Court Opinion

ID: 4314887
Source: CourtListenerOpinion
Date Created: 2018-09-24 19:26:32.939209+00
Date Added: 2024-06-11T14:44:55.978043
License: Public Domain

J-S35004-18

NON-PRECEDENTIAL DECISION - SEE SUPERIOR COURT I.O.P. 65.37

COMMONWEALTH OF PENNSYLVANIA,                     IN THE SUPERIOR COURT
                                                            OF
                                                       PENNSYLVANIA
                         Appellee

                    v.

ANDRE MAURICE ADAMS,

                         Appellant                   No. 1552 MDA 2017

          Appeal from the PCRA Order Entered September 7, 2017
              In the Court of Common Pleas of Centre County
                        Criminal Division at No(s):
                         CP-14-CR-0000355-2012
                         CP-14-CR-0001228-2012

BEFORE: BENDER, P.J.E., PANELLA, J., and MURRAY, J.

MEMORANDUM BY BENDER, P.J.E.:                  FILED SEPTEMBER 24, 2018

      Appellant, Andre Maurice Adams, appeals from the order denying his

timely petition filed pursuant to the Post Conviction Relief Act (“PCRA”), 42

Pa.C.S. §§ 9541-9546. Appellant claims his prior appellate counsel provided

ineffective assistance of counsel (IAC) by abandoning five claims of error

during his direct appeal. After careful review, we affirm.

      The factual history underlying Appellant’s convictions is not germane to

this appeal. Instead, we briefly set forth the procedural history of this case,

which this Court has previously summarized as follows:

            On January 10, 2013, following a jury trial, [Appellant] was
      found guilty of thirty-eight charges in two separate dockets. At
      CP-14-CR-1228-2012 (“1228-2012”), [Appellant] was convicted
      of sixteen counts of possession of a controlled substance with
      intent to deliver (“PWID”), one count of criminal conspiracy, and
J-S35004-18

      one count of criminal use of a communication facility (“CUCF”). At
      CP-14-CR-355-2012 (“355-2012”), [Appellant] was convicted of
      fourteen counts of PWID, and six counts of CUCF.

            On February 12, 2013, the trial court sentenced [Appellant]
      to an aggregate sentence of seventy-nine to one hundred fifty-
      eight years’ imprisonment on the two dockets.

                                     ***

            On March 14, 2013, [Appellant] filed a notice of appeal. On
      March 21, 2013, the trial court directed [Appellant] to file a
      concise statement of errors complained of on appeal pursuant to
      Pa.R.A.P. 1925(b), which [he] timely filed on April 10, 2013. In
      response to [Appellant’s] concise statement, the trial court filed
      three separate opinions pursuant to [Rule] 1925(a) on May 7, May
      13, and June 25, 2013. On April 2, 2014, this Court dismissed
      [Appellant’s] appeal for failure to submit a brief. On April 23,
      2014, [Appellant] filed a motion for leave to file an appeal nunc
      pro tunc, which the trial court granted on April 25, 2014.

            On May 6, 2014, [Appellant] filed a second notice of appeal.
      On May 12, 2014, the trial court directed [him] to file a concise
      statement of errors complained of on appeal pursuant to [Rule]
      1925(b), which [Appellant] timely filed on June 2, 2014. In
      response to [Appellant’s] concise statement, the trial court filed
      three separate opinions pursuant to [Rule] 1925(a) on July 3, July
      15, and July 16, 2014.

Commonwealth v. Adams, No. 808 MDA 2014, unpublished memorandum

at 2-6 (Pa. Super. filed June 17, 2015) (footnotes omitted). In his 2014-15

direct appeal, Appellant raised six issues in his Rule 1925(b) statement, but

only presented a single illegal sentencing claim in his brief to this Court. We

vacated Appellant’s sentence, and remanded for resentencing.        Id. at 10.

Subsequently, on August 25, 2015, the trial court resentenced Appellant to an

aggregate term of 45-90 years’ incarceration. Appellant filed a direct appeal

from his new judgment of sentence, but that appeal was dismissed due to his

failure to file a docketing statement in compliance with Pa.R.A.P. 3517.

