Lonnie Lynberg Johnson Jr. v. State ( 2019 )


Menu:
  •              In the
    Court of Appeals
    Second Appellate District of Texas
    at Fort Worth
    ___________________________
    No. 02-18-00443-CR
    ___________________________
    LONNIE LYNBERG JOHNSON JR., Appellant
    V.
    THE STATE OF TEXAS
    On Appeal from the 297th District Court
    Tarrant County, Texas
    Trial Court No. 1513767D
    Per Curiam Memorandum Opinion
    MEMORANDUM OPINION
    I. Introduction
    A jury convicted Appellant Lonnie Lynberg Johnson Jr. of two counts of
    possession with intent to deliver a controlled substance that weighed four grams or
    more but less than two hundred grams. The jury did not find that Appellant had
    exhibited a deadly weapon during the commission of the offense. The trial court
    assessed punishment on each count at fifty-five years’ incarceration in the Institutional
    Division of the Texas Department of Criminal Justice and ordered the sentences to
    run concurrently.
    Appellant raises two points on appeal. First, he asserts that the evidence is
    insufficient to establish that he had possession of the controlled substances. We
    overrule this point because when viewed in the light most favorable to the
    convictions, the record contains evidence that supports a reasonable inference that
    Appellant was linked to the controlled substances and that supports a finding that he
    possessed them.
    Second, Appellant contends that his trial counsel operated with a conflict of
    interest that caused him to render ineffective assistance of counsel. We overrule this
    point because Appellant’s trial counsel had no actual conflict of interest, and even if
    he did, he did not advance another interest to the detriment of Appellant.
    We affirm.
    2
    II. Appellant’s argument—that there is insufficient evidence that he
    “possessed” controlled substances—fails.
    In his first point, Appellant contends that the record does not establish enough
    links to place him in possession of the narcotics that were found inside bags in a
    vehicle in which he was riding.      The court of criminal appeals lists numerous
    nonexclusive factors that guide the determination of whether there is sufficient
    evidence of possession.     But this assortment of factors collapses into a single
    question: does the record contain evidence from which the jury could have drawn a
    reasonable inference that Appellant was in possession of the controlled substances
    that were found in the vehicle? Here, the jury watched the videos from the arresting
    officers’ body cameras and saw Appellant use the presence of his children in the
    vehicle in an attempt to remove from the vehicle one of the bags containing the
    narcotics and then later deny that he had done so. Appellant also used the presence
    of other bags belonging to his children as an attempt to dissuade the officers from
    searching what turned out to be narcotics-containing bags located in the vehicle.
    Appellant’s efforts to conceal the contents of the bags containing the narcotics and
    other evidence outlined below support the reasonable inference that Appellant indeed
    possessed the drugs concealed in those bags.
    A. The factual background of the discovery of a cache of drugs following a
    traffic stop of a stolen vehicle without its headlights illuminated
    After nine o’clock on a September night, a sport utility vehicle (SUV) without
    its headlights on passed a police officer. The officer stopped the vehicle. Appellant’s
    3
    wife was driving, Appellant was in the passenger seat, and his three children—ranging
    in age from four to nine—were in the backseat.
    The vehicle had paper tags. As the investigating officer routinely did, he
    compared the Vehicle Identification Number (VIN) on the vehicle with that
    contained on the tag. The numbers did not match, which usually indicates that the
    paper tag is a fake. A computer check of the VIN that was listed on the vehicle
    confirmed that it was stolen.
    At that point, the matter became a felony stop. Because of the presence of the
    children in the vehicle, neither the investigating officer nor a backup officer who had
    also arrived followed the standard procedure of removing all of the occupants from
    the vehicle at gunpoint. Instead, the investigating officer who originally stopped the
    vehicle asked the driver to step from the car, cuffed her out of the children’s sight,
    and placed her in his patrol car.
    But because all occupants must be removed from the vehicle during a felony
    stop, the officers asked Appellant to get out of the vehicle, which he did. Initially,
    Appellant was cooperative with officers, though he and his wife protested that they
    did not know that the vehicle was stolen.
    On the video generated by the investigating officer’s body camera, he told
    Appellant’s wife that when he ran the VIN, the computer showed that the vehicle had
    been stolen out of Fort Worth. She responded, “Stolen?” In response to a question
    asking Appellant’s wife from whom the vehicle was bought, she said that it was
    4
    bought from a friend, that she had not had it long, and that she could let the officer
    talk to “them.” Appellant said that this was his friend’s car and that he did not know
    that it was stolen. The backup officer’s body camera captured Appellant’s statement
    when he was told that the vehicle was stolen: “That’s ludicrous; I had no clue about
    nothing like that.” The backup officer requested that Appellant provide the name of
    the friend who allegedly owned the SUV, and Appellant did so.
    As the stop progressed, the backup officer’s body camera showed that the
    officer approached Appellant while he appeared to be removing items from the
    vehicle and told him that before he started “gathering stuff up,” the vehicle must be
    searched. Appellant responded, “We ain’t got nothing illegal . . . . What would you
    think that we have illegal?” Appellant then relented in his efforts to remove items
    from the vehicle.
    The older children also got out of the vehicle. The youngest child, who was in
    the middle of the backseat, was asleep. Though it was another failure to follow the
    procedures required for a felony stop, the officers asked Appellant to unbuckle the
    child’s seatbelt and to remove him from the vehicle so that they would not traumatize
    the child.
    While in the process of removing the youngest child from the car, Appellant
    reached for a camouflage backpack that was sitting immediately next to the child.
    That backpack became the central player in the underlying case. The investigating
    5
    officer who made the stop told Appellant to leave the backpack alone and said that no
    items were to be removed from the vehicle until police had searched them. 1
    The officers’ refusal to let Appellant have access to the camouflage backpack
    caused a change in Appellant’s attitude, and in the investigating officer’s words,
    Appellant became upset and argumentative. According to the officers, Appellant
    indicated that the backpack belonged to his children and that he did not give his
    permission to look in it. The officers assured Appellant that after police had searched
    the backpack and the other bags in the vehicle, the officers would give the bags to
    Appellant if there was nothing illegal in them.
    The backup officer also described how Appellant’s attitude changed when he
    learned that the vehicle’s contents would be searched.           This officer reiterated
    Appellant’s statement that he did not want the children’s bags searched.
