United States v. Kenneth Lee Mazzaferro

865 F.2d 450, 1989 U.S. App. LEXIS 522, 1989 WL 3527
CourtCourt of Appeals for the First Circuit
DecidedJanuary 23, 1989
Docket87-1559
StatusPublished
Cited by30 cases

This text of 865 F.2d 450 (United States v. Kenneth Lee Mazzaferro) is published on Counsel Stack Legal Research, covering Court of Appeals for the First 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. Kenneth Lee Mazzaferro, 865 F.2d 450, 1989 U.S. App. LEXIS 522, 1989 WL 3527 (1st Cir. 1989).

Opinion

BOWNES, Circuit Judge.

Defendant-appellant Kenneth Lee Maz-zaferro appeals his guilty verdict and sentence stemming from charges related to marijuana possession. He claims that (i) his sixth amendment right to effective assistance of counsel was denied because of a conflict of interest resulting from his lawyer also being one of the lawyers of a co-defendant who entered into a plea agreement and testified against him at trial, and (ii) that the unduly harsh sentence he received was in retaliation for his refusal to plea bargain and his insistence upon his constitutional right to a trial. 1 We affirm the conviction and remand for resentenc-ing.

I. BACKGROUND

Mazzaferro and two co-defendants, Edward Foley and Mark Murray, were arrested by the United States Coast Guard on December 11, 1986 while on a boat 130 miles off the coast of Puerto Rico. Upon boarding the boat, a 50-foot long sailing vessel, the Coast Guard discovered 3,468 pounds of marijuana located in a locked cabin below the deck. Foley identified himself as the master of the vessel and Maz-zaferro and Murray as the crew members.

*452 All three men were indicted on December 17, 1986 on three counts: Count I — being a person aboard a vessel subject to the jurisdiction of the United States and possession with intent to distribute a controlled substance (18 U.S.C. § 2; 21 U.S.C. §§ 955a(a) and (f)); Count II — possession with intent to distribute a controlled substance by a United States citizen (18 U.S.C. § 2; 21 U.S.C. §§ 955a(b) and (f)); and Count III— possession with intent to import into the United States a controlled substance (18 U.S.C. § 2; 21 U.S.C. §§ 955a(d)(l) and (f)).

All three co-defendants were represented by a single attorney, Mr. Morales Sanchez, at the bail and detention hearing on December 23, 1986. At this hearing, the magistrate briefly noted the general hazards of joint representation but did not ask the defendants whether they had discussed the potential conflict with their attorney or whether they understood the magistrate’s admonishments, nor did he inform them of their right to a court-appointed lawyer if needed.

On January 22, 1987, co-defendant Foley dismissed Morales and hired Attorney Qui-nones. Foley also retained Attorney Gross pro hac vice. On February 4, 1987, co-defendant Mazzaferro dismissed Morales and also hired Attorney Quinones. On February 5, 1987, co-defendant Murray dismissed Morales and hired Attorney Sanchez Rivera. Thus, both Foley and Mazzaferro were represented in some capacity by Attorney Quinones: Foley being jointly represented by Quinones and Gross, and Mazzaf-erro being solely represented by Quinones.

Attorney Quinones filed various pre-trial motions on behalf of both of these co-defendants. In a “Motion Requesting Hearing to Discuss Appearance as Joint Defense Attorney,” dated February 11, 1987, Quinones attested that the right “to have adequate individual assistance of counsel in accordance with the sixth amendment of the United States Constitution [has] been thoroughly discussed with both Mr. Foley and Mr. Mazzaferro_ [And] that they foresee, as the undersigned [Quinones] also perceives, no conflict nor difficulties with regards to the undersigned appearing as co-counsel with Mr. Robert Gross for Mr. Edward Foley and as counsel for Mr. Kenneth Mazzaferro.” The district court did not schedule a hearing on this issue of joint representation and possible conflict of interest until just before the actual trial began on March 2, 1987.

At this hearing, the district court judge explained to the two co-defendants, Maz-zaferro and Foley, the possible dangers of joint representation, and told them of their right to separate representation and their right to have a court-appointed lawyer if needed. The judge raised various hypo-theticals in which a conflict could arise: a lack of investigation as to one of the defendants; inhibition of independent plea negotiations; inhibition of communicating to one of the defendants what the other defendant said to the attorney because of the attorney-client privilege; the decision to waive a jury trial; the decision to take the stand; formulation of defense strategies; preventing the attorney from challenging admissibility of evidence or introducing evidence favorable to one defendant and prejudicial to the other defendant; inhibition of full cross-examination of a government witness in order to protect the other defendant; inhibition in final argument in blaming one of the defendants; and inhibition in engaging in post-trial negotiations with the government. Mazzaferro and Foley, nevertheless, expressed their desire to continue with the joint representation of Attorney Quinones. Attorney Gross stated at the hearing that “Mr. Quinones is my local counsel on behalf of Ed Foley and ... that we have structured this in such a way that we are actually somewhat independent of each other in our defenses.... And if we do proceed to trial in arguing this case to the jury, I will be standing for Mr. Fo-ley_ [And] Mr. Quinones will be representing Mr. Mazzaferro.”

After the hearing on March 2, 1987, co-defendants Foley and Murray each entered into a plea agreement with the government: they pled guilty to Count I and agreed to testify against Mazzaferro; the government dismissed Counts II and III and agreed to abstain from making any sentencing recommendation. Mazzaferro *453 did not enter into a plea agreement and insisted upon a trial.

In view of the guilty pleas of Foley and Murray, the district court inquired again on March 3, 1987 if Mazzaferro perceived any conflict of interest as a result of his own lawyer, Quinones, having also represented Foley. Mazzaferro again indicated that he had no reservations about Quinones representing him, and signed a waiver to that effect (“Acknowledgement of Joint Representation Admonishment”).

On March 3, 1987, the jury trial was commenced against Mazzaferro. At the trial, the government called as witnesses members of the Coast Guard boarding party, Customs officials, and Foley. Foley testified in essence as follows: that he himself “took care of everything” regarding the management of the boat; that Maz-zaferro and Murray “assisted [him] in sailing the boat;” that Foley did “not talk about it [the venture to pick up the marijuana] much” with Mazzaferro; that Foley “was never really sure until [he] left anchor” that Mazzaferro was going with him on the trip; that Foley “had no idea” what Mazzaferro was doing while Foley was loading the marijuana onto the boat; that it was possible for the loading to have occurred without Mazzaferro’s knowledge; that the loading occurred at night and Maz-zaferro might have been sleeping at the time; and that Foley alone locked the cabin doors where the marijuana was stored. This was hardly damning testimony.

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Cite This Page — Counsel Stack

Bluebook (online)
865 F.2d 450, 1989 U.S. App. LEXIS 522, 1989 WL 3527, Counsel Stack Legal Research, https://law.counselstack.com/opinion/united-states-v-kenneth-lee-mazzaferro-ca1-1989.