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        Appellant filed the instant, timely PCRA petition on December 30, 2016.

A PCRA hearing was conducted on August 25, 2017, during which Appellant

and his direct-appeal attorney, Karen Muir, Esq., testified. On September 7,

2017,     the   PCRA   court   denied    Appellant’s   petition   and   issued   a

contemporaneous opinion. Appellant filed a timely notice of appeal, and filed

a timely Rule 1925(b) statement on October 30, 2017. On November 2, 2017,

the PCRA court issued a statement pursuant to Rule 1925(a), indicating that

Appellant’s claims were adequately addressed in the court’s opinion

accompanying its September 7, 2017 order denying his petition.

        Appellant now presents the following, five-part question for our review:

        Was the failure of Appellate Counsel to brief (5) issues on appeal
        an error that denied [Appellant] effective counsel? Specifically,
        []:

           a. Whether [Appellant]’s Sixth Amendment Right to Counsel
           was denied by the lower court when [he] was forced to
           proceed to trial pro se[?]

           b. Whether the lower court properly removed [Appellant]
           from the jury selection process, a critical state in the
           proceedings and forced stand-by counsel to select the panel
           when [Appellant] sought to proceed pro se or with proper
           counsel[?]

           c. Whether [Appellant]’s right to a speedy and prompt trial
           was violated during the pre-trial stages in this case[?]

           d. Whether the Commonwealth engaged in sentencing
           manipulation by prolonging their investigation so as to
           increase [the number of] mandatory sentence[s] against
           [Appellant?]

           e. Whether [Appellant] was entrapped as a matter of law or
           as a matter of fact[?]

Appellant’s Brief at 4.

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      Our standard of review for orders denying PCRA relief is well established.

      We review an order dismissing a petition under the PCRA in the
      light most favorable to the prevailing party at the PCRA level. This
      review is limited to the findings of the PCRA court and the evidence
      of record. We will not disturb a PCRA court’s ruling if it is
      supported by evidence of record and is free of legal error. This
      Court may affirm a PCRA court’s decision on any grounds if the
      record supports it. Further, we grant great deference to the
      factual findings of the PCRA court and will not disturb those
      findings unless they have no support in the record. However, we
      afford no such deference to its legal conclusions. Where the
      petitioner raises questions of law, our standard of review is de
      novo and our scope of review plenary.

Commonwealth v. Ford, 44 A.3d 1190, 1194 (Pa. Super. 2012) (internal

citations omitted).

      Appellant’s five claims all concern the alleged ineffective assistance of

counsel. Generally speaking,

             [t]o prevail on a claim of ineffective assistance of counsel, a
      petitioner must overcome the presumption that counsel is
      effective by establishing all of the following three elements, as set
      forth in Commonwealth v. Pierce, 515 Pa. 153, 527 A.2d 973,
      975–76 (1987): (1) the underlying legal claim has arguable merit;
      (2) counsel had no reasonable basis for his or her action or
      inaction; and (3) the petitioner suffered prejudice because of
      counsel’s ineffectiveness.

Commonwealth v. Chmiel, 30 A.3d 1111, 1127 (Pa. 2011) (some citations

omitted). The first, arguable merit prong asks, “whether the disputed action

or   omission   by    counsel    was    of   questionable    legal   soundness.”

Commonwealth v. Davis, 541 A.2d 315, 318 (Pa. 1988).

      With regard to the second, reasonable basis prong, we do not
      question whether there were other more logical courses of action
      which counsel could have pursued; rather, we must examine
      whether counsel’s decisions had any reasonable basis. We will

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     conclude that counsel’s chosen strategy lacked a reasonable basis
     only if [the a]ppellant proves that an alternative not chosen
     offered a potential for success substantially greater than the
     course actually pursued. To establish the third, prejudice prong,
     the petitioner must show that there is a reasonable probability
     that the outcome of the proceedings would have been different
     but for counsel’s ineffectiveness. We stress that boilerplate
     allegations and bald assertions of no reasonable basis and/or
     ensuing prejudice cannot satisfy a petitioner’s burden to prove
     that counsel was ineffective.

