United States v. Garry S. Martin

441 F. App'x 698
CourtCourt of Appeals for the Eleventh Circuit
DecidedSeptember 28, 2011
Docket10-10524, 10-10822, 10-10624, 10-10889
StatusUnpublished

This text of 441 F. App'x 698 (United States v. Garry S. Martin) is published on Counsel Stack Legal Research, covering Court of Appeals for the Eleventh Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
United States v. Garry S. Martin, 441 F. App'x 698 (11th Cir. 2011).

Opinion

PER CURIAM:

Garry Martin appeals his conviction for conspiracy to commit money laundering, in violation of 18 U.S.C. § 1956(h), and the revocation of his term of supervised release under 18 U.S.C. § 3583(e)(3). 1 Martin contends that the government breached his plea agreement by failing to make certain sentencing recommendations. He also asserts that the probation officer acted vindictively by increasing his base offense level after he moved to withdraw his guilty plea. Finally, Martin argues that the district court abused its discretion by refusing to permit him to withdraw his guilty plea. For the reasons stated below, we affirm.

I.

In 2006, Martin was convicted of mortgage fraud in the Eastern District of New York. After he completed his prison sentence, his supervised release was transferred to the Middle District of Florida. In 2008, a probation officer petitioned the district court to issue a warrant for Martin’s *700 arrest. The probation officer explained that Martin had violated the terms of his supervised release by engaging in a new mortgage fraud scheme. The district court issued the warrant, and Martin was placed under arrest.

In June 2009, the government filed a criminal information against Martin regarding his new mortgage fraud schemes. The information charged Martin with one count of conspiracy to commit mortgage fraud, in violation of 18 U.S.C. § 1956(h). Martin entered into a plea agreement under which he agreed to plead guilty to the conspiracy charge. In a detailed factual proffer, Martin acknowledged that he had engaged in various schemes to defraud financial institutions of slightly more than $5 million. He also agreed to pay restitution to 27 different victims.

In exchange for Martin’s plea, the government promised to make a series of favorable sentencing recommendations. First, the government stated that it would recommend concurrent sentences for the conspiracy charge and the supervised release violation. Second, the government agreed to a three-level reduction for acceptance of responsibility. Third, the government pledged not to oppose a sentence at the low end of the guideline range determined by the district court. All three of these recommendations were conditioned on there being “no adverse information ... suggesting such a recommendation to be unwarranted.” The government additionally promised to inform the district court of the nature and extent of Martin’s cooperation, and to request a sentence within Martin’s guideline range.

In July 2009, Martin appeared before a magistrate judge for a combined change of plea hearing and supervised release revocation hearing. Martin stated that he had received an adequate opportunity to confer with his attorney, Assistant Federal Defender Stephen J. Langs, and he expressed complete satisfaction with Langs’s representation. The magistrate reviewed the terms of the plea agreement with Martin. The magistrate observed that the sentencing recommendations in the plea agreement were not binding on the district court. The magistrate explained that Martin faced a sentence of up to 20 years’ imprisonment for the conspiracy charge, and a sentence of up to 3 years’ imprisonment for the violation of supervised release, and pointed out that the district court could run the two sentences consecutively rather than concurrently. Martin indicated that he understood. The magistrate also advised Martin that any information that his attorney had given him regarding his guideline range was nothing more than an “educated guess.” Martin responded, “That’s correct.” Martin pled guilty to the criminal information, and he also admitted to violating the terms of his supervised release. After receiving the magistrate’s report, the district court accepted Martin’s plea.

Shortly before the sentencing hearing, Martin moved to withdraw his guilty plea. He argued that his plea was not knowing and voluntary because his attorney, Langs, had misled him about his potential sentencing exposure, the lack of a substantial assistance motion, and the relevant conduct for which he would be held accountable. Martin explained that his draft pre-sentence investigation report (“PSI”) had calculated a guideline range of 151 to 188 months’ imprisonment. In addition, the probation officer had explained that there might be additional enhancements in the final PSI that would increase his range to 235 to 293 months’ imprisonment It is not clear from the record what exactly Langs told Martin about his potential sentence, but at one hearing, Langs stated that he *701 expected Martin’s guideline range to be around five years’ imprisonment.

The district court denied Martin’s motion to withdraw his guilty plea. The district court rejected Martin’s argument that he had not received close assistance of counsel because Martin had stated under oath at the plea hearing that he had discussed his case with Langs and was fully satisfied with Langs’s representation. The district court also concluded that Martin’s plea was knowing and voluntary. The court observed that the magistrate had extensively questioned Martin regarding his sentence and that Martin had acknowledged that his sentence could be greater or less than what was predicted by counsel. The district court pointed out that a trial “would consume considerable judicial resources, as would a potential new indictment with additional charges.” Finally, the district court noted that the government would be prejudiced if Martin were to withdraw his plea because the government had already asked the State of Florida to dismiss charges against Martin.

The final version of Martin’s PSI calculated a total offense level of 41 and a criminal history category of III with respect to his conviction for conspiracy to commit money laundering. Those calculations normally would produce a guideline range of 360 months to life, but because Martin’s offense carried a statutory maximum of 20 years’ imprisonment, his guideline range became 240 months. Martin submitted a series of objections to the PSI. Among other things, he challenged the PSI’s calculation of loss, and a sentencing enhancement for 10 or more victims.

At the sentencing hearing, the district court overruled all of Martin’s objections to the PSI. The district court found that Martin’s objections to the calculation of loss and the number of victims were foreclosed by his factual admissions in the plea agreement. The district court adopted the PSI’s guideline calculations.

After the government presented testimony from two victims of Martin’s offense, Martin personally addressed the district court. Martin stated that he had “accepted] the criminal charges,” but he went on to argue that he had been “railroaded into the plea agreement” and that he was “not being disclosed for a nexus of liability of the statutes.”

The government urged the district court to impose the statutory maximum sentence with respect to Martin’s conviction for conspiracy to commit money laundering.

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441 F. App'x 698, Counsel Stack Legal Research, https://law.counselstack.com/opinion/united-states-v-garry-s-martin-ca11-2011.