ASCH v. STATE
2003 WY 18
62 P.3d 945
Case Number: 00-128
Decided: 02/06/2003
OCTOBER TERM, A.D. 2002
DAVID ASCH,
Appellant(Defendant),
v.
THE STATE OF WYOMING,
Appellee(Plaintiff).
Appeal from the District Court of Natrona County
The Honorable W. Thomas Sullins, Judge
Representing Appellant:
John M. Burman, Diane E. Courselle, Director, Defender Aid Program; Kimberly A. Corey and Gay George, Student Interns.
Representing Appellee:
Hoke MacMillan, Attorney General; Paul S. Rehurek, Deputy Attorney General; D. Michael Pauling, Senior Assistant Attorney General; Theodore E. Lauer, Director, Prosecution Assistance Program; Jillian M. Bullock and Zachary T. Lee, Student Interns.
Before HILL, C.J., and GOLDEN, LEHMAN,* KITE, and VOIGT, JJ.
* Chief Justice at time of oral argument.
VOIGT, Justice.
[1] A jury convicted David Asch (Asch) of possession of a felony amount of methamphetamine, in violation of Wyo. Stat. Ann. 35-7-1031 (LexisNexis 2001). In this appeal, Asch contends that he received ineffective assistance of counsel, that the district court improperly instructed the jury after a witness refused to answer a question, and that he was denied his right to due process of law when he was forced to appear before the jury in shackles.
[2] We reverse.
ISSUES
[3] Six issues have been identified by the parties:
1. Was Aschs right to effective assistance of counsel violated as a result of a conflict of interest in his representation at the preliminary hearing?
2. Was Aschs right to effective assistance of counsel violated as a result of counsels failure to obtain a copy of the preliminary hearing transcript and to undertake a reasonable investigation of the case?
3. Was Aschs right to effective assistance of counsel violated as a result of counsels failure to ensure that Asch would be in street clothes during the trial?
4. Was Aschs right to effective assistance of counsel violated as a result of counsels calling a witness who refused to answer a question and was held in contempt of court?
5. Did the district court abuse its discretion in instructing the jury that it could consider the witnesss refusal to answer a question as bearing on her credibility?
6. Was Asch denied his right to due process of law as a result of his legs being shackled during the jury trial?
FACTS AND PROCEDURAL HISTORY
[4] At about 10:30 p.m., on September 2, 1999, in Casper, Asch was the front-seat passenger in a car being driven by Sheryl Sutton (Sutton). Casper Police Officer Andrew Swisher (Swisher) stopped the car for expired registration. In the process, Swisher observed Asch making . . . concealing movements to the center and left of his seat. The denouement of the traffic stop was Suttons arrest for possession of a marijuana pipe found under the passenger seat, and Aschs arrest for possession of seven grams of methamphetamine found between the front seats and for interference with a peace officer for having lied about his identity.
[5] At his initial appearance in county court (now referred to as circuit court) the following day, Asch requested appointment of counsel. An order was entered on September 9, 1999, appointing the State Public Defender to represent him. A preliminary hearing was set for September 13, 1999. The Notice and Order of Preliminary Hearing shows copies having been sent to prosecutor and defense counsel, but neither is identified by name.
[6] The preliminary hearing took place at the time and date scheduled. However, Nadine McLeod (McLeod), the contract public defender assigned to represent Asch, did not appear. Instead, Asch was represented by Wilhelm Bierman (Bierman), the supervising attorney in the Casper office of the State Public Defender. Asch was bound over for trial in the district court.
[7] McLeod appeared with Asch at arraignment in the district court on November 9, 1999. Asch pled not guilty to the felony possession charge, but he pled guilty to the misdemeanor charge of interference with a peace officer. Sentencing on the misdemeanor charge was postponed pending completion of a presentence investigation report. The felony count was placed in the trial stack; it eventually was tried to a jury on February 22, 2000.