Chmiel, 30 A.3d at 1127–28 (citations and quotation marks omitted).

     Appellant’s first claim concerns whether appellate counsel provided

ineffective assistance when she failed to raise a claim that Appellant was

denied his Sixth Amendment right to counsel when he was allegedly forced to

proceed pro se. This matter arose during the course of a pre-trial hearing

held on September 13, 2012.     At that time, Appellant was represented by

private counsel, Stephen O’Hanlon, Esq., at 355-2012, and by appointed

counsel, Daniel Nelson, Esq., at 1228-2012. The hearing was held to address

the attorneys’ motions to withdraw as Appellant’s counsel.

     At the hearing, Attorney O’Hanlon testified that there were financial

issues with the attorney-client relationship.   He was hired to represent

Appellant at 355-2012, before Appellant was charged with numerous

additional counts at 1228-2012. N.T., 9/13/12, at 3. Appellant was unable

to pay the additional fees required to cover both cases. Id. Second, Attorney

O’Hanlon stated that “every time” he “appeared in court, whether it was for

pretrial or when we had the continued motions to suppress with Your Honor,

… [Appellant] thought that he was there to represent himself and had made it

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near impossible for me to represent him.”       Id.   Attorney O’Hanlon also

complained that Appellant repeatedly requested that he file frivolous motions,

which caused additional tension between them.         As Attorney O’Hanlon

explained:

      [E]very time I have said that I wasn’t going to do that, I
      communicated with him fully as to the reason for me not doing it,
      but every time I’ve s[een] him up in Centre County [Correctional
      Facility] he would call me a dick head, a fucking cracker, a cock
      sucker, everything like that. So it … has made attorney/client
      communication impossible.

Id. at 4. Attorney O’Hanlon further indicated that he had met with Appellant

three times, and had written to him on least thirteen occasions. Id. at 6.

      Appellant responded with specific complaints regarding Attorney

O’Hanlon’s performance, and essentially indicated that he agreed that the

attorney/client relationship had soured and, thus, he did not oppose Attorney

O’Hanlon’s motion to withdraw his representation. Id. at 6-9. As a result,

the trial court granted Attorney O’Hanlon’s motion to withdraw. Id. at 10.

      The court then presented Appellant with a choice: that he proceed either

with Attorney Nelson as appointed counsel for the consolidated docket, or pro

se. Id. The court informed Appellant that, if he proceeded pro se, it would

permit him to refile any motion that had been rejected due to the ban on

hybrid representation. Id. at 11. Appellant responded that he did not feel

comfortable proceeding pro se. Id. at 12. However, he also indicated his

displeasure with Attorney Nelson, asserting that Attorney Nelson, as

appointed counsel, was essentially working for the same government that was

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prosecuting him. Id. at 13. He also alleged communication problems with

Attorney Nelson. Id. at 12-14. Attorney Nelson responded:

      Your Honor, there is a motion to withdraw. As I recall, two prior
      occasions where we have been in front of different judges from
      this court, criminal jury selection, criminal pretrial conference, my
      client has raised irreconcilable differences.        He’s raised my
      ineffective assistance. He’s raised my inexperience in these
      matters. [At] each juncture along those lines, I’ve stayed willing
      to represent [Appellant].

Id. at 18. Attorney Nelson then indicated that Appellant specifically requested

that he withdraw. Id. He continued as follows:

             I actually do agree with [Appellant].           [There exist]
      significant irreconcilable differences … in this particular case.

             It’s never happened to me before in my representation of
      individuals in Centre County but it is in this case. And it really
      came to a head at the point in time I shared similar experiences
      to Mr. O’Hanlon and what he was representing to the court,
      although I haven’t been insulted or maligned. He hasn’t done
      anything like that to me. But with regard to advice, that dynamic
      is supposed to take place between attorneys and clients, [but]
      there is an absolute and complete breakdown.