    A search of the camouflage backpack revealed that it contained a green leafy
    substance that appeared to be marijuana; a substance that appeared to be cocaine; and
    pill bottles, which contained pills but had no prescription labels. The backpack also
    contained a small scale, rubber gloves, and plastic baggies. One of the officers
    testified that these items indicate that the person possessing them is a drug dealer.
    1
    Also on body camera video, the investigating officer told Appellant to leave an
    item “here” and that the officer would bring it to him. Appellant said, “I can’t let you
    go through my kids’ bags.” Later, Appellant asked, “Why you gotta go through my
    kids’ stuff?”
    6
    Other nondrug-related items were also found in the camouflage backpack. The
    backpack contained black beads that matched the type of beads that Appellant was
    wearing in his hair. The backpack also contained a bottle of clipper oil and a clipper
    attachment for a Wahl clipper, which the officer identified as being used by a barber
    or someone who cuts hair. Items from a clipper set that matched what was found in
    the backpack were found in another bag that Appellant had in his seat. Appellant told
    the officer that he made his living as a barber.
    After the search of the backpack revealed its illegal contents, the investigating
    officer asked Appellant to whom the backpack belonged, and he said that he did not
    know—though a few moments before he had indicated that it belonged to one of his
    kids. This officer also testified that this was the same bag that Appellant had tried to
    grab and had not let the officer look into. One of the body camera videos depicts this
    officer bringing the camouflage backpack out of the vehicle; showing it to Appellant;
    and stating, “You said that this was your kids’ bag, man.” Appellant responded, “No,
    I didn’t say that was my kids’ bag.” Later, the video captured Appellant again saying
    that the officers should not search his kids’ bags.
    The backup officer also noted that before Appellant learned that the vehicle
    would be searched, Appellant did not say that the vehicle contained items that did not
    belong to him. In the officer’s experience, the shift in attitude from cooperative to
    uncooperative signaled the possibility that there might be something in the vehicle
    that the defendant did not want the police to know about.
    7
    The officers did not immediately place Appellant under arrest when they
    discovered the drugs in the camouflage backpack because they did not want the
    children further traumatized. The officers continued the search of the vehicle by
    examining bags in the hatch area of the SUV. Appellant had stated that the hatch area
    contained his children’s backpacks. After a search of bags in the hatch area, the
    officers gave two bags to Appellant’s children. The children then left with a friend
    whom Appellant had called to pick them up.
    The hatch area also contained “a black in color Puma Lab bag that had been
    sitting next to and partially on top of the two [children’s] backpacks that were in [that]
    area.” A search of that bag revealed more baggies with green leafy substances that
    appeared to be marijuana and other baggies and pill bottles that contained pills, which
    also appeared to be illegal substances. This bag also contained empty baggies, gloves,
    and a food sealer. The investigating officer testified that, as with the items in the
    camouflage backpack, the items in the black bag are associated with someone who
    deals drugs.
    In response to an inquiry made early in the stop by the backup officer,
    Appellant stated that there was not a gun in the vehicle. The officers subsequently
    found a fully loaded handgun in the vehicle. The gun was found in a purse that had
    been placed on the floorboard in front of the passenger seat where Appellant had
    been sitting.
    8
    The investigating officer admitted on cross-examination that no drugs were
    found on Appellant’s person, that no identification was found in the bags, that the
    bags were not fingerprinted, and that he did not know who the actual owner of the
    vehicle was or whether some or all of the vehicle’s contents belonged to someone
    else. The officer later confirmed that criminals seldom acknowledge their criminal
    conduct or leave identification in bags containing narcotics.
    Appellant also had $996 in cash on his person. In the officer’s experience, this
    was an unusually large amount of cash for a person to carry around. 2
    B. The general standard of review
    Federal due process requires that the State prove beyond a reasonable doubt
    every element of the crime charged. Jackson v. Virginia, 
    443 U.S. 307
    , 316, 
    99 S. Ct. 2781
    , 2787 (1979); see U.S. Const. amend. XIV. In our due-process evidentiary-
    sufficiency review, we view all the evidence in the light most favorable to the verdict
    to determine whether any rational factfinder could have found the crime’s essential
    elements beyond a reasonable doubt. 
    Jackson, 443 U.S. at 319
    , 99 S. Ct. at 2789;
    Queeman v. State, 
    520 S.W.3d 616
    , 622 (Tex. Crim. App. 2017).
    2
    The remaining portion of the record involves expert testimony about the
    nature of the substances found and their quantity, as well as expert testimony
    regarding how the evidence indicates that Appellant had an intent to distribute the
    drugs. Because of the limited nature of Appellant’s sufficiency challenge, we will not
    catalog this evidence.
    9
    C. The standards for resolving a sufficiency challenge on the issue of whether
    a defendant was in possession of a controlled substance
    Here, Appellant was charged with and convicted of possession with intent to
    deliver two controlled substances—cocaine and methamphetamine.3 Section 481.112
    of the Texas Health and Safety Code states that “a person commits an offense if the
    person knowingly . . . possesses with intent to deliver a controlled substance listed in
    Penalty Group 1” and that “[a]n offense . . . is a felony of the first degree if the
    amount of the controlled substance to which the offense applies is, by aggregate
    weight, including adulterants or dilutants, four grams or more but less than 200
    grams.” Tex. Health & Safety Code Ann. § 481.112(a), (d); see also Kibble v. State, 
    340 S.W.3d 14
    , 18 (Tex. App.—Houston [1st Dist.] 2010, pet. ref’d) (“To demonstrate
    possession of cocaine with intent to deliver, the State is required to show that
    3
    The indictment charged two counts:
    DEFENDANT, ON OR ABOUT THE 15TH DAY OF
    SEPTEMBER 2017, IN THE COUNTY OF TARRANT, STATE OF
    TEXAS, DID INTENTIONALLY OR KNOWINGLY POSSESS
    WITH INTENT TO DELIVER A CONTROLLED SUBSTANCE,
    NAMELY COCAINE, OF FOUR GRAMS OR MORE BUT LESS
    THAN TWO HUNDRED GRAMS, INCLUDING ANY
    ADULTERANTS OR DILUTANTS,
    COUNT TWO: AND IT IS FURTHER PRESENTED IN AND TO
    SAID COURT THAT THE DEFENDANT IN THE COUNTY OF
    TARRANT AND STATE AFORESAID ON OR ABOUT THE
    15TH DAY OF SEPTEMBER[] 2017, DID INTENTIONALLY OR
    KNOWINGLY POSSESS WITH INTENT TO DELIVER A
    CONTROLLED SUBSTANCE, NAMELY METHAMPHETAMINE,
    OF FOUR GRAMS OR MORE BUT LESS THAN TWO HUNDRED
    GRAMS, INCLUDING ANY ADULTERANTS OR DILUTANTS[.]
