United States of America v. Brown
Filing
41
Opinion and Order Signed by the Honorable Joan H. Lefkow on 1/4/2018: Bruce Brown's motion to vacate, set aside, or correct his sentence under 28 U.S.C. § 2255 1 is denied with regard to his ineffective assistance of counsel claims, pros ecutorial misconduct claim, and Part 2 of the claim to correct his sentence. Part 1 of Brown's claim to correct his sentence is stayed pending notification by Brown of the disposition of his writ of error coram nobis in his 2005 criminal case. ( Case No. 05 CR 73, Dkt. 157.) Brown is directed to file a change-of-address notice by January 15, 2018. Failure to comply will result in summary dismissal of the stayed claim for lack of prosecution, pursuant to Federal Rule of Civil Procedure 41. Mailed notice(mad, )
IN THE UNITED STATES DISTRICT COURT
FOR THE NORTHERN DISTRICT OF ILLINOIS
EASTERN DIVISION
BRUCE BROWN,
Movant,
v.
UNITED STATES OF AMERICA,
Respondent.
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Case No. 15 C 7439
Criminal Case No. 10 CR 516-1
Judge Joan H. Lefkow
OPINION AND ORDER
Bruce Brown filed a timely pro se motion under 28 U.S.C. § 2255 to vacate his
conviction and sentence, arguing ineffective assistance of trial counsel, prosecutorial
misconduct, and that his sentence should be corrected. (Dkt. 1, 36.) 1 For the reasons stated
below, Brown’s motion is denied in part and stayed in part.
BACKGROUND 2
On February 23, 2011, Brown was charged with six counts of wire fraud in violation of
18 U.S.C. § 1343 (counts one through five, and eight), two counts of mail fraud in violation of
18 U.S.C. § 1341 (counts six and seven), and one count of bank fraud in violation of 18 U.S.C.
§ 1344 (count nine) as a result of his involvement in a mortgage fraud scheme. (Cr. dkt. 60.)
Brown was charged along with seven co-defendants: Walker Smith, Brigitte Grose, Mario
1
References to the docket in Brown’s underlying criminal case, U.S. v. Brown, No. 10 CR 516-1
(N.D. Ill.), are cited as (Cr. dkt.). His 2005 criminal conviction, U.S. v. Brown, No. 05 CR 73 (N.D. Ill.),
is cited as (Case No. 05 CR 73, Dkt.). References to the present civil proceeding are cited as (Dkt.).
2
Because Brown does not provide a factual summary of the case in his first or amended motion,
this summary is taken from Brown’s appeal, U.S. v. Brown, 779 F.3d 486 (7th Cir. 2014), the docket, and
the government’s response to his § 2255 motion.
1
Moore, Anne Taylor, John Rucker, Johnny Williams, and Bernard Sheppard. (Id.) All but Brown
and Moore pleaded guilty. Several of the defendants testified at Brown’s trial, including Grose,
Moore, and Smith.
The mortgage fraud scheme involved six mortgage transactions related to properties in
the Chicago area. 3 United States v. Brown, 779 F.3d 486, 491 (7th Cir. 2014). Beginning in
about May 2005 and lasting for approximately one year, Brown recruited buyers to purchase
houses with mortgages obtained using falsified information. Id. at 490–91. Brown arranged to
have a “decorating allowance” of $5,000 to $10,000 included in each purchase agreement from
which he received a 40 percent commission. (Dkt. 18 at 5.) The decorating allowance was not
used for renovations on some of the properties. (Id. at 5–11.) Approximately $1.8 million in
mortgage proceeds were obtained through the scheme, inflicting over $1 million of losses on the
lenders after the properties went into foreclosure. Brown, 779 F.3d at 491.
The government dropped one count of mail fraud (count seven) during trial (cr. dkt. 218),
and on November 10, 2011, a jury found Brown guilty of the remaining counts of wire, mail, and
bank fraud (counts one through six, eight and nine), (cr. dkt. 222). Brown was sentenced on
September 20, 2012 to 60 months’ imprisonment on each count to run concurrently, three years
of supervised release, and restitution in the amount of $1.067 million.4 (Cr. dkt. 318.)
3
The transactions are as follows: purchase of 6608 S. Lowe by Grose on or about June 17, 2005;
purchase of 6610 S. Lowe by Grose on or about July 18, 2005; refinance of 6608 S. Lowe by Grose on or
about September 1, 2005; purchase of 7225 S. Halsted by Moore on or about November 15, 2005;
purchase of 20431 Greenwood Drive by Moore on or about March 2, 2006; purchase of 6608 S. Lowe by
Moore (from Grose) on or about April 5, 2006. (Cr. dkt. 60.)
