        IN THE COURT OF CRIMINAL APPEALS OF TENNESSEE
                         AT NASHVILLE
                         Assigned on Briefs February 12, 2014

           ROBERT D. MENDENHALL v. STATE OF TENNESSEE

             Appeal from the Criminal Court for Davidson County
          No. 2006-A-231, 2006-C-2134     Cheryl Blackburn, Judge



               No. M2012-01890-CCA-R3-PC - Filed April 2, 2014


Petitioner, Robert D. Mendenhall, was indicted in case number 2006-A-231 for two counts
of solicitation to commit first degree murder and in case number 2006-C-2134 for two counts
of theft of property valued at over $60,000, and four counts of violations of the Tennessee
Securities Laws. Subsequently, Petitioner pled guilty to two counts of solicitation to commit
first degree murder in case number 2006-A-231. He also pled guilty to two counts of theft
of property over $60,000, one count of securities fraud by a device, scheme, or artifice, and
securities fraud by sale of an unregistered security in case number 2006-C-2134. As a result
of the guilty pleas, Petitioner received an effective sentence of forty years. He was
represented by separate counsel in each case. Petitioner filed a timely pro se petition for
post-conviction relief in which he alleged that he received ineffective assistance of counsel,
among other things. After a hearing on the petition, the post-conviction court denied relief.
On appeal, Petitioner challenges the denial of post-conviction relief. Upon review, we
determine that Petitioner has failed to show clear and convincing evidence that he received
ineffective assistance of counsel or that his guilty plea was unknowing and involuntary.
Accordingly, the judgment of the post-conviction court is affirmed.

  Tenn. R. App. P. 3 Appeal as of Right; Judgment of the Trial Court is Affirmed.

J ERRY L. S MITH, J., delivered the opinion of the court, in which R OBERT W. W EDEMEYER and
J EFFREY S. B IVINS, JJ., joined.

Paula Ogle Blair, Nashville, Tennessee, for the appellant, Robert D. Mendenhall.

Robert E. Cooper, Jr., Attorney General and Reporter; Rachel Harmon, Assistant Attorney
General; Victor S. Johnson, III, District Attorney General, and Jim Milam, Assistant District
Attorney General, for the appellant, State of Tennessee.
                                          OPINION

                                     Factual Background

       Petitioner was indicted by the Davidson County Grand Jury in January of 2006 in case
number 2006-A-231 for two counts of solicitation to commit first degree murder. In July of
2006, Petitioner was indicted by the Davidson County Grand Jury for two counts of theft of
property; one count of making false statements in connection with the offer, sale, or purchase
of securities; one count of omitting material facts in connection with the offer, sale, or
purchase of securities; one count of willfully employing a device, scheme, or artifice in
connection with the offer, sale, or purchase of securities; and one count of willfully selling
an unregistered security.

         At the guilty plea hearing, counsel for the State testified that, had the case gone to
trial, the State’s proof would have shown that:

       [Petitioner] was actually using the name of . . . , when he met the victim,
       Vickie Jacobs, in that case [2006-C-2134]. He was doing this consciously and
       deliberately, having obtained a Tennessee driver’s license in that name on
       December 11th, 2001, and having given a false date of birth and a false social
       security number when he obtained that Tennessee driver’s license.

               Subsequent to that [Petitioner] began to engage in business here in the
       State of Tennessee. He met Ms. Jacobs sometime in the fall of 2002. At the
       time that he met Ms. Jacobs she had recently suffered two personal tragedies
       in the form of the death of her husband from cancer and the death of her
       daughter who was killed in an accident with a[n] intoxicated driver. As a
       result of those tragedies, Ms. Jacobs was in - - had been in a great state of grief
       and she was looking for help to manage her finances because she did have
       assets from her and her husband’s property and also from a life insurance
       policy that had paid off on her husband, a $100,000 death benefit.