             I offer advice, [Appellant] listens to that advice, he usually
      responds to that advice, and then even when we agree on some
      course … it is completely reversed. I’m then the liar in this matter
      and then I’m accused of being ineffective – or I’m accused of
      offering ineffective assistance to [Appellant].

                                      ***
              This is classic in my interactions with [Appellant]. [F]rom
      the very first time that I sat down with him to where we stand
      here and now, I’m not so sure that we are in the face of an election
      where [Appellant] is actually choosing to proceed pro se because
      he chooses to be his own attorney and he wants to be a true pro
      se litigant.

      I think we’re much, much closer to the forfeiture of counsel. He
      has done this numerous times. He hasn’t worked with any of

                                      -7-
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      them. We have all cited same or similar concerns with our
      interactions. And, truth be told, no matter how this goes, even if
      I stay on this case, he is going to accuse me of things I didn’t do.

            There is no doubt in my mind. It’s already happened once.
      And no matter what our communications are, [Appellant] does not
      represent them as they actually happened. There is no dynamic
      here with my client at all. I’m not sure how we could possibly
      prepare.

Id. at 19-21.

      Appellant responded that he was entitled to an attorney who he could

“trust to guard [his] life” and that he “should be able to work with that person

to an extent.” Id. at 34. He indicated his belief that Attorney Nelson was

essentially outclassed by the prosecutor, A.D.A. Nathan Boob, and that he

needed someone more willing or capable to do battle against the

Commonwealth.       Id. at 35.      Appellant also asserted that his previous

difficulties with appointed and private counsel were not a ploy to delay justice.

Id. The trial court ultimately concluded as follows:

      The [c]ourt does find that there has been at least two court[-
      ]appointed attorneys, there has been one private counsel that this
      court has dealt with, and there has also been conversations with
      [other private attorneys]. At this time the court does find that
      you forfeited your right to counsel based on your conduct with
      these attorneys and that you will proceed pro se.

Id. at 37.

      Appellant now contends that Attorney Muir, his prior appellate counsel,

was ineffective for failing to raise a claim during his direct appeal that the trial

court deprived him of his Sixth Amendment right to counsel by deeming that

                                       -8-
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right to have been forfeited. Appellant argues that this claim had arguable

merit because

      a thorough review of the September 13, 2012 hearing
      demonstrates the [t]rial [c]ourt was never presented with
      competent evidence of [Appellant’s] conduct to warrant or justify
      the finding that he had forfeited his right to counsel and was thus
      forced to defend himself for pre-trial motions and trial in two
      complex drug cases. In fact, no evidence was presented to the
      [t]rial [c]ourt. [Appellant’s] conduct was commented on by all
      involved, but no transcripts of prior proceedings indicating
      disruptive behavior were admitted into evidence, and no
      testimony under oath was elicited indicating [Appellant’s]
      treatment of or ability to work with his prior counsel. In short,
      [Appellant] was not afforded the right to challenge the statements
      made against him in an effort to show the trial court he had not
      conducted himself in such a manner as to forfeit his right to
      counsel. The right the assistance of counsel in a criminal trial is a
      fundamental right. It should not be deprived on the basis of
      forfeiture absent competent evidence of a defendant’s “extremely
      serious misconduct” or “extremely dilatory conduct.” United
      States v. Thomas, 357 F.3d 357, 362 (3d Cir. 2004) (quoting
      [United States v.] Goldberg, 67 F.3d []1092, 1100-02 (3d. Cir.
      1995). In the case sub judice, no such evidence was presented
      prior to the trial court[’s] entering an order that [Appellant’s] right
      to counsel was forfeited.

Appellant’s Brief at 10-11.

      Our Supreme Court follows the Goldberg view of forfeiture.                See

Commonwealth v. Lucarelli, 971 A.2d 1173, 1179 (Pa. 2009).                 Thus, a

defendant’s right to counsel is forfeited when he engages in 1) extremely

serious misconduct; or 2) extremely dilatory conduct. Id.