4
According to the Bureau of Prison’s website, https://www.bop.gov/inmateloc, Brown was
released from custody on May 26, 2017, and is now on supervised release.
2
Brown’s criminal history is relevant to the current proceedings. In 2003, Brown pleaded
guilty to one count of filing a false income tax return and was sentenced to five years of
probation and four months of home confinement. Brown, 779 F.3d at 488. In 2005, Brown
pleaded guilty to one count of money laundering and was sentenced to three years of probation
with credit for time he had already spent in custody. Id. at 488–89. Before trial in the present
criminal case, Brown filed a motion to dismiss the indictment, arguing that the plea agreement in
the 2005 money laundering case barred his prosecution in the mortgage fraud scheme unless he
breached its terms, which he argued he had not. Id. at 491. He also requested that his trial be
postponed while the motion to dismiss was being briefed. Id. The court denied Brown’s request
to postpone the trial but allowed him to file a reply brief after trial. Id. Brown filed his reply
before sentencing, and his motion was ultimately denied in a written opinion, United States v.
Brown, No. 10 CR 516-1, 2012 WL 182214 (N.D. Ill. Jan. 20, 2012). Id. Brown appealed the
district court’s denial of his motion to dismiss the indictment (cr. dkt. 326), but the denial was
affirmed. Brown, 779 F.3d at 495.
On August 24, 2015, Brown filed this motion to vacate, set aside, or correct his sentence
under 28 U.S.C. § 2255. (Dkt. 1.) Brown claims ineffective assistance of counsel, prosecutorial
misconduct, and that his sentence needs to be corrected because of issues with how his 2005
criminal case was treated at his sentencing. (Id.) Many of his claims are based on the date he was
taken into custody on the charges in his 2005 criminal case. On May 18, 2016, Brown filed a
motion to expand the scope of his § 2255 proceedings. (Dkt. 23.) The court granted this motion
and agreed to consider an affidavit filed by Brown, a copy of his 2005 arrest warrant, and the
minute order granting the revocation of Brown’s bond in the 2005 criminal case when deciding
the pending § 2255 motion. (Dkt. 26.) On October 21, 2016, the court granted Brown’s motion
3
for leave to amend or supplement his § 2255 motion, (dkt. 36), in which he modified aspects of
the claims regarding his allegations of prosecutorial misconduct. (Dkt. 40.)
LEGAL STANDARD
Section 2255 allows a person held in federal custody to petition the sentencing court for
an order vacating, setting aside, or correcting his sentence. 28 U.S.C. § 2255(a). Relief under
§ 2255 is “reserved for extraordinary situations.” Hays v. United States, 397 F.3d 564, 566 (7th
Cir. 2005) (quoting Prewitt v. United States, 83 F.3d 812, 816 (7th Cir. 1996)). A movant must
establish that “the district court sentenced him in violation of the Constitution or laws of the
United States or that the sentence was in excess of the maximum authorized by law or is
otherwise subject to collateral attack.” Hays, 397 F.3d at 566–67 (quoting Prewitt, 83 F.3d at
816). It is proper to deny a § 2255 motion without an evidentiary hearing if “the motion and the
files and records of the case conclusively demonstrate that the prisoner is entitled to no relief.”
28 U.S.C. § 2255(b).
ANALYSIS
Brown makes three overarching claims in his § 2255 motion: (1) that he was deprived of
due process by the prosecutor suborning perjury by two witnesses; (2) that his trial counsel
provided constitutionally ineffective assistance before and during his trial; and (3) that his
sentence must be recalculated because his 2005 criminal case was not treated correctly in the
calculation of his sentencing guidelines sentence range. (Dkt. 1; Dkt 36.)
4
I.
Prosecutor’s Alleged Use of False Testimony
In the amendment to his § 2255 motion, Brown claims that he suffered a violation of due
process through the prosecutor’s subornation of perjury from witnesses Grose and Smith. 5 (Dkt.
36 at 6.) Brown alleges that Grose committed perjury when she stated that he was present at the
closing of 6610 South Lowe on July 18, 2005 (cr. dkt. 374 at 60) and that Smith committed
perjury when he testified that he and Brown twice discussed the refinancing of the property at
6608 South Lowe during July or August of 2005. (Cr. dkt. 390 at 4, 6). Brown argues that he was
in custody from July 13, 2005 through August 30, 2005, so he could not have been involved in
these transactions. (Dkt. 36 at 7.) Brown’s claim fails because he has not met his burden of
showing that his conviction was obtained through the prosecutor’s knowing use of false
testimony.