[8] The State called only two witnesses at trialthe arresting officer and an expert from the Wyoming State Crime Laboratory. Sutton was the only defense witness. Succinctly stated, Officer Swisher described the traffic stop and arrests, the expert identified the substance as methamphetamine, and Sutton testified that the methamphetamine belonged to her and not to Asch. On cross-examination, Sutton refused to identify the source of the methamphetamine, even in the face of the district court judges direct order to do so. Proceedings were then had outside the presence of the jury, Sutton was found to be in direct contempt of court, and was sentenced to sixty days in jail. The jury was then brought back into the courtroom and the district court judge orally instructed them as follows:
Ladies and Gentlemen of the Jury, as you saw and heard, Ms. Sutton refused to answer the pending question that had been asked by the District Attorneys Office in this matter. Im going to advise you that you can consider her refusal to answer that question in connection with your consideration of all other evidence and matters that may bear on her credibility and the credibility of her testimony before the Court.
[9] After the jury convicted Asch of the felony possession charge, the district court ordered the preparation of an addendum to the previously ordered pre-sentence investigation report. On March 28, 2000, Asch was sentenced to incarceration in the Wyoming State Penitentiary for a term of sixty to seventy-two months. Asch filed his Notice of Appeal with the district court on April 24, 2000.
[10] Development of the issues in this appeal has followed a tortuous path, at best. The appeal was docketed on May 18, 2000. Subsequently, five orders were entered extending the time for filing of briefs. The proceedings were also stayed while this Court considered Aschs motion for a limited remand for an evidentiary hearing on the issue of ineffective assistance of counsel. Well after oral argument, we granted Aschs earlier-filed motion for remand, not only to develop the evidence as to ineffective assistance of counsel, but also as to the shackling issue, which had not been raised in the initial appellate briefs. On remand, the district court held an evidentiary hearing and issued a decision letter finding, first, that Asch had failed to establish ineffective assistance of counsel, and second, that Asch had failed to prove that he was prejudiced by having been shackled during the trial. The case was then returned to this Court, where we allowed supplemental briefing. The briefs were filed in June and July of 2002. Further oral argument was not allowed, but the case was reconferenced on August 13, 2002.
DISCUSSION
Was Aschs right to effective assistance of counsel violated as a result of a conflict of interest in his representation at the preliminary hearing?
[11] Claims of ineffective assistance of counsel are reviewed under the following standard:
Wyoming has a well-established and oft-repeated standard for reviewing claims of ineffective assistance of counsel:
When reviewing a claim of ineffective assistance of counsel, the paramount determination is whether, in light of all the circumstances, trial counsels acts or omissions were outside the wide range of professionally competent assistance. Herdt v. State, 891 P.2d 793, 796 (Wyo.1995); Starr v. State, 888 P.2d 1262, 1266-67 (Wyo.1995); Arner v. State, 872 P.2d 100, 104 (Wyo.1994); Frias v. State, 722 P.2d 135, 145 (Wyo.1986). The reviewing court should indulge a strong presumption that counsel rendered adequate assistance and made all significant decisions in the exercise of reasonable professional judgment. Herdt, at 796; Starr, at 1266; Arner, at 104; Strickland v. Washington, 466 U.S. 668, 689, 104 S.Ct. 2052, 2065, 80 L.Ed.2d 674 (1984).
Under the two-prong standard articulated in Strickland and Frias, an appellant claiming ineffective assistance of counsel must demonstrate on the record that counsels performance was deficient and that prejudice resulted. Strickland, 466 U.S. at 687, 104 S.Ct. at 2064; Starr, at 1266; King v. State, 810 P.2d 119, 125 (Wyo.1991) (Cardine, J., dissenting); Campbell v. State, 728 P.2d 628, 629 (Wyo.1986); Frias, 722 P.2d at 145. In other words, to warrant reversal on a claim of ineffective assistance of counsel, an appellant must demonstrate that his counsel failed to render such assistance as would have been offered by a reasonably competent attorney and that counsels deficiency prejudiced the defense of [the] case. Lower v. State, 786 P.2d 346, 349 (Wyo.1990). The benchmark for judging any claim of ineffectiveness must be whether counsels conduct so undermined the proper functioning of the adversarial process that the trial cannot be relied upon as having produced a just result. Strickland, 466 U.S. at 686, 104 S.Ct. at 2064.
Chapman v. State, 2001 WY 25, 6, 18 P.3d 1164, 1168-69 (Wyo.2001) (quoting Grainey v. State, 997 P.2d 1035, 1038-39 (Wyo.2000)).
Becker v. State, 2002 WY 126, 12, 53 P.3d 94, 98-99 (Wyo. 2002) (quoting Reyna v. State, 2001 WY 105, 19, 33 P.3d 1129, 1134-35 (Wyo. 2001)). An appellant bears the burden of proving that counsel was ineffective. Barkell v. State, 2002 WY 153, 10, 55 P.3d 1239, 1242 (Wyo. 2002).