              The proof would show that Mr. Bill Bryson (phonetic) was her
       insurance agent and that per his advice she decided to let that $100,000 go into
       a money market account with Equitable Insurance Company. On January
       23rd, 2003, [Petitioner], posing as . . . , persuaded Ms. Jacobs to invest
       $100,000 in a company that he was promoting to her. He described this
       company as one that was going to produce Amber Alert technology, which


                                               -2-
would be a huge seller when it hit the market and made promises to her such
as this would be the next Microsoft, she was one of a small number of
investors who [were] being allowed to buy share of this stock before public
offering, that once the stock went public on one of the stock exchanges the
price would jump and she would make a lot of money. He also - - well on
January 23rd she paid him two checks, one check for the amount of $50,000
out of the Equitable money market account I just described. And the second
check was $50,000 out of her Bank of America Investment account.

       He took this money, having instructed her to make it out to Horse Creek
Insurance Group, which was an Illinois Company that he was the sole owner
of. And he took this money and deposited it into two different bank accounts,
which he operated as the sole account holder for Horse Creek Insurance
Group, and then began to spend the money for his own needs and desires.

        Ms. Jacobs continued to believe that this was a promising investment.
And in April of 2003, having been groomed some more by [Petitioner] that she
needed to put more of her money into this investment, she invested an
additional $200,000. This was in the form of three checks from her Bank of
America securities account, one in the amount of $100,000, and one in the
amount of $50,000, and the third one in the amount of $50,000. At this point
Ms. Jacobs was investing not only her own money but the money from the
college funds that had been accumulated for her two surviving daughters.
[Petitioner] took this money and as he had done before he put it into the Horse
Creek Insurance Group account and began to dissipate it for his own personal
needs and desires.

        The proof would show that of this $300,000 that Vickie Jacobs paid to
[Petitioner] for an investment, he spent approximately three quarters of it for
personal or family expenses in the form of cash, credit card payments, rent,
school tuition, jewelry, and other various and sundry purchases.
Approximately twenty percent of the money was transferred into existing
business accounts with the Event Horizons Technology Software or later
Rapid Technologies - - or actually it was paid to vendors on behalf of one of
those two companies.

        Now, Ms. Jacobs was not provided with any stock certificates by
[Petitioner] until June of 2003, which was five months after her initial
investment. At that time she received 300,000 shares of - - certificates for
300,000 shares of a company called Rapid Technologies Group Inc., a


                                      -3-
company that was not formed until May 22nd of 2003 under the laws of the
State of Delaware. That company went defunct in November of 2004. Ms.
Jacobs has never received any return on her investment or any return of any of
the principle investment despite repeated requests to [Petitioner] and efforts
to locate it and efforts to secure the return of her money.

        Now, in 2003 after the full $300,000 had been invested, Ms. Jacobs
attempted to get [Petitioner] to return, first, a portion of her investment and
later all of it. And this was because he had promised her she could get her
money out any time she wanted to and made other promises to her such that
within a year she would have a million dollars from her investment. But he
always stalled her and had various excuses as to why he could not return any
of the money.

       Finally, Ms. Jacobs discovered [Petitioner’s] phone number was
disconnected. She became unable to locate him. She became alarmed at the
prospect that she may never get her money back and that this was the money
she needed to live on since her husband had died. And she was basically a
stay-at-home mother. So she began to contact, first, the SEC and later the
Tennessee Securities Division, which led to the investigation.

        As stated before, [Petitioner] used several devices in achieving this
fraud on Ms. Jacobs. The first was a false date of birth, false name, and false
social security number and also that he had her make the checks out to Horse
Creek Insurance Group. And at the time the defendant was not licensed to sell
insurance in Tennessee and was not able to sell insurance in Tennessee. But
he was living in Tennessee. He also told the defendant that he owned his
home in Murfreesboro, which was in a nice neighborhood. Ms. Jacobs found
out after she became unable to locate [Petitioner] that he never owned that
home. He had, in fact, been renting it, and he had moved out and disappeared
and she didn’t know where he was. So with the help of securities investigators
this investigation was commenced ultimately resulting in [Petitioner’s] arrest.

