Morse, J.
Defendant Christopher Bacon appeals his conviction of being an accessory to the murder of Robin Colson, committed during a burglary of her residence in Newfane, as well as seventeen other convictions associated with the murder. As a result of the felony-murder conviction, he was sentenced to life imprisonment without parole. Defendant claims error in the jury instructions; he also contends that he was denied effective assistance of counsel, and that his confession was involuntary and was taken in violation of his Miranda rights. We reject defendant’s ineffective-assistance-of-counsel and Miranda arguments, but reverse his murder conviction because of error in the instructions; the other seventeen convictions are affirmed.
I.
On April 8,1991, defendant and Charles Gundlah, both inmates at the Woodstock Correctional Facility, escaped together from a correctional work crew. The men made their way to Newfane, where they broke into unoccupied seasonal camps over the next few days and found food and lodging. Following his arrest, defendant related the circumstances surrounding Colson’s death to police in a tape-recorded statement that was presented as evidence at his trial. The statement provided the following version of how the murder occurred.
In one camp they had broken into, the men found and read a neighborhood watch directory, which indicated that Colson lived alone in the area year-round. They then formulated a plan to steal Colson’s car. The plan contemplated that defendant would enter the house and brandish a metal bar in order to intimidate Colson. On April 12, the [284]*284men went to Colson’s house, Gundlah carrying a knife and defendant the metal bar.
After arriving at the house, however, defendant became skittish over the robbery. Gundlah reacted by exchanging the knife for the metal bar defendant was carrying. According to defendant, Gundlah then went into the house and closed the front door. When defendant entered the house a few moments later, he saw Gundlah strike Colson on the head with the bar, and then, when Colson was on the floor, place the bar over her throat and stand on it. At Gundlah’s direction, defendant closed off Colson’s dogs in another room. Colson made some noise and Gundlah urged defendant to stab her. When defendant declined, Gundlah grabbed the knife from his hands and stabbed Colson to death. Thereupon, the men stole money from Colson’s purse and cleaned up blood stains. They later stole an ATV from a nearby camp to transport the body into the woods, where they dug a grave. After disposing of the body, they returned to Colson’s house and took her car.
The two men drove Colson’s car to Massachusetts. After abandoning the car, they returned to Vermont several days later with defendant’s former girlfriend, April Coldwell. Defendant and Gundlah were arrested in Rutland when a police officer was summoned to assist Coldwell after she locked her keys in her car.
II.
Claiming he harbored no murderous intent, defendant argues that the court erred by instructing the jury that he could be convicted based solely upon Gundlah’s murderous intent.
A.
At the outset, we note that defendant’s objection to the intent instruction was not properly preserved because it was not specifically renewed after the charge. See V.R.CrJ? 30 (to preserve claim of error, party must object “before the jury retires to consider its verdict, stating distinctly the matter to which he objects and the grounds of his objection”); see State v. Pelican, 160 Vt. 536, 538, 632 A.2d 24, 26 (1993) (objection following instructions is necessary to preserve issue for appeal). The State has not argued that defendant failed to make a proper objection to the instruction. This is not surprising, considering that the objection to the charge briefed by defendant on appeal (1) is precisely the same objection that he repeatedly raised throughout [285]*285pretrial hearings, including the charge conference, and (2) was the focus and the heart of his principal defense at trial — that Gundlah killed Colson and that defendant did not intend to harm her. Further, although defendant failed to restate his objection to the intent instruction before the jury retired, the court indicated at a short bench conference immediately following the charge that it was preserving “all prior objections to the jury instructions.”
In an opinion issued two weeks before the present case was given to the jury, we ruled in a similar situation that an objection raised before the jury charge would be considered preserved, but cautioned that the trial court’s advice was contrary to Rule 30 and that objections should be renewed on the record after the charge is given to the jury. See State v. Wheelock, 158 Vt. 302, 306, 609 A.2d 972, 975 (1992). Here, in light of defendant’s repeated specific objection to the challenged instruction, the trial court’s statement that all objections would be preserved, and the temporal proximity of this case to Wheelock, fairness dictates that we consider preserved defendant’s objection to the charge. Notwithstanding Wheelock, we would be reluctant to affirm defendant’s murder conviction upon concluding that the instruction was erroneous; as noted, the challenged instruction went to the heart of the defense in this case and, thus, would have to be considered exceedingly prejudicial. See Pelican, 160 Vt. at 538-39, 632 A.2d at 26 (plain error doctrine); cf. State v. Percy, 158 Vt. 410, 418, 612 A.2d 1119, 1125 (1992) (erroneous instruction allowing conviction of kidnapping based on constructive knowledge of confinement was not plain error where there was no serious dispute over whether defendant had intended to confine victim).
