People v. Hunt ( 2016 )


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  • COLORADO COURT OF APPEALS                                          2016COA93
    Court of Appeals No. 15CA0080
    El Paso County District Court No. 10CR4367
    Honorable David S. Prince, Judge
    The People of the State of Colorado,
    Plaintiff-Appellee,
    v.
    Robert Lee Hunt,
    Defendant-Appellant.
    ORDER REVERSED AND CASE
    REMANDED WITH DIRECTIONS
    Division I
    Opinion by JUDGE DAILEY
    Taubman and Sternberg*, JJ., concur
    Announced June 16, 2016
    Cynthia H. Coffman, Attorney General, John T. Lee, Assistant Attorney
    General, Denver, Colorado, for Plaintiff-Appellee
    Elizabeth Stovall, Alternate Defense Counsel, Denver, Colorado, for Defendant-
    Appellant
    *Sitting by assignment of the Chief Justice under provisions of Colo. Const. art.
    VI, § 5(3), and § 24-51-1105, C.R.S. 2015.
    ¶1    Defendant, Robert Lee Hunt, appeals the district court’s order
    denying his Crim. P. 35(c) motion for postconviction relief. We
    reverse and remand for an evidentiary hearing on two ineffective
    assistance of counsel claims.
    I.    Background
    ¶2    Defendant was charged with first degree “after deliberation”
    murder, first degree “extreme indifference” murder, conspiracy to
    commit murder, possession of a weapon by a previous offender, and
    three crime of violence (sentencing enhancement) counts. Pursuant
    to a plea agreement, defendant pleaded guilty to an added count of
    second degree murder and to one of the original crime of violence
    counts in exchange for (1) the dismissal of the remaining charges
    and (2) a stipulated sentence of between thirty and forty years
    imprisonment in the Department of Corrections.
    ¶3    At defendant’s January 2012 providency hearing, plea counsel
    provided the court with the following factual basis for the second
    degree murder charge for which defendant was about to plead
    guilty:
    [O]n July 28, [2010], [defendant] was the
    victim of a home invasion, not . . . knowing
    exactly who were the perpetrators of the home
    1
    invasion. [Defendant] along with an[other]
    individual [(the shooter)] . . . decided that the
    people responsible for the home invasion
    would be killed. [Defendant] utilized [the
    shooter] because [the shooter] had a weapon.
    On the night of the murder, [the shooter] told
    [defendant] that one of the robbers of the home
    invasion was located at [an apartment
    complex].
    They proceeded then to [the apartment
    complex] . . . [and] saw an individual standing
    outside. [The shooter] believed that to be one
    of the home invaders so [the shooter] called
    [the individual] over to the car.
    [Defendant] said, that’s not one of the
    guys that did the home invasion. However,
    then [the shooter] had a conversation with this
    individual . . . [and] then shot [him].
    ¶4    In March and July 2012, defendant wrote two letters to the
    district court, asking to withdraw his guilty plea. In his letters,
    defendant asserted that (1) he was not guilty of murder because he
    had not intended for the shooter to kill the victim; and (2) his
    attorney had erroneously advised him that he could, if tried, be
    found guilty (and sentenced to life imprisonment) under a
    complicity theory.
    ¶5    On July 19, 2012, plea counsel filed a motion to withdraw
    from the case based on an alleged conflict of interest and requested
    2
    the court allow defendant to withdraw his guilty plea. The motion,
    which was very short, was based on defendant’s assertion that he
    had received ineffective assistance of counsel.1 On July 30, 2012,
    the court held a hearing on the motion; found no conflict of interest
    between counsel and defendant; and directed counsel to file, on
    defendant’s behalf, a Crim. P. 32(d) motion to withdraw guilty plea.
    ¶6    Three days later — the day before sentencing — plea counsel
    filed the Crim. P. 32(d) motion, in which she noted:
     Defendant had “previously requested to withdraw his
    [guilty] plea due to an ineffective counsel/conflict claim.
    A conflict hearing was held and the court at that time
    determined there was no conflict nor was there a showing
    that counsel was ineffective.”
