    5
    II.
    On the present appeal from the PCR denial, defendant raises the following
    points in his initial brief:
    THIS MATTER MUST BE REMANDED FOR AN
    EVIDENTIARY       HEARING       BECAUSE
    DEFENDANT ESTABLISHED A PRIMA FACIE
    CASE OF TRIAL COUNSEL'S INEFFECTIVENESS.
    A. There Existed A Conflict Of Interest Regarding
    Trial Counsel's Representation.
    B. Trial Counsel Failed To Adequately Consult With
    Defendant And To Conduct An Adequate Investigation.
    Fundamentally, defendant claims that the PCR court erred by denying him
    an evidentiary hearing, because he established a prima facie showing of
    ineffective assistance of counsel.
    First, defendant alleges his attorneys' contingent interest in the civil action
    and lack of compensation in the criminal matter was a conflict of interest that
    compromised counsels' representation of him.           Defendant argues that an
    evidentiary hearing was warranted to determine whether counsels' dual
    representation of defendant in the criminal and civil matters and the associated
    fee arrangements was a per se conflict of interest, in which prejudice should be
    presumed.
    A-3592-16T1
    6
    Second, defendant raises a related claim that his trial attorneys failed to
    consult with him and to investigate on his behalf and that, even if there was no
    contingent fee arrangement, an evidentiary hearing was warranted to determine
    whether the attorneys' lack of a paid fee led to counsel's alleged failure to
    adequately investigate the criminal case. 1
    A.
    We are guided by certain well-settled general principles. "Both the United
    States Constitution and New Jersey Constitution guarantee every person accused
    of a crime the right to the assistance of counsel." State v. Cottle, 
    194 N.J. 449
    ,
    466 (2008). See U.S. Const. amend. VI; N.J. Const. art. I, ¶ 10. "Inherent in
    the right to the assistance of counsel is the right to effective counsel." Cottle,
    
    194 N.J. at 466
    . To prevail on an ineffective assistance of counsel claim, a PCR
    petitioner bears the burden of proving both prongs of the test set forth by the
    1
    Defendant alleged a third claim of attorney error that was dismissed as
    procedurally barred. Because defendant does not challenge that dismissal, the
    third claim is waived. See { TA \l "Drinker Biddle & Reath LLP v. New Jersey
    Dept.     of     Law     and     Public       Safety,     Division      of     Law,
    
    421 N.J. Super. 489
              (App.       Div.        2011)"        \s
    "WSFTA_810b78b085b54a17bdb3821f48fa6869" \c 3 }Drinker Biddle & Reath
    LLP v. New Jersey Dep't of Law & Pub. Safety, Div. of Law, 
    421 N.J. Super. 489
    , 496 n.5 (App. Div. 2011) (citing Pressler & Verniero, Current N.J. Court
    Rules, cmt. 4 on R. 2:6–2 (2011) ("It is, of course, clear that an issue not briefed
    is deemed waived.")).
    A-3592-16T1
    7
    U.S. Supreme Court in Strickland v. Washington, 
    466 U.S. 668
    , 694 (1984), and
    adopted by our State in State v. Fritz, 
    105 N.J. 42
    , 58 (1987).
    "To establish the first prong of the test, defendant must prove that
    counsel's representation fell below an objective standard of reasonableness,
    measured by prevailing professional norms." State v. Sheika, 
    337 N.J. Super. 228
    , 241 (App. Div. 2001). "To prove the second prong, defendant must show
    'there is a reasonable probability that, but for counsel's unprofessional errors,
    the result of the proceeding would have been different.'"            
    Ibid.
     (quoting
    Strickland, 
    466 U.S. at 694
    ).
    In determining whether defendant has met his burden of making a prima
    facie showing of ineffective assistance, the facts should be viewed in the light
    "most favorabl[e] to defendant" and the court should "assum[e] defendant's
    statements to be true." State v. Brewster, 
    429 N.J. Super. 387
    , 396 (App. Div.
    2013). Accord State v. Preciose, 
    129 N.J. 451
    , 463-64 (1992). However, if the
    PCR court "perceives that holding an evidentiary hearing will not aid the court's
    analysis of whether the defendant is entitled to post-conviction relief . . . or that
    the defendant's allegations are too vague, conclusory, or speculative to warrant
    an evidentiary hearing . . . then an evidentiary hearing need not be granted."