The dissent states that we are acting inconsistently by reviewing defendant’s argument as preserved because in Pelican we rejected an identical request for fairness even though the trial in that case preceded our decision in Wheelock. We disagree. In Wheelock, we cautioned that the trial court’s preservation of all prior objections was contrary to Rule 30, but we did not hold that in the future counsel could not rely on such advice to preserve objections to the charge. Further, the trial court in Pelican did not preserve all prior objections, as was done in this case. In Pelican, the defendant failed to renew his objection after the charge was given. On appeal, he argued that his objection should be considered preserved because Wheelock was decided after the trial in that case. We pointed out that Vermont law had always required an objection after the charge, Pelican, 160 [286]*286Vt. at 538, 632 A.2d at 26, but said nothing about preservation of objections in cases where the trial court informed the parties that all objections would be preserved. In short, nothing we said in Pelican contradicts what we are doing here. We now state, however, that in the future parties may not rely on the trial court’s advice that all objections raised at the charge conference will be preserved.
B.
We now return to the substance of defendant’s argument. Defendant challenges the following portions of the jury charge relating to accomplice liability and felony murder:
A person is liable for the acts of his accomplice when two or more persons combine under a common understanding, and with a common purpose, to do an illegal act. Each of those persons is held criminally responsible for the acts of each and all who participate in the execution of the unlawful design. The prosecution must prove that the illegal common purpose existed and that one of the participants in the illegal plan committed the murder of Robin Colson during the alleged attempt or perpetration of the illegal plan to burglarize her dwelling. The defendant is liable for the acts of his accomplice, Charles Gundlah, even if you find that Gundlah departed from the illegal plan which they had previously made so long as Gundlah’s acts were incidental to the execution of or as a natural and probable consequence of their original plan, and in furtherance of their alleged common purpose.
To find a common plan of the defendant and Mr. Gundlah to break into Robin Colson’s home, overcome any resistance met, and to commit a larceny, such plan must be proved beyond a reasonable doubt. The mere presence of the defendant at the scene is not enough, unless it is also proved beyond a reasonable doubt that the defendant procured or incited or encouraged Mr. Gundlah in the performance of the plan.
For the State to prove the defendant guilty, you must also find beyond a reasonable doubt that he participated in that illegal common plan, and that he would render assistance to Charles Gundlah if that became necessary. The common plan may be . . . proved by an express agreement between [287]*287the defendant and Charles Gundlah, or by circumstantial evidence of an implied understanding, or both.
The State must also prove beyond a reasonable doubt that the defendant or Charles Gundlah as part of their common plan, or both of them are the person or persons who, in fact, caused the death of Robin Colson.
The term willful as it is used here requires the State to prove that the killing of Robin Colson was done not by accident, but with intent to kill. Willful means intentional. In other words, you must find that the defendant or Mr. Gundlah or both of them as part of or incident to the alleged illegal plan, intended to kill Robin Colson, and that the killing did not happen by mistake.
The term aforethought, as used with malice, means that the defendant or Charles Gundlah or both of them as part of a common plan, formed legal malice prior to acting against Robin Colson with evil or unlawful intent in the manner alleged. . . .
You may find malice from evidence that the defendant or Mr. Gundlah or both of them as part of the alleged plan intentionally set in motion a chain of events likely to cause death or great bodily injury to Miss Colson, or acted under the alleged plan with extreme indifference to the value of human life.
(Emphasis added.)
These instructions permitted the jury to convict defendant of being an accomplice to felony murder even if he neither intended to kill or cause great bodily harm to Colson nor acted with extreme indifference to human life, so long as Gundlah possessed any of these mental states. Because the instructions improperly allowed the jury to impute defendant’s mental state with respect to the murder based solely on its determination that Gundlah harbored the requisite intent, his conviction must be reversed. Accord Clark v. Jago, 676 F.2d 1099, 1106 (6th Cir. 1982) (jury instruction allowing accomplice to be convicted of felony murder if either he or principal had requisite mental state violated due process).
[288]*2881.
We begin by addressing the accomplice-liability rule rather than the felony-murder doctrine. See 2 W LaFave & A. Scott, Substantive Criminal Law § 7.5, at 211-12 (1986) (in felony-murder cases involving co-felons, whether one co-felon is liable for acts of another “is not so much a matter of felony murder as a matter of parties to crime”). The leading ease on accomplice liability, and the apparent source of the court’s instruction, is State v. Orlandi, 106 Vt. 165, 170 A. 908 (1934). In that case, a group of men waylaid a granite worker named Rigg on his drive home from work in order to “encourage” him either to join their striking union or to stop working. During an ensuing melee, one of the men, Orlandi, struck Rigg. All of the waylayers were charged with assault, although only Orlandi was identified as having struck Rigg. Finding that there was ample evidence to show that the defendants’ “purpose in setting out to stop [Rigg] was not peaceably to persuade him to stop work and join the union, but was to compel him by force and intimidation to accede to their demand,” this Court held that all the defendants could be found guilty of assault because Orlandi’s act was within the parameters of their “common design to perform an illegal act.” Id. at 172, 170 A. at 911.
