Quiel v. USA
Filing
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ORDER denying 24 Petitioner's Amended Motion for Reconsideration. (See document for further details). Signed by Senior Judge James A Teilborg on 9/14/18. (LAD)
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IN THE UNITED STATES DISTRICT COURT
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FOR THE DISTRICT OF ARIZONA
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Michael Quiel,
Petitioner,
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v.
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No. CV-16-01535-PHX-JAT
CR-11-02385-PHX-JAT
USA,
ORDER
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Respondent.
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Pending before the Court is Michael Quiel’s (“Petitioner”) Amended Motion to
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Reconsider Order, (Doc. 24), which fully incorporates Petitioner’s Motion to Reconsider
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Order, (Doc. 23). Much of the background of this case is set out in this Court’s order
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denying Petitioner’s request for 28 U.S.C. § 2255 relief. (Doc. 21). Subsequent to the
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Court’s denial of § 2255 relief: (1) Petitioner filed a motion for reconsideration and an
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amended motion for reconsideration, (Docs. 23 & 24); (2) the Government filed a
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response to Petitioner’s amended motion for reconsideration, (Doc. 31), pursuant to this
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Court’s order, (Doc. 28), and Petitioner permissibly filed a reply, (Doc. 32); and (3) the
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Government filed evidence allegedly establishing that at least one attorney in the
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underlying criminal case was appointed pursuant to the Appointments Clause and gave
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the statutorily-required oath of office, (Doc. 35), as required by the Court, (Doc. 34), and
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Petitioner objected to that evidence, (Doc. 36), which he later supplemented, (Doc. 37).1
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Additionally, Petitioner has appealed this Court’s denial of § 2255 relief.
(Doc. 25). The Ninth Circuit has held that appeal in abeyance pending resolution of
Petitioner’s amended motion for reconsideration. (Doc. 27).
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I.
Governing Law
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Motions for reconsideration are disfavored, and “[t]he Court will ordinarily deny”
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such motions “absent a showing of manifest error or a showing of new facts or legal
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authority that could not have been brought to its attention earlier with reasonable
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diligence.” LRCiv 7.2(g). The party seeking reconsideration must “point out with
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specificity the matters the movant believes were overlooked or misapprehended by the
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Court, any new matters brought to the Court’s attention for the first time and the reasons
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they were not presented earlier, and any specific modifications being sought in the
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Court’s order.” Id. The movant is not permitted to repeat arguments that were rejected in
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the challenged order. Id. The Court may deny a motion for reconsideration for failure to
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abide by any of these rules.
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II.
Analysis
Petitioner contends that the Court erred in deciding three of his arguments in favor
of § 2255 relief. (Docs. 23 & 24).
A. Appointments Clause2
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Petitioner first contends that the Court erred in finding that the attorneys who
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prosecuted his criminal case were appropriately appointed and had taken the statutorily
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required oaths of office, and additionally by concluding that it had subject-matter
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jurisdiction over the case. (Doc. 23 at 2–6); (Doc. 32 at 3–7). Given that this Court must
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have subject-matter jurisdiction to render authoritative judgments, the Court ordered the
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Government to produce evidence that at least one of the attorneys who prosecuted the
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underlying criminal matter was properly appointed and took an oath of office. (Doc. 34).
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In response, the Government submitted evidence establishing that Timothy Stockwell
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The Court notes that the Ninth Circuit has recently suggested that Article II
appointment deficiencies do not divest federal courts of Article III jurisdiction. See
Consumer Fin. Prot. Bureau v. Gordon, 819 F.3d 1179 (9th Cir. 2016). This holding
seems to conflict with prior cases finding that appointment defects are jurisdictional. See
United States v. Durham, 941 F.2d 886, 892 (9th Cir. 1991); United States v. Plesinski,
912 F.2d 1033, 1036–39 (9th Cir. 1990). The Court need not resolve this potential intracircuit conflict, as Petitioner’s claim fails even if deficient appointments divest this Court
of jurisdiction.
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(“Stockwell”) and Monica Edelstein (“Edelstein”) were both properly appointed and took
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the required oaths of office. See (Docs. 35-1–35-4).
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followed by a supplemental objection, to the Government’s evidence.3
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Petitioner filed an objection,
Petitioner seems to make three challenges to this evidence.