[12] The State does not contest Aschs assertion that the preliminary hearing is a critical stage in the criminal proceedings at which a defendant has a constitutional right to the assistance of counsel. See Davila v. State, 831 P.2d 204, 214 (Wyo. 1992) (Urbigkit, C.J., dissenting); Auclair v. State, 660 P.2d 1156, 1160 (Wyo.), cert. denied, 464 U.S. 909 (1983); and Hurst v. State, 563 P.2d 232, 235 (Wyo. 1977). In turn, Asch does not base his argument on the failure of his assigned counsel to appear at the preliminary hearing.1 Instead, Asch premises his argument that he received ineffective assistance of counsel at the preliminary hearing on the theory that Biermans representation of him created a conflict of interest because Thomas Smith (Smith), who represented Aschs co-defendant Sutton, was also an assistant public defender within Biermans office.
[13] It is, perhaps, obvious that an attorney with a direct, personal conflict of interest might not provide effective representation to a defendant. An attorney who is related to a crime victim, for instance, should not be called upon to represent the alleged perpetrator of that crime. That type or level of conflict, where the attorneys personal interests conflict with those of his client, is readily recognized. Almost as apparent is the conflict of interest created when one attorney, though free of personal conflict, attempts to represent two people charged with the same crime. In that situation, the interests that conflict are the interests of the two defendants.
Joint representation of conflicting interests is suspect because of what it tends to prevent the attorney from doing. For example, . . . [joint representation] may well . . . preclude[] defense counsel . . . from exploring possible plea negotiations and the possibility of an agreement to testify for the prosecution, provided a lesser charge or a favorable sentencing recommendation would be acceptable. Generally speaking, a conflict may also prevent an attorney from challenging the admission of evidence prejudicial to one client but perhaps favorable to another, or from arguing . . . the relative involvement and culpability of his clients in order to minimize the culpability of one by emphasizing that of another. Examples can be readily multiplied.
. . .
[I]n a case of joint representation of conflicting interests the evilit bears repeatingis in what the advocate finds himself compelled to refrain from doing, not only at trial but also as to possible pretrial plea negotiations and in the sentencing process.
Shongutsie v. State, 827 P.2d 361, 365 (Wyo. 1992) (quoting Holloway v. Arkansas, 435 U.S. 475, 489-90, 98 S.Ct. 1173, 1181-82, 55 L.Ed.2d 426 (1978)) (emphasis in original).
[14] Because the potential for a conflict of interest inheres in almost every instance of multiple representation, this Court has rejected a case-by-case inquiry, and has adopted the rule that prejudice will be presumed in all instances of multiple representation of criminal defendants and, in the absence of an appropriate waiver, multiple representation will constitute reversible error. Shongutsie, 827 P.2d at 367 (quoting Cuyler v. Sullivan, 446 U.S. 335, 348, 100 S.Ct. 1708, 64 L.Ed.2d 333 (1980)). This rule applies whether the co-defendants are tried jointly or separately. Kenney v. State, 837 P.2d 664, 673 (Wyo. 1992).
[15] W.R.Cr.P. 44(c) governs the process for obtaining a waiver of the potential conflict of interest in a case of joint representation:
Whenever two or more defendants have been charged with offenses arising from the same or related transactions and are represented by the same retained or assigned counsel or by retained or assigned counsel who are associated in the practice of law, the court shall promptly inquire with respect to such joint representation and shall personally advise each defendant of the right to the effective assistance of counsel, including separate representation. Unless it appears that there is good cause to believe no conflict of interest is likely to arise, the court shall order separate representation.
While such a waiver may allow a defendant to be represented by the attorney of his choice, despite the potential conflict of interest, it does not rid the attorney of his obligation to abide by the rules of professional conduct. Kenney, 837 P.2d at 673-74; Shongutsie, 827 P.2d at 367.2
[16] W.R.Cr.P. 44(c) was adopted in response to Shongutsie. Kenney, 837 P.2d at 664 n.1, 675 n.11. It contains two provisions specifically applicable to the instant case. First, conflict of interest must be addressed not only where co-defendants are charged with the same offense, but where they are charged with offenses arising from the same or related transactions . . .. Consequently, the fact that Asch was charged with a methamphetamine offense, while Sutton was charged with a marijuana offense, does not negate the necessity for a conflict of interest inquiry. And second, conflict of interest must be addressed not only where co-defendants are represented by the same attorney, but also where they are represented by retained or assigned counsel who are associated in the practice of law . . .. The question is the effect, if any, of the fact that Bierman, who represented Asch at the preliminary hearing, and Smith, who represented Sutton, both worked in the Casper office of the State Public Defender.