       Also in this case the security, which [Petitioner] offered and sold Ms.
Jacobs, was not registered, even though under the laws of Tennessee the
State’s witnesses would testify that it was required to be registered because it
did not fit within any of the recognized legal exemptions for sale of a security.
So [Petitioner] violated that law as well.




                                       -4-
       All these events occurred here in Davidson County with Ms. Jacobs
being a resident of this city and county.

       In case 2006-A-231 the State’s proof would show that [Petitioner] was
arrested in August of 2005, first, on an indictment out of Rutherford County,
Tennessee for securities fraud in Rutherford County.

        He initially made bond on that case but was subsequently rearrested.
And at that time the Rutherford County District Attorney was being assisted
by two attorneys from the Tennessee Securities Division, Ms Barbara Doak
and Ms. Mary Griffin. Ms. Doak and Ms. Griffin worked with the Rutherford
County D.A. in prosecuting the Rutherford County case. And later they
worked with me as a representative of the Davidson County District Attorney’s
office in prosecuting the defendant on the Davidson County securities case.
And, of course, they’re here today.

        Now, in November of 2005 [Petitioner] was incarcerated not only on
the Rutherford County indictment, but he had also been served with papers for
the Davidson County securities indictment. He became convinced that Ms.
Doak and Ms. Grifffin presented an obstacle of his being able to be released
on bail and to “beat these charges.” And so [Petitioner] decided that - - he
began talking in the jail to others about needing to kill Ms. Doak and Ms.
Griffin and wanting to have them killed. The sheriff’s department received
word that these threats were being made by [Petitioner] against these two
attorneys, and an investigation was commenced in November of 2005. That
began with an investigator from our office, Joe Jones, interviewing the inmate
at the Davidson County jail who gave a detailed account of the discussions that
[Petitioner] was having with others about trying to locate someone who would
be getting out soon who could kill these two attorneys.

       Subsequently the District Attorney’s office referred this matter to the
Tennessee Bureau of Investigation. And with the help of an undercover TBI
agent an introduction was made between the undercover agent and [Petitioner]
over the telephone. [Petitioner] in three recorded telephone calls discussed
with the undercover agent, who went by the name of Bobby, the arrangements
for Bobby to, first of all, identify, locate, and then to actually to arrange the
murder of Ms. Griffin and Ms. Doak.

      And on January 6, 2006, in a telephone call [Petitioner] discussed with
Bobby a price for the job. He discussed the manner that it would be committed


                                       -5-
       and the timing for his need for it to be committed. He also informed Bobby
       that these attorneys would be in court in Rutherford County on Monday,
       January the 9th, I believe. . . . [Petitioner] had also passed a handwritten note
       with these attorneys’ names and addresses on it - - had passed that note to an
       inmate who gave it to Bobby. And that note, it would be testified by a
       handwriting expert, was in [Petitioner’s] handwriting.

               The undercover agent with Rutherford County did, indeed, observe the
       two attorneys who [Petitioner] had described to him so that the next time he
       spoke to [Petitioner] on the phone he was able to tell [Petitioner] that, yes, he
       had seen them there. The phone call on January 13th, 2006 - - in that phone
       call [Petitioner] reiterated that he, indeed, wanted this job to be carried out and
       that he was willing to pay the agent, who he believed to be a hitman, to do it.


               After that, the State confronted or sent the investigator and the
       undercover agent to the jail to confront [Petitioner] at which time [Petitioner]
       learned the true identity of Bobby and that he was not a hitman but was, in
       fact, an agent of the TBI.

              These events occurred also here in Davidson County, Tennessee.