First, Petitioner
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challenges the authenticity of the appointment affidavits. Second, he argues that the
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affidavits do not identify appropriate offices to which the attorneys were appointed.
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Third, he argues that the attorneys’ oaths had expired. The Court will consider these
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arguments in turn.
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1. Authenticity
Petitioner first challenges the Government’s evidence on the ground that it is not
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authenticated and that its form suggests unreliability.
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introduced upon the Court’s request in a § 2255 proceeding need not be authenticated.
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Rule 7 of the Rules Governing Section 2255 Proceedings (“If the motion is not
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dismissed, the judge may direct the parties to expand the record by submitting additional
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materials relating to the motion.
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authenticated.” (emphasis added)). Accordingly, the Court finds that the Government’s
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evidence was appropriately introduced without authentication.
(Doc. 36 at 3–4).
Evidence
The judge may require that these materials be
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Furthermore, the Court does not agree that the Government’s evidence is in an
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unreliable form. According to Petitioner, the fact that the date stamps on the documents
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contain different fonts for the month and the day on the one hand, and the year on the
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other hand, suggests the possibility of fraud. (Doc. 36 at 3–4). Additionally, Petitioner
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contends that the appointment letters are different than others reviewed by Petitioner’s
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counsel. (Id. at 4). Reasonable explanations exist for both discrepancies. As for the
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stamps, it is likely that the Government has a different stamp for the year than it does for
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the day and month. The difference in the wording and formatting of the appointment
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While the Court will consider Petitioner’s objections to the
Government’s evidence, see Rule 7(c) of the Rules of Section 2255 Proceedings, the
Court did not grant Petitioner leave to file the additional supplement. The Court does not
accept Petitioner’s justification for the supplement—that he had the opportunity to do
additional research—as adequate to allow him to functionally amend his objection.
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letters is explained by the fact that they were written by different appointing officers.
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Compare (Doc. 36-1 (providing that the appointing officer was John A. Marrella)), with
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(Doc. 35-2 (providing that the appointing officer was Ronald A. Cimino)), and (Doc. 35-
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4 (same)).
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2. Identification of Office
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Petitioner next contends that there is no “Office of the Trial Attorney” to which
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Stockwell and Edelstein could be appointed. (Doc. 36 at 5–6). In Huff v. United States,
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10 F.3d 1440, 1443–44 (9th Cir. 1993), however, the Ninth Circuit held that a “trial
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attorney in the tax division of the Department of Justice” appropriately represented the
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United States in a criminal tax prosecution. A necessary implicit assumption of Huff is
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that a trial attorney is an officer, and proper representative, of the United States, even
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where the office is not expressly established by statute.
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Additionally, as Petitioner notes in his argument, “[a]ny appointee exercising
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significant authority pursuant to the laws of the United States is an ‘Officer of the United
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States.’” (Doc. 36 at 5 (quoting Buckley v. Valeo, 424 U.S. 1, 126 (1976)). Accordingly,
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it follows that the powers imbued in an individual, rather than a title, determines his or
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her status as an officer.
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Appointments Clause Practice, 93 Notre Dame L. Rev. 1501, 1509 (2018) (“The
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background principle in administrative law is that functions, not labels, determine the
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constitutional status of an administrative body.” (citing Lebron v. Nat’l R.R. Passenger
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Corp., 513 U.S. 374, 392–93 (1995)). Both Stockwell and Edelstein were imbued with
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the authority “to represent the United States in any kind of legal proceeding, civil or
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criminal . . . in the District of Arizona.” (Docs. 35-2 & 35-4).
See Aditya Bamzai, The Attorney General and Early
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The officer who provided them with this authority was Acting Deputy Assistant
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Attorney General Ronald A. Cimino (“Cimino”). (Docs 35-2 & 35-4). The Attorney
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General appropriately delegated his appointment power to Cimino. See 5 U.S.C. § 301;
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28 U.S.C. §§ 509, 510, 515, 516, 533; 28 C.F.R. §§ 0.13, 0.70; see also United States v.
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Nixon, 418 U.S. 683, 694 (1974) (holding that 28 U.S.C. §§ 509, 510, 515, 516, and 533
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permitted the Attorney General to appoint a Special Prosecutor); In re Sealed Case, 829
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F.2d 50, 55 (D.C. Cir. 1987) (holding that 5 U.S.C. § 301 and 28 U.S.C. §§ 509, 510, and
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515 provided implicit authorization for the Attorney General to create and appoint an
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“Office of Independent Counsel.”). Petitioner argues that because Cimino was operating
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in an acting role, rather than as a confirmed Deputy Assistant Attorney General, he was
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not authorized to appoint Stockwell and Edelstein for longer than his acting tenure. (Doc.