[17] Asch contends that the appearance of both Bierman and Smith in these related cases requires reversal of his conviction because (1) based on Shongutsie, a presumption of prejudice exists; (2) the State Public Defenders Office is a firm within the meaning of the rules of professional conduct;3 and (3) the State Public Defenders Office is not exempt from the requirement that attorneys must provide effective assistance of counsel, free from any conflict of interest.4
[18] The State counters Aschs argument first by noting that the facts of this case are clearly distinguishable from the facts in both Shongutsie and Kenney. In Shongutsie, one lawyer represented two defendants in a joint trial. In Kenney, one lawyer represented two defendants in separate trials. Here, separate attorneys in the Casper office of the State Public Defender briefly represented two co-defendants in separate proceedings.5 The question of first impression for this Court is whether we should adopt a per se rule presuming a conflict of interest and disqualifying by imputation attorneys within the State Public Defenders Office from separately representing defendants charged with offenses arising from the same incident.
[19] The State contends that Wyoming should follow the lead of other states that have found public defenders offices different from private law firms, and have concluded that a case-by-case inquiry into conflicts of interest is appropriate. See, for example, People v. Daniels, 52 Cal.3d 815, 277 Cal.Rptr. 122, 802 P.2d 906, 915, cert. denied, 502 U.S. 846 (1991) (automatic disqualification would hamper ability of public defender to represent indigents in criminal cases); State v. Pitt, 77 Hawaii 374, 884 P.2d 1150, 1156 (1994) (case-by-case inquiry because public defenders office, as a government office, is different from a law firm); People v. Miller, 79 Ill.2d 454, 38 Ill.Dec. 775, 404 N.E.2d 199, 202 (1980) (no per se rule is necessary; a case-by-case analysis is sufficient to determine whether any facts peculiar to the case preclude multiple representation within a public defenders office); and State v. Bell, 90 N.J. 163, 447 A.2d 525, 528 (1982) (same potential for prejudice does not exist in public defenders office).
[20] In his Reply Brief, Asch points out numerous cases that have reached the opposite conclusion. See, for example, Ward v. State, 753 So.2d 705, 708 (Fla.App. 2000) (public defenders office is equivalent of a law firm for conflict purposes); Perkins v. State, 226 Ga. App. 613, 487 S.E.2d 365, 368 (1997) (for purposes of claims of ineffective assistance of counsel, lawyers in the same public defenders office are considered members of a law firm); State v. Watson, 620 N.W.2d 233, 241 (Iowa 2000) (representation of two clients by different attorneys from a public defenders office constitutes dual representation for purposes of conflict of interest analysis); and Jackson v. State, 329 S.C. 345, 495 S.E.2d 768, 773 (1998) (multiple representation out of a public defenders office may be a conflict of interest).
[21] We are quite cognizant of the fact that, in Reynoldson, and again in Shongutsie, we emphasized the need to maintain caution in multiple representation cases, despite the limited resources of the State Public Defenders Office, where any conflict in representation could be envisioned. Shongutsie, 827 P.2d at 367 (quoting Reynoldson v. State, 737 P.2d 1331, 1336 (Wyo. 1987)). We continue to adhere to that principle. Nevertheless, because representation of separate defendants by separate attorneys is fundamentally different than representation of separate defendants by a single attorney, we agree with the courts of those jurisdictions that have found a case-by-case inquiry, rather than per se disqualification, appropriate for cases alleging a conflict of interest based on representation of co-defendants by separate attorneys from the State Public Defenders Office. We do not consider this to conflict with the holdings of Shongutsie and Kenney.