        On January 22, 2007, Petitioner pled guilty to two counts of solicitation to commit
first degree murder in case number 2006-A-231. In exchange for the guilty plea, Petitioner
received a twenty-year sentence for each conviction, to be served consecutively to each other
but concurrently to the sentence in case number 2006-C-2134. Petitioner was classified as
a Range III, multiple offender. In case number 2006-C-2134, Petitioner pled guilty to two
counts of theft of property over $60,000, one count of securities fraud by using an artifice,
scheme, or device to defraud investors, and one count of securities fraud by selling an
unregistered security. The remaining counts were dismissed. In case number 2006-C-2134,
Petitioner received a twenty-year sentence for each theft conviction and a five-year sentence
for each securities fraud conviction. Petitioner was ordered to pay a total of $300,000 in
restitution. The theft sentences were ordered to be served concurrently to each other and to
the five-year sentence for securities fraud by using an artifice, scheme, or device to defraud
investors. The five-year sentence selling an unregistered security was ordered to be served
consecutively to the remaining sentences, for a total effective sentence in case number 2006-
C-2134 of twenty-five years.




                                               -6-
        On January 10, 2008, Petitioner filed a pro se petition for post-conviction relief in
which he alleged that: (1) his conviction was based on an unknowing and involuntary guilty
plea; (2) his conviction was based on the unconstitutional failure of the prosecution to
disclose to defendant evidence favorable to defendant; (3) his conviction was based on a
violation of double jeopardy; (4) he received ineffective assistance of counsel1 ; (5) the
selection of the grand jury was unconstitutional; (6) there was false evidence presented to the
grand jury; (7) the indictments were insufficient; (8) the prosecution committed misconduct;
(9) there was judicial misconduct during the pendency of the case; and (10) cumulative error
requires the grant of post-conviction relief.

       Counsel was appointed, and an amended petition was filed. The post-conviction court
held a hearing on the petition. At the hearing, Trial Counsel One testified that he was
appointed to represent Petitioner in case number 2006-C-2134. In preparation for trial, Trial
Counsel One met with Petitioner more than a dozen times. He spent, in his words, “a lot”
of time with Petitioner.

       Trial Counsel One described Petitioner’s story as “very sympathetic.” Trial Counsel
One opined that Petitioner was “a horribly unsophisticated person who got mixed up in . . .
high level financial transactions . . . he was . . . just a really good guy doing his best, and I
don’t think he had any, any evil intention.” Trial Counsel One noted that Petitioner did not
claim to be innocent but merely had the goal of getting probation.

       Trial Counsel One was able to recall the names of a few potential witnesses who
Petitioner mentioned. These witnesses were considered, but they were either not helpful to
the defense or Trial Counsel One was unable to locate the witnesses. One witness in
particular was in federal prison.

       Trial Counsel One testified that he was “certain” he informed Petitioner that there
would be a 404(b) hearing.2 In fact, he recalled “significantly” preparing for the hearing
because the first one was held in Rutherford County in a companion case, and the same
preparation would have been beneficial in the Davidson County case.




        1
            The petition alleged over 50 examples of ineffective assistance of counsel.

        2
          This is a hearing conducted pursuant to Tennessee Rule of Evidence 404(b) where the trial court
determines whether evidence of crimes other than those being tried would be admissible at the trial about
to take place.

                                                      -7-
       Trial Counsel One knew prior to trial that the State had a really solid case against
Petitioner. He maintained that his only defense was to “hammer[ ] the table” claiming that
no one ever proved that the stock Petitioner sold was actually worthless.

       Trial Counsel One noted that leading up to the plea agreement, Petitioner had all but
refused to consider pleading guilty and plea offers were “mostly non-existent.”

       Petitioner testified at the hearing that he openly questioned Trial Counsel One’s trial
practice and preparedness. Petitioner recalled feeling “disgusted” at the plea offer and
rushed to enter the plea.

       Trial Counsel Two was appointed to represent Petitioner in case number 2006-A-231.
Trial Counsel Two assessed the State’s case against Petitioner as good and “bad” for
Petitioner. Specifically, Trial Counsel Two noted the recorded telephone calls in which
Petitioner tried to hire a hit man to kill the two special prosecutors and the handwritten note
in which Petitioner physically described the victims.