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36 at 7–8). Acting officers are permitted to operate in an acting capacity “for no longer
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than 210 days beginning on the date the vacancy occurs.” 5 U.S.C. § 3346(a)(1); see also
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5 U.S.C. § 3345.
Thus, it is Petitioner’s contention that Cimino could have only
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appointed Stockwell and Edelstein for 210 days. Furthermore, Petitioner contends that
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even if Stockwell and Edelstein were properly appointed, their appointments lapsed when
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presidential administration changed, on the theory that an officer’s term is commensurate
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with that of his or her appointing officer. (Doc. 23 at 2–7).
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This argument fails for two reasons. First, because Petitioner raises this issue for
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the first time on a motion to reconsider, he has waived the argument. See LRCiv 7.2(g).
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Second, no authority supports Petitioner’s proposition that an officer’s appointment is
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commensurate with the tenure of the body that appoints them.4 Petitioner cites three
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cases to support this proposition: Shurtleff v. United States, 189 U.S. 311 (1903), De
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Castro v. Board of Commissioners of San Juan, 322 U.S. 451 (1944), and NLRB v. SW
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General, Inc., 137 S. Ct. 929 (2017). None of these cases support Petitioner’s view.
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Instead, Shurtleff and De Castro are focused on circumscribing limitations on the power
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of removal, and do not provide for the automatic termination of an officer upon the
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departure of his or her appointing officer. See Kalaris v. Donovan, 797 F.2d 376, 397
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In fact, the enduring tenure of an inferior officer, which is not terminated by
the departure of the appointing officer, is one factor that has been historically relevant in
differentiating inferior officers—whose appointments must comply with the
Appointments Clause—from non-officer “deputies.” See Bamzai, supra, at 1514
(“[V]acating the office of [a] superior would not have affected [the officer’s] tenure.”
(quoting United States v. Hartwell, 73 U.S. (6 Wall.) 385, 393 (1867) (first alteration
added)). Because Petitioner contends that the prosecuting attorneys were officers, his
argument that their officer status became void upon the departure of their appointing
officer fails.
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(7th Cir. 1986) (interpreting these cases to “conclusively demonstrate that, in the absence
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of a congressional statement to the contrary, inferior officers . . . serve indefinite terms at
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the discretion of their appointing officers.”).
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Furthermore, in SW General, the Court invalidated a complaint issued by the
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NLRB’s acting general counsel when that officer was statutorily barred from holding that
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position after being nominated by the President to permanently fill that role. 137 S. Ct.
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929. Thus, while this case does support the uncontroversial view that non-officers cannot
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perform the function of officers, it does not hold that the duration of an officer’s position
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is commensurate with that of his or her appointing body. Petitioner claims that the Court
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“explained that many individuals holding office of the United States were serving ‘well
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beyond the time limits prescribed’ by law.” (Doc. 23 at 3.) As an initial matter, this
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language does not come from the Supreme Court’s decision, but rather from the circuit
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court decision that the Supreme Court was reviewing. See SW General, Inc. v. NLRB,
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796 F.3d 67, 70 (D.C. Cir. 2015). Furthermore, the circuit court was expressly discussing
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temporal limitations provided for in the Vacancies Act, which was a precursor to the
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current vacancy statute, and was not implying that officers who were not temporarily
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filling vacant positions were subject to temporal limitations. See id.
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Accordingly, this Court does not find that an officer’s tenure is commensurate
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with that of his or her appointing officer. Ultimately, Stockwell and Edelstein were
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proper representatives of the United States, vesting this Court with subject-matter
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jurisdiction.
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3. Oath of Office
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Petitioner argues that Stockwell and Edelstein’s oaths were deficient in various
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ways. (Doc. 36 at 11–13). The Court rejected much of this argument in its original order
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denying § 2255 relief, see (Doc. 21 at 24–25), and Petitioner’s additional claims do not
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establish a “showing of manifest error or a showing of new facts or legal authority that
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could not have been brought to [the Court’s] attention earlier with reasonable diligence.”
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LRCiv 7.2(g).
