United States v. William Arthur Brown

202 F.3d 691
CourtCourt of Appeals for the Fourth Circuit
DecidedFebruary 2, 2000
Docket94-5511
StatusPublished
Cited by100 cases

This text of 202 F.3d 691 (United States v. William Arthur Brown) is published on Counsel Stack Legal Research, covering Court of Appeals for the Fourth 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. William Arthur Brown, 202 F.3d 691 (4th Cir. 2000).

Opinion

OPINION

KING, Circuit Judge:

William Arthur Brown appeals his multiple convictions on the following charges: one count of violating 21 U.S.C. § 848 (engaging in a “continuing criminal enterprise” (“CCE”)); one count of violating 21 U.S.C. § 846 (conspiracy to violate the drug laws (“drug conspiracy”)); and four counts of violating 18 U.S.C. § 1956 (“money laundering”). Brown argues that each of his six convictions should be reversed based on the trial court proceedings relating to his lawyer’s conflict of interest. 1 In the alternative, Brown asserts that his CCE conviction must be reversed for two reasons. The first arises from the omission of two jury instructions that Brown claims were mandated, and the second concerns Brown’s contention that his convictions for both CCE and drug conspiracy violate the constitutional prohibition against double jeopardy.

Based on the record and recent controlling Supreme Court precedent, we reverse Brown’s CCE conviction and remand for resentencing' on the drug conspiracy charge. Finding no other error, we affirm each of Brown’s other convictions and the sentences thereon.

I.

On October 6, 1992, a grand jury in the Western District of North Carolina returned an eleven-count indictment against Brown. On July 29, 1993, following an eight-day jury trial, Brown was convicted on six counts. 2

A.

Brown was represented at trial by three lawyers: (1) Anita Rivkin-Carothers; (2) Robert F. Simone; and (3) Calvin E. Murphy. During pre-trial proceedings, Ms. Rivkin-Carothers served as Brown’s lead counsel, 3 with Mr. Murphy assisting as local counsel. On July 16,1993, three days before trial, Mr. Simone filed a notice of appearance and moved the court for admission pro hac vice, representing that: “It is my intention to assist and work with local counsel, Calvin E. Murphy, and Anita Rivkin-Carothers, who will act as lead counsel in this matter.”

On July 21, 1993, before the third day of trial began, the Government filed a motion to recuse Mr. Simone. The motion was based on the Government’s discovery (the previous day) that Mr. Simone had been convicted on federal racketeering and ex *695 tortion charges. 4 The district court held a hearing on the Government’s motion that same morning, with Brown present throughout. After the lawyers for both sides presented their positions, 5 the district court explained to Brown, inter alia, that Mr. Simone’s conviction could present a conflict of interest because Mr. Simone might attempt to get some personal benefit, at Brown’s expense, from the federal prosecutors. Brown then assured the court that he understood the problem, and the court asked Brown whether he wanted to proceed: (1) with Mr. Simone as one of his trial lawyers (along with Ms. Rivkin-Carothers); (2) with Ms. Rivkin-Carothers as his only trial lawyer; or (3) in some other way. Brown responded that he wanted to keep Mr. Simone as one of his lawyers. The court then denied the Government’s motion to recuse, thus permitting Mr. Simone to represent Brown, as co-counsel with Ms. Rivkin-Carothers and Mr. Murphy. 6

Unfortunately, the court reporter lost that part of the trial transcript relating to the recusal hearing. Thus, Brown filed a statement in the district court, pursuant to Fed. R.App. P. 10(c), summarizing the re-cusal hearing. The Government responded with its own statement, and without a hearing, the district court adopted the Government’s statement, concluding that “the Government’s recitation of the events in question most closely comports with [the court’s] own recollection of these events.” J.A. 1174. The court added that, “[T]he Court recalls that Mr. Simone ably represented Appellant Brown. In particular, the Court recalls that Mr. Simone conducted an aggressive and effective cross-examination of government witnesses.” Id.

B.

ín addition to the arguments based on Mr. Simone’s conflict, Brown contends that his CCE conviction must be overturned because the district court erroneously failed to give two unanimity instructions to the jury in connection with that charge. See infra at 698-99. Brown’s counsel preserved his assertion of error on the first instruction by timely objecting to the district court’s instructions and requesting the additional instruction. However, his lawyers did not request the second instruction or object on this basis at trial.

Brown also argues that his separate convictions for CCE and drug conspiracy violate the Fifth Amendment’s prohibition on double jeopardy. There are several facts relevant to this argument. The underlying crimes alleged in support of the CCE charge in Count One of Brown’s indictment were: (1) Brown’s violation of 21 U.S.C. § 841 (drug possession with intent to distribute); and (2) his participation in a drug conspiracy operating between January 1988 and September 21, 1992, in violation of 21 U.S.C. § 846. That same drug conspiracy was also the basis for the separate drug conspiracy charge in Count Two of Brown’s indictment. Brown was convicted on both charges, and the district *696 court sentenced him to 360 months of incarceration for both convictions, without distinguishing a specific sentence for either offense. 7 The court also imposed a “special assessment” of $300 collectively on all of Brown’s convictions, which included $50 on the CCE conviction and $50 on the drug conspiracy conviction. In addition to those sentences, the court imposed a 240-month term of incarceration on the four money laundering convictions, to run concurrently with the sentence for the CCE and drug conspiracy convictions.

The district court entered its final judgment on April 15, 1994, after which Brown timely appealed his convictions and the sentences thereon. We possess jurisdiction pursuant to 28 U.S.C. § 1291.

II.

The Government concedes that one of Brown’s lawyers, Mr. Simone, was operating under a conflict of interest when he represented Brown at trial. Brown argues that this conflict mandates reversal because the record does not establish that he knowingly and intelligently waived the conflict of interest, and because the conflict adversely affected his defense. We review these arguments in turn.

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Bluebook (online)
202 F.3d 691, Counsel Stack Legal Research, https://law.counselstack.com/opinion/united-states-v-william-arthur-brown-ca4-2000.