        Trial Counsel Two did not have many discussions about a possible plea with
Petitioner prior to the eve of trial. When the offer was made, Trial Counsel Two thought that
the arrangement was good, considering Petitioner was facing upwards of fifty to sixty years
in incarceration if he went to trial. Additionally, Trial Counsel Two was aware of
Petitioner’s status as a multiple offender. Trial Counsel Two described that it would be “very
difficult” to get a defense verdict with the facts.

       Petitioner, on the other hand, testified that he gave Trial Counsel Two the names of
several witnesses and that Trial Counsel Two failed to follow up. Further, Petitioner claimed
that Trial Counsel Two did not communicate with him effectively or consistently.

       Petitioner admitted that Trial Counsel Two explained the purpose of the 404(b)
hearing but claimed that there was information Trial Counsel Two did not have about
Petitioner’s dealings with 404(b) witnesses that would have been helpful. Petitioner did not
provide any witnesses at the post-conviction hearing.

        Petitioner claimed that he had a difficult time communicating with both trial counsel.
In fact, Petitioner claimed that he called Trial Counsel Two from jail to request meetings and
that Trial Counsel Two failed to show up for the meetings. Additionally, Petitioner claimed
that Trial Counsel One met with him once prior to trial.

       Petitioner testified that he felt rushed into pleading guilty and that the only advice he
got from either counsel on the plea agreement was that it was a “good deal.” Petitioner


                                              -8-
claimed that Trial Counsel Two told him that he was not going to win all his trials so he had
to choose between the plea agreement or a sentence of over 100 years. Petitioner stated that
he felt “backed into a corner.”

        At the conclusion of the hearing, the post-conviction court took the matter under
advisement. In an order, the post-conviction court made extensive findings of fact and
conclusions of law. As to Trial Counsel One, the post-conviction court determined that
Petitioner did not show that Trial Counsel One was ineffective for either failing to withdraw
or failing to recuse himself from the case because he was a former co-worker of one of the
alleged victims in the solicitation case. The post-conviction court noted that Trial Counsel
One obtained a consent form from Petitioner and that Petitioner failed to show that there was
an actual conflict of interest or that he was prejudiced in any way.

       The post-conviction court accredited the testimony of both Trial Counsel One and
Trial Counsel Two with regard to the filing of a motion to recuse the trial judge. Neither
counsel felt that the motion was warranted. The post-conviction court determined that
Petitioner failed to prove this claim.

        The post-conviction court determined that Petitioner did not receive ineffective
assistance of counsel for failure of trial counsel to investigate the case or communicate with
Petitioner. Specifically, the post-conviction court noted that only Trial Counsel One’s case,
2006-C-2134, was scheduled to be tried on the day of the plea but that both Trial Counsel
One and Trial Counsel Two testified that they were prepared for trial. The post-conviction
court accredited their testimony. Further, the post-conviction court noted that both counsel
attempted to thoroughly interview witnesses in preparation for trial and that Petitioner failed
to present any of the witnesses he claims would have been beneficial at the post-conviction
hearing. In other words, Petitioner failed to show clear and convincing evidence that he is
entitled to post-conviction relief. Moreover, the post-conviction court determined that
Petitioner failed to show that Trial Counsel One and Trial Counsel Two failed to
communicate with him prior to the plea. In fact, the post-conviction court found that
Petitioner provided “[n]othing” to indicate that either counsel “failed to meet with the
petitioner or keep him informed.”

       The post-conviction court also determined that Petitioner failed to show that his guilty
plea was unknowing or involuntary. Specifically, the post-conviction court accredited the
testimony of trial counsel and found that the transcript of the guilty plea hearing reflects the
opposite of Petitioner’s claims. In other words, the post-conviction court determined that
Petitioner failed to prove his claim by clear and convincing evidence.