    10
    (1) appellant   knowingly    or    intentionally,   (2)   possessed,   (3)   cocaine   [or
    methamphetamine], (4) in an amount of greater than four but less than two hundred
    grams, (5) with the intent to deliver the cocaine [or methamphetamine].”).4
    The focus of Appellant’s sufficiency challenge is whether he possessed the
    substances. Both the Texas Health and Safety Code and the Texas Penal Code
    provide the same definition for “possession”:         “actual care, custody, control, or
    management.” See Tex. Health & Safety Code Ann. § 481.002(38); Tex. Penal Code
    Ann. § 1.07(a)(39). Thus, “[t]o prove unlawful possession of a controlled substance,
    the State must prove that[] (1) the accused exercised control, management, or care
    over the substance; and (2) the accused knew the matter possessed was contraband.”
    Poindexter v. State, 
    153 S.W.3d 402
    , 405 (Tex. Crim. App. 2005), overruled in part on other
    grounds by Robinson v. State, 
    466 S.W.3d 166
    , 173 & n.32 (Tex. Crim. App. 2015).
    Appellant does not contend that the evidence is insufficient to prove that he knew the
    substances were contraband; he limits his attack to the sufficiency of the evidence
    establishing his control and management of the substances because, in his view, the
    evidence does not establish the link between him and the drugs that is necessary to
    prove possession.
    4
    Appellant does not challenge the intent-to-deliver element of the offenses.
    Nor does he challenge the expert testimony that the substances were controlled
    substances or the amount of the substances recovered. Thus, because we are not
    required to review what Appellant did not brief, we will focus on the element of the
    offenses for which Appellant claims that there is insufficient evidence. See, e.g., Burks
    v. State, No. PD-0992-15, 
    2017 WL 3443982
    , at *1 (Tex. Crim. App. June 28, 2017)
    (op. on reh’g) (not designated for publication).
    11
    A person’s “fortuitous proximity” to drugs is not sufficient to establish
    possession; there must be an affirmative link between the defendant and the
    substances to establish possession:
    The “affirmative links rule” is designed to protect the innocent
    bystander from conviction based solely upon his fortuitous proximity to
    someone else’s drugs. This rule simply restates the common-sense
    notion that a person—such as a father, son, spouse, roommate, or
    friend—may jointly possess property like a house but not necessarily
    jointly possess the contraband found in that house. Thus, we have
    formulated the rule that “[w]hen the accused is not in exclusive
    possession of the place where the substance is found, it cannot be
    concluded that the accused had knowledge of and control over the
    contraband unless there are additional independent facts and
    circumstances [that] affirmatively link the accused to the contraband.”
    
    Id. at 406
    (citations omitted).
    As with any other element of an offense, the affirmative link may be
    established by direct or circumstantial evidence. See Evans v. State, 
    202 S.W.3d 158
    ,
    162 (Tex. Crim. App. 2006) (“However, presence or proximity, when combined with
    other evidence, either direct or circumstantial (e.g., “links”), may well be sufficient to
    establish that element beyond a reasonable doubt.”).
    The courts have formulated a nonexclusive list of factors to examine in
    determining whether the necessary links exist:
    (1) the defendant’s presence when a search is conducted; (2) whether the
    contraband was in plain view; (3) the defendant’s proximity to and the
    accessibility of the narcotic; (4) whether the defendant was under the
    influence of narcotics when arrested; (5) whether the defendant
    possessed other contraband or narcotics when arrested; (6) whether the
    defendant made incriminating statements when arrested; (7) whether the
    defendant attempted to flee; (8) whether the defendant made furtive
    12
    gestures; (9) whether there was an odor of contraband; (10) whether
    other contraband or drug paraphernalia were present; (11) whether the
    defendant owned or had the right to possess the place where the drugs
    were found; (12) whether the place where the drugs were found was
    enclosed; (13) whether the defendant was found with a large amount of
    cash; and (14) whether the conduct of the defendant indicated a
    consciousness of guilt.
    Tate v. State, 
    500 S.W.3d 410
    , 414 (Tex. Crim. App. 2016) (quoting 
    Evans, 202 S.W.3d at 162
    , n.12).
    But as the court of criminal appeals notes, “[a]lthough these factors can help
    guide a court’s analysis, ultimately the inquiry remains that set forth in Jackson: Based
    on the combined and cumulative force of the evidence and any reasonable inferences
    therefrom, was a jury rationally justified in finding guilt beyond a reasonable doubt?”
    
    Id. (citing Jackson,
    443 U.S. at 
    318–19, 99 S. Ct. at 2789
    ). When analyzing the
    sufficiency of the evidence supporting the element of possession, we cannot focus our
    analysis on “each circumstance of guilt in isolation without considering the cumulative
    force of all of the evidence.” 
    Id. at 417.
    Our review based on this cumulative view of
    the evidence requires that “the logical force of all of the admitted evidence must be
    considered in the light most favorable to the conviction, meaning that all reasonable
    inferences from the evidence must be resolved in favor of the jury’s guilty verdict.”
    
    Id. 13 D.
    The evidence from which the jury could draw a reasonable inference that
    Appellant was in possession of the controlled substances found in the vehicle
    We perform our review not by going through the list of factors to be examined
    and mechanically checking off those present and those not present. Instead, we
    examine the cumulative force of the evidence in the light most favorable to the
    conviction to determine whether it supports a reasonable inference of possession. It
    does.
    We catalog the evidence supporting the inference as follows:
    • Appellant claimed that the vehicle belonged to a friend but did not claim that
    the items in the vehicle belonged to his friend.
    • Appellant initially attempted to remove items from the vehicle until he was
    stopped by the officers.