     Defendant “contends that he was never fully advised of
    the definition of complicity by counsel. [He] contends
    that he never understood that complicity required that he
    have actual knowledge that the other person intended to
    commit all or part of the crime. He also “contends that
    1Counsel related that because of the attorney-client privilege, she
    was not at liberty to disclose in the motion the specifics of the
    conflict between her and defendant.
    3
    he thought being at the scene of the crime was enough
    for conviction under a complicity theory” but, after doing
    his own research, realizes that “mere presence is not
    enough to result in a complicity conviction [sic].”
     Defendant “contends that he had no knowledge that the
    codefendant in this case was going to shoot the victim”
    and therefore he “could not be found guilty of murder
    pursuant to a complicity theory, nor could he be
    convicted as the principal since he did not fire the
    weapon that killed the victim.”
     If defendant “fail[ed] to understand the requirements of
    complicity” as he contended, then he “did not have an
    adequate understanding of what he was pleading to [and]
    . . . has a fair and just reason to withdraw his plea.”
    ¶7    Without addressing the Crim. P. 32(d) motion, the district
    court sentenced defendant to a term of forty years imprisonment in
    the custody of the Department of Corrections.
    ¶8    Subsequently, defendant filed two pro se Crim. P. 35(c)
    motions for postconviction relief based on claims of ineffective
    assistance of plea counsel. As pertinent here, defendant alleged
    4
    that he had pleaded guilty based on counsel’s incorrect advice that
    he could be found guilty of murder as a complicitor simply because
    he was present when a person he had not intended to be killed was
    killed.
    ¶9      The district court appointed defendant new counsel, who
    subsequently filed a supplemental motion (1) expounding on
    defendant’s pro se arguments and (2) asserting that plea counsel
    was also ineffective in failing to advise defendant that he could
    appeal the apparent denial of the Crim. P. 32(d) motion.2
    ¶ 10    Without holding a hearing, the court denied the Crim. P. 35(c)
    motions for postconviction relief. In its written order, the court
    found, in pertinent part, that
     under the facts recited at the providency hearing, the law
    of complicity, and the doctrine of transferred intent
    applied in People v. Candelaria, 
    107 P.3d 1080
    , 1091-92
    (Colo. App. 2004), aff’d in part and rev’d in part, 
    148 P.3d 178
    (Colo. 2006), counsel’s advice was accurate; and
    2Defendant also alleged other grounds of ineffective assistance of
    counsel. Because, however, he does not address those other
    grounds in his appeal, they are deemed abandoned and will not be
    addressed here. See People v. Brooks, 
    250 P.3d 771
    , 772 (Colo.
    App. 2010).
    5
     even assuming plea counsel failed to advise defendant of
    his right to appeal from a denial of a motion to withdraw
    guilty plea, defendant was not entitled to relief because
    he “identifie[d] no plausible appellate challenge to the
    denial of his request to withdraw his plea.”
    II.   Ineffective Assistance of Plea Counsel
    ¶ 11   On appeal, defendant contends that the court erred in
    summarily denying his postconviction motion. Specifically, he
    asserts that he was at least entitled to a hearing on his assertions
    that plea counsel was ineffective for (1) inaccurately advising him of
    the requisite elements of the offense to which he pleaded and
    (2) failing to advise him that he could appeal the court’s denial of
    his Crim. P. 32(d) motion. We agree.
    ¶ 12   Ineffective assistance of counsel may constitute an adequate
    ground for relief under both Crim. P. 32(d) and 35(c). People v.
    Lopez, 
    12 P.3d 869
    , 871 (Colo. App. 2000).3
    3“[A Crim. P. 32(d)] motion to withdraw a plea of guilty may only be
    made before sentence is imposed or imposition of sentence is
    suspended. . . . [A]fter sentence has been imposed, the validity of a
    guilty plea can be challenged under Crim. P. 35(c).” People v.
    Dawson, 
    89 P.3d 447
    , 449 (Colo. App. 2003) (citation omitted).