In support of this holding, the Court stated that “[w]here several persons combine under a common understanding and with a common purpose to do an illegal act, every one is criminally responsible for the acts of each and all who participate with him in the execution of the unlawful design.” Id. at 171, 170 A. at 910. We have quoted this language in numerous cases over the years as the general rule in Vermont on accomplice liability. E.g., State v. Gilman, 158 Vt. 210, 216, 608 A.2d 660, 664 (1992); State v. Davignon, 152 Vt. 209, 215, 565 A.2d 1301, 1304-05 (1989); State v. Polidor, 130 Vt. 34, 36, 285 A.2d 770, 772 (1971); State v. Ballou, 127 Vt. 1, 4, 238 A.2d 658, 661 (1968); State v. Barr, 126 Vt. 112, 122, 223 A.2d 462, 469-70 (1966); see also State v. Brown, 147 Vt. 324, 326, 515 A.2d 1059, 1061 (1986) (stating same general rule without quoting Orlandi language).
Orlandi also included the following language, which was roughly paraphrased by the trial court herein in the challenged instruction on accomplice liability:
So, when the evidence is sufficient to enable the jury to find beyond a reasonable doubt that several persons have formed a common design to assault another, and are present for that purpose at the place agreed upon for the commission of the [289]*289offense, each one is criminally responsible for the acts of the others in the prosecution of the design, and for everything done by any one of them, which follows incidentally in the execution of the design as one of its natural consequences, even though it was not intended as a part of the original plan.
106 Vt. at 171-72, 170 A. at 910-11 (emphasis added). The underlined language had no impact in Orlandi because, as the Court noted, the charged conduct in that case was within the scope of the defendants’ intended plan. Id. at 172, 170 A. at 911. The language has never since been employed by this Court.
To the contrary, we have repeatedly held that a defendant can be convicted as an accomplice “only if he acted with the same intent as that required for” the principal perpetrator of the crime. Davignon, 152 Vt. at 215, 565 A.2d at 1304; see State v. Wood, 143 Vt. 408, 411, 465 A.2d 1372, 1374 (1983) (to hold defendant liable as accomplice, State must show that defendant knowingly and intentionally participated to some substantial measure in commission of common criminal objective); State v. Carter, 138 Vt. 264, 268, 415 A.2d 185, 187 (1980) (same); cf. State v. Miller, 146 Vt. 164, 175-76, 502 A.2d 832, 839 (1985) (where court instructed jury that State must prove defendant killed victim with malice, and evidence was sufficient for jury to conclude that defendant participated in murder with his co-felon, court did not err by failing to instruct jury that common plan of defendant and co-felon must have been to kill victim, not merely to rob him).
Accordingly, we are not persuaded by the dictum in Orlandi that is quoted and underlined above. The language violates one of the most basic principles of criminal law by allowing the jury to convict a person for causing a bad result without determining that the person had some culpable mental state with respect to that result. State v. Doucette, 143 Vt. 573, 580, 470 A.2d 676, 681 (1983); see United States v. Powell, 929 F.2d 724, 727 (D.C. Cir. 1991) (rejecting “natural and probable consequences” standard and adopting standard that “puts the accomplice on a level with the principal, requiring the same knowledge for both”); United States v. Greer, 467 F.2d 1064, 1069 (7th Cir. 1972) (“Accomplice liability is necessarily limited by the general principles of criminal liability.”); 2 W LaFave & A. Scott, supra, § 6.7(c), at 144, and § 6.8(b), at 158 (prevailing view is that accomplice must have mental state required for charged offense in order to be [290]*290convicted on accomplice theory; natural and probable consequences rule “is inconsistent with more fundamental principles of. . . criminal law”).
On the other hand, the oft-quoted “common purpose” language stated in Orlandi remains viable because it permits the conviction of a person as an accomplice only when the person participated in the execution of the unlawful act under a common understanding or purpose, which is equivalent to requiring the requisite mental state. See State v. Bushey, 137 Vt. 155, 159, 400 A.2d 993, 996 (1979) (phrases “common understanding” and “common purpose” are sufficient “to inform the jury that the element of intent must be common to all, even though the individual activities in furtherance of the criminal object may make only a partial or fractional contribution to the carrying out of the total purpose”).
We recognize that 13 V.S.A. § 3, which provides that “[a] person who aids in the commission of a felony shall be punished as a principal,” does not include an intent element. We have no difficulty, however, holding that there is an implied element of intent in the statute. See State v. Beayon, 158 Vt. 133, 135, 605 A.2d 527, 528 (1992) (“We have often implied guilty intent as an element when none was expressly provided by the statute.”). The purpose of the accomplice-liability rule is not to permit the conviction of participants to a crime who never intended a co-felon to commit the acts in fact committed. Rather, the rule is intended to allow the conviction of defendants who intended to, and did in fact, aid in the commission of the charged offense, but who were not the primary perpetrators of the crime or did not participate in every aspect of the planned illegal act. See, e.g., State v. Bissonette, 145 Vt. 381, 390-91, 488 A.2d 1231, 1236-37 (1985) (where evidence was more than sufficient for reasonable jury to conclude that defendant planned to separate victims from their money by unlawful means, judgment of acquittal on false pretenses charge was not required merely because only defendant’s accomplice, not defendant, actually received money); State v. Bristol, 143 Vt. 245, 251, 465 A.2d 278, 281 (1983) (State did not have to prove which participant in a preconceived criminal plan fired the fatal shot because the acts of each are attributable to the other); Polidor, 130 Vt. at 36, 285 A.2d at 771-72 (even though State failed to show defendant set fire, he could be convicted on arson charge based on his role in planning illegal act).