      Appellant’s ineffectiveness claim lacks arguable merit. There was clearly

a record made of Appellant’s misconduct toward both appointed and private

counsel, demonstrated through the testimony of both Attorneys Nelson and

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O’Hanlon. Their testimony adequately demonstrated both Appellant’s extreme

misconduct in the attorney/client relationship, including false accusations of

wrongdoing and abusive communications by Appellant, as well evidence of

extreme dilatory conduct, such as Appellant’s repeated requests for the filing

of frivolous motions, and his repeated filing of pro se motions while

represented by counsel. Because we conclude that such conduct satisfies the

Goldberg standard, we hold that Appellant’s first IAC claim lacks arguable

merit.1

       Appellant’s specific complaint that the testimonies of Attorneys Nelson

and O’Hanlon were not made under oath is waived.2 Appellant did not raise

this claim in his Rule 1925(b) statement and, as a result of that ommission,

the issue was not addressed in the PCRA court’s opinion. See Appellant’s Rule

1925(b) statement, 10/30/17, at 1.             “Any issues not raised in a 1925(b)

statement will be deemed waived.” Commonwealth v. Lord, 719 A.2d 306,

____________________________________________

1 The PCRA court determined that Attorney Muir was not ineffective because
she possessed a reasonable basis to abandon the claim in Appellant’s brief on
direct appeal, namely, that it was a strategic decision based on her perception
that the claim was unlikely to succeed. However, “[t]o the extent our legal
reasoning differs from the [PCRA] court’s, we note that as an appellate court,
we may affirm on any legal basis supported by the certified record.”
Commonwealth v. Sauers, 159 A.3d 1, 7 n.4 (Pa. Super. 2017), appeal
denied, 170 A.3d 1057 (Pa. 2017) (quoting Commonwealth v. Williams,
125 A.3d 425, 433 n.8 (Pa. Super. 2015)).

2 We note that there were no contemporaneous objections to the form of the
attorneys’ testimony. Nevertheless, we overlook waiver in that specific
circumstance, given that Appellant was still technically represented by
Attorneys Nelson and O’Hanlon until after they had testified and the court had
permitted them to withdraw.

                                          - 10 -
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309 (Pa. 1998). In any event, we would question the merit of such a claim.

The Rules of Professional Conduct dictate that a “lawyer shall not knowingly

… make a false statement of fact or law to a tribunal….” MRPC Rule 3.3(a)(1)

(emphasis added). Moreover, Appellant provides no case law supporting his

assertion that an attorney must be sworn in while litigating a motion to

withdraw as counsel.

      Next, Appellant argues that the trial court improperly removed him from

the jury selection process by 1) ostensibly forcing him to allow stand-by

counsel to select the jury panel, when Appellant believed that he was pro se

during jury voir dire and, later, 2) physically removing him from jury selection.

As a result, Appellant asserts that the trial court violated his Sixth Amendment

rights, and that Attorney Muir was ineffective for failing to raise related claims

on direct appeal. Appellant’s second IAC issue is clearly comprised of two

distinct claims.

      As discussed with regard to his first IAC claim, the trial court determined

that Appellant forfeited his right to counsel, permitted Attorneys O’Hanlon and

Nelson to withdraw, and appointed Attorney Nelson as standby counsel.

However, at the beginning of jury selection, the trial court, now with a

different judge presiding, proceeded as if Appellant was represented by

Attorney Nelson, and as if the forfeiture of counsel had never occurred. See

N.T., 12/3/12, at 9. Appellant objected, stating, “He is not my counsel. Let’s

go pick the jury.” Id. In response, the court attempted to conduct a waiver-

of-counsel colloquy. Id. at 9-10. Appellant, clearly growing impatient as the

                                     - 11 -
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court tried to conduct the colloquy, again stated, “I don’t have counsel. I’m

pro se. I don’t know what changed today.” Id. at 11.