    • Appellant repeatedly used the fact that the vehicle contained bags belonging to
    his children in an attempt to persuade the officers not to search the vehicle.
    • Appellant attempted to take possession of the camouflage backpack while
    removing one of the children from the vehicle and apparently would have done
    so if an officer had not instructed him to leave it in place.
    • After receiving the instruction to leave that backpack in place, Appellant told
    the officers that he could not let them search his kids’ bags.
    • Later, when shown the camouflage backpack, Appellant claimed that he had
    never asserted that the backpack belonged to his kids.
    14
    • The camouflage backpack contained not only narcotics and the means of
    weighing and packaging them but also personal items that appeared to be
    connected with Appellant, such as beads similar to those worn in his hair and
    oil and clippers used by someone in Appellant’s line of work.
    • The clipper attachment found in the camouflage backpack appeared to be from
    the same set as the Wahl clipper found in a bag on the same seat of the vehicle
    where Appellant had been sitting.
    • Appellant was in possession of an amount of cash that one of the arresting
    officers found to be unusually large. 5
    • The black bag found in the back of the vehicle was on top of bags that
    Appellant had identified as belonging to his children.
    • The black bag contained narcotics and other items that were similar to those
    found in the camouflage backpack.
    5
    Though the amount of cash here—$996—is not shockingly large, the State
    cites us to cases in which smaller amounts of cash were found that supported an
    inference of criminal activity. See Lester v. State, No. 02-16-00288-CR, 
    2018 WL 3763897
    , at *1, *5 (Tex. App.—Fort Worth Aug. 9, 2018, pet. ref’d) (mem. op., not
    designated for publication) (holding that $434 in cash was a large amount of cash that,
    along with other factors, allowed the jury to rationally determine that appellant
    possessed the methamphetamine found in a motorcycle); Boone v. State, No. 02-13-
    00302-CR, 
    2014 WL 982354
    , at *1, *3, *5 & n.10 (Tex. App.—Fort Worth Mar. 13,
    2014, no pet.) (mem. op., not designated for publication) (holding same regarding
    “roughly $666”); Mohmed v. State, 
    977 S.W.2d 624
    , 626–27 (Tex. App.—Fort Worth
    1998, pet. ref’d) (holding same regarding $910).
    15
    In summary, Appellant was riding in a vehicle in which controlled substances
    were found. Appellant initially attempted to persuade the officers not to search the
    bags in the vehicle by claiming that the bags belonged to his kids and told the officers
    that he would not permit the bags to be searched. He attempted to casually take
    possession of one of the bags containing controlled substances and would have done
    so unless instructed not to do so by one of the officers. He later disavowed that he
    had previously claimed that this bag belonged to his kids. Not just one, but two types
    of items were found in the camouflage backpack that appeared to be associated with
    characteristics specific to Appellant.
    With regard to the links that were present, Appellant was in an enclosed space
    with the controlled substances, thus establishing a link between himself and the illegal
    items found in the vehicle. He attempted to frustrate an examination of the vehicle’s
    contents both by his words and by his attempt to take physical possession of the
    backpack that contained narcotics, and a jury could reasonably conclude that he had
    hoped to place the backpack in the car in which his children would be transported
    away from the scene without its being searched, thus establishing another link. The
    contents of the backpack contained items that were tied to Appellant’s unique
    personal characteristics, thus establishing a third link. The black bag was found in the
    vehicle’s storage area in a position that made it appear like it had been placed there at
    the same time that the children’s bags—about which Appellant had such concern—
    had also been placed in the vehicle, thus establishing a fourth link. The black bag
    16
    contained items that were similar to those found in the backpack that Appellant had
    attempted to take control over, thus establishing a fifth link. Appellant had an
    amount of cash on his person that case law concludes—and the evidence supports—
    is consistent with the dealing of drugs, thus establishing a link between Appellant’s
    activities and the items associated with the dealing of the drugs that were found in the
    vehicle. Viewed in the light most favorable to the conviction, the cumulative force of
    this evidence supports a reasonable inference that Appellant was linked to the
    controlled substances found in the bags and also supports the jury’s determination
    that he had exercised actual control, custody, or management over those substances.
    Appellant wants to sidestep the standard of review and what the full record
    reveals and instead directs our attention to the various factors that are not supported
    by the record. First, as noted above, our review is not a mechanical process of
    determining whether the State or Appellant has checked the most boxes in the list of
    factors. Second, Appellant cannot succeed by pretermitting the full range of the
    evidence from review. His narrow portrayal of the record mentions only that (1) he
    was in a vehicle that coincidentally held hidden drugs, (2) what was found in the bags
    creates only a speculative link to him because the only items that he chooses to
    acknowledge—the hair beads—could have belonged to his ex-wife6 or the actual
    owner of the vehicle, and (3) the possession of $996 in cash as a large amount is
    6
    At the time of the trial, Appellant was no longer married to the woman who
    had been the driver of the SUV on the date of the offenses.
    17
    “relative and indeterminate.” A full and candid portrayal of the record in the light
    most favorable to the verdict establishes a host of links that Appellant ignores.
    We overrule Appellant’s first point.
    III. We hold that Appellant’s trial counsel did not render ineffective assistance
    because the alleged conflict of interest was waived and did not impair his
    ability to cross-examine a witness.
    In his second point, Appellant claims that his trial counsel7 was gripped by the
    jaws of an ethical vise. One jaw was his duty to represent Appellant without concern
    for the interests of himself or anyone else. The other was the obligation that he held
    to a former client—Appellant’s ex-wife—not to divulge privileged attorney–client
    communications. The record shows that counsel never felt the actual squeeze of the
    vise.
    Appellant claims that the alleged conflict came to a head when his ex-wife
    testified during the punishment phase of the trial and that his counsel could not
    adequately cross-examine her about her criminal history because to do so would
    breach the attorney–client privilege. But the basis for the conflict disappeared when
    the ex-wife waived the attorney–client privilege for communications that she had with
    her former lawyer, Appellant’s trial counsel. Even if we assume that a conflict existed,
    Appellant’s counsel did not act in a way that adversely impacted Appellant. The trial
    record shows that counsel did question the ex-wife’s credibility based on her criminal
    history. Nothing in the record before us suggests that the ex-wife had committed any
    All references to counsel refer to Appellant’s trial counsel.