[291]*2912.
We now consider the relationship between the accomplice-liability rule and the felony-murder doctrine. One of the few areas of criminal law in which courts once applied the “natural and probable consequences” rule of accomplice liability without controversy was in felony-murder cases under the early common law. 2 W LaFave & A. Scott, supra, § 6.7, at 145, and § 6.8, at 159. Because the common-law felony-murder doctrine imputed an intent to murder if a homicide occurred — even accidentally — during the perpetration of a felony, it was appropriate to hold that complicity in the underlying felony should likewise suffice to establish guilt for the murder itself. Id.
Felony murder in Vermont, however, does not presume liability for all fatal consequences stemming from the underlying felony; rather, only murderous consequences are punished. 13 V.S.A. § 2301 (“murder” committed during perpetration of enumerated felonies shall be first-degree “murder”); Doucette, 143 Vt. at 581, 470 A.2d at 682 (legislature limited doctrine to murders, not hillings). Citing the basic principle that a person should not be convicted of a crime for which he does not possess the requisite intent, this Court held in Doucette that a jury may not convict a person of felony murder unless it finds, beyond a reasonable doubt, that the person had an intent to kill, an intent to do great bodily harm, or a wanton disregard of the likelihood that death or great bodily harm would result. 143 Vt. at 582, 470 A.2d at 682. Thus, the mere showing that a person intended to commit one of the felonies enumerated in § 2301 is insufficient to convict the person of felony murder; at minimum, the prosecution must show a mental state of wanton disregard for human life with respect to the murder itself. On the other hand, because of the dangerous nature of the enumerated felonies, the State is not required to show intent to kill in felony-murder cases. In effect, § 2301 increases the punishment for felony murders that otherwise might have been only second-degree murders because of the absence of an intent to kill.
Allowing an accessory to an underlying felony to be convicted of felony murder on anything less than a wanton and reckless disregard for human life, however, would be inconsistent with Doucette’s construction of § 2301, which was intended to mitigate the harshness of the common-law felony-murder rule. Like Vermont, Michigan has abrogated the common-law concept of felony murder. Michigan’s felony-murder statute is similar to Vermont’s and, like Vermont’s, is [292]*292limited to murders committed in the perpetration of enumerated felonies. Compare Mich. Comp. Laws Ann. § 750.316 (West 1991) (murder committed during perpetration or attempt to perpetrate arson, rape, robbery, burglary, larceny, or kidnapping is first-degree murder) with 13 V.S.A. § 2301 (murder committed during perpetration or attempt to perpetrate arson, robbery, burglary, sexual assault or aggravated sexual assault is first-degree murder). With respect to the vicarious liability of co-felons, the Michigan Supreme Court has stated that “the individual liability of each felon must be shown [] [because it] is fundamentally unfair and in violation of basic principles of individual criminal culpability to hold one felon liable for the unforeseen and unagreed-to results of another felon.” People v. Aaron, 299 N.W.2d 304, 327 (Mich. 1980).
We agree, and hold that to convict a defendant as an accomplice to felony murder, the prosecutor must prove that the defendant possessed both the intent to commit the underlying felony as well as one of the three mental states required to convict the principal perpetrator of felony murder. Accord People v. Flowers, 477 N.W.2d 473, 478 (Mich. Ct. App. 1991); cf. Davignon, 152 Vt. at 215, 565 A.2d at 1304 (approving jury instructions stating that accomplice could be convicted only if he acted with same intent as required for principal). The mere fact that a defendant’s conduct makes him an accomplice to the commission of the underlying felony does not necessarily show that he is also an accomplice to the felony murder. Cf. United States v. Jones, 678 F.2d 102, 105 (9th Cir. 1982) (where defendant is charged with aiding and abetting crime involving element that enhances offense, State must prove defendant participated in both elements of crime).
Although the State must prove the requisite intent of each participant in a felony murder with regard to the murder as well as the underlying felony, the jury may infer such intent from circumstantial evidence. See Aaron, 299 N.W.2d at 327 (jury may infer mental element of murder from nature of, and circumstances surrounding, underlying felony); Commonwealth v. Bachert, 453 A.2d 931, 935 (Pa. 1982) (accomplice may be convicted only of crime for which he harbored requisite mental state, but existence of shared criminal intent may be inferred from all attendant circumstances); see also Carter, 138 Vt. at 269, 415 A.2d at 188 (accomplice liability may be established by inference that presence at scene of crime was by common design); State v. Persuitti, 133 Vt. 354, 357, 339 A.2d 750, [293]*293752 (1975) (weapons carried by assailants circumstantially corroborated evidence that there was common understanding to use whatever force necessary during robbery; therefore, jury could have found that defendant, who did not participate in beating, intended to commit aggravated assault). Though we are compelled to reverse defendant’s conviction because the court’s charge permitted the element of intent as to Colson’s murder to be found in either the defendant or his accomplice, we do not suggest that defendant may not have harbored the intent required to convict him of felony murder. Cf. Jago, 676 F.2d at 1106 (reversal based on erroneous jury instruction permitting element of culpability to be found in defendant or accomplice does not necessarily imply that evidence in record of accomplice’s intent was insufficient). If defendant acted with, at minimum, extreme indifference to the value of human life, the mental element of felony murder would be satisfied. The instructions should have said as much, but they did not.