A conviction obtained through the knowing use of perjured testimony violates due
process. Morales v. Johnson, 659 F.3d 588, 606 (7th Cir. 2011) (citing Napue v. Illinois, 360
U.S. 264, 269, 79 S. Ct. 1173, 3 L. Ed. 2d 1217 (1959)). To obtain a new trial, a movant must
show that “(1) there was false testimony; (2) the prosecution knew or should have known it was
false; and (3) there is a likelihood that the false testimony affected the judgment of the jury.”
Morales, 659 F.3d at 606 (citing United States v. Freeman, 650 F.3d 673, 678 (7th Cir. 2011)).
This standard does not require “conclusive proof that the testimony was false or that the witness
could be successfully prosecuted for perjury,” and it covers “half-truths” and other statements
5
Brown did not raise his subornation of perjury claims on direct appeal. Generally, a claim that
could have been raised on direct appeal generally cannot be considered in a § 2255 motion unless the
movant shows cause and prejudice for failing to raise the issue earlier. Galbraith v. United States, 313
F.3d 1001, 1006 (7th Cir. 2002); see also Bousley v. United States, 523 U.S. 614, 623, 118 S. Ct. 1604,
140 L. Ed. 2d 828 (1998). Procedural default, however, is an affirmative defense that “can itself be
waived by not being raised.” Id. at 699. Since the government did not raise the matter of procedural
default, the court will consider the merits of Brown’s claim. See United States v. Kenngott, 840 F.2d 375,
379 (7th Cir. 1987).
5
that “give a false impression to the jury.” Freeman, 650 F.3d at 680. The knowing use of false
testimony alone, however, is not sufficient to warrant a new trial if the evidence against the
defendant is otherwise so strong that the testimony in question was not necessary to obtain the
conviction. Id. at 682 (citing United States v. Beck, 625 F.3d 410, 421 (7th Cir. 2010)).
Brown’s first claim, that the prosecution knowingly used false testimony from Grose
regarding the July 18, 2005 closing, is without merit. In his first appearance before the court, on
January 26, 2005, Brown was released on a $4,500 unsecured bond. (Case No. 05 CR 73, Dkt.
7.) Brown was arrested and brought before the court for arraignment on the indictment in the
case on July 13, 2005. (Case No. 05 CR 73, Dkt. 20.) At the arraignment hearing, the
government moved to revoke Brown’s bond, and a detention hearing was set for July 19, 2005.
(Id.) On July 19, Brown’s bond was revoked and he was taken into custody. (Case No. 05 CR 73,
Dkt. 18.) This is consistent with the United States Marshals Service Custody Report provided by
the government showing that Brown was in custody from July 19, 2005, through August 30,
2005. (Dkt. 18 at 37.) 6 Thus, the period that Brown was in custody does not foreclose the
possibility that he was present at the July 18 closing.
Brown’s strongest challenge to Grose’s testimony is based on her statement that she,
Brown, Powell, Powell’s lawyer, and Smith were all present at the July 18 closing of 6610 South
6
Brown has stated that he was in custody from May 19, 2005 through August 30, 2005, (dkt. 1 at
5), from June 2005 through August 30, 2005, (id.), from June 19, 2005 through August 31, 2005, (id. at
11), and finally for a two and one-half month period ending on August 31, 2005 (id.). To support these
dates, Brown points to the sentencing transcript from 05 CR 73 where his defense lawyer and the Judge
discussed a two and one-half month period during which Brown was in custody. (Case No. 05 CR 73,
Dkt. 161-2 at 6, 11, 21, 22, 23.) During the sentencing hearing, however, no specific dates were
mentioned, and the docket for case 05 CR 73 actually reflects a roughly one and one-half month period in
custody from July 19, 2005, through August 30, 2005. Accordingly, this two and one-half month time
period seems to be a mistake. Moreover, in the amendment to his § 2255 motion, Brown contends that he
was actually in custody from July 13, 2005 through August 30, 2005, rather than the various time periods
listed in his original motion. (Dkt. 36 at 7.)
6
Lowe (cr. dkt. 374 at 60), whereas Smith testified that only he and Grose were present (cr. dkt.
373 at 101). Powell stated that he did not recall being present at this closing, but that his lawyer
was there. (Cr. dkt. 389 at 49, 66.) While the conflicting information calls Grose’s testimony into
doubt, nothing suggests that she was intentionally lying, and “mere inconsistencies in testimony
by government witnesses do not establish the government’s knowing use of false testimony.”