[22] There are several reasons we reject automatic disqualification of assistant public defenders under these circumstances. The first reason is aptly stated in Comment d(iv) to Section 203(2) of The Restatement (Third) of Law Governing Lawyers:
[P]ublic defenders who are subject to a common supervisory structure within an organization ordinarily should be treated as independent for purposes of [imputing conflicts of interest]. The lawyers provide legal services, not to the public defender office, but to individual defendants. Ordinarily, the office would have no reason to give one defendant more vigorous representation than other defendants whose interests are in conflict. Thus, while individual defendants should be represented by separate members of the defenders office, the representation of each defendant should not be imputed to other lawyers in an office where effective measures prevent communications of confidential client information between lawyers employed on behalf of individual defendants.
[23] Similarly, there is no financial incentive for attorneys in a public defenders office to favor one client over another. People v. Christian, 41 Cal.App.4th 986, 48 Cal.Rptr.2d 867, 874 (1996). The public defender does not receive more money if one client prevails and another does not. See, David H. Taylor, Conflicts of Interest and the Indigent Client: Barring the Door to the Last Lawyer in Town, 37 Ariz. L. Rev. 577, 606 (1995). An assistant public defender, as a salaried government employee, simply does not have the financial interest in a case that is inherent in private practice. Turbin v. Superior Court In and For County of Navajo, 165 Ariz. 195, 797 P.2d 734, 737 (1990); Bell, 447 A.2d at 528.
[24] Another reason to adopt a case-by-case inquiry for conflicts of interest within the State Public Defenders Office is that to do otherwise would needlessly jeopardize the right of individual defendants to skilled and competent representation. As noted by the Illinois Supreme Court, [i]n many instances the application of such a per se rule would require the appointment of counsel with virtually no experience in the trial of criminal matters, thus raising, with justification, the question of competency of counsel. People v. Robinson, 79 Ill.2d 147, 37 Ill.Dec. 267, 402 N.E.2d 157, 162 (1979). See also Bell, 447 A.2d at 528.
[25] We do not wish to overstate this argument, inasmuch as all Wyoming attorneys are expected to have some level of knowledge of criminal law. But it goes without saying that an experienced public defender who specializes in criminal defense is a valuable asset within the criminal justice system, especially to the indigent defendant. Furthermore, given Wyomings many small communities, with a limited number of lawyers, it could be difficult in many cases even to find local counsel for a defendant.
[26] The third reason to avoid an automatic disqualification rule for imputed conflicts of interest among assistant public defenders is fiscal. Paying outside counsel every time there are multiple defendants in a case would, no doubt, be quite an expense for the taxpayers of the state. Where there has been no showing of an actual conflict of interest, and thus no showing of prejudice to the defendants, the minimal benefit of a per se rule would not justify the additional expense. While we cannot and should not put a price on the legal representation we provide to indigent defendants, the judicial branch of government still has an obligation to be fiscally responsible.
[27] Finally, a per se disqualification rule is not necessary because W.R.Cr.P. 44(c) already provides an effective mechanism for dealing with potential conflicts of interest in cases of multiple representation.6 Whether or not assistant public defenders that work out of the same office are, or are not, comparable to members of a private law firm, they are certainly associated in the practice of law and there is no reason W.R.Cr.P. 44(c) should not apply to them.
[28] In a perfect world, W.R.Cr.P. 44(c) would always be applied just as it is written. The assistant public defenders assigned to represent co-defendants would notify the judge of such assignment. The judge would then immediately hold a hearing, where inquiry would be made into any possible conflicts of interest, and where the defendants rights and options would be explained to them. Absent a waiver by the defendants or a finding by the judge that there was good cause to believe no conflict of interest was likely to arise, separate counsel would be appointed. And, of course, a perfect record would be made of all the proceedings.
[29] Unfortunately, the instant case took place in the real world, and perfect procedures were not followed. To the credit of the State Public Defenders Office, a contract attorney, McLeod, was assigned to represent Asch, presumably because Smith had been appointed to represent Sutton.7 But the preliminary hearing was set and held before McLeod was even aware of the appointment. That resulted in Biermans appearance in her stead.
[30] At this point, it should be remembered that the only conflict of interest issue raised is Biermans appearance at the preliminary hearing. The question is whether, given Smiths appointment to represent Sutton, Biermans brief representation of Asch that day in circuit court created such a conflict that Aschs later conviction by a jury in district court should be reversed. The limited nature of this question makes it less difficult to apply an after the fact analysis than would be true in many cases.