III.
Defendant also argues that the trial court erred by not suppressing his confession because (1) it was not voluntarily given, (2) the Miranda warnings he received were equivocal, and (3) the police obtained his confession after he invoked his right to remain silent during the interrogation. The second and third arguments are raised for the first time on appeal, but we address them because they could come up again if defendant is retried.
Defendant first contends that the two police officers who interrogated him used cajolery and trickery to overcome his will. According to defendant, the officers played upon his fear of becoming the “fall guy,” implied that Gundlah had implicated him by falsely stating that they had talked to Gundlah, exaggerated the difference in punishment that might be imposed on an accomplice rather than a principal to the murder, and focused on whether the murder was premeditated in order to mislead defendant into thinking the punishment would be much less severe if the murder were not premeditated.
“[I]t is generally recognized that the police may use some psychological tactics in eliciting a statement from a suspect.” Miller v. Fenton, 796 F.2d 598, 605 (3d Cir. 1986). Even if such tactics play a part in the suspect’s decision to confess, the confession is voluntary so [294]*294long as the “decision is a product of the suspect’s own balancing of competing considerations.” Id. The question, then, is not whether statements made by the interrogators were the cause of defendant’s confession, but rather “whether those statements were so manipulative or coercive that they deprived [defendant] of his ability to make an unconstrained, autonomous decision to confess.” Id.; see State v. Zehner, 142 Vt. 251, 254, 453 A.2d 1126, 1127 (1982) (ultimate question is whether police conduct or tactics caused defendant’s will to be overborne and his capacity for self-determination to be critically impaired). The trial court must examine the totality of the circumstances in assessing the voluntariness of defendant’s confession, and we will not disturb that assessment unless it is clearly erroneous. State v. Roberts, 160 Vt. 385, 388, 631 A.2d 835, 837 (1993).
After reviewing the transcripts of the voluntariness hearing and the taped interrogation, we agree with the trial court that the totality of the circumstances demonstrates that defendant’s statement to police was the product of his own free will. The interview lasted approximately one and one-half hours. Defendant had eaten and he was not handcuffed. At the start of the interview, before reading defendant his rights, the officers informed him that he was suspected of murdering Robin Colson. The officers encouraged defendant not to take the fall for Gundlah. They did mention, apparently falsely, that they had talked to Gundlah, but they never stated what Gundlah purportedly said to them, and defendant’s responses did not indicate any concern about the officers’ isolated remarks. Cf. Miller, 796 F.2d at 607 (defendant’s impassive reaction indicated that officer’s lie regarding time of victim’s death did not constitute sufficient trickery to overcome defendant’s will).
Further, the officers’ suggestions that defendant’s limited role in the murder or the absence of premeditation might reduce the offense or the sentence did not appear to have had much effect on defendant, whose only hesitation in providing details of the murder stemmed from his concern about the consequences of implicating Gundlah. In any case, predictions such as these rarely are viewed as sufficiently coercive to render a confession involuntary, absent a showing that the suspect’s will was overborne. See Roberts, 160 Vt. at 388-89, 631 A.2d at 837 (police prediction that a statement by defendant might result in reduced bail was not sufficiently coercive to render subsequent confession involuntary); State v. Benton, 759 P.2d 332, 334-35 (Or. Ct. App. 1988) (officer’s psychological technique of [295]*295minimizing defendant’s acts did not interfere with defendant’s exercise of his free will).
Next, defendant argues that because the officer who read the Miranda warnings referred to them as “technicalities,” he was not advised of his right to remain silent in clear and unequivocal terms. The officer stated, “Before we go any further, we have some technicalities we have to abide by and I’m going to read you your rights, okay?” Although we do not approve of the officer’s use of the term “technicalities,” there is no suggestion here that defendant was unaware of the significance of the rights that were read to him. The warnings were stated to him in plain language. Defendant, who had had his rights read to him on at least one prior occasion, indicated that he understood each right. In response to the final question, “Having these rights in mind, do you want to talk to me now?”, defendant responded, “It doesn’t matter. Yes, I’ll talk to you.” We cannot conclude that the mere mention of the word “technicalities” rendered the reading of the rights equivocal.
C.