    6
    ¶ 13    To prevail on a claim of ineffective assistance of counsel, a
    defendant must establish that (1) counsel’s performance fell below
    the level of reasonably competent assistance demanded of attorneys
    in criminal cases and (2) the deficient performance prejudiced the
    defense. Strickland v. Washington, 
    466 U.S. 668
    , 687 (1984);
    accord Dunlap v. People, 
    173 P.3d 1054
    , 1062-63 (Colo. 2007).
    ¶ 14    A motion raising ineffective assistance of counsel may be
    denied without a hearing “if, but only if, the existing record
    establishes that the defendant’s allegations, even if proven true,
    would fail to establish one or the other prong of the Strickland test.”
    Ardolino v. People, 
    69 P.3d 73
    , 77 (Colo. 2003).
    If a criminal defendant has alleged acts or
    omissions by counsel that, if true, could
    undermine confidence in the defendant’s
    conviction or sentence, and the motion, files,
    and record in the case do not clearly establish
    that those acts or omissions were reasonable
    strategic choices or otherwise within the range
    of reasonably effective assistance, the
    defendant must be given an opportunity to
    prove they were not.
    
    Id. 7 A.
      Pre-Plea Advice
    ¶ 15   Initially, defendant asserts that (1) plea counsel improperly
    advised him that “neither mens rea nor actus reus was an element
    of the offense to which he pled”; and (2) had he (defendant) known
    there was a mens rea element to the crime, he would not have
    pleaded guilty. The record, however, refutes defendant’s assertion
    that he did not know that there was a mens rea element to the
    crime with which he was charged.
    ¶ 16   The prosecution pursued charges against defendant on a
    complicity theory — a theory by which a person is held accountable
    for a criminal offense committed by another. People v. Theus-
    Roberts, 
    2015 COA 32
    , ¶ 35. Under the complicity statute, “[a]
    person is legally accountable as [a] principal for the behavior of
    another constituting a criminal offense if, with the intent to promote
    or facilitate the commission of the offense, he or she aids, abets,
    advises, or encourages the other person in planning or committing
    the offense.” § 18-1-603, C.R.S. 2015. As pertinent in this case,
    “[a] person commits the crime of murder in the second degree if the
    person knowingly causes the death of a person.” § 18-3-103(1),
    C.R.S. 2015 (emphasis added).
    8
    ¶ 17   At the providency hearing, the court specifically informed
    defendant that the crime to which he was about to enter a plea had
    mens rea components:
    THE COURT: “So let me talk to you a little bit
    about the elements here that the defendant,
    that is you, in the State of Colorado, on or
    about July 30, 2010 knowingly caused the
    death of another person, that person would be
    [the victim]. . . .
    ....
    . . . Now I’ve talked to your counsel earlier
    kind of what the theory is here. I’ll talk to you
    a little bit about it as well. But it’s written
    here per complicity and I’m sure that [plea
    counsel] has talked to you a little bit about
    what that means.
    THE DEFENDANT: Yes, sir.
    THE COURT: Okay. Complicity just generally
    a crime must have been committed, another
    person must have committed all or part of the
    crime. The defendant must have had
    knowledge that the other person intended to
    commit all or part of that crime and the
    defendant must have the intent to promote or
    facilitate the commission of the crime and the
    defendant must have aided, abetted, advised
    or encouraged the person in the plan of
    committing the crime without any potential
    affirmative defenses so that’s generally what
    complicity means.
    ....
    9
    Have you talked generally with your counsel
    about these concepts . . . of complicity and
    conspiracy?
    THE DEFENDANT: Yes.
    (Emphasis added.)
    ¶ 18   But, defendant asserts, neither the court nor plea counsel
    informed him that to be guilty as a complicitor, he must have
    known that another person was going to kill the victim and he must
    have intended, by his own conduct, to promote or facilitate the
    other person’s act of killing that victim — circumstances which
    were lacking under the factual basis provided by plea counsel.4
    Defendant went forward with the plea, he says, only because plea
    counsel “told him he could be found guilty simply based on his
    presence in the car when [the shooter] shot [the victim].”