    State v. Marshall, 
    148 N.J. 89
    , 158 (1997); see also R. 3:22-10(b). "[D]efendant
    A-3592-16T1
    8
    must allege specific facts and evidence supporting his allegations." State v.
    Porter, 
    216 N.J. 343
    , 355 (2013).
    Although ineffective assistance of counsel claims are "more likely to
    require an evidentiary hearing" than other PCR claims, to obtain such a hearing,
    the defendant must first demonstrate a prima facie case of ineffective assistance
    of counsel and a reasonable likelihood of success on the merits of both prongs
    of the Strickland/Fritz test. Preciose, 
    129 N.J. at 462-63
    . "The judge deciding
    a PCR claim should conduct an evidentiary hearing when there are disputed
    issues of material fact related to the defendant’s entitlement to PCR, particularly
    when the dispute regards events and conversations that occur off the record or
    outside the presence of the judge." Porter, 216 N.J. at 354.
    The denial of an evidentiary hearing for a PCR petition is reviewed for an
    abuse of discretion. Brewster, 429 N.J. Super. at 401. However, reviewing
    courts "may exercise de novo review over the factual inferences the trial court
    has drawn from the documentary record." State v. O'Donnell, 
    435 N.J. Super. 351
    , 373 (App. Div. 2014).
    If the prejudice prong is not met, "the Sixth Amendment guarantee is
    generally not implicated." United States v. Cronic, 
    466 U.S. 648
    , 658 (1984).
    "There are, however, circumstances that are so likely to prejudice the accused
    A-3592-16T1
    9
    that the cost of litigating their effect in a particular case is unjustified." 
    Ibid.
    "Thus, only when surrounding circumstances justify a presumption of
    ineffectiveness can a Sixth Amendment claim be sufficient without inquiry into
    counsel's actual performance at trial" under prong two of the Strickland/Fritz
    test. 
    Id. at 662
    . Such circumstances include the "[a]ctual or constructive denial
    of the assistance of counsel altogether," and "when counsel is burdened by an
    actual conflict of interest." Strickland, 
    466 U.S. at 692
    . The presumption of
    prejudice is appropriate in the latter context specifically because "it is difficult
    to measure the precise effect on the defense of representation corrupted by
    conflicting interests." 
    Ibid.
    B.
    With these general principles in mind, we turn to the conflict of interest
    issues that defendant has posed.
    "Effective counsel must provide the client with undivided loyalty and
    representation 'untrammeled and unimpaired' by conflicting interests." State v.
    Norman, 
    151 N.J. 5
    , 23 (1997) (quoting State v. Bellucci, 
    81 N.J. 531
    , 538
    (1980)). "There is no greater impairment of a defendant's constitutional right to
    counsel than that which can occur when his attorney is serving conflicting
    interests. The resulting representation may be more harmful than the complete
    A-3592-16T1
    10
    absence of a lawyer." Bellucci, 
    81 N.J. at 538
    . Accord Sheika, 
    337 N.J. Super. at 244
    .
    In the federal courts, the mere "possibility" of a conflict of interest "is
    insufficient to impugn a criminal conviction." Cuyler v. Sullivan, 
    446 U.S. 335
    ,
    350 (1980). To avoid the prejudice inquiry under prong two of Strickland, a
    defendant bringing an ineffective assistance of counsel claim under the Sixth
    Amendment must prove an "actual" rather than a mere "potential" conflict of
    interest and also that "the conflict adversely affected counsel's performance."
    Mickens v. Taylor, 
    535 U.S. 162
    , 170 (2002).
    New Jersey courts, however, have departed from their federal counterparts
    and "have exhibited a much lower tolerance for conflict-ridden representation
    under the New Jersey Constitution than federal courts have under the United
    States Constitution[,]" and have accordingly found that "certain attorney
    conflicts render the representation per se ineffective[,]" warranting a
    presumption of prejudice. Cottle, 
    194 N.J. at 470
    . See also State v. Drisco, 
    355 N.J. Super. 283
    , 292 (App. Div. 2002) ("New Jersey's constitutional standard
    thus provides broader protection against conflicts than does the Federal
    Constitution.").