[31] Bierman testified at the motion hearing that, as the supervising attorney in the Casper office, he assigned particular attorneys to particular felony cases. Misdemeanors, however, were assigned on a rotating basis by the office secretaries. Asch was charged with a felony, but Sutton was only charged with a misdemeanor. Consequently, Bierman would have assigned Aschs case to McLeod, but he would not have assigned Suttons case to Smith. Bierman further testified that, at the time of Aschs preliminary hearing, he was not even aware that Sutton was being represented by his office. If multiple representation can be seen as an attempt to serve two masters, then there was no conflict of interest here because Bierman was not even aware that there were two masters to serve.8
[32] One other aspect of Biermans testimony leads to the conclusion that no conflict of interest arose in this case. Bierman testified that, since it was his practice to advise attorneys for whom he had covered a hearing what had transpired at that hearing, he probably did so with McLeod. On the other hand, Bierman could not recall ever having discussed the case with Smith. There is nothing in the record to contradict these assertions, so the only evidence is that no information obtained by Bierman during the preliminary hearing was used to Suttons advantage or Aschs disadvantage.
[33] Looking, both figuratively and literally, at the bottom line of W.R.Cr.P. 44(c), we can only conclude that there is good cause to believe that no conflict of interest occurred in this case. Considering the broader standard of effective assistance of counsel, we also conclude that counsels performance in this case was not outside the wide range of professionally competent assistance, and we can find nothing in the record that substantiates any prejudice having befallen Asch by Biermans appearance at the preliminary hearing.9
[34] It should be obvious that conflict of interest issues should not come before this Court in the manner that this case came here. Both the attorneys and the judge have a duty to recognize potential conflicts and to deal with them in open court, with the participation of the defendants, before representation has been compromised. In the instant case, however, the single incident underlying the claim of a conflict of interest occurred before there was any reasonable opportunity for the potential conflict to be recognized. Further, there simply is nothing in the record from which we can find that an actual conflict of interest existed. We conclude that Asch did not receive ineffective assistance of counsel at his preliminary hearing.
Was Aschs right to effective assistance of counsel violated as a result of counsels failure to obtain a copy of the preliminary hearing transcript and to undertake a reasonable investigation of the case?
FOOTNOTES
1In fairness to McLeod, her non-appearance at the preliminary hearing probably should not be characterized as a failure. Although Aschs initial appearance in the circuit court was on Friday, September 3rd, the Order Appointing Counsel was not signed until Wednesday, September 8th, and filed Thursday, September 9th. The Notice and Order of Preliminary Hearing was not signed and filed until Friday, September 10th. Inasmuch as the preliminary hearing took place at 9:00 a.m., on Monday, September 13th, it is entirely plausible that, as McLeod testified at the remand hearing, she was not notified of the preliminary hearing before it took place. Neither Bierman nor McLeod could recall specifically why Bierman appeared and McLeod did not. McLeod speculated that Bierman may have been at the courthouse for other matters and simply filled in for her.
2Rule 1.7 of the Wyoming Rules of Professional Conduct for Attorneys at Law prescribes the lawyers duties, independent of anything the court might do, when clients interests may be adverse to one another.
3Rule 1.10(a) of the Wyoming Rules of Professional Conduct for Attorneys at Law provides that [w]hile lawyers are associated in a firm, none of them shall knowingly represent a client when any one (1) of them practicing alone would be prohibited from doing so by Rule 1.7, 1.8(c), 1.9 or 2.2. And since the State Public Defenders Office is an organization that employs lawyers, it is a firm under the rules. See, John Burman, Conflicts of Interest in Wyoming, XXXV Land & Water L. Rev. 79, 123 (2000).
4This Court is disinterested in establishing a rule which minimizes caution in co-representation cases or, even with recognition of the limited resources of the public defender, which would not emphasize the importance of different counsel where any conflict in representation could be envisioned. Shongutsie, 827 P.2d at 367 (quoting Reynoldson v. State, 737 P.2d 1331, 1336 (Wyo. 1987)).
5Smith represented Sutton throughout her proceedings, but Bierman only represented Asch at his preliminary hearing. McLeod, a contract attorney, did not physically operate out of the public defenders office. Asch has not raised a conflict of interest issue as to McLeod.
6The case-by-case approach of W.R.Cr.P. 44(c) also represents an ethical resolution of conflict of interest issues arising under the Wyoming Rules of Professional Conduct for Attorneys at Law. Burman, supra, XXXV Land & Water L. Rev at 125.