                                              -9-
        Lastly, the post-conviction court addressed Petitioner’s “other claims” of withheld
evidence, denial of due process, denial of bond, and the denial of the right to introduce
evidence. The post-conviction court deemed these issues waived as they were not addressed
in the post-conviction hearing but, nonetheless, determined that Petitioner provided no
evidence that the State withheld evidence. Further, the post-conviction court noted that the
failure of the special prosecutors to withdraw from the case due to their status as victims is
not cognizable in a post-conviction claim.

       As a result, the post-conviction court denied relief and dismissed the petition.
Petitioner filed an untimely notice of appeal. This Court waived the timely filing of the
notice of appeal pursuant to Tennessee Rule of Appellate Procedure 4(a).

                                            Analysis

        On appeal, Petitioner argues that the post-conviction court improperly dismissed the
petition. Specifically, he insists that Trial Counsel One and Trial Counsel Two were
ineffective for failing to communicate with Petitioner, failing to interview witnesses, failing
to investigate and properly prepare for the 404(b) hearing, and failing to prepare for trial.
With respect to Trial Counsel Two, Petitioner also insists that trial counsel was ineffective
for failing to file a motion to secure funds to hire an investigator. Petitioner also argues that
his guilty plea was involuntarily and unknowingly entered because of both trial counsel’s
ineffectiveness. The State disagrees, arguing that the evidence does not preponderate against
the findings of the post-conviction court.

                             Post-conviction Standard of Review

       The post-conviction court’s findings of fact are conclusive on appeal unless the
evidence preponderates otherwise. See State v. Burns, 6 S.W.3d 453, 461 (Tenn. 1999).
During our review of the issues raised, we will afford those findings of fact the weight of a
jury verdict, and this Court is bound by the post-conviction court’s findings unless the
evidence in the record preponderates against those findings. See Henley v. State, 960 S.W.2d
572, 578 (Tenn. 1997); Alley v. State, 958 S.W.2d 138, 147 (Tenn. Crim. App. 1997). This
Court may not re-weigh or re-evaluate the evidence, nor substitute its inferences for those
drawn by the post-conviction court. See State v. Honeycutt, 54 S.W.3d 762, 766 (Tenn.
2001). However, the post-conviction court’s conclusions of law are reviewed under a purely
de novo standard with no presumption of correctness. See Fields v. State, 40 S.W.3d 450,
458 (Tenn. 2001).




                                              -10-
                              Ineffective Assistance of Counsel

        When a petitioner seeks post-conviction relief on the basis of ineffective assistance
of counsel, the petitioner bears the burden of showing by clear and convincing evidence that
“(a) the services rendered by trial counsel were deficient and (b) that the deficient
performance was prejudicial.” See Powers v. State, 942 S.W.2d 551, 558 (Tenn. Crim. App.
1996); see also T.C.A. § 40-30-110(f). In order to demonstrate deficient performance, the
petitioner must show that the services rendered or the advice given was below “the range of
competence demanded of attorneys in criminal cases.” Baxter v. Rose, 523 S.W.2d 930, 936
(Tenn. 1975). “Because a petitioner must establish both prongs of the test to prevail on a
claim of ineffective assistance of counsel, failure to prove either deficient performance or
resulting prejudice provides a sufficient basis to deny relief on the claim.” Henley, 960
S.W.2d at 580.

      As noted above, this Court will afford the post-conviction court’s factual findings a
presumption of correctness, rendering them conclusive on appeal unless the record
preponderates against the court’s findings. See id. at 578. However, our supreme court has
“determined that the issues of deficient performance by counsel and possible prejudice to the
defense are mixed questions of law and fact . . .; thus, [appellate] review of [these issues] is
de novo” with no presumption of correctness. Burns, 6 S.W.3d at 461.

        Furthermore, on claims of ineffective assistance of counsel, Petitioner is not entitled
to the benefit of hindsight. See Adkins v. State, 911 S.W.2d 334, 347 (Tenn. Crim. App.
1994). This Court may not second-guess a reasonably-based trial strategy, and we cannot
grant relief based on a sound, but unsuccessful, tactical decision made during the course of
the proceedings. See id. However, such deference to the tactical decisions of counsel applies
only if counsel makes those decisions after adequate preparation for the case. See Cooper
v. State, 847 S.W.2d 521, 528 (Tenn. Crim. App. 1992).