United States. v. Saadeh, 61 F.3d 510, 523 (7th Cir. 1995) (citing United States. v. Verser, 916
F.2d 1268, 1271 (7th Cir. 1990)). “Rather, the alleged[ly] perjured testimony must bear a direct
relationship to the defendant’s guilt or innocence.” Saadeh, 61 F.3d at 523 (citing United States
v. Adcox, 19 F.3d 290, 295 (7th Cir. 1994)).
Even if Grose had perjured herself and the government knew it, Brown’s physical
presence at the July 18 closing was not necessary for the jury to convict him on the relevant
count of the indictment (count nine). (See Cr. dkt. 60 at 17–18.) Count nine involves the overall
scheme to defraud a mortgage lender and “knowingly submit[ing]” or “caus[ing] to be
submitted” false documents to the lender. (Id. at 17.) Since the combined testimony of Smith,
Powell, and Grose unambiguously establishes Brown’s involvement in this transaction, it is
unlikely that this fact would have affected the jury’s judgment of conviction. Brown therefore
fails to meet his burden of showing that the government knowingly used false testimony from
Grose that affected the jury outcome. See Morales, 659 F.3d at 606.
Brown also claims that Smith committed perjury when he testified that he and Brown had
two conversations during July or August 2005 about refinancing the mortgage for 6608 South
Lowe, because these conversations would have occurred while Brown was in custody. Smith’s
testimony regarding the dates of the telephone calls is not consistent. Smith testified both to
having two conversations about the refinance in August, and to talking sometime in July or
7
August. (Cr. dkt. 390 at 3–7, 111–12.) Smith further testified that Brown called him for the first
telephone conversation, but that he could not remember who called whom the second time. (Id.
at 112.) It would not, however, have been impossible for Brown to call Smith while in custody,
and Brown has not produced phone records from his time in custody nor other evidence to
corroborate his contention that Smith’s testimony was false. 7 By failing to establish that Smith’s
testimony was false, Brown fails to meet his burden of showing that the government knowingly
used false testimony. See Morales, 659 F.3d at 606. Moreover, as discussed above, the
overwhelming weight of the evidence establishes Brown’s participation in the transaction,
rendering it unlikely that any inaccuracies in Smith’s testimony affected the jury’s judgment of
conviction.
II.
Ineffective Assistance of Counsel
A movant “bears a heavy burden in making out a winning claim based on ineffective
assistance of counsel.” United States v. Trevino, 60 F.3d 333, 338 (7th Cir. 1995). To prevail, he
must show (1) “that counsel’s representation fell below an objective standard of reasonableness”
and (2) “that there is a reasonable probability that, but for counsel’s unprofessional errors, the
results of the proceeding would have been different.” Strickland v. Washington, 466 U.S. 668,
688, 694, 104 S. Ct. 2052, 80 L. Ed. 2d 674 (1984).
To satisfy the first prong of the Strickland test, a movant must direct the court to specific
acts or omissions of his counsel. Fountain v. United States, 211 F.3d 429, 434 (7th Cir. 2000)
(citing Trevino, 60 F.3d at 338). The court must then consider whether, in light of all of the
circumstances, counsel’s performance was outside the range of professionally competent
7
Brown’s attorney requested telephone records from the facility where Brown was incarcerated
from July 19, 2005 through August 30, 2005, to contest whether these telephone calls occurred, but it is
unclear whether he ever received the records. (See Cr. dkt. 390 at 110; dkt. 36 at 15.)
8
assistance. Id. To satisfy the second prong of the Strickland test, the movant must show that there
is a reasonable probability that, but for counsel’s unprofessional errors, the result of the
proceedings would have been different. Id. “A reasonable probability is a probability sufficient
to undermine confidence in the outcome.” Strickland, 466 U.S. at 694. If Brown cannot establish
one of the Strickland prongs, the court need not consider the other. See id. at 697.
Ineffective assistance of counsel claims can be raised for the first time in a collateral
proceeding under § 2255, regardless of whether the movant could have raised the claim on direct
appeal. Massaro v. United States, 538 U.S. 500, 504, 123 S. Ct. 1690, 155 L. Ed. 2d 714 (2003).
Particularly where, as here, the movant was represented by the same lawyer at trial and on direct
appeal, ineffective assistance of counsel claims may be better brought under a § 2255 motion.