    A-3592-16T1
    11
    Under New Jersey's "two-tiered approach in analyzing whether a conflict
    of interest has deprived a defendant of his state constitutional right to the
    effective assistance of counsel[,]" courts must first determine whether the
    alleged conflict is a "per se conflict." Cottle, 
    194 N.J. at 467
    . If so, "prejudice
    is presumed in the absence of a valid waiver, and the reversal of a conviction is
    mandated." 
    Ibid.
     If the alleged conflict is not a per se conflict, "the potential
    or actual conflict of interest must be evaluated and, if significant, a great
    likelihood of prejudice must be shown in that particular case to establish
    constitutionally defective representation of counsel." Norman, 
    151 N.J. at 25
    .
    A "great likelihood of prejudice" is itself a lower standard than prong two of the
    Strickland/Fritz test, which requires showing that counsel's errors actually
    "prejudiced defendant." Fritz, 
    105 N.J. at 66
    .
    The "per se analysis is reserved for those cases in which counsel's
    performance is so likely to prejudice the accused that it is tantamount to a
    complete denial of counsel." State v. Savage, 
    120 N.J. 594
    , 616 (1990). See
    also State v. Miller, 
    216 N.J. 40
    , 70 (2013) ("[O]nly an extraordinary deprivation
    of the assistance of counsel triggers a presumption of prejudice."). For a conflict
    of interest to trigger a per se deprivation of the right to counsel there must be an
    "overriding concern of divided loyalties." Cottle, 
    194 N.J. at
    467 n.8. For these
    A-3592-16T1
    12
    reasons, our Supreme Court "has never presumed prejudice . . . in a
    situation . . . in which the defendant was represented by competent counsel with
    no conflict of interest." Miller, 216 N.J. at 60-61.
    Courts have generally "limited the per se conflict on constitutional
    grounds to cases in which 'a private attorney, or any lawyer associated with that
    attorney, is involved in simultaneous dual representations of codefendants.'"
    Cottle, 
    194 N.J. at 467
     (quoting Norman, 
    151 N.J. at 24-25
    ). See, e.g., State ex
    rel. S.G., 
    175 N.J. 132
    , 134–35 (2003) (holding that a law firm's simultaneous
    representation of a shooting suspect and the estate of the shooting victim
    constituted an unwaivable conflict of interest); State v. Murray, 
    162 N.J. 240
    ,
    250 (2000) (holding that the defendant made a prima facie showing of a per se
    conflict warranting an evidentiary hearing, where the attorneys for defendant
    and a codefendant shared "office space and a phone number"); Bellucci, 
    81 N.J. at 544
     ("Whenever the same counsel including partners or office associates
    represents more than one [co]defendant, both the attorney and the trial court
    must explain the possible consequences of joint representation to each
    defendant.").
    C.
    A-3592-16T1
    13
    After the briefs were filed in this appeal, we asked the parties to address
    "whether Rule of Professional Conduct ("RPC") 1.5(d) (prohibiting counsel
    from representing a client on a contingent fee basis in a criminal case) has any
    bearing on defendant’s PCR claims," and to explain:
    (1) whether Mr. Snipes represented defendant in the
    related civil matter on a contingency basis;
    (2) the fee arrangement covering Mr. Snipes' time and
    services he expended in assisting Mr. Scoca in the
    criminal case; and
    (3) whether the retainer agreements, any side letters,
    any other documents, or oral communications reflect
    any promise or expectation that, as defendant alleges, a
    recovery from the civil case would be applied in full or
    in part to compensate Mr. Scoca for his otherwise
    gratuitous representation of defendant in the criminal
    matter.
    Both sides agree that the record contains no definitive answers to the
    above questions. Defendant seeks a remand for an evidentiary hearing to resolve
    them. The State urges we affirm the court's dismissal of the petition without an
    evidentiary hearing, arguing that the court properly held that defendant failed to
    make a prima facie showing of ineffective assistance, thereby making a hearing
    unnecessary.
    The RPC provision at issue provides that "[a] lawyer shall not enter into
    an arrangement for, charge, or collect . . . a contingent fee for representing a
    A-3592-16T1
    14
    defendant in a criminal case." RPC 1.5(d)(2). See also Restatement (First) of
    Contracts § 542 ("A bargain to conduct a criminal case . . . in consideration of a
    promise of a fee contingent on success is illegal.").