        Once a guilty plea has been entered, effectiveness of counsel is relevant only to the
extent that it affects the voluntariness of the plea. In this respect, such claims of ineffective
assistance necessarily implicate the principle that guilty pleas be voluntarily and intelligently
made. See Hill v. Lockhart, 474 U.S. 52, 56 (1985) (citing North Carolina v. Alford, 400
U.S. 25, 31 (1970)). As stated above, in order to successfully challenge the effectiveness of
counsel, Petitioner must demonstrate that counsel’s representation fell below the range of
competence demanded of attorneys in criminal cases. See Baxter, 523 S.W.2d at 936. Under
Strickland v. Washington, Petitioner must establish: (1) deficient representation; and (2)
prejudice resulting from the deficiency. 466 U.S. 668, 694 (1984). However, in the context
of a guilty plea, to satisfy the second prong of Strickland, Petitioner must show that “there
is a reasonable probability that, but for counsel’s errors, he would not have pleaded guilty


                                              -11-
and would have insisted on going to trial.” Hill, 474 U.S. at 59; see also Walton v. State, 966
S.W.2d 54, 55 (Tenn. Crim. App. 1997).

        On appeal, Petitioner argues that Trial Counsel One was deficient because he failed
to investigate witnesses in preparation for trial, failed to communicate with Petitioner, was
unprepared for trial, and failed to prepare for the 404(b) hearing. Petitioner claims that had
Trial Counsel One not been deficient he would not have pled guilty and would have insisted
on going to trial. With regard to Trial Counsel Two, Petitioner claims that he did not
communicate at critical stages of the case, did not interview witnesses or investigate the case,
and did not file a motion to obtain the fees necessary for an investigator. The State disagrees,
even going so far as to say that many of Petitioner’s allegations are waived for failure to cite
to the record or provide a sufficient argument in his brief.

        With regard to the issues involving communication and investigation of witnesses, the
post-conviction court accredited the testimony of both trial counsel. Trial Counsel One
stated that he met with Petitioner multiple times prior to trial and was prepared, both for trial
and the 404(b) hearing. Trial Counsel Two testified in a similar manner.

         With regard to interviewing and investigating other witnesses, the post-conviction
court again accredited the testimony of Trial Counsel One and Trial Counsel Two, both of
whom testified that Petitioner failed to give the specific contact information for such
witnesses or that even when given the contact information they were unable to locate the
witnesses. Moreover, Petitioner failed to produce any of the witnesses at the post-conviction
hearing. “When a [post-conviction] petitioner contends that trial counsel failed to discover,
interview, or present witnesses in support of his defense, these witnesses should be presented
by the petitioner a the evidentiary hearing.” Black v. State, 794 S.W.2d 752, 757 (Tenn.
Crim. App. 1990). Generally, presenting such witnesses is the only way a petitioner can
establish that “the failure to discover or interview a witness inured to his prejudice . . . or .
. . the failure to have a known witness present or call the witness to the stand resulted in the
denial of critical evidence.” Id. Accordingly, even a petitioner who establishes that trial
counsel deficiently performed by failing to investigate or call witnesses is entitled to no relief
“unless he can produce a material witness who (a) could have been found by a reasonable
investigation and (b) would have testified favorably in support of his defense if called.” Id.
at 757-58. Petitioner failed to call any witnesses at the post-conviction hearing. Therefore,
Petitioner is unable to prove that he was prejudiced by the absence of these witnesses at trial.
See id. at 757. Petitioner cannot meet both prongs set out in Strickland and, for this reason,
cannot be successful on this issue. See Strickland, 466 U.S. at 687. Additionally, the
post-conviction court concluded that Petitioner was unable to prove, by clear and convincing
evidence, that Trial Counsel One or Trial Counsel Two were ineffective. The evidence does
not preponderate against the judgment of the post-conviction court.