United States v. Rezin, 322 F.3d 443, 445 (7th Cir. 2003) (“[A lawyer] . . . can hardly [be]
expected to accuse himself of ineffective assistance, or, for that matter, to [notice] the oversight
now claimed to have rendered his assistance ineffective.”); see also Velarde v. United States,
972 F.2d 826, 827 (7th Cir.1992) (stating that the ordinary requirements of cause and prejudice
to excuse procedural default of an ineffective assistance claim need not be satisfied when the
lawyer on direct appeal was also the movant’s trial counsel). Since Brown’s ineffective
assistance of counsel claims are not procedurally defaulted, the court will address their merits.
A.
Failure to Object to the Prosecutor’s Alleged Use of False Testimony
Brown argues that his trial counsel was ineffective for failing to object to the
prosecution’s alleged use of false testimony. As discussed in Section I, however, Brown failed to
meet his burden of showing that the prosecution knowingly used false testimony. Brown’s
attorney was therefore not performing outside the range of professionally competent assistance
when he failed to raise a meritless objection. See Fountain, 211 F.3d at 434; Stone v. Farley, 86
9
F.3d 712, 717 (7th Cir.1996) (“Failure to raise a losing argument, whether at trial or on appeal,
does not constitute ineffective assistance of counsel.”).
B.
Failure to Research the Case and Prepare to Defend
Brown argues that his trial counsel was ineffective for failing to investigate or research
the facts and law of Brown’s case and for failing to prepare to defend him at trial. (Dkt. 1 at 4.)
Specifically, Brown alleges that counsel provided ineffective assistance for (1) failing to
discover that Grose allegedly committed perjury when testifying that Brown was present for the
closings of 6608 South Lowe on June 17, 2005, and of 6610 South Lowe on July 18, 2005; (2)
failing to file a pretrial motion to dismiss the indictment; (3) failing to interview defense and
government witnesses to build a defense; and (4) failing to seek severance from codefendant
Moore. (Dkt. 1 at 4–7.)
To support these claims, Brown points to the transcript from a motion hearing held
approximately two weeks before trial, on October 12, 2011, where his attorney stated that he was
“not going to be ready for trial even in the time left,” and that “it is likely that I have provided
Mr. Brown or I will provide Mr. Brown with ineffective assistance of counsel.” (Cr. dkt. 397 at
4, 8). For the reasons stated below, however, counsel’s statements are not dispositive.
1.
Failure to Discover Grose’s Alleged Perjury
Brown argues that his counsel was ineffective for failing to discover that Grose allegedly
committed perjury when testifying that Brown was present for the closings on June 17 and July
18, 2005. Perjury occurs when “[a] witness testifying under oath or affirmation . . . gives false
testimony concerning a material matter with the willful intent to provide false testimony, rather
than as a result of confusion, mistake, or faulty memory.” United States v. Dunnigan, 507 U.S.
87, 94, 113 S. Ct. 1111, 122 L. Ed. 2d 445 (1993) (citing 18 U.S.C. § 1621(1)). “[F]alse
10
testimony is material if it is designed to substantially affect the outcome of the case,” such as
when it is “crucial to the question of guilt or innocence.” United States v. Arambula, 238 F.3d
865, 868 (7th Cir. 2001). Thus, Brown must show that counsel’s representation fell below an
objective standard of reasonableness when he failed to discover that Grose intended to provide
false testimony that was meant to affect the outcome of the case, and that counsel’s omission did,
in fact, affect the outcome of the case. See Strickland, 466 U.S. at 694.
Brown alleges that Grose knew her testimony was false, and therefore intentionally
testified falsely, because she was his employer at the time he was in custody in 2005, and she
posted 6610 South Lowe to secure his bond on August 30, 2005. (See Case No. 05 CR 73, Dkt.
90, 22–36.) While Brown is correct that Grose’s testimony was important to establishing his
presence at the closings of 6608 and 6610 South Lowe, the record does not corroborate his
contention that Grose perjured herself. See Dunnigan, 507 U.S. at 94. There is no conflicting
testimony regarding Brown’s presence at the 6608 South Lowe closing. (See Cr. dkt. 373 at 78–
79; cr. dkt. 374 at 50.) A finding of perjury requires a finding of intent on the part of the speaker;
thus, the previously discussed inconsistency between Smith’s and Grose’s testimony about the
July 18 closing of 6610 South Lowe is not sufficient to indicate that Grose committed perjury.
See Anderson v. United States, 403 F.2d 451, 454 (7th Cir. 1968) (“[I]t is a common occurrence
to have some conflicts in the testimony of witnesses, and [ ] any conflict in itself is not a signpost
of perjury.”). Moreover, as explained in Section I, the evidence in the record indicates that
Brown was only in custody from July 19, 2005, through August 30, 2005; thus, it would not have
been impossible for Brown to be present at the closing on July 18, 2005. Brown’s incorrect
contention that he was in custody for a different period of time is not sufficient to suggest that
Grose committed perjury.