    Defendant argues that the contingency agreement in the civil case resulted
    in an absence of compensation for either attorney in the criminal case, which he
    asserts was an "inherent conflict of interest" that violated RPC 1.5(d) and public
    policy and established a prima facie basis for PCR, necessitating an evidentiary
    hearing.
    The State concedes in its response that "if counsel represented defendant
    in his criminal matter on a contingency basis, that factor may bear on defendant's
    PCR claims," particularly whether counsel's "purported financial interest in the
    success of defendant's civil case" discouraged counsel from "effectively
    explor[ing] all possible resolutions in defendant's criminal case." (emphasis
    added).    The State contends that the court properly denied an evidentiary
    hearing, however, because defendant failed to show that counsel's fee for the
    criminal matter was actually contingent on the civil case, rather than the
    alternative possibility that Scoca may have completely and unconditionally
    "waived his fee" in the criminal case – which defendant conceded would have
    been permissible. Given the ambiguity, the State argues, defendant failed to
    A-3592-16T1
    15
    carry his burden of making a prima facie claim of ineffective assistance of
    counsel, calling for affirmance of the order denying the claim without an
    evidentiary hearing.
    A conflict of interest generally exists under our Rules of Professional
    Responsibility if "the representation of one client will be directly adverse to
    another client," or if "there is a significant risk that the representation of one or
    more clients will be materially limited by the lawyer's responsibilities to another
    client, a former client, or a third person or by a personal interest of the lawyer."
    RPC 1.7(a)(1) to (2) (emphasis added).
    Here, Scoca and Snipes represented defendant in his criminal case and
    Snipes also represented defendant as a civil plaintiff arising out of the same
    events. Because the attorneys represented defendant's own interests in both
    matters, their representations of that singular client were not "adverse." RPC
    1.7(a). However, defendant suggests there existed a "significant risk that the
    representation of" defendant could "be materially limited . . . by a personal
    interest of the lawyer," because of the alleged contingent fee arrangement in the
    civil matter. RPC 1.7(a).
    Defendant alleges in his sworn PCR petition that Scoca and Snipes
    received no fee for representing defendant in the criminal case because they
    A-3592-16T1
    16
    supposedly had expected to be compensated out of damages that might be
    awarded to him from the civil suit.
    Assuming for the sake of discussion that the attorneys did enter into a
    contingent fee arrangement extending to the criminal matter, in alleged violation
    of RPC 1.5(d)(2), and that their alleged preoccupation with the civil case
    actually led to insufficient investigation and attention to the criminal case,
    defendant made a prima facie showing that the representation fell "below an
    objective standard of reasonableness, measured by prevailing professional
    norms." Sheika, 
    337 N.J. Super. at 241
    .
    The PCR court's conclusive finding that Scoca "had no interest, financial
    or otherwise, in the outcome of the civil case" did not expressly account for
    defendant's sworn statement alleging that "they" – referring to both Scoca and
    Snipes – were to be paid from the proceeds of the civil lawsuit for the combined
    work they performed in the two matters.       In deciding whether to grant an
    evidentiary hearing, we bear in mind defendant's sworn (albeit undocumented)
    allegation that such a fee arrangement existed between him and his attorneys.
    See Brewster, 429 N.J. Super. at 396.
    Given the prospect, squarely presented in the pleadings, that counsels'
    representation of defendant was prejudiced in some manner by their financial
    A-3592-16T1
    17
    interest in defendant's civil case and its alleged nexus with the criminal case,
    and the murkiness of the existing record devoid of any testimony, the matter is
    best remanded for an evidentiary hearing "for further exploration of the facts
    and development of the record." Sheika, 
    337 N.J. Super. at 246-47
    .
    On remand, we anticipate the PCR court will consider testimony from the
    two attorneys who represented defendant, and perhaps defendant himself if he
    so chooses, and make associated credibility findings.          The pertinent fee
    agreement(s) also should be produced and analyzed.
    After sifting that additional evidence, we ask that the trial court provide a
    decision that addresses in greater depth the issues of alleged conflict, deficient
    performance, and prejudice. In calling for this hearing, we by no means intimate
    any view as to whether the fee arrangement was actually inappropriate or
    whether counsel engaged in deficient performance that harmed their client's
    interests.
    Remanded for an evidentiary hearing. We do not retain jurisdiction.
    A-3592-16T1
    18