7Both Bierman and Kenneth Koski, the State Public Defender, testified at the motion hearing as to the offices existing policies concerning conflicts of interest, which policies emphasized W.R.Cr.P. 44(c) and the rules of professional conduct.
8It would seem that, in this situation, the only client who could have been prejudiced would have been Sutton, because Bierman was not aware he should be protecting her interests.
9Raising the conflict of interest issue under the banner of ineffective assistance of counsel creates an interesting dichotomy. Under the standard test for ineffective assistance of counsel, not only is competency presumed, but prejudice must be proven. When the issue is a conflict of interest, however, at least in the pure case of multiple representation by a single attorney, the conflict is presumed and no proof of prejudice is required. The difference results, we believe, from the inherent danger of prejudice where there is a conflict of interest.
10The cross-examination of Swisher takes up approximately three pages of the trial transcript.
11Wyo. Const. art. 1, 10 provides: In all criminal prosecutions the accused shall have the right to defend in person and by counsel . . ..
Citationizer Summary of Documents Citing This Document
Cite | Name | Level | |
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Oklahoma Supreme Court Cases | |||
Cite | Name | Level | |
1912 OK 848, 122 P. 1103, | NELSON v. WOOD | Discussed | |
Wyoming Supreme Court Cases | |||
Cite | Name | Level | |
2003 WY 57, 67 P.3d 1207, | URBIGKIT v. STATE | Cited | |
2003 WY 84, 72 P.3d 803, | SIMMONS, JR. v. STATE | Discussed | |
2003 WY 132, 78 P.3d 205, | DANIEL v. STATE | Discussed | |
2004 WY 110, 98 P.3d 172, | VIGIL v. STATE | Discussed | |
2004 WY 120, 99 P.3d 928, | DUKE v. STATE | Discussed at Length | |
2004 WY 146, 100 P.3d 1256, | BARNES v. STATE | Discussed | |
2005 WY 12, 105 P.3d 1049, | JAMES MARTIN HARLOW, aka THORVALDR SIGWOLF V. THE STATE OF WYOMING | Cited | |
2005 WY 73, 115 P.3d 14, | ROBERT LEROY SILER V. THE STATE OF WYOMING | Discussed | |
2005 WY 81, 115 P.3d 1110, | WADE TRAVIS KEATS V. THE STATE OF WYOMING | Cited | |
2005 WY 132, 121 P.3d 127, | JOHN MICHAEL GRISSOM V. STATE OF WYOMING | Discussed | |
2005 WY 164, 125 P.3d 269, | RICHARD A. MARSHALL, JR. V. THE STATE OF WYOMING | Discussed | |
2006 WY 20, 128 P.3d 652, | TIMOTHY PAUL MARTINEZ V. STATE OF WYOMING | Discussed at Length | |
2006 WY 77, 137 P.3d 136, | JESSE DAN BOLIN V. THE STATE OF WYOMING | Cited | |
2006 WY 104, 141 P.3d 106, | JAMES BARKER V. THE STATE OF WYOMING | Cited | |
2007 WY 57, 155 P.3d 1013, | AUBREY McCLELLAND V. THE STATE OF WYOMING | Discussed | |
2007 WY 89, 158 P.3d 698, | LONNIE LESSARD V. THE STATE OF WYOMING | Discussed | |
2007 WY 113, 162 P.3d 512, | ROBERT JAMES HAUCK v. THE STATE OF WYOMING | Discussed | |
2007 WY 165, 169 P.3d 512, | EMILIO FELIX TENIENTE V. THE STATE OF WYOMING | Cited | |
2008 WY 56, 184 P.3d 687, | JONMICHAEL GUY v. THE STATE OF WYOMING | Cited | |
2010 WY 44, 228 P.3d 867, | KENNETH ERMIL JONES V. THE STATE OF WYOMING | Discussed |
Cite | Name | Level | |