    ¶ 19   The district court assumed that counsel had advised (or failed
    to advise) defendant as defendant alleged counsel did, and it
    determined that counsel’s advice or lack of advice did not constitute
    deficient performance on her part. The district court reached this
    4 The “dual intent” requirement upon which defendant relies comes
    from Bogdanov v. People, 
    941 P.2d 247
    , 250-51 (Colo. 1997),
    amended, 
    955 P.2d 997
    (Colo. 1997). The supreme court, however,
    has since altered that requirement. See People v. Childress, 
    2015 CO 65M
    , ¶¶ 30, 34.
    10
    conclusion based on the Candelaria division’s discussion of how
    complicity operates in conjunction with the doctrine of “transferred
    intent.” In this regard, the Canderlaria division wrote:
    We conclude that a person who intends to aid
    the principal in committing murder and who
    possesses the intent to murder a person is
    criminally liable for the killing of an
    unintended third party by the principal. The
    killing of an unintended person is within the
    scope of the “particular crimes” that the
    perpetrators conspired to promote or facilitate
    — first degree murder. To adopt defendant’s
    argument would provide an absurd result
    where the principal would be guilty of first
    degree murder of an unintended victim while a
    complicitor, who assists in facilitating and
    promoting the crime, is exonerated. This
    result would defeat the purpose of the
    complicity statute . . . 
    . 107 P.3d at 1092
    .
    ¶ 20   On appeal, defendant contends that the district court erred (1)
    in determining that the doctrine of transferred intent applies to
    crimes other than first degree murder (which was the charge in
    Candelaria) or (2) in its application of the transferred intent
    doctrine. We reject defendant’s first point but agree with his
    second.
    11
    ¶ 21   In Candelaria, the division recognized that the first degree
    murder statute, by its terms, “incorporates the doctrine of
    transferred intent and holds a principal liable for the death of an
    unintended victim.” 
    Id. at 1091;
    see § 18-3-102(1)(a), C.R.S. 2015
    (A person commits first degree murder after deliberation where
    “[a]fter deliberation and with the intent to cause the death of a
    person other than himself, he causes the death of that person or of
    another person.”) (emphasis added).
    ¶ 22   Defendant points out that the second degree murder statute
    does not contain such language. Nevertheless, in People v. Marcy,
    
    628 P.2d 69
    (Colo. 1981), the supreme court concluded that the
    doctrine of transferred intent applies to second degree murder:
    There is no requirement that the knowing
    conduct essential to extreme indifference
    murder and second degree murder be directed
    against the person actually killed. On the
    contrary, both offenses are general intent
    crimes, and as long as the offender knowingly
    acts in the proscribed manner and causes the
    death of another, he is guilty of the crime even
    though the person killed is not the person
    against whom the criminal conduct was
    directed.
    
    Id. at 79
    (citation omitted).
    12
    ¶ 23   Although the second degree murder statute was amended after
    Marcy was decided, the statutory change did not alter the general
    intent requirement described in Marcy. See Ch. 295, sec. 12, § 18-
    3-103, 1996 Colo. Sess. Laws 1844. Therefore, we are bound by
    this holding. See People v. Allen, 
    111 P.3d 518
    , 520 (Colo. App.
    2004) (noting the Colorado Court of Appeals is “bound by the
    decisions of the Colorado Supreme Court”).
    ¶ 24   Turning to the court’s application of the transferred intent
    doctrine, we note that
    [t]he doctrine . . . is a legal fiction that is used
    to hold a defendant criminally liable to the full
    extent of his or her criminal culpability.
    Traditionally, the transferred intent theory has
    been applied in so-called “bad aim” situations
    where a defendant, while intending to kill one
    person, accidentally kills an innocent
    bystander or another unintended victim. . . .
    Thus, the perpetrator’s intent to kill or injure a
    specific victim transfers to the unintended
    victim.
    . . . The purpose of the doctrine is to impose
    criminal liability upon an actor when he or she
    intends to commit a criminal act, and “the
    actual result differs from the result designed or
    contemplated only in that a different person or
    property was injured or affected.”
    13
    State v. Fekete, 
    901 P.2d 708
    , 714 (N.M. 1995) (citations omitted)
    (quoting Model Penal Code § 2.03(2)(a) cmt. 3 (1985)); see People v.