11
Accordingly, this ineffective assistance of counsel claim fails. Trial counsel could not
have been ineffective for failing to discover perjury that is unsubstantiated. In any case, the trial
transcripts reflect that counsel was aware of the general period that Brown was in custody (see
cr. dkt. 374 at 100–01) and that he thoroughly cross-examined Grose on the activities that took
place at around that time. (Id. at 94–99.)
2.
Failure to File a Pretrial Motion to Dismiss the Indictment Due to
Brown’s Alibi
Brown argues that had his attorney conducted an adequate investigation into the dates he
was in custody during the summer of 2005, his attorney would have filed a pretrial motion to
dismiss the indictment based on a defect in instituting the prosecution against him. (Dkt. 1 at 5.)
Specifically, Brown argues that he was in custody when “the transactions” took place and, thus,
he was actually innocent of the offenses charged (Id. at 5–6.) Because Brown’s trial defense was
not prejudiced by counsel’s omission, this claim of ineffective assistance of counsel fails. See
Strickland, 466 U.S. at 694.
Under Federal Rule of Criminal Procedure 12(b)(1), “[a] party may raise by pretrial
motion any defense, objection, or request that the court can determine without a trial on the
merits.” See United States v. Yasak, 884 F.2d 996, 1001 n.3 (7th Cir. 1989). In general, defenses
involving questions of law are properly raised in pretrial motions, but questions on the issue of
guilt or innocence are not because they “fall within the province of the ultimate finder of fact”
and are “substantially intertwined with the evidence concerning the alleged offense.” Id.; see
also United States v. Black, 469 F. Supp. 2d 513, 518 (N.D. Ill. 2006).
Brown overstates the impact that a pretrial motion to dismiss the indictment would have
had. Many of the counts with which Brown was charged occurred in fall 2005 and spring 2006,
after he was released from custody. (See cr. dkt. 60.) Thus, a pretrial motion could not have
12
resulted in a not-guilty verdict on all counts. Moreover, Brown’s claim that he was in custody at
the time of the real estate transactions and his assertion of actual innocence would not have been
properly resolved by a pretrial motion. These claims involve questions of fact that go to the core
of his guilt or innocence for the charged offenses and were best left to the jury at trial. See Yasak,
884 F.2d at 1001 n.3. Since the court could not have resolved the questions of Brown’s custody
or innocence on a pretrial motion, Brown was not prejudiced by trial counsel’s failure to file one.
3.
Failure to Investigate or Call Witnesses
Brown argues that his trial counsel was ineffective for failing to investigate and interview
defense and government witnesses such as Kia Grose, Walker Smith, Anne Taylor, Bernard
Sheppard, Errol Powell, and Grose’s grandmother. Brown claims that these witnesses would
have corroborated his trial defense. (Dkt. 1 at 6.) During collateral review of counsel’s
effectiveness at trial, “there is a strong presumption that any decisions by counsel fall within a
wide range of reasonable trial strategies,” and strategic decisions are not second guessed.
Valenzuela v. United States, 261 F.3d 694, 698–99 (7th Cir. 2001). A lawyer’s decision not to
call a witness “is a strategic decision generally not subject to review.” Id. at 699–700 (citing
United States v. Williams, 106 F.3d 1362, 1367 (7th Cir.1997)).
While counsel’s “failure to discover and present exculpatory evidence that is reasonably
available can constitute deficient performance,” Harris v. Thompson, 698 F.3d 609, 643 (7th Cir.
2012), a movant alleging ineffective assistance of counsel based on a failure to investigate, “has
the burden of providing the court sufficiently precise information, that is, a comprehensive
showing as to what the investigations would have produced.” Hardamon v. United States, 319
F.3d 943, 951 (7th Cir. 2003) (internal citation omitted). This standard requires more of a
movant than merely stating that the outcome of his trial would have been different, since
13
“conclusory allegations do not satisfy Strickland’s prejudice component.” United States v. Farr,
297 F.3d 651, 658 (7th Cir. 2002).
Rather than providing affidavits or other documentation outlining the precise contents of
the testimony of his proposed witnesses, Brown claims only that the witnesses would have
corroborated his trial defense. (Dkt. 1 at 6.) Particularly in light of the fact that Smith (cr. dkt.