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1990 10CIR 92, 897 F.2d 1538, | U.S. v. Ware | Cited | |
1999 US 5650, 528 S.Ct. 285, 528 U.S. 922, | Washington v. Finch | Cited | |
366 U.S. 717, | IRVIN v. DOWD | Cited | |
381 U.S. 532, | ESTES v. TEXAS | Cited | |
384 U.S. 333, | SHEPPARD v. MAXWELL | Cited | |
397 U.S. 337, | ILLINOIS v. ALLEN , 397 U.S. 337 (1970) | Cited | |
425 U.S. 501, | ESTELLE v. WILLIAMS, 425 U.S. 501 (1976) | Cited | |
435 U.S. 475, | HOLLOWAY v. ARKANSAS, 435 U.S. 475 (1978) | Cited | |
446 U.S. 335, | CUYLER v. SULLIVAN, 446 U.S. 335 (1980) | Cited | |
466 U.S. 668, | STRICKLAND v. WASHINGTON, 466 U.S. 668 (1984) | Discussed | |
475 U.S. 560, | HOLBROOK v. FLYNN, 475 U.S. 560 (1986) | Cited | |
1981 WA 95, 635 P.2d 694, 96 Wash.2d 383, | State v. Hartzog | Discussed | |
1999 WA 324, 975 P.2d 967, 137 Wash.2d 792, | State v. Finch | Cited | |
1897 WA 206, 50 P. 580, 18 Wash. 47, | State v. Williams, 39 L.R.A. 821 | Cited | |
Wyoming Supreme Court Cases | |||
Cite | Name | Level | |
1977 WY 37, 563 P.2d 232, | Hurst v. State | Cited | |
1979 WY 3, 589 P.2d 358, | Campbell v. State | Cited | |
1981 WY 128, 637 P.2d 671, | Epperson v. State | Cited | |
1983 WY 29, 660 P.2d 1156, | Auclair v. State | Cited | |
1986 WY 141, 722 P.2d 135, | Frias v. State | Discussed | |
1986 WY 196, 727 P.2d 280, | Haselhuhn v. State | Cited | |
1986 WY 203, 728 P.2d 628, | Campbell v. State | Cited | |
1987 WY 171, 746 P.2d 1247, | Laing v. State | Cited | |
1987 WY 66, 737 P.2d 336, | Gist v. State | Cited | |
1987 WY 74, 737 P.2d 1331, | Reynoldson v. State | Discussed | |
1989 WY 6, 767 P.2d 149, | Prime v. State | Cited | |
1989 WY 90, 773 P.2d 139, | Smith v. State | Cited | |
1989 WY 145, 777 P.2d 54, | DALE BURTON JONES v. THE STATE OF WYOMING ; RAY KNOX v. THE STATE OF WYOMING | Cited | |
1990 WY 10, 786 P.2d 346, | Lower v. State | Cited | |
1991 WY 61, 810 P.2d 119, | King v. State | Discussed | |
1992 WY 23, 827 P.2d 361, | Shongutsie v. State | Cited | |
1992 WY 49, 831 P.2d 204, | Davila v. State | Cited | |
1992 WY 82, 837 P.2d 664, | Kenney v. State | Cited | |
1992 WY 137, 840 P.2d 912, | Haworth v. State | Cited | |
1992 WY 173, 843 P.2d 606, | Dickeson v. State | Cited | |
1994 WY 9, 868 P.2d 236, | Porth v. State | Cited | |
1993 WY 111, 858 P.2d 553, | In Interest of LDO | Cited | |
1994 WY 40, 872 P.2d 100, | Arner v. State | Cited | |
1995 WY 8, 888 P.2d 1262, | Starr v. State | Cited | |
1995 WY 38, 891 P.2d 793, | Herdt v. State | Cited | |
1997 WY 5, 931 P.2d 942, | Dean v. State | Cited | |
1998 WY 15, 953 P.2d 140, | Mapp v. State | Cited | |
2000 WY 38, 997 P.2d 1035, | GRAINEY v. STATE | Discussed | |
2000 WY 186, 11 P.3d 897, | EUSTICE v. STATE | Cited | |
2001 WY 11, 17 P.3d 34, | SHIPMAN v. STATE | Discussed | |
2001 WY 25, 18 P.3d 1164, | CHAPMAN v. STATE | Discussed | |
2001 WY 105, 33 P.3d 1129, | REYNA v. STATE | Discussed at Length | |
2002 WY 45, 43 P.3d 80, | LANCASTER v. STATE | Discussed | |
2002 WY 126, 53 P.3d 94, | BECKER v. STATE | Discussed at Length | |
2002 WY 153, 55 P.3d 1239, | BARKELL v. STATE | Discussed |