Finally, defendant argues that the interrogating officers violated his Miranda rights by continuing to question him even after he repeatedly invoked his right to remain silent. See State v. Mosher, 143 Vt. 197, 203, 465 A.2d 261, 264 (1983) (interrogation must cease if defendant indicates in any manner prior to or during questioning that he wishes to remain silent). We reject this argument. The United States Supreme Court has recently held that “after a knowing and voluntary waiver of the Miranda rights, law enforcement officers may continue questioning until and unless the suspect clearly requests an attorney.” Davis v. United States, — U.S. —, —, 114 S. Ct. 2350, 2356 (1994). The Court expressly declined to adopt a rule requiring officers to ask “clarifying questions” when a suspect makes an ambiguous or equivocal request for counsel. Id. If the suspect’s statement is an ambiguous or equivocal request for counsel, “the officers have no obligation to stop questioning him.” Id. Without doubt, this holding applies equally to situations in which a defendant who has waived his Miranda rights ambiguously invokes the right to remain silent during the subsequent interrogation. See Coleman v. Singletary, 30 F.3d 1420, 1424 (11th Cir. 1994) (Davis rule applies equally to invocations of right to remain silent).
[296]*296Here, during the interrogation, defendant repeatedly expressed fear of reprisals if he named Gundlah as the perpetrator of the murder. When asked questions in which he would have to indicate who murdered the victim, defendant hesitated, stating that he feared what might happen to him if he said anything. On a couple of occasions, defendant made statements such as, “I can’t, get myself to say anything.” These statements indicate the internal struggle that defendant was going through — whether to tell his side of the story and be marked as a “snitch,” or whether to keep quiet in the face of a murder charge and the substantial evidence against him. At one point, defendant rhetorically asked, “So, do I chance getting killed or doing life imprisonment?” Eventually, he decided to speak, stating, “I know this is against my better judgment. I’ll tell you what happened.”
Although defendant clearly indicated that he had doubts about naming Gundlah as the murderer, he never clearly expressed a desire to stop talking and end the interrogation. A defendant may express an unwillingness to discuss certain subjects without indicating a desire to terminate an interrogation already in progress. People v. Silva, 754 P.2d 1070, 1083, 247 Cal. Rptr. 573, 586-87 (1988) (defendant’s statement, “I really don’t want to talk about that,” did not constitute invocation of right to remain silent); Commonwealth v. Roberts, 555 N.E.2d 588, 590 (Mass. 1990) (defendant’s refusal to reply to certain questions did not indicate his desire to end interrogation or to invoke his right to remain silent); People v. Spencer, 397 N.W.2d 525, 528 (Mich. Ct. App. 1986) (defendant’s assertion that he wanted to limit his answers was not invocation of right to remain silent). We conclude that defendant’s hesitation to provide information that would inculpate Gundlah was not sufficiently direct or emphatic to constitute an invocation of his right to remain silent, and thus the officers were not obligated to cease the interrogation.
IV.
Although we reverse the murder conviction based on the court’s instruction on intent, we address defendant’s ineffective-assistance-of-counsel claim because that claim necessarily challenges all of his convictions. Ordinarily, we do not address such claims on direct appeal, but we do so here because the claim was raised and adjudicated before trial. See In re Moskaluk, 156 Vt. 294, 298, 591 A.2d 95, 97 (1991) (ineffective-assistance-of-counsel claim will not be considered on direct appeal absent trial court record upon which [297]*297claim can be judged). Defendant contends that the State’s failure to pay defense counsel in a timely manner for expenses and services in connection with this case created a conflict of interest by forcing counsel to choose between his family’s financial welfare and his loyalty to his client, thereby denying defendant effective assistance of counsel. We conclude that defendant has failed to show that the alléged conflict of interest compromised trial counsel’s loyalty to defendant, adversely affected his performance, or imperiled defendant’s-right to a fair trial. Therefore, we reject this claim of error and affirm all of the convictions other than the murder conviction.
The following is a summary of the events surrounding defendant’s claim. In July 1991, trial counsel agreed to take defendant’s case. He knew compensation was set at $25.00 per hour, but he was under the impression that the case involved a single count of first-degree murder. After becoming aware of the scope of the case, trial counsel talked to the assigned-counsel coordinator, who advised him that he could seek co-counsel and could apply for excess payment for the entire case. The coordinator also approved trial counsel’s proposal that he receive incremental $1,000 payments as services were provided and expenses incurred. In December 1991, however, the Defender General informed trial counsel that the State would be unable to make the $1,000 incremental payments because the budget for ad hoc counsel had been exhausted for the fiscal year.
On December 12, 1991, trial counsel moved to withdraw from the case and moved, on behalf of defendant, for dismissal of the charges because of an alleged deprivation of defendant’s right to counsel. A two-day evidentiary hearing was held on the motions in January 1992; a number of lawyers testified on behalf of trial counsel. Most of the testimony amounted to a general attack on the adequacy of the State’s method and rate for compensating assigned counsel. Trial counsel presented no evidence regarding his own personal or office finances in support of his claim that the Defender General’s failure to pay him had created a conflict of interest by compromising his loyalty to his client. Further, no evidence was forthcoming on how the lack of funding had compromised defendant’s right to a fair trial or counsel’s preparation of the defense.