373, 390), Taylor (cr. dkt. 393), Sheppard (cr. dkt. 391), and Powell (cr. dkt. 389) did testify at
trial but their testimony was inculpatory, Brown’s conclusional assertion that their testimony
would have been exculpatory is not sufficient. The court finds that Brown has failed to meet his
burden of showing that he was prejudiced by trial counsel’s alleged failure to investigate these
potential witnesses. Strickland, 466 U.S. at 694.
4.
Failure to Move for Severance from Codefendant Moore
Brown lastly argues that his trial counsel was ineffective for failing to move for his trial
to be severed from his codefendant Moore’s trial after becoming aware that inculpatory
statements made by Moore to law enforcement personnel would be introduced at trial. 8 (Dkt. 1 at
6.) Since the court finds that Brown was not prejudiced by the introduction of Moore’s statement
or by the joint trial, Brown’s attorney was not ineffective for failing to move for severance.
A court may grant a motion for severance if a defendant will be prejudiced at trial by
joinder of offenses or defendants. United States v. Smith, 223 F.3d 554, 573 (7th Cir. 2000)
(citing Fed. R. Crim. P. 14). “Mutually antagonistic defenses are not prejudicial per se;” thus,
severance is not required whenever codefendants present conflicting defenses. Zafiro v. United
States, 506 U.S. 534, 538, 113 S. Ct. 933, 122 L. Ed. 2d 317 (1993). Rather, Rule 14(a) leaves
8
After Brown’s attorney did not object, the court granted the government’s motion in limine to
introduce Moore’s statements to law enforcement personnel with references to Brown redacted. (Cr. dkt.
158.)
14
the decision to sever “to the district court’s sound discretion,” “even if prejudice is shown.” Id. at
538–39. A “better chance of acquittal in separate trials” does not entitle defendants to severance.
Id. at 540. Since a fair trial “does not include the right to exclude relevant and competent
evidence,” a “defendant normally would not be entitled to exclude the testimony of a former
codefendant” even if a motion for severance were granted. Id. The Supreme Court has stated that
severance under Rule 14 should be granted “only if there is a serious risk that a joint trial would
compromise a specific trial right of one of the defendants, or prevent the jury from making a
reliable judgment about guilt or innocence.” Id. at 539. Measures such as limiting instructions,
however, “often will suffice to cure any risk of prejudice” given that “juries are presumed to
follow their instructions.” Id. at 539–40 (citing Richardson v. Marsh, 481 U.S. 200, 211, 107 S.
Ct. 1702, 95 L. Ed. 2d. 176 (1987)).
The written statement summarizing the interviews between Moore and law enforcement
personnel were not initially intended to be introduced as evidence (cr. dkt. 158 at 3), but they
were ultimately introduced after Moore’s decision to testify at trial eliminated Confrontation
Clause concerns. See United States v. Clark, 989 F.2d 1490, 1498 (7th Cir. 1993) (citing Nelson
v. O’Neil, 402 U.S. 622, 626, 91 S. Ct. 1723, 29 L. Ed. 2d 222 (1971) (“[T]he Confrontation
Clause is not violated by admitting a declarant’s out-of-court statements, as long as the declarant
is testifying as a witness and subject to full and effective cross-examination.”)).
Regardless of whether Brown’s lawyer strategically decided not to oppose the
government’s motion in limine to include Moore’s statement and not to move for severance,
Brown was not prejudiced. 9 The statement was only admitted against Moore (cr. dkt. 158 at 6),
9
The record indicates that Brown’s trial counsel had not reviewed Moore’s statement in detail
prior to when the government’s motion in limine to introduce it was granted. (Cr. dkt. 395 at 3–4.) To
15
who was cross-examined at trial (cr. dkt. 388), and the jury was instructed to consider separately
each defendant and the evidence against him. (See cr. dkt. 387 at 39). Additionally, Brown has
not alleged specific reasons that he was prejudiced by a joint trial with Moore, such as having
been denied a specific trial right or that the court’s limiting instructions were insufficient to
prevent the jury from making a reliable judgment about his guilt or innocence. See Zafiro, 506
U.S. at 539. Because the court finds that Brown was not prejudiced by his joint trial with Moore,
Brown was similarly not prejudiced by his trial counsel’s failure to move for severance.
III.
Correction of Sentence
In his last ground for § 2255 relief, Brown argues that his sentence must be corrected in
light of the writ of error coram nobis he filed to vacate the conviction in his 2005 criminal case,
since vacatur of this conviction would lower the criminal history score that determined his
Guidelines sentencing range in the underlying criminal case (“Part 1”). (Dkt. 1 at 12–13.) In the
alternative, Brown argues that his conviction in the 2005 criminal case was relevant conduct and
never should have counted separately toward his criminal history score in the underlying
criminal case (“Part 2”). (Id. at 12.)