    Fernandez, 
    673 N.E.2d 910
    , 913 (N.Y. 1996) (“The doctrine of
    ‘transferred intent’ serves to ensure that a person will be prosecuted
    for the crime he or she intended to commit even when, because of
    bad aim or some other ‘lucky mistake,’ the intended target was not
    the actual victim.” (quoting People v. Birreuta, 
    208 Cal. Rptr. 635
    ,
    639 (Cal. Ct. App. 1984))).
    ¶ 25   In Candelaria, the defendant and others sought to find and kill
    a particular individual with whom they had earlier exchanged
    gunfire; when they saw that individual’s car, the defendant’s
    passenger opened fire at it, killing not that individual but someone
    
    else. 107 P.3d at 1084
    . As defendant points out, that was a classic
    transferred intent scenario: the perpetrator (the passenger in the
    car) missed his intended target and hit someone else.
    ¶ 26   Here, taking as true the facts presented at the providency
    hearing, there was no unintended victim, within the meaning of the
    transferred intent doctrine. There was no mistake, on the part of
    the shooter: he did not think he was shooting someone else, nor did
    he try to shoot someone else but accidentally hit the victim.
    14
    Instead, the shooter meant to kill the very person that he did kill,
    and that person was not someone defendant wanted to kill.
    ¶ 27   The district court viewed the “transferred intent” doctrine from
    defendant’s perspective — that is, that he had intended to kill a
    particular person but not the victim. But the People have cited no
    authority, and we have found none, applying the “transferred
    intent” doctrine from the perspective of a person who was not the
    one who actually committed the crime itself. To the contrary, at
    least one commentator has noted that when, as was alleged here,
    “the direct perpetrator deliberately changes the object of the offence,
    the doctrine of transferred malice does not apply to the indirect
    participant despite the fact that from his point of view the
    displacement of harm was accidental.” Shachar Eldar, Examining
    Intent Through the Lens of Complicity, 28 Can. J.L. & Juris. 29, 42
    (2015).5
    5 In the course of his article, Eldar presented three scenarios where
    the “Direct Perpetrator [of a Crime] Caused a Change of Object”;
    noted that “English law . . . distinguished deviation caused by
    accident (scenario 4) or mistake (scenario 5) from deliberate
    deviation (scenario 6)”; and explained that “the indirect participant
    is not liable if the direct perpetrator deviated purposefully from the
    plan, as, for example, if he received a knife to kill A and resolves to
    use the knife to kill B instead.” Shachar Eldar, Examining Intent
    15
    ¶ 28   Nor would “complicity” principles necessarily make defendant
    responsible for second degree murder under the facts presented at
    the providency hearing. In Bogdanov v. People, 
    941 P.2d 247
    (Colo.
    1997), amended, 
    955 P.2d 997
    (Colo. 1997), the supreme court
    noted:
    [S]ome jurisdictions have complicity statutes
    that would hold an accomplice liable for any
    crimes that are a reasonably foreseeable
    consequence of the crime which the
    accomplice intended to aid or encourage. The
    Colorado General Assembly chose not to
    extend accomplice liability to reasonably
    foreseeable crimes, but rather limited such
    liability to those particular crimes which the
    accomplice intended to promote or facilitate.
    
    Id. at 251
    n.8 (citation omitted).
    ¶ 29   Under Colorado law,
    a person is legally accountable as a principal
    for the behavior of another constituting a
    criminal offense if he aids, abets, advises, or
    encourages the other person in planning or
    committing that offense, and he does so with:
    (1) the intent to aid, abet, advise, or encourage
    the other person in his criminal act or
    conduct, and (2) an awareness of
    circumstances attending the act or conduct he
    seeks to further, including a required mental
    Through the Lens of Complicity, 28 Can. J.L. & Juris. 29, 39-41
    (2015).
    16
    state, if any, that are necessary for
    commission of the offense in question.
    People v. Childress, 
    2015 CO 65M
    , ¶ 34.