        After a short break, the court then stated, “What I am faced with is an

order that appoints Mr. Nelson as counsel.”       Id. at 12. The court did not

identify the order to which it was referring.     As described with respect to

Appellant’s first IAC claim, although the court initially appointed Attorney

Nelson to be Appellant’s counsel, he successfully motioned to withdraw, and

was then appointed to be standby counsel. See Opinion and Order, 9/19/12,

at 6 ¶ 3 (“Attorney Daniel J. Nelson’s Motion to Withdraw is GRANTED IN

PART.     Attorney Nelson will remain on as Standby Counsel.”).       Appellant

indicated that he had never received any order reappointing Attorney Nelson

as full counsel. N.T., 12/3/12, at 15 (“I never received this order, so I didn’t

read any order. I am the defendant in this case. This is my case. This is not

his case. I asked him to be removed. He is standby counsel. He was ordered

to be standby counsel.”). Nevertheless, the court responded, “If you cannot

remain silent during the proceeding and allow Mr. Nelson to represent you,

then you will be removed.” Id. at 16. Ultimately, Attorney Nelson conducted

voir dire over Appellant’s repeated objections.

        Initially, we begin our analysis by noting that Appellant was mistaken

that he held pro se status during voir dire, as the new trial judge had

reappointed Attorney Nelson to represent him prior to that proceeding, despite

having previously determined that Appellant had forfeited his right counsel,

as discussed supra. See Order, 11/29/12, at 1 (“[Appellant]’s request for

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court-appointed counsel is GRANTED. The [c]ourt is mindful that by Opinion

of Judge Jonathan Grine, dated September 19, 2012, [Appellant] was deemed

to have forfeited his right to counsel. Now, on the cusp of jury selection, and

in advance of trial, the [c]ourt considers [Appellant’s] plea for representation

to be critical to justice, and therefore re-appoints [A]ttorney Daniel Nelson,

[Appellant’s] previously appointed, and current standby counsel.). Thus, it

was proper for Attorney Nelson to conduct voir dire as Appellant’s court-

appointed counsel.    Accordingly, we conclude the first part of Appellant’s

second IAC claim lacks arguable merit, as the factual basis for it is unsound.

      Regarding the second part of Appellant’s second IAC claim, the trial

court physically removed Appellant from voir dire after the following occurred

in the presence of the jury pool:

      [Appellant]: Your Honor, can they take me back to jail?

      The court: No. I would like for you to stay with us Mr. Adams.

      [Appellant]: I need to go back to jail. I had enough of this.

      The court: Members of the prospective panel, if you heard that
      comment, I would ask that you completely disregard what was
      just said. If you cannot disregard that – I need to know if that
      prejudices you in any way. Please raise your hand.

            I certainly understand. Raise your hand again.

            Juror No. 8, Juror No. 14, anyone else? All right.
                                       …
      [Appellant]: I don’t agree with this situation. I really don’t.
      They’re forcing me to trial. It’s not fair. I don’t have a fair and
      impartial judge. Now they’re going to give me a fair impartial
      jury[?]

      The court: Will you take him back to the hallway please?

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      [Appellant]: Take me back to jail. This is not a jury of my peers.
      Ya’ll going to handcuff me or are you going to handcuff me in the
      hallway? Ya’ll are not a jury of my peers. I’m black.

      (Whereupon, [Appellant] was escorted out of the courtroom at this
      time.)

N.T., 12/3/12, at 48-49.

      As is apparent from the record, supra, Appellant essentially demanded

his own removal from the voir dire proceeding. On this basis alone, his IAC

claim lacks arguable merit. Appellant’s counsel cannot be deemed ineffective

for failing to argue that his Sixth Amendment right to be present at voir dire

had been violated when Appellant himself requested, on three occasions in

quick succession, to be removed from the proceeding and taken back to jail.

      Alternatively, we also find this claim lacks arguable merit because the

trial court did not abuse its discretion by removing Appellant from voir dire

given his repeated, disruptive outbursts.