    7
    18
    other criminal act that counsel did not delve into because of his prior professional
    relationship with her.
    A. The factual background of the conflict claim and how the witness who
    allegedly created the claim of conflict waived it
    The conflict issue initially arose when counsel reurged a motion for
    continuance and a motion to withdraw in connection with an attempt to change
    Appellant’s election that the jury, rather than the court, assess his punishment. The
    motion for continuance had previously been denied, but the judge who originally
    heard the motion allowed counsel to reurge the motion before the judge who
    conducted the trial. 8 Counsel told the trial court that he had once represented
    Appellant’s ex-wife on the “same set of cases” as those involving Appellant. Though
    the representation had lasted about thirty days and had ended eight months before the
    trial that was about to commence, counsel claimed that he had engaged in attorney–
    8
    The motion for continuance was filed and initially heard at a pretrial hearing
    on the Friday preceding the Monday that Appellant’s trial commenced. The motion
    states that Appellant’s trial counsel (Jayson Nag) “recently” discovered “a potential
    [conflict] that prevents him from representing [Appellant] in that a co-defendant that
    will likely testify against [Appellant] is a former client of Jayson Nag.” The motion
    continues, “The attorney–client privilege still exists between Jayson Nag and this co-
    defendant. Thus, it would be unethical and severely improper of Jayson Nag to cross-
    examine this codefendant in open court.” The motion also suggests that Appellant’s
    trial strategy might implicate the co-defendant. At the pretrial hearing, counsel stated,
    “I don’t think it would be ethical or proper of me to represent him on these four
    charges due to that conflict that I have with this potential codefendant that is likely to
    testify against him due to attorney/client privilege and previous conversations that
    I’ve had with that particular codefendant.” The motion was denied by the judge who
    heard the pretrial matters though he noted that it could be reurged before the judge
    who presided over Appellant’s trial.
    19
    client communications with the former client. Counsel described his quandary as
    follows:    “[I]f the State intends to call her as a witness in guilt/innocence or
    punishment, then I have to essentially cross-examine my own former client, which I
    believe would violate Rule 1.06 and 1.09 of our Texas Rules of Ethics because I do
    have confidential attorney–client privileged information.” [Emphasis added.]
    Counsel indicated that Appellant had not waived the conflict and that he had
    told Appellant that he would ask for a continuance so that he could obtain new
    counsel. Counsel claimed that his client would not talk to him because of the alleged
    conflict.   Yet, counsel also described a conversation with Appellant in which
    Appellant had recently expressed that he did not want counsel to move forward but
    instead wanted to hire a new attorney and to pick a new jury and elect to go to them
    for punishment. Appellant’s motion for continuance also stated that Appellant’s
    refusal to communicate with counsel was “unrelated” to an alleged conflict of interest.
    The trial court responded that it would not reward Appellant’s attempts at delay. The
    trial court also noted that the issue had been raised at a status conference more than
    thirty days before trial. The court stated at that conference that it had told Appellant
    that the case was set for trial and that he could hire a new lawyer but that the trial
    would not be rescheduled.
    The State noted that it planned to call the ex-wife only during the punishment
    phase. In rejoinder to the State’s point that the ex-wife had been on the State’s
    witness list for months, counsel reiterated his problem as follows: “The attorney–
    20
    client privilege does not die just because you withdraw from representing somebody.
    As far as I know, it extends until it’s waived by that client.” [Emphasis added.]
    The trial court again pointed out that the conflict had existed for months, but
    counsel and Appellant had lived with it until the eve of trial. But the trial court
    indicated that it would revisit the issue if the ex-wife were actually called to testify. 9
    The State called the ex-wife to testify during punishment.               Counsel again
    emphasized that the ex-wife had not yet waived the privilege for her communications
    with counsel. Counsel described the ethical problem that this created for him as
    follows:
    And so my argument is basically twofold, that it would destroy the
    attorney/client privilege between myself and [the ex-wife], and I don’t think it
    would be effective of me with Mr. Johnson because I think there is a
    clear conflict of interest if I am put in the awkward position of cross-
    examining and questioning one of my own former clients, and so that’s
    my objection. [Emphasis added.]
    After counsel articulated his view of the ethical issue, the State notified the trial
    court that it had reached a plea deal with the ex-wife, and in the following exchange,
    The trial court did not appear to resolve the conflict issue raised in the motion
    9
    for continuance based on the tardiness of the motion’s filing. But it would have been
    within the court’s discretion to do so. See, e.g., Suniga v. State, No. AP-77,041, 
    2019 WL 1051548
    , at *3, *5 (Tex. Crim. App. Mar. 6, 2019) (not designated for publication)
    (op. on reh’g) (“[A] defendant cannot manipulate his constitutional right to counsel in
    a manner that throws the trial process into disarray. . . . The trial court may also
    consider the timing of a motion to withdraw based on an alleged conflict in
    determining whether to grant it.”), petition for cert. filed, (U.S. June 3, 2019) (No. 18-
    9564).
    21
    the ex-wife stated that she agreed to waive any claim of privilege between herself and
    Appellant’s counsel:
    Q. Okay. Also as part of that, I -- I have spoken with [your present
    lawyer], and you are willing to waive your privilege as far as it goes to
    your communications with [Appellant’s trial counsel] but not with your
    communication as to [your present lawyer]; is that correct?
    A. Correct.
    At this point, counsel made no further argument that he operated under a conflict and
    instead simply asked for a ruling. The trial court overruled the objection.
    The ex-wife testified about Appellant’s physical abuse of her, his reputation as a
    drug dealer, his acquisition of firearms as a felon, his involvement in “shooting up” a
    bar, and his involvement in gambling.
    On cross-examination, counsel obtained various concessions from the ex-wife.
    He obtained the concession that she had never filled out a police report on her claims
    of domestic violence. After noting that she was arrested with Appellant, counsel had
    the ex-wife acknowledge that she had failed to appear in court and had been on the
    run for three or four months. Counsel also had the ex-wife acknowledge that she
    knew that there was “dope” in the SUV when she and Appellant were arrested. She
    further acknowledged that Appellant had experienced a rough childhood and was a
    good father.