    ¶ 30   Applied to the facts as presented at the providency hearing,
    the principles announced in Bogdanov and Childress may not
    support complicitor liability for the crime of first or second degree
    murder. While it may have been foreseeable that someone would be
    killed when the two men started out that night, defendant’s liability
    does not, under Bogdanov, depend on the foreseeability of the
    result. Rather, it must be tied to his own intent and awareness of
    the circumstances under which his confederate acted. Defendant’s
    position is, apparently, that he was not aware until it was too late
    that the shooter intended to kill someone other than a person whom
    defendant wanted to kill. These facts, if true, would not support a
    conviction of defendant for first or second degree murder under a
    complicitor theory. See Childress, ¶¶ 31-32 (discussing the mental
    states required of a principal and complicitor for “knowing” or
    “specific intent” crimes).
    ¶ 31   Because the facts, as presented at the providency hearing,
    would not support a conviction for first or second degree murder
    17
    based on transferred intent and complicity principles, any failure on
    the part of plea counsel to so advise defendant could have
    constituted deficient performance. See Carmichael v. People, 
    206 P.3d 800
    , 806 (Colo. 2009) (“[C]ounsel’s failure to present defendant
    with the opportunity to make [a] reasonably informed decision
    [whether to accept a plea offer] will constitute deficient
    representation.”).
    ¶ 32   Because the court summarily denied defendant’s
    postconviction motion, the record does not disclose whether, in fact,
    plea counsel misadvised (or failed to properly advise) defendant;
    whether any failure on the part of counsel to properly advise
    defendant would have been unreasonable under the then-prevailing
    professional norms;6 or, if so, whether defendant would likely have
    6 See Strickland v. Washington, 
    466 U.S. 668
    , 689 (1984) (“A fair
    assessment of attorney performance requires that every effort be
    made to eliminate the distorting effects of hindsight, to reconstruct
    the circumstances of counsel’s challenged conduct, and to evaluate
    the conduct from counsel’s perspective at the time.”); Everett v.
    Sec’y, Fla. Dep’t of Corr., 
    779 F.3d 1212
    , 1249 (11th Cir. 2015)
    (“The Strickland performance standard is objectively reasonable
    attorney conduct under prevailing professional norms. We look at
    what professional norms existed at the time that the attorney
    acted.”) (citations omitted); People v. Ray, 
    2015 COA 92
    , ¶ 37
    (“Strickland’s deficient performance prong is governed by the law as
    18
    pleaded guilty anyway.7 Consequently, a remand for an evidentiary
    hearing on these matters is necessary.
    B.     Failure To Advise Defendant of His Right To Appeal
    ¶ 33   Defendant also contends that the district court erred in
    denying his claim that plea counsel was ineffective in failing to
    advise him about appealing the ruling on his Crim. P 32(d) motion
    to withdraw guilty plea. Again, we conclude that a remand is
    necessary.
    ¶ 34   Twenty-five days after the court sentenced defendant,
    defendant filed a pro se pleading, titled “Written Notice of Appeal /
    Review of Sentence Will Be Sought,” informing the court that he
    wished to “appeal the court’s decision [denying Rule 32(d) relief] and
    . . . [his] sentence,” and requesting that the court appoint him an
    attorney. No attorney was appointed; no appeal was taken.
    it stood at the time of counsel’s allegedly deficient performance
    . . . .”).
    7 In the guilty plea context, the question of ineffective assistance of
    counsel “prejudice” is analyzed in terms of whether there is a
    reasonable probability that, but for counsel’s unprofessional errors,
    the defendant would not have pleaded guilty. Hill v. Lockhart, 
    474 U.S. 52
    , 59 (1985); People v. Garcia, 
    815 P.2d 937
    , 943 (Colo.
    1991).
    19
    ¶ 35   Subsequently, in the supplemental Crim. P. 35(c) motion,
    postconviction counsel asserted that plea counsel was ineffective in
    “fail[ing] to advise [defendant] he had a right to appeal the denial of
    his 32(d) motion and his sentence.”
    ¶ 36   The district court found that, even if it assumed plea counsel
    failed to advise defendant of his right to appeal, defendant was not
    entitled to relief because he had “identifie[d] no plausible appellate
    challenge to the denial of his request to withdraw his pleas,” and
    therefore, he was not prejudiced.