      The United States Constitution[,] the Pennsylvania Constitution[,]
      and [the] Pennsylvania Rules of Criminal Procedure 1117(a)
      guarantee the right of an accused to be present in the courtroom
      at every stage of a criminal trial. However, in Illinois v. Allen,
      397 U.S. 337, 90 S.Ct. 1057, 25 L.Ed.2d 353 (1970), the United
      States Supreme Court determined that the right to be present in
      the courtroom is not absolute and explicitly held,

         that a defendant can lose his right to be present at trial if,
         after he has been warned by the judge that he will be
         removed if he continues his disruptive behavior, he
         nevertheless insists on conducting himself in a manner so
         disorderly, disruptive, and disrespectful of the court that his
         trial cannot be carried on with him in the courtroom. Once
         lost, the right to be present can, of course, be reclaimed as
         soon as the defendant is willing to conduct himself
         consistently with the decorum and respect inherent in the
         concept of courts and judicial proceedings.

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      Id. at 343, 90 S.Ct. at 1060-1061, 25 L.Ed.2d at 359. See also,
      Commonwealth v. Africa, 466 Pa. 603, 353 A.2d 855 (1976).

Commonwealth v. Basemore, 582 A.2d 861, 866–67 (Pa. 1990) (footnotes

omitted).

      Appellant argues that he “was not as disruptive during the jury selection

process as the defendant in Basemore.” Appellant’s Brief at 12. He contends

that his “expression of frustration” did not constitute conduct that justified his

removal. Id. By way of comparison, in Basemore, immediately prior to voir

dire, the defendant essentially promised to make a mockery of the

proceedings. Basemore, 582 A.2d at 867. He lived up to that promise:

      When questioned by the trial judge, [the defendant] was
      unresponsive and attacked the trial judge asking him if he was
      “out for blood”, and if he had “wax” in his ears. [The defendant]
      threatened to disrupt the proceedings a second time and was
      warned by the trial judge that if he did so he would be removed
      from the courtroom.

      When jury selection resumed, [the defendant] made a third
      outburst, addressing a prospective juror as follows:

         I have a question. Miss, this guy is not my lawyer. I fired
         him for ineffective counsel. I have civil suits filed against
         him. I’ve had him under surveillance for three months. They
         will not give me another lawyer. They trying to make me
         take their lawyer. He’s been lying the whole entire time.
         He is not my counsel. He have given me no paperwork. I
         do not know what’s going on and he is not my lawyer. I’m
         asking, I’m begging do not take part in this charade because
         this man is not my lawyer. He is not. I fired him. It’s on
         the record but they will not give me another counsel. They
         trying to tell me I have to take him when I don’t have to do
         anything. He was going to sidebar quite a few times.
         Wouldn’t let me know. He told me I do not have any rights.
         He told me to take a deal for life in prison for something I
         did not do. I’m begging you [to] not to take part in this
         charade.

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                                      ***

         Mr. Stein is not my lawyer. He’s not my lawyer. Miss, don’t
         even listen to what he’s saying. Don’t waste your time. If
         you take part in this charade, my blood will be on you[r]
         hands. He is not my lawyer. I’ve had him defaced.

      After a discussion in chambers with counsel, the trial judge in open
      court again warned [the defendant] that if he disrupted the
      proceedings he would be removed from the courtroom. The trial
      judge stated:

         We are going to proceed with one more juror. If you disrupt
         the voir dire with regard to that juror, you will be removed
         from this courtroom and your trial will proceed in your
         absence.

      Another prospective juror was questioned by counsel and [the
      defendant] blurted out: “I do not have a lawyer, and this man is-
      they trying to get me to take that character when I do not have a
      lawyer and it’s good that you’re going to be dismissed. Glad to
      hear it and you can let him go[.”] The juror was excused and [the
      defendant] was, pursuant to the trial judge’s earlier warning,
      removed from the courtroom.

Id. at 867–68 (citations omitted).