                                              -12-
        Petitioner has failed to show that but for trial counsel’s alleged deficiencies, he would
have refused to plead guilty and insisted on going to trial. Petitioner testified at the
post-conviction hearing that he was rushed into pleading guilty and only pled guilty because
of trial counsel’s ineffectiveness.

       Petitioner has not proven that representation by either Trial Counsel One or Trial
Counsel Two was deficient or that he would not have pled guilty without the alleged errors
and gone to trial. Petitioner stated himself at the guilty plea hearing that he was satisfied with
the representation from both trial counsel. It is up to the trial court to determine credibility
of witnesses, and the post-conviction court’s findings have the weight of a jury verdict.
Momon v. State, 18 S.W.3d 152, 156 (Tenn. 1999). Therefore, Petitioner has not met either
prong under Strickland.

                                          Guilty Plea

      Petitioner also argues that the post-conviction court erred in dismissing his petition
because he entered his plea unknowingly and involuntarily. The State disagrees.

        When analyzing a guilty plea, we look to the federal standard announced in Boykin
v. Alabama, 395 U.S. 238 (1969), and the State standard set out in State v. Mackey, 553
S.W.2d 337 (Tenn. 1977), superceded on other grounds by Tenn. R. Crim. P. 37(b) and
Tenn. R. App. P. 3(b). State v. Pettus, 986 S.W.2d 540, 542 (Tenn. 1999). In Boykin, the
United States Supreme Court held that there must be an affirmative showing in the trial court
that a guilty plea was voluntarily and knowingly given before it can be accepted. 395 U.S.
at 242; see Pettus, 986 S.W.2d at 542. Similarly, our Tennessee Supreme Court in Mackey
required an affirmative showing of a voluntary and knowing guilty plea, namely, that the
defendant has been made aware of the significant consequences of such a plea. 553 S.W.2d
at 340; see Pettus, 986 S.W.2d at 542.

       A plea is not “voluntary” if it results from ignorance, misunderstanding, coercion,
inducements, or threats. Blankenship v. State, 858 S.W.2d 897, 904 (Tenn. 1993). The trial
court must determine if the guilty plea is “knowing” by questioning the defendant to make
sure he fully understands the plea and its consequences. Pettus, 986 S.W.2d at 542;
Blankenship, 858 S .W.2d at 904.

       Petitioner argues that his guilty plea was entered unknowingly because he received
ineffective assistance of counsel. The post-conviction court determined that Petitioner
knowingly and voluntarily entered the guilty plea after learning about the consequences of
the plea from counsel and reviewing those with the trial court. This Court, therefore, finds



                                              -13-
that the Petitioner failed to establish, by clear and convincing evidence, that the plea was
entered unknowingly or involuntarily.

       As stated above, the post-conviction court’s factual findings are given a presumption
of correctness, rendering them conclusive on appeal unless the record preponderates against
the court’s findings. We have found nothing in the record to preponderate against the
post-conviction court’s findings. Petitioner has failed to prove that Trial Counsel One and
Trial Counsel Two did not discuss the plea with Petitioner prior to its entry.

       The transcript of the guilty plea hearing reflects that the trial court discussed the
ramifications of the guilty plea with Petitioner. The trial court thoroughly questioned
Petitioner to ascertain whether he understood the effects of the plea. The plea hearing also
indicates that Petitioner knew what he was doing, understood the plea, and agreed that it was
what he wanted to do to resolve the case. Petitioner has failed to show by clear and
convincing evidence that he received ineffective assistance of counsel or that his guilty plea
was involuntary. Moreover, Petitioner has failed to prove that he did not understand the
consequences of his plea.

                                      CONCLUSION

       For the foregoing reasons, we affirm the denial of Petitioner’s petition for
post-conviction relief.




                                           ___________________________________
                                           JERRY L. SMITH, JUDGE




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