    ¶ 37   Before turning to the merits of this issue, we must first
    address a point raised by the People — that is, that the record does
    not reflect that the district court ever ruled on the Crim. P. 32(d)
    motion, and thus there was nothing for defendant to appeal or be
    advised of appealing.
    ¶ 38   Ordinarily, we would, as urged by the People, not give any
    further consideration to this issue. See Feldstein v. People, 
    159 Colo. 107
    , 111, 
    410 P.2d 188
    , 191 (1966) (“[I]t is incumbent on the
    moving party to see to it that the court rules on the matter he
    urges. The trial court should be afforded the opportunity to so rule;
    otherwise, the matter will ordinarily not be considered on writ of
    20
    error.”), abrogated on other grounds by Deeds v. People, 
    747 P.2d 1266
    (Colo. 1987); People v. Young, 
    923 P.2d 145
    , 149 (Colo. App.
    1995) (“[B]ecause he failed to request [from the trial court] a ruling
    on this issue, defendant has waived it on appeal.”).
    ¶ 39   However, in this case, it was the district court that, only four
    days before sentencing, ordered plea counsel to file the Crim. P.
    32(d) motion. And, because the judge at sentencing was the same
    judge who had ordered that the motion be filed, the district court
    could reasonably have expected — and not been surprised by — the
    filing of the motion.
    ¶ 40   Further, the judge who ordered the motion to be filed and who
    sentenced defendant was the same judge who ruled on defendant’s
    motions for postconviction relief. In denying relief on this part of
    defendant’s postconviction motions, that judge did not base his
    decision on any lack of a ruling on the Rule 32(d) motion. If
    anything, he appeared to consider the Rule 32(d) motion to have
    been implicitly denied when he proceeded to sentencing. We will
    consider it in this same fashion on appeal.
    ¶ 41   Turning to the merits of defendant’s ineffective assistance of
    counsel claim, the United States Supreme Court has said that “a
    21
    lawyer who disregards specific instructions from the defendant to
    file a notice of appeal acts in a manner that is professionally
    unreasonable.” Roe v. Flores-Ortega, 
    528 U.S. 470
    , 477 (2000). In
    other cases, however,
    where the defendant neither instructs counsel
    to file an appeal nor asks that an appeal not be
    taken, . . . whether counsel has performed
    deficiently . . . is best answered by first asking
    . . . whether counsel in fact consulted with the
    defendant about an appeal. We employ the
    term ‘consult’ to convey a specific meaning —
    advising the defendant about the advantages
    and disadvantages of taking an appeal, and
    making a reasonable effort to discover the
    defendant’s wishes. If counsel has consulted
    with the defendant, the question of deficient
    performance is easily answered: Counsel
    performs in a professionally unreasonable
    manner only by failing to follow the
    defendant’s express instructions with respect
    to an appeal. If counsel has not consulted
    with the defendant, the court must in turn ask
    . . . whether counsel’s failure to consult with
    the defendant itself constitutes deficient
    performance.
    ....
    . . . [C]ounsel has a constitutionally imposed
    duty to consult with the defendant about an
    appeal when there is reason to think either (1)
    that a rational defendant would want to appeal
    (for example, because there are nonfrivolous
    grounds for appeal), or (2) that this particular
    defendant reasonably demonstrated to counsel
    22
    that he was interested in appealing. In making
    this determination, courts must take into
    account all the information counsel knew or
    should have known. . . . Even in cases when
    the defendant pleads guilty, the court must
    consider such factors as whether the
    defendant received the sentence bargained for
    as part of the plea and whether the plea
    expressly reserved or waived some or all appeal
    rights. Only by considering all relevant factors
    in a given case can a court properly determine
    whether a rational defendant would have
    desired an appeal or that the particular
    defendant sufficiently demonstrated to counsel
    an interest in an appeal.
    
    Id. at 478-80
    (citation omitted).