Brown has procedurally defaulted his alternative argument (Part 2) by failing to raise it at
sentencing and on direct appeal. (Dkt. 18 at 30–32.) See Galbraith, 313 F.3d at 1006. An error in
sentencing is the type of claim that Brown could have raised on direct appeal. See, e.g., Cabello
v. United States, 884 F. Supp. 298, 301 (N.D. Ind. 1995). Brown, however, did not previously
argue that his conviction in the 2005 criminal case should be considered relevant conduct. (See
Cr. dkt. 302, 434; Case No. 12-3290, Dkt. 46.) Additionally, Brown did not argue that the
procedural default should be excused, either for cause and prejudice or because of a miscarriage
qualify as strategic, counsel’s decision should be “reasoned,” and should not result merely from a lack of
preparation. Harris, 698 F.3d at 643.
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of justice. See Galbraith, 313 F.3d at 1006. Thus, Brown has procedurally defaulted his
alternative argument (Part 2), and the court is precluded from considering the merits. See
Kenngott, 840 F.2d at 379.
The government does not address Brown’s argument that his sentence should be
corrected in light of the writ of error coram nobis he filed in the 2005 criminal case (Part 1).
Brown’s prior convictions for the federal tax offense in 2003 and for money laundering in the
2005 criminal case led to a Criminal History Category of III, which, combined with an Offense
Level of 27, resulted in a guidelines range of 87–108 months. (Cr. dkt. 434 at 23; see also cr. dkt.
304 at 6.) Brown was sentenced to 60 months, a roughly 30 percent variance below the lower
end of the guidelines range. (Cr. dkt. 434 at 61.) Brown argues that if his conviction in the 2005
criminal case is vacated, he will have three criminal history points rather than four, leading to a
Criminal History Category of II. (Dkt. 1 at 13.) This would make the appropriate guidelines
range 78–97 months. Combined with a similar 30 percent downward departure, Brown argues
that the correct sentence would be 50 months. (Dkt. 1 at 13.)
If Brown’s money laundering conviction in the 2005 criminal case is vacated, the
guidelines calculation used by this court to determine his sentence in the underlying criminal
case would be incorrect. A mistake in the guidelines range calculation warrants resentencing. See
United States v. Garza, 241 F. App’x 336, 338 (7th Cir. 2007) (citing United States v. Hagenow,
423 F.3d 638, 646–47 (7th Cir. 2005)). Here, although Brown has been released from prison, his
claim is not moot because he remains on supervised release, a form of custody, and it would not
be impossible to reduce his term of supervised release. See United States v. Larson, 417 F.3d
741, 747 (7th Cir. 2005) (citing United States v. Trotter, 270 F.3d 1150, 1152–53 (7th Cir.
2001)). Although Brown would not automatically be entitled to credit against his three-year term
17
of supervised release if his sentence were reduced based on an updated guidelines calculation,
the court would have discretion to shorten his supervised release as long as the new term
complies with 18 U.S.C. § 3583(b) and U.S.S.G. § 5D1.2(a). Trotter, 270 F.3d at 1152–53. In
light of the possibility that Brown’s writ of error coram nobis in the 2005 criminal case could be
granted, and resentencing therefore necessary, the court stays Part 1 of this portion of Brown’s §
2255 motion.
IV.
Certificate of Appealability
Under 28 U.S.C. § 2253(c)(1)(B), Brown may appeal from a final order denying relief
under § 2255 only if this court issues a certificate of appealability. Because the court is staying
Brown’s final claim, this is not a final judgment and the case in not yet in a posture for appeal.
Thus, the court will not make a determination on appealability until such time as all claims have
been resolved.
CONCLUSION AND ORDER
For the foregoing reasons, Brown’s motion to vacate, set aside, or correct his sentence
under 28 U.S.C. § 2255 is denied with regard to his ineffective assistance of counsel claims,
prosecutorial misconduct claim, and Part 2 of the claim to correct his sentence. Part 1 of Brown’s
claim to correct his sentence is stayed pending notification by Brown of the disposition of his
writ of error coram nobis in his 2005 criminal case. (Case No. 05 CR 73, Dkt. 157.) Brown is
directed to file a change-of-address notice by January 15, 2018. Failure to comply will result in
18
summary dismissal of the stayed claim for lack of prosecution, pursuant to Federal Rule of Civil
Procedure 41.
Date: January 4, 2018
_____________________________
U.S. District Judge Joan H. Lefkow
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