      Instantly, Appellant argues that, unlike the defendant in Basemore, he

did not “verbally attack the judge, berate perspective jurors, or make it clear

that he intended to disrupt the proceedings.” Appellant’s Brief at 12. Initially,

we reject Appellant’s characterization that relief is warranted if his conduct did

not reach the level of disruption observed in Basemore.          We agree with

Appellant that his conduct did not quite reach the level of disruption at issue

in that case; however, that does not mean that his conduct fell short of the

standard for removal. Appellant has not provided this Court with any case

law suggesting that the disruptive behavior addressed in Basemore

constitutes the minimum bar for removal. Indeed, in our view, Basemore’s

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behavior went far beyond what was required to remove a defendant from trial

under the Allen standard.

      Here, the trial court repeatedly warned Appellant that he would be

removed if his behavior continued to be disruptive. See N.T., 12/3/12, at 6,

8, 12, 15-16, 20-21, 23.        Nevertheless Appellant continued to make

statements out of turn that were both disrespectful and disruptive to the

proceedings and the trial court, both inside and outside the presence of the

jury pool. See id. at 5 (feigning ignorance), 8-9 (questioning the integrity of

the court), 10 (same), 11 (feigning inability to hear the judge), 13 (inviting

the court to hold him in contempt), 14-15 (accusing the court of failing to

following the appropriate legal process), 16 (making first request to be taken

back to jail), 22 (refusing to participate in the colloquy to proceed pro se,

despite clearly seeking to proceed pro se), 24 (making second and third

requests to be taken back to jail), 48-49 (disrupting the jury selection process,

as reproduced supra).       Thus, Appellant continued to be disruptive and

disrespectful, even after the trial court repeatedly warned that such conduct

could result in his removal.    As such, we ascertain no error or abuse of

discretion in the trial court’s obviously reluctant decision to remove Appellant

from voir dire when his disruptive behavior continued unabated in front of the

prospective jury pool. Indeed, we commend the trial court for its patience,

its repeated attempts to satiate Appellant’s concerns, and its clear intent to

keep Appellant present for jury selection despite his repeated transgressions.

As such, we conclude that Appellant’s collateral IAC claim lacks arguable

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merit, as the trial court did not err when it physically removed him from the

courtroom during voir dire.

      Next, Appellant argues that appellate counsel was ineffective for failing

to raise the claim that his right to a speedy trial pursuant to Pa.R.Crim.P. 600

was violated. In support of this claim, Appellant argues that when he filed a

Rule 600 motion on August 14, 2012, more than “180 days had passed from

the time the charges were brought against him and he had not been brought

to trial.” Appellant’s Brief at 15. Appellant then argues that the trial court’s

determination that Rule 600 had not been violated at that time was

unreasonable and, therefore, that appellate counsel was ineffective for failing

to raise a related Rule 600 claim during his direct appeal. Id. at 15-16.

      This claim lacks merit on its face. There is no appellate remedy for a

pretrial violation of Rule 600’s 180-day rule. Rule 600(B)(1) provides that “no

defendant shall be held in pretrial incarceration in excess of … 180 days from

the date on which the complaint is filed….” The remedy for a violation under

subsection B of Rule 600 is set forth in Rule 600(D)(2), which is release by

the trial court on nominal bail. Only violations pursuant to subsection A’s 365-

day rule afford the remedy of a dismissal of charges with prejudice. See Rule

600(D)(1); see also Commonwealth v. Abdullah, 652 A.2d 811, 813 (Pa.

1995) (holding that Rule 1100 (the prior version of Rule 600) “does not

provide a remedy for a defendant who is improperly denied release on nominal

bail”).   Accordingly, after Appellant was tried and sentenced, any pretrial

violation of Rule 600’s 180-day rule was rendered moot. Accordingly, we will

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not deem appellate counsel ineffective for failing to seek relief for a claim,

meritorious or not, where no remedy is available.

     As for Appellant’s fourth and fifth IAC claims, he explicitly abandons

them in his brief. See Appellant’s Brief at 16-17. Accordingly, we deem them

waived.

     Order affirmed.

Judgment Entered.

Joseph D. Seletyn, Esq.
Prothonotary

Date: 9/24/2018

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