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B. Perjury
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Petitioner contends that this Court erred in finding that he procedurally defaulted
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on his claim that Christopher Rusch (“Rusch”) and Cheryl Bradley (“Bradley”) perjured
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themselves at trial by stating that they had handled Petitioner’s FBARs for the years 2000
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to 2003. (Doc. 23 at 6–13); (Doc. 24). According to Petitioner, these FBARs do not
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exist, which is made evident by the IRS’s failure to produce the forms to Petitioner after
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repeated requests made after appeal. (Doc. 23 at 6–13); (Doc. 14). In Petitioner’s view,
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this claim was not procedurally defaulted, because the “IRS Criminal Investigations” in
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Phoenix “restrict[ed] access to” Petitioner’s litigation file “which can explain why the
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IRS refused to answer [Petitioner’s] FOIA requests and why [Petitioner] could not get the
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information previously.” (Doc. 24 at 1–2).
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Petitioner fails to adequately justify why he could not have learned that the IRS
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refused to turn over this information prior to his appeal. His conclusion that he could not
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have learned of this information, because “IRS Criminal Investigations” was blocking his
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access to the FBARs, misses the mark. If he had asked for the FBARs prior to appeal,
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and had received them, then he would have evidence that they do exist, and would have
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no basis to claim that Rusch and Bradley perjured themselves. Petitioner’s perjury claim
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derives from precisely the allegations that the IRS will not turn over the FBARs because
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they do not exist. Thus, because Petitioner’s claim only exists if the IRS refused to grant
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him access to the FBARs, Petitioner’s failure to pursue the FBARs prior to appeal is not
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excused by the IRS’s subsequent refusal to provide him with that information.
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Accordingly, the Court will not reconsider its prior finding that Petitioner procedurally
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defaulted this claim, because it “involves information that [Petitioner] could have learned
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with reasonable diligence prior to appeal.” (Doc. 21).
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C. Ineffective Assistance of Counsel
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Petitioner largely restates the same arguments made in his original § 2255 petition
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as to why his trial attorney, Michael Minns, was constitutionally ineffective. (Doc. 23 at
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13–17).5 He has failed to put forth a “showing of manifest error or a showing of new
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facts or legal authority that could not have been brought to [the Court’s] attention earlier
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with reasonable diligence.” LRCiv 7.2(g).6
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III.
Conclusion
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Based on the foregoing,
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IT IS ORDERED that Petitioner’s Amended Motion for Reconsideration, (Doc.
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24), is DENIED.
Dated this 14th day of September, 2018.
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Petitioner appears to suggest that the Court acted improperly in citing the
record to evaluate his ineffective assistance of counsel claim. See (Doc. 23 at 13 (“This
Court, with no assistance from the government, went to great lengths to try to find
reasons why Mr. Minns’ performance was not deficient. This Court cited various places
in the transcript to show there was no deficiency.”)); see also (id. at 14 (“This Court went
to great length to create a reason why Mr. Minns did not call Mr. Kadish . . . .”)). The
Court notes that in the normal course, the trial judge reviews a petitioner’s § 2255 claim
because of “the obvious administrative advantage in giving [the trial judge] the first
opportunity to decide whether there are grounds for granting the motion.” Rule 6(a) of
Rules Governing Section 2255 Proceedings; see also Carvell v. United States, 173 F.2d
348, 348–49 (4th Cir. 1949) (noting that “it is highly desirable in [§ 2255] cases that the
motions be passed on by the judge who is familiar with the facts and circumstances
surrounding the trial, and is consequently not likely to be misled by false allegations as to
what occurred.”).
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For the sake of clarity, the Court notes that Petitioner mistakenly reported
that the Court cited to pages 105 and 106 of Doc. 370 to support its conclusion that Mr.
Minns made a reasoned choice to not call witnesses during the guilt-phase of the trial.
(Doc. 23 at 16–17 (citing Doc. 370 at 105–106)). In fact, the Court cited to page 104 of
that document, (Doc. 20 at 17 (citing (Doc. 370 at 104))), and was specifically referring
to the following exchange between Mr. Minns and Mr. Braver:
Q. Mr. Braver, first of all, you were originally engaged on this as a rebuttal
witness when the Government changed their witness list and then you were disengaged
because they didn’t -- were not able to put on their new witnesses. Do you remember
that?
A. I do.
(Doc. 370 at 104).
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