    22
    B. Appellant does not challenge the thoroughness of the trial court’s
    investigation of the conflict but whether a conflict existed that adversely
    impacted the representation Appellant received. For this reason, we will also
    limit our analysis to the existence of a conflict and whether it had an adverse
    impact.
    Appellant argues that the trial court erred because it did not recognize the
    existence of a conflict and that he suffered an adverse effect from that conflict. This
    approach skips a step that might have an impact on how we analyze the conflict issue.
    The court of criminal appeals points us to different paths of analysis depending on
    whether the conflict issue was brought directly to the trial court’s attention or was a
    matter that should have been apparent to the trial court even if not formally raised.
    This dichotomy is described as follows:
    When the appellant or his attorney has brought a potential conflict of
    interest to the attention of the trial court, the Supreme Court has said
    that the trial court has an obligation to investigate and determine
    “whether the risk of the conflict of interest is too remote to warrant
    separate counsel.”
    If the appellant and his attorney fail to bring the potential conflict to the
    attention of the trial court and the appealing defendant relies on the
    argument that the trial court should have been aware of the conflict, the
    defendant cannot obtain a reversal on appeal unless he shows that his
    attorney was operating under an actual conflict of interest that adversely
    affected counsel’s performance.
    Routier v. State, 
    112 S.W.3d 554
    , 581–82 (Tex. Crim. App. 2003) (comparing Holloway v.
    Arkansas, 
    435 U.S. 475
    , 484, 
    98 S. Ct. 1173
    , 1178–79 (1978), with Cuyler v. Sullivan, 
    446 U.S. 335
    , 349–50, 
    100 S. Ct. 1708
    , 1719 (1980)); see also Dunn v. State, 
    819 S.W.2d 510
    ,
    519 (Tex. Crim. App. 1991) (“[O]nce a possible conflict of interest is brought to the
    23
    trial court’s attention by either a pretrial motion or trial objection[, the trial court] has
    the constitutional obligation to at least take adequate steps to ascertain whether the
    risk of the conflict of interest is too remote to warrant remedial action.” (citing
    
    Holloway, 435 U.S. at 484
    , 98 S. Ct. at 1178)).
    Here, the motion to withdraw brought the potential conflict to the trial court’s
    attention, but Appellant raises no challenge to the thoroughness with which the trial
    court investigated the conflict. Instead, he moves directly to the issue of whether an
    actual conflict existed and whether that conflict had an adverse impact on the
    representation he received. We assume that Appellant cuts to the chase in recognition
    that there are only narrow grounds to obtain a reversal based on the nature of the
    inquiry that the trial court made once the conflict issues were brought to its attention
    and because most attacks still require proof of a conflict that adversely impacted
    representation:
    Petitioner’s proposed rule of automatic reversal [derived from Wood v.
    Georgia, 
    450 U.S. 261
    , 
    101 S. Ct. 1097
    (1981),] when there existed a
    conflict that did not affect counsel’s performance, but the trial judge
    failed to make the Sullivan-mandated inquiry, makes little policy sense.
    As discussed, the rule applied when the trial judge is not aware of the
    conflict (and thus not obligated to inquire) is that prejudice will be
    presumed only if the conflict has significantly affected counsel’s
    performance—thereby rendering the verdict unreliable, even though
    Strickland prejudice cannot be shown. See Sullivan, [446 U.S. at 
    348–49, 100 S. Ct. at 1718
    –19]. The trial court’s awareness of a potential conflict
    neither renders it more likely that counsel’s performance was
    significantly affected nor in any other way renders the verdict unreliable.
    Cf. United States v. Cronic, 466 U.S. [648,] 662, n.31, 104 S. Ct. [2039, 2049
    (1984)]. Nor does the trial judge’s failure to make the Sullivan-mandated
    inquiry often make it harder for reviewing courts to determine conflict
    24
    and effect, particularly since those courts may rely on evidence and
    testimony whose importance only becomes established at the trial.
    Mickens v. Taylor, 
    535 U.S. 162
    , 172–73, 
    122 S. Ct. 1237
    , 1244 (2002); see also 
    Routier, 112 S.W.3d at 581
    –82 (explaining that Mickens made clear that the Supreme Court’s
    opinion in Wood v. Georgia applying Cuyler did not create a rule that the failure to
    adequately inquire into conflict created a right to automatic reversal in the absence of
    proof of an actual conflict that adversely affected representation.).
    The trial court in this case did not fail to inquire into the alleged conflict once it
    was brought to its attention; instead, the trial court investigated and then allowed what
    Appellant alleges is a conflict to persist that resulted in Appellant’s allegedly receiving
    ineffective assistance of counsel.     In other words, the issue moved beyond the
    adequacy of the trial court’s investigation to whether that inquiry should have
    prompted a different decision by the trial court—to allow counsel to withdraw.
    Appellant understandably chooses his appellate battle based on a challenge to the trial
    court’s resolution of the issue rather than on how thoroughly it investigated. This is
    understandable as Appellant will apparently still bear the burden of establishing an
    actual conflict that adversely affected his representation even if he could raise some
    challenge that the trial court had conducted an inquiry but had not done so
    thoroughly enough. As we explain, Appellant has failed to establish an actual conflict
    or how a conflict adversely affected his counsel’s performance.
    25
    C. The law on conflicts of interest as the basis for an ineffective-assistance-of-
    counsel claim
    An appellant may rely on a conflict of interest held by his counsel as the basis
    for an ineffective-assistance claim, but proof of that claim requires a showing of an
    “actual” conflict of interest and “that the conflict actually colored counsel’s actions
    during trial.” Odelugo v. State, 
    443 S.W.3d 131
    , 136 (Tex. Crim. App. 2014) (quoting
    Acosta v. State, 
    233 S.W.3d 349
    , 356 (Tex. Crim. App. 2007), which cited 
    Cuyler, 446 U.S. at 348
    , 100 S. Ct. at 1718). To sustain an ineffective-assistance claim predicated
    on a conflict of interest, an appellant must show that counsel was placed in the vise of
    differing loyalties and was compelled to favor one of the interests pressing in on
    counsel over another.     