    ¶ 42   Here, either defendant or plea counsel filed several letters or
    motions seeking to withdraw the guilty plea on the basis of a
    purported misadvisement (and therefore misunderstanding) of the
    elements of the offense for which defendant entered his plea. And,
    twenty-five days after sentencing, defendant filed a pro se “notice of
    appeal” in the district court.
    ¶ 43   Given defendant’s letters, plea counsel’s motions, and
    defendant’s pro se notice of appeal, the record contains ample
    reason to perceive that defendant would want to appeal the denial
    of his motion to withdraw his plea and that he had reasonably
    demonstrated that interest. The record reflects that plea counsel
    23
    was still representing defendant several months after sentencing.
    For purposes of this appeal, we, like the district court, will assume
    that plea counsel should have consulted with and advised
    defendant about his right to appeal,8 but did not do so. Cf. Flores-
    
    Ortega, 528 U.S. at 481
    (“We expect that courts evaluating the
    reasonableness of counsel’s performance using the inquiry we have
    described will find, in the vast majority of cases, that counsel had a
    duty to consult with the defendant about an appeal.”).
    ¶ 44   We, however, disagree with the court’s finding that defendant
    had not been prejudiced because he had “identifie[d] no plausible
    appellate challenge to the denial of his request to withdraw his
    pleas.” In this context, ineffective assistance of counsel “prejudice”
    is demonstrated not by the existence of plausible appellate
    arguments, but rather by a showing that “there is a reasonable
    probability that, but for counsel’s deficient failure to consult with
    8 “[A]dequate consultation requires informing a client about his
    right to appeal, advising the client about the advantages and
    disadvantages of taking an appeal, and making a reasonable effort
    to determine whether the client wishes to pursue an appeal,
    regardless of the merits of such an appeal.” Thompson v. United
    States, 
    504 F.3d 1203
    , 1206 (11th Cir. 2007). Counsel should also
    inform a defendant that he is obligated to file an appeal if that is
    what the defendant requests. 
    Id. at 1207.
    24
    [the defendant] about an appeal, [the defendant] would have timely
    appealed.” 
    Id. at 484;
    accord People v. Pendleton, 
    2015 COA 154
    ,
    ¶ 38.
    ¶ 45      Because the court summarily denied defendant’s claim, the
    record does not reflect whether plea counsel had consulted
    defendant about appealing; what, if any, advice plea counsel might
    have given defendant about appealing;9 what instructions defendant
    may have given counsel; and, whether there is a reasonable
    probability that defendant’s failure to timely appeal the denial of his
    Rule 32(d) motion and sentence was attributable to counsel’s advice
    or lack of advice. Consequently, the matter must be remanded for
    an evidentiary hearing on these issues.
    III.   Conclusion
    ¶ 46      The order is reversed and the case is remanded for an
    evidentiary hearing on the two claims of ineffective assistance of
    counsel discussed in this opinion.
    9 For example, whether counsel informed defendant that, although
    she could file an appeal on his behalf, she herself could not pursue
    that appeal because of the nature of the underlying issue (i.e., her
    alleged ineffectiveness). Thus, the appeal, once perfected, would
    need to be pursued either by conflict-free counsel or by defendant
    himself.
    25
    ¶ 47   If defendant demonstrates that his guilty plea is infirm as a
    result of plea counsel’s ineffective assistance, the district court shall
    vacate the judgment of conviction and reinstate the original
    charges, without needing to address defendant’s second claim.
    ¶ 48   If, however, defendant does not succeed in setting his
    conviction aside, the court shall consider defendant’s second claim.
    If the district court determines, with respect to that claim, that
    defendant was deprived of his appellate rights as a result of
    ineffective assistance of plea counsel, the court shall appoint
    counsel for direct appeal and order counsel to file, in this court, a
    motion to allow a late-filed notice of appeal with, as proof of good
    cause for the late appeal, the district court’s order finding ineffective
    assistance of plea counsel. See People v. Long, 
    126 P.3d 284
    , 287
    (Colo. App. 2005).
    ¶ 49   The district court’s rulings on remand are subject to appeal by
    either party.
    ¶ 50   JUDGE TAUBMAN and JUDGE STERNBERG concur.
    26