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People v. Rhinehart

Michigan Court of Appeals
Jan 9, 1986
149 Mich. App. 172 (Mich. Ct. App. 1986)

Summary

In People v. Rhinehart, 149 Mich. App. 172, 174-75, 177-78; 385 N.W.2d 640 (1986), this Court held that where no objection is made to joint representation, a violation of GCR 1963, 785.4(4) (a predecessor of M.C.R. 6.005(F)) is not grounds for reversal "where there is `no showing of a conflict of interest actually affecting the adequacy of representation.'"

Summary of this case from Robinson v. Stegall

Opinion

Docket No. 76933.

Decided January 9, 1986.

Frank J. Kelley, Attorney General, Louis J. Caruso, Solicitor General, William F. Lavoy, Prosecuting Attorney, Lawrence J. VanWasshenova, Assistant Prosecuting Attorney, for the people.

John E. Luchansky, for defendant.

Before: R.M. MAHER, P.J., and WAHLS and HOOD, JJ.


Defendant, Gary Paul Rhinehart, appeals as of right his jury conviction for delivery of less than 50 grams of cocaine, MCL 333.7401(1) and (2)(a)(iv); MSA 14.15(7401)(1) and (2)(a)(iv).

Defendant and codefendant, David Rhinehart, who is defendant's brother, were represented by the same attorney and tried together. Codefendant was acquitted but defendant was found guilty. On appeal, defendant contends that he was denied effective assistance of counsel because his trial attorney jointly represented defendant and codefendant and failed to seek separate trials.

In People v Hunter, 141 Mich. App. 225, 229-230; 367 N.W.2d 70 (1985), this Court summarized the standard of review for ineffective assistance of counsel claims:

"The Michigan courts recognize a two-pronged test in assessing ineffective assistance of counsel claims. [People v Garcia, 398 Mich. 250; 247 N.W.2d 547 (1976), reh den 399 Mich. 1041 (1977)]. The first branch of the inquiry focuses on the Sixth Amendment right to counsel and requires that defense counsel perform at least as well as a lawyer with ordinary skills and training in the criminal law and must conscientiously protect his client's interest undeflected by conflicting considerations. Second, ineffectiveness of counsel may also be shown where defense counsel makes a serious mistake but for which defendant would have had a reasonably likely chance of acquittal. [People v Degraffenreid, 19 Mich. 702; 173 N.W.2d 317 (1969)]. In this connection, we presume trial counsel afforded his client effective representation. [People v Tranchida, 131 Mich. App. 446; 346 N.W.2d 338 (1984)]. The burden of proving ineffectiveness of counsel is on the defendant. [People v Ginther, 390 Mich. 436; 212 N.W.2d 922 (1973)].

"In Strickland v Washington, [ 466 U.S. 668; 104 S Ct 2052; 80 L Ed 2d 674 (1984)], the United States Supreme Court held that when a convicted defendant claims under the Sixth Amendment that counsel's assistance was so defective as to require reversal, he must establish the following: (1) that counsel's performance was deficient, a performance inquiry to determine whether counsel's assistance was reasonable considering all the circumstances; and (2) that the deficient performance prejudiced the defense, that there is a reasonable probability that, absent the error, the factfinder would have had a reasonable doubt respecting guilt. The Court further held that, under the Sixth Amendment, `the benchmark for judging any claim of ineffectiveness must be whether counsel's conduct so undermined the proper functioning of the adversarial process that the trial cannot be relied on as having produced a just result'. The reasonableness of counsel's challenged conduct must be judged based upon the facts of the particular case, viewed at the time of counsel's conduct." (Footnotes omitted.)

Because defendant failed to object at trial to joint representation, he must demonstrate an actual conflict of interest that adversely affected his trial attorney's performance in order to establish a violation of his right to effective assistance of counsel. People v Simmons, 134 Mich. App. 779, 788; 352 N.W.2d 275 (1984), lv den 421 Mich. 859 (1985), quoting Cuyler v Sullivan, 446 U.S. 335, 349-350; 100 S Ct 1708; 64 L Ed 2d 333 (1980).

A review of the record indicates that a conflict of interest did arise during trial.

Defense counsel's trial strategy was to attack the credibility of the informant, Robert VanHook, whose expected testimony was that codefendant and defendant were present at the time the sale of cocaine took place. Defense counsel planned to present four witnesses who would place codefendant in Minneapolis, Minnesota when the transaction was alleged to have occurred. The attorney hoped that if the jury believed the alibi defense, the credibility of the informant would be seriously undermined and both defendant and codefendant would be acquitted. Before trial, counsel did not plan to have either defendant or codefendant testify. However, when only two of the alibi witnesses appeared in court, and their testimony proved to be unsatisfactory in the trial attorney's opinion, he advised codefendant that it was essential that he testify to strengthen his alibi defense.

Codefendant testified that he was out of town at the time of the alleged sale. Two defense witnesses corroborated this testimony. He further testified that VanHook was a former employee whom he had discharged rather angrily because VanHook had damaged a customer's car. On cross-examination, codefendant testified that he knew VanHook through his brother, defendant, and that defendant and VanHook had been roommates at one time.