After a thorough analysis of the right to counsel and the professional and ethical responsibilities of counsel, as well as the State’s obligations under the Vermont Constitution and the Public Defender [298]*298Act, the court denied the motions in a February 1992 decision. The court found that all of the deposition expenses in the case had been paid, but that the State owed trial counsel approximately $4,000 for services rendered up through that time. It ordered that trial counsel obtain approval for defense expenses and submit vouchers for the expenses to the Defender General’s office, and that defense counsel was to be compensated for the expenses no later than thirty days after submission of the vouchers. It further ordered counsel to submit a debenture for all of his uncompensated time, which was to be paid in thirty days. Contrary to the court’s order, for reasons not stated on the record, trial counsel was not paid until May 11,1992. Apparently, trial counsel made no further effort to resolve the issue of timely compensation, apart from appealing the order denying his motions to withdraw as defendant’s counsel and to dismiss defendant’s case.
Meanwhile, another problem developed regarding trial counsel’s attempt to retain an expert witness to challenge the admission of DNA evidence indicating that blood found on defendant’s pants belonged to Colson. In late January 1992, trial counsel obtained a fee estimate from a potential expert witness. The assigned-counsel coordinator refused to pay the expert’s demanded rate and suggested a counteroffer, which was rejected. In response to a motion by defense counsel, the court ordered the State to pay the expert’s fee, but by this time, the expert had refused to provide the services, and trial counsel was unable to locate another expert witness. Trial counsel did not cross-examine the prosecution’s experts at the hearing on the admissibility of the DNA evidence, and the court granted the prosecution’s motion to admit the evidence.
Based on the above facts, defendant claims that he was deprived of effective assistance of counsel by being forced to stand trial while represented by an attorney who had a conflict of interest because of the State’s failure to make timely and adequate payments for defense services. He contends that the conflict of interest resulting from the lack of funds creates a presumption of prejudice requiring reversal. He points out that there is some uncertainty under United States Supreme Court decisions whether reversal is automatic upon a showing of a potential conflict of interest, or whether he must show that an actual conflict of interest adversely affected his attorney’s performance, but he contends that in either case he has made a sufficient showing. We conclude that defendant was required, but [299]*299failed, to show that the alleged conflict jeopardized his right to a fair trial.
In Holloway v. Arkansas, 435 U.S. 475 (1978), an attorney representing three codefendants filed a pretrial motion for separate counsel after concluding, based on confidential information received from one of his clients, that he was confronted with the risk of representing conflicting interests. The trial court denied the motion. On appeal, the Supreme Court held that the defendants had been deprived of effective assistance of counsel by the trial court’s failure either to appoint separate counsel or to take adequate steps to ascertain whether the risk posed by having one attorney represent all three defendants was too remote to warrant separate counsel. Id. at 484. The Court noted that, although defense counsel had made certain representations regarding the probable risk of a conflict of interest, “the trial judge cut off any opportunity of defense counsel to do more than make conclusory representations.” Id. at 484 n.7. The Court held that “whenever a trial court improperly requires joint representation over timely objection,” reversal is mandated without any showing of prejudice. Id. at 488.
Thus, Holloway requires automatic reversal by reviewing courts in conflict-of-interest cases only where the trial court fails to give the defendant an “opportunity to show that potential conflicts impermissibly imperil his right to a fair trial.” Cuyler v. Sullivan, 446 U.S. 335, 348 (1980). “[U]nless the trial court fails to afford such an opportunity, a reviewing court cannot presume that the possibility for conflict has resulted in ineffective assistance of counsel.” Id.; see United States v. Burney, 756 F.2d 787, 791 (10th Cir. 1985) (Sixth Amendment requires automatic reversal only when trial court fails to conduct inquiry after either timely objection or when it knows particular conflict exists).
Here, the trial court held an evidentiary hearing in which defense counsel had ample opportunity to show that the alleged conflict of interest impermissibly imperiled defendant’s right to a fair trial. Nevertheless, other than his statement that his representation of defendant was hurting his family, trial counsel offered no evidence that his loyalty to defendant or his ability to prepare a defense was compromised by the compensation he did or did not receive for his services. He submitted no evidence of his office or personal finances, or of the hours he was spending on this case and other cases, to demonstrate the existence of an overbearing conflict that might overcome an attorney’s duty of loyalty to clients. There was no [300]*300evidence that trial counsel’s representation of defendant was causing cash-flow problems, or that he had attempted to alleviate any such problem by means other than withdrawing as counsel, such as obtaining an office loan. There was no evidence that trial counsel neglected this case or that he was forced, out of financial necessity, to spend less time on this case than he should have spent. He made no attempt to show specifically how the State’s failure to pay him in a timely manner limited his preparation of his client’s defense.