    Id. (“[A]n ‘actual
    conflict of interest’ exists if counsel is
    required to make a choice between advancing his client’s interest in a fair trial or
    advancing other interests (perhaps counsel’s own) to the detriment of his client.”). A
    party making an ineffective-assistance claim predicated on a conflict of interest must
    establish the existence of the conflict by a preponderance of the evidence. 
    Id. at 136–
    37.
    Theorizing about the possibility of conflict will not sustain an appellant’s
    burden; instead, “[a]n appellant must identify specific instances in the record that
    reflect a choice that counsel made between possible alternative courses of action, such
    as ‘eliciting (or failing to elicit) evidence helpful to one [interest] but harmful to the
    other.’” Malek v. State, Nos. 03-10-00534-CR, 03-10-00535-CR, 
    2012 WL 370551
    , at
    26
    *7 (Tex. App.—Austin Feb. 1, 2012, pet. ref’d) (mem. op. on reh’g, not designated for
    publication) (quoting Lopez v. State, 
    358 S.W.3d 691
    , 694–95 (Tex. App.—San Antonio
    2011, pet. ref’d), which cited Gaston v. State, 
    136 S.W.3d 315
    , 318 (Tex. App.—
    Houston [1st Dist.] 2004, pet. struck) (op. on reh’g en banc)); see also Pina v. State, 
    127 S.W.3d 68
    , 72 (Tex. App.—Houston [1st Dist.] 2003, no pet.) (“Neither the mere
    assertion of a conflict of interest nor a showing of a possible conflict of interest will
    support a claim of ineffective assistance of counsel.” (citing 
    Cuyler, 446 U.S. at 350
    ,
    100 S. Ct. at 1719)). In other words, the appellant must pinpoint that “his trial
    counsel ‘had to forego a strategy in the appellant’s trial that counsel would have
    otherwise pursued if he had not represented [a conflicting interest].’” Malek, 
    2012 WL 370551
    , at *7 (citing 
    Routier, 112 S.W.3d at 586
    ).
    D. No actual conflict of interest arose in this case, and even if one had,
    Appellant’s trial counsel did not advance the interest of one client over another.
    Appellant acknowledges that to carry his burden on his ineffective-assistance-
    of-counsel claim on an alleged conflict of interest of his counsel, he “must point to
    specific instances in the record reflecting a choice made by [his counsel] that was
    harmful to Appellant and beneficial to another party.” After noting that his counsel
    had represented his ex-wife for an offense arising from the same criminal transaction
    as that for which Appellant was charged, Appellant contends that counsel made a
    choice favoring the ex-wife because it is “likewise undeniable that notwithstanding the
    incredibly damaging testimony that [the ex-wife] provided for the State against
    27
    Appellant, [Appellant’s trial counsel] never delved into [the ex-wife’s] criminal history
    in an attempt to impeach her credibility.”
    Thus, Appellant relies on a conflict allegedly created by his counsel’s short-
    lived and long-since-terminated representation of his ex-wife on the same set of
    charges for which he was on trial.     Though joint representation of clients creates a
    potential conflict, in and of itself that representation is not sufficient to establish the
    actual conflict necessary to sustain an ineffective-assistance claim. See State v. Hart,
    
    342 S.W.3d 659
    , 666 (Tex. App.—Houston [14th Dist.] 2011, pet. ref’d) (“Though the
    evidence supported the conclusion that the joint representation of the Harts[] created
    a potential conflict of interest, the evidence was legally insufficient to support a
    finding that an actual conflict of interest arose.”). Nor does the fact that a lawyer had
    to cross-examine his former client translate into an actual conflict of interest. See
    United States v. Olivares, 
    786 F.2d 659
    , 663 (5th Cir. 1986) (“In sum, we hold that ‘active
    representation of conflicting interests’ connotes more than merely cross-examining a
    former client who, at an earlier stage of the case, had also paid a portion of his
    codefendants’ legal fees.”).
    Appellant’s counsel attempted to satisfy the burden of establishing an actual
    conflict by asserting that he could not effectively cross-examine the ex-wife because
    he knew things that she had told him while the two were in an attorney–client
    relationship. The concern expressed by counsel was a valid potential concern.
    28
    An effective cross-examination carried the risk of breaching the lawyer’s duty
    to maintain the confidences of his former client. See Tex. Disciplinary Rules Prof’l
    Conduct R. 1.05, 1.09, reprinted in Tex. Gov’t Code Ann., tit. 2, subtit. G, app. A (Tex.
    State Bar R. art. X, § 9). And “[i]t is well-established that a defendant is denied the
    effective assistance of counsel in those instances where an attorney is unable to cross-
    examine, or is chilled in the cross-examination of, a government witness because of
    the attorney/client privilege arising from counsel’s prior representation of the witness
    or from his duty to advance the interests of the witness as a current client.” Ramirez v.
    State, 
    13 S.W.3d 482
    , 487 (Tex. App.—Corpus Christi 2000), pet. dism’d, improvidently
    granted, 
    67 S.W.3d 177
    (Tex. Crim. App. 2001); see also Charleston v. State, 
    33 S.W.3d 96
    ,
    101 (Tex. App.—Texarkana 2000, pet. ref’d) (“Additionally, a defendant is denied
    effective representation when the attorney is unable to properly cross-examine a
    witness due to a prior representation of that witness.”).
    But this valid concern about a potential conflict did not rise to the level of an
    actual conflict in this case. As was her right to do, the ex-wife waived in open court
    any claim of privilege that existed between her and Appellant’s trial counsel. See Bailey
    v. State, 
    507 S.W.3d 740
    , 747 (Tex. Crim. App. 2016) (“[Texas Rule of Evidence]
    511(1) specifies that a person on whom the rules confer a privilege against disclosure
    waives the privilege if the person voluntarily discloses or consents to disclosure of any
    significant part of the privileged matter, unless such disclosure itself is privileged.”).