We agree with defendant that this testimony was damaging to him because it linked the defendant with VanHook. We further find that a conflict of interest thereby arose which affected counsel's representation of defendant. Defense counsel did not discuss with defendant the change in trial strategy before codefendant testified. Nor did defense counsel consult with defendant concerning the advisability of testifying to negate any damaging implication. Moreover, defense counsel testified that, had he represented defendant only, he would have consulted with defendant concerning this matter.

While we doubt that his brother's testimony severely prejudiced defendant, once a defendant establishes a conflict of interest affecting his representation, he need not demonstrate actual prejudice. People v Simmons, supra, p 788. Accordingly, we reverse defendant's conviction.

We do not agree, however, that defense counsel made a serious mistake in failing to seek separate trials but for which defendant would have had a reasonably likely chance of acquittal. No conflict of interest arising from a joint trial was anticipated by defense counsel. Indeed, it appears that a joint trial was a matter of counsel's trial strategy for which this Court is reluctant to substitute its judgment. See People v Hunter, 141 Mich. App. 225, 230; 367 N.W.2d 70 (1985) and People v Lotter, 103 Mich. App. 386; 302 N.W.2d 879, lv den 412 Mich. 852 (1981).

We also find that the trial court's failure to comply with GCR 1963, 785.4(4), now MCR 6.101(C)(4), requires reversal.

GCR 1963, 785.4 provided:

"(4) Whenever two or more defendants who have been jointly charged or whose cases have been consolidated are represented by the same lawyer, the court shall inquire into any potential conflict which might jeopardize the right of each defendant to the fidelity of his or her lawyer. The same lawyer may not represent two or more defendants unless:

"(a) the lawyer proposing to represent two or more defendants states, on the record before the trial, that joint representation will in all probability not cause a conflict of interest and the reasons for that conclusion;

"(b) the defendants state, on the record, after the court's inquiry and the lawyer's statement that it is their desire to proceed with the same lawyer; and

"(c) the court finds, on the record, that joint representation will in all probability not cause a conflict of interest and states the reasons for the finding.

"If an unanticipated conflict occurs during the trial, a lawyer who is representing two or more defendants shall immediately inform the court. If the court agrees that a conflict has arisen, it shall appoint an additional lawyer or lawyers or afford one or more of the defendants the opportunity to retain separate counsel, as the case may require. The court may, on its own motion, inquire into any potential conflict which becomes apparent during trial, and the court may then take whatever action the interests of justice require." (Emphasis added.)

While the court's obligation under this rule is not tied to any particular stage of proceedings, People v Kirk, 119 Mich. App. 599, 602; 326 N.W.2d 145 (1982), it is written in mandatory terms:

"a violation of its guidelines does not perfect a claim of ineffective assistance of counsel. The constitutional guarantees of effective assistance of counsel do not require courts to initiate inquiries into the propriety of multiple representation unless the court knows or reasonably should know that a particular conflict exists. * * * The Michigan Supreme Court, in an exercise of its supervisory power over state courts, has charted a desirable practice in its promulgation of GCR 1963, 785.4(4). Unless the Supreme Court provides otherwise, however, we decline to hold that a violation of this rule of procedure, in itself, constitutes reversible error." People v Gamble, 124 Mich. App. 606, 610-611; 335 N.W.2d 101 (1983). (Citations omitted.)

The purpose of this rule is to protect the rights of defendants to effective assistance of counsel in joint representation cases. People v Gardner, 406 Mich. 369, 373; 279 N.W.2d 785 (1979), cert den 444 U.S. 1093; 100 S Ct 1061; 62 L Ed 2d 783 (1980). However, effectuation of this purpose does not require reversal in a case where there is "no showing of a conflict of interest actually affecting the adequacy of representation". People v Kirk, 119 Mich. App. 599, 603; 326 N.W.2d 145 (1982).

We have already determined that an actual conflict of interest arose during trial which adversely affected defense counsel's performance. We further find that the conflict of interest should have become apparent to the trial court at the time defense counsel made known to the court that David Rhinehart would testify. Therefore, the trial court's compliance with the rule would have fulfilled its purpose of protecting defendant's right to effective assistance of counsel. Conversely, its noncompliance compels reversal.

Defendant's final argument on appeal merits only passing discussion. Because it was the acquitted codefendant, and not defendant, who presented an alibi defense, any error in instructing the jury on alibi defense did not prejudice defendant and was harmless beyond a reasonable doubt.

Reversed.


Summaries of

People v. Rhinehart

Michigan Court of Appeals
Jan 9, 1986
149 Mich. App. 172 (Mich. Ct. App. 1986)

In People v. Rhinehart, 149 Mich. App. 172, 174-75, 177-78; 385 N.W.2d 640 (1986), this Court held that where no objection is made to joint representation, a violation of GCR 1963, 785.4(4) (a predecessor of M.C.R. 6.005(F)) is not grounds for reversal "where there is `no showing of a conflict of interest actually affecting the adequacy of representation.'"

Summary of this case from Robinson v. Stegall
Case details for

People v. Rhinehart

Case Details

Full title:PEOPLE v RHINEHART

Court:Michigan Court of Appeals

Date published: Jan 9, 1986

Citations

149 Mich. App. 172 (Mich. Ct. App. 1986)
385 N.W.2d 640

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