In short, rather than attempting to show the potential conflict had some effect in this particular case, trial counsel and his witnesses generally attacked the State’s system for compensating assigned counsel. This was insufficient to meet defendant’s burden. See State ex rel. Stephan v. Smith, 747 P.2d 816, 831 (Kan. 1987) (simply because system could result in appointment of ineffective counsel is not sufficient reason to declare system unconstitutional; rare cases where counsel has been ineffective must be handled individually); State v. Wigley, 624 So. 2d 425, 427 n.1 (La. 1993) (issue of compensation for appointed counsel does not necessarily implicate rights of criminal defendant; “determinations of the adequacy of representation must be made independently from decisions on attorney compensation”); Clark v. State, 831 P.2d 1374, 1376 (Nev. 1992) (whether actual conflict exists must be evaluated on specific facts of each case). Defendant cannot prevail on an ineffectiveness claim based solely on trial counsel’s unsupported contention that his dissatisfaction with the compensation he received created a conflict of interest.
We disagree with the dissent’s suggestion that the court implicitly found in its February 1992 order that there was an actual conflict of interest that imperiled defendant’s rights. While the trial court acknowledged in its findings that, in general, the compensation for assigned counsel is insufficient to cover office overhead, this finding and other findings noted by the dissent cannot be transformed into a finding that the alleged conflict of interest either adversely affected trial counsel’s performance or imperiled defendant’s right to a fair trial. Farther, although the court stated that the lack of funds in the case “hinders” the effective assistance of counsel, the court made this general statement in the remedy section of the decision, apparently to bolster its order requiring the Defender General to make timely payments to trial counsel. Even if we were to view this statement as a finding, it has no support in the record beyond a theoretical surmise.
[301]*301In fact, the trial court made no explicit findings on the existence or effect, if any, of the alleged conflict of interest. The thrust of its order denying the motions to withdraw and to dismiss, however, was to reject defendant’s argument that he was being deprived of his rights and to assure that those rights would not be imperiled in the future by requiring, in part, that trial counsel be paid the cash advances he had negotiated with the State. Cf. Holloway, 435 U.S. at 484 (when defense counsel claims conflict of interest has resulted from multiple representation of codefendants, trial judge must either appoint separate counsel or take adequate steps to ascertain whether risk was too remote to warrant separate counsel). This was a reasonable order in light of (1) trial counsel’s consent to take the case if the State provided incremental cash payments, and (2) trial counsel’s failure to provide evidence to support the existence of the conflict of interest alleged in this case.
To the extent defendant argues that the February 1992 order was inadequate to protect his rights because the measures the court imposed were never followed, defendant has failed to preserve that argument. Trial counsel did not renew his motions to withdraw or to dismiss based on the failure of the court’s February 1992 order to protect defendant’s rights. At a March 17, 1992 hearing on defendant’s motion for permission to appeal, the attorney for the State pointed out that the Defender General had transferred $1500 to the judiciary’s budget for the purpose of compensating defendant’s DNA expert, and suggested that the Defender General might still, if he had not already done so, compensate defense counsel for expenses and services within the forty-day time frame provided in the court’s February 26 order. The state’s attorney stated that he did not know if trial counsel had submitted to the Defender General’s office his debenture for uncompensated services, as the court’s order required, but apparently defense counsel sent a copy of the debenture and a breakdown of expenses to the court on March 6. Trial counsel did not respond to the state’s attorney’s comments, though the court specifically asked him if he had anything to add. On April 6,1992, the day trial was to begin, defense counsel moved for the trial judge to recuse himself based on the contents of an article in that morning’s local newspaper. During trial counsel’s argument, he briefly mentioned that he continued to believe that he could not adequately represent defendant because of the lack of resources. Although trial counsel stated that he had not yet been paid for his services, he did not state that he had followed the court’s order and been rebuffed. In short, [302]*302trial counsel had ample opportunity to file further motions and to make a record regarding the failure of the court’s order to protect defendant’s rights, but he did not do so. Considering that defendant never sought dismissal based on the failure of the trial court’s order to protect his rights, he has the burden to show on appeal that the absence of payments to trial counsel under the court’s February 1992 order created an actual conflict of interest that adversely affected his counsel’s performance. See Cuyler, 446 U.S. at 348 (to establish Sixth Amendment violation, defendant who raised no objection at trial must demonstrate that actual conflict of interest adversely affected attorney’s performance). He has failed to make such a showing.
The dissent makes much of the fiasco surrounding trial counsel’s attempts to obtain a DNA expert. Because defense counsel’s problems in obtaining such an expert did not surface until after the court heard the motions to dismiss and to withdraw as counsel, the court did not address those problems in its order regarding those motions, and defendant does not discuss the DNA issue on appeal. In any event, we do not agree with the dissent’s characterization of the admissibility of the DNA evidence as “the major legal issue of the case.” Defendant’s principal defense was that Gundlah killed Colson, and that defendant never intended to harm her. Defendant conceded in an admissible confession that he was present at the scene of the crime and that he had helped Gundlah dispose of the victim’s body. Given his admissions, it is difficult to see how proof that some of Colson’s blood wound up on his pants could have impaired his defense. Furthermore, defendant does not suggest that the DNA evidence concerned any charged offense other than the murder itself, and we are reversing the murder conviction on other grounds.
Defendant’s murder conviction is reversed; all other convictions are affirmed. The case is remanded for further proceedings.