    29
    Thus, we are not persuaded that the potential for a conflict in this case
    blossomed into an actual conflict when the very basis for the actual conflict was
    removed by the waiver. The waiver removed counsel from the vise of having to
    decide whether to favor the interests of one client over the other. See Grimaldo v. State,
    No. 13-12-00513-CR, 
    2013 WL 3517600
    , at *6 (Tex. App.—Corpus Christi–Edinburg
    July 11, 2013, no pet.) (mem. op., not designated for publication) (stating that when
    attorney was not aware of conflict and former-client witness Sanchez waived privilege,
    “[t]he mere fact that Grimaldo[’]s defense counsel had represented Sanchez does not
    prove any actual conflict. Grimaldo has not shown that his trial counsel was required
    to make a choice between advancing Grimaldo’s interest or advancing other interests,
    including Sanchez[’]s or his own, to Grimaldo[’]s detriment”).10
    10
    As expressed in a case out of the Western District of New York,
    However, where as here, the former client waives the attorney–client
    privilege on cross-examination, the risk of a conflict is “significantly
    diminished,” and at worst, results only in a potential conflict of interest.
    [United States v.] Lussier, 71 F.3d [456,] 461–62 [(2d Cir. 1995)] (stating
    that conflict was at worst potential where former client, who was a
    witness against the defendant, waived his attorney–client privilege as to
    his prior communications with former counsel); see also United States v.
    Thomas, Nos. 98-1051, 98-1052, 98-1116, 
    2000 U.S. App. LEXIS 2224
    ,
    
    2000 WL 236481
    , at *3 (2d Cir. Feb. 14, 2000) (slip [op.]) (finding no
    actual or potential conflict where defense counsel previously represented
    at least three government witnesses in unrelated cases and the witnesses
    had waived their attorney–client privileges with defense counsel for
    cross-examination purposes); [United States v.] Leslie, 103 F.3d [1093,]
    1098–99 [(2d Cir. 1997)] (finding no actual or potential conflict where
    defense counsel previously represented client’s co-defendant in an
    unrelated investigation but co-defendant waived attorney–client privilege
    30
    Beyond the lack of an actual conflict in this case, the record reflects that no
    conflict—actual or potential—colored counsel’s actions.         Contrary to Appellant’s
    assertions, his counsel did cross-examine the ex-wife about her criminal history.
    Appellant predicates his ineffective-assistance claim on the contention that the
    conflict impeded his counsel’s cross-examination. Because the record shows the
    contrary, the record rebuts the second prong of an ineffective-assistance claim based
    on a conflict of interest, i.e., the conflict adversely affected counsel’s performance. See
    
    Lopez, 358 S.W.3d at 694
    (“The appellant must show (1) there was an actual conflict
    of interest[, and] (2) that conflict adversely affected counsel’s performance.” (citing
    
    Cuyler, 446 U.S. at 350
    , 100 S. Ct. at 1719; 
    Acosta, 233 S.W.3d at 355
    )).
    In addition to the concern that he expressed about violating the attorney–client
    privilege, Appellant’s trial counsel did say that cross-examining his ex-client put him in
    the “awkward position of cross-examining and questioning one of my own former
    on cross-examination, and stating that if a conflict was assumed, it
    “could only be regarded as potential”); cf. United States v. Pizzonia, 
    415 F. Supp. 2d 168
    , 178–79 (E.D.N.Y. 2006) (“Limited representation of a
    government witness unrelated to representation of the defendant is not
    likely to present a disabling conflict.”) (citing United States v. Paone, 
    782 F.2d 386
    , 393 (2d Cir. 1986)). By consenting to cross-examination,
    Moore waived any attorney–client privilege that could have hampered
    defense counsel’s cross-examination. Upon receiving Moore’s consent,
    defense counsel was free to conduct an uninhibited inquiry of Moore[]
    and indeed did so. Defense counsel appears to have faced no conflict at
    all upon receiving Moore’s consent and, if anything, faced only a
    potential conflict. See 
    Lussier, 71 F.3d at 461
    –62.
    See Davis v. Smith, No. 12-CV-0096MAT, 
    2012 WL 6569372
    , at *7 (W.D.N.Y. Dec. 17,
    2012) (decision & order).
    31
    clients.” He had previously articulated his additional concern as follows: “If she gets
    up there, right, and I tear her up on cross and she says something the State doesn’t
    want her to say and they renege on their plea deal, then who is she gonna come after?
    Me.” But once the waiver removed the concrete basis for the conflict, the mere
    awkwardness of the situation did not create an actual conflict. See 
    Ramirez, 13 S.W.3d at 491
    (Seerden, C.J., dissenting) (“Therefore, although I acknowledge that counsel is
    an officer of the court and entitled to respect as such, I do not believe that her
    conclusory assertions of a conflict and confidential information that might impact in
    some unspecified manner upon the present cross-examination must be accepted by
    the court at face value.”).
    Further, the ex-wife waived the privilege after speaking with her new counsel.
    Appellant never tells us how a conflict exists from Appellant’s counsel’s potentially
    asking the ex-wife hard questions derived from what she had told him during the
    attorney–client relationship when—after consultation with new counsel—she waived
    any impediment Appellant’s counsel had to use that information. Next, the State
    placed its plea deal with the ex-wife on the record. Nothing in the offer’s terms
    suggests that Appellant’s counsel had a conflict because the offer was contingent on
    how the ex-wife testified. And as we have noted, Appellant’s counsel actually asked
    the ex-wife hard questions. Thus, if he had felt restrained by a conflict, the cross-
    examination shows that the waiver removed his reluctance to vigorously cross-
    examine the ex-wife.
    32
    Finally, if there were additional offenses that counsel did not mention during
    cross-examination, the record does not tell us what those were. Appellant’s motion
    for new trial did not raise a ground that there were additional aspects of his ex-wife’s
    criminal history that his trial counsel was impeded from exploring because of a
    conflict. As so often happens in the context of an ineffective-assistance claim on
    direct appeal, even if there were some matter that Appellant’s counsel did not raise
    during cross-examination, we do not have a record telling us what that was, and thus
    we lack the ability to determine whether the failure to use information during cross-
    examination adversely affected Appellant. See Grimaldo, 
    2013 WL 3517600
    , at *5
    (stating that appellate court was unable to assess in direct appeal an ineffective-
    assistance claim based on conflict when “there [was] no evidence regarding any
    specific privileged information that counsel obtained because of the prior
    representation that could have given rise to a conflict of interest”).
    We overrule Appellant’s second point.
    IV. Conclusion
    Having overruled Appellant’s two points, we affirm the trial court’s judgments.
    Per Curiam
    Do Not Publish
    Tex. R. App. P. 47.2(b)
    Delivered: August 1, 2019
    33