Murderpedia has thousands of hours of work behind it. To keep creating
new content, we kindly appreciate any donation you can give to help
the Murderpedia project stay alive. We have many
plans and enthusiasm
to keep expanding and making Murderpedia a better site, but we really
need your help for this. Thank you very much in advance.
Anthony Keith
JOHNSON
Robbery
3 days after
(jewelry dealer)
MARCUS,
Circuit Judge:
In this
appeal, we consider the
request for a writ of habeas
corpus by Petitioner Anthony
Keith Johnson, a state
prisoner in Alabama. Johnson
was indicted and convicted
of capital murder in the
1984 shooting death of
Kenneth Cantrell in Morgan
County, Alabama. The state
trial court imposed a
sentence of death. That
judgment was later upheld on
direct appeal and again on
collateral attack by the
Alabama Court of Criminal
Appeals. In this federal
habeas petition, Johnson
argues that his conviction
should be set aside on a
variety of grounds. He
contends, among other things,
that his trial attorneys
rendered him
constitutionally ineffective
assistance by choosing a
flawed defense strategy. The
district court conducted a
hearing on Johnson's
petition and subsequently
issued a lengthy and well-
reasoned order denying all
relief. Johnson has now
sought review from this
Court. Having carefully
reviewed the record and
considered the parties'
arguments, we affirm.
When she
opened the door she
encountered a man between 45
and 50 years of age who
identified himself as Bill
Spears. She noticed that he
held one hand behind his
back, and she asked if he
was concealing something. He
said that he was not and
showed her his hand. At the
same time he motioned for
another man who had been
hiding in the carport to
come forward. The man
already at the door then
grabbed Mrs. Cantrell, and
the other man, wearing a
blue bandana over his face
and brandishing a "real
shiny" gun in his hand,
announced "This is a holdup."
After the
intruders left, Mrs.
Cantrell waited a moment,
looked up at her husband,
noticed that he had blood
all over him, and that she
had blood all over her but
had not been shot. She then
called an ambulance and
police to the scene. Mr.
Cantrell sustained six
gunshot wounds in the
exchange, three in the right
side of his chest, one in
the left side of his chest,
one in the back of his right
arm, and one to his right
middle finger. The bullets
that struck him in the chest
passed through his lungs and
the large arteries from the
heart, causing rapid death.
On the
evening of March 12, 1984,
the day after the murder,
Johnson went to the home of
David Lindsey, who was a
friend, in Newell, Alabama.
Johnson told Lindsey that he
had been shot. When Lindsey
inquired as to what had
happened, Johnson stated, "Well
you know how it is when you
have got the habit." Johnson
told Lindsey that he knew
Lindsey had been to Vietnam,
and asked if Lindsey knew a
medic or someone who could
get the bullet out. Lindsey
told him that he knew no one
who could do that.
At
Johnson's request, Lindsey,
on the morning of March 13,
1984, drove Johnson to a
motel in Oxford, Alabama, to
meet Gene Loyd. Loyd and
Johnson were glad to see
each other, and Loyd asked
Johnson where he had been.
Johnson replied that he "had
to get the hell out of
Hartselle." He said that he
and some friends had gone
into a place to "get some
gold" and that he had been
shot.
According
to Lindsey, Johnson stated:
"I got shot, but I got off a
couple of rounds, and I
believe I got that son of a
bitch." Lindsey returned
home, where he heard that a
murder had occurred in
Hartselle, and he contacted
law enforcement.
Johnson
was arrested on March 14,
1984, at the motel where he
had been taken by Lindsey. A
pair of brown boots, which
Johnson claimed to own, were
found at the scene of the
arrest. A bullet wound was
discovered in his back; that
wound was 50.5 inches from
the ground when Johnson was
standing.
A search
warrant was eventually
obtained, and the bullet was
surgically removed from
Johnson's back.1
The bullet that was removed
from Appellant's back was a
.38 special C.C.I. Blazer,
the same kind of bullet
fired by Mr. Cantrell's
revolver. The bullet had the
same characteristics as
those test- fired from Mr.
Cantrell's R.G. revolver and
those found at the scene,
although it was impossible
to make a definite
determination that Mr.
Cantrell's revolver actually
fired the bullet.
The
bullet that was removed from
Johnson's back also had
glass embedded in its nose.
Test comparisons of the
glass removed from the
bullet and the glass found
in the pane on the back door
(through which the
unaccounted-for bullet had
passed) revealed that all of
their physical properties
matched, with no measurable
discrepancies. Based upon
F.B.I. statistical
information, it was
determined that only 3.8 out
of 100 samples could have
the same physical properties.2
B.
After the
petitioner was arrested as a
murder suspect, two
attorneys (Propst and
DiGiulian) were appointed to
represent him. On March 26,
1984, Johnson was formally
charged with capital murder.
In June 1984, a Morgan
County grand jury indicted
Johnson for the intentional
murder of Kenneth Cantrell
during the course of a
robbery, in violation of
Ala. Code § 13A-5-40. A year
later, on June 20, 1985,
Johnson was found guilty by
a jury of capital murder as
charged in the indictment.
On June
21, 1985, the jury voted
nine to three to recommend
that Johnson be sentenced to
life imprisonment without
the possibility of parole
instead of death. On
November 8, 1985, the trial
court -- having conducted
the sentencing hearing
required by Ala. Code §
13A-5-47 -- rejected the
recommendation of the jury
and sentenced Johnson to
death. The court found two
of the statutory aggravating
circumstances defined at
Ala. Code § 13A-5-49: (1)
the capital offense was
committed by a person under
sentence of imprisonment,
and (2) the capital offense
was committed while the
defendant was engaged in the
commission of a robbery. The
court acknowledged that
there was some potentially
mitigating evidence, but
ultimately ruled that the
aggravating circumstances
were substantial and
controlling.3
Johnson
appealed to the Alabama
Court of Criminal Appeals,
where he was represented by
newly-appointed appellate
counsel (Mays). On November
25, 1986, the Alabama Court
of Criminal Appeals issued a
written opinion affirming
the conviction and sentence.
The Alabama Supreme Court
affirmed the conviction and
sentence on February 5,
1988, and the United States
Supreme Court denied
Johnson's petition for the
writ of certiorari on
October 3, 1988.
After the
direct review process was
completed, Johnson's present
counsel then undertook to
represent him in post-conviction
proceedings. They started by
seeking relief in the
Alabama courts, filing on
April 4, 1989, a petition
under Rule 20 of the Alabama
Rules of Criminal Procedure.
The petition, as amended,
raised a large number of
claims. The Circuit Court of
Morgan County twice denied
the petition, only to have
the Court of Criminal
Appeals twice remand for the
entry of express findings
after a hearing. On June 17,
1991, the trial court
submitted a more specific
order denying the Rule 20
petition.
Johnson
then appealed the denial of
his petition to the Alabama
Court of Criminal Appeals,
which made written findings
of its own and affirmed in a
written opinion dated on
September 18, 1992. SeeJohnson v. State, 612
So.2d 1288 (Ala. Crim. App.
1992). The Alabama Supreme
Court denied Johnson's
petition for the writ of
certiorari on February 19,
1993, and there is no
indication that Johnson
sought further review from
the U.S. Supreme Court.
C.
On June
7, 1993, Johnson filed this
petition for habeas corpus
pursuant to § 2254,
asserting seven principal
grounds for relief (only
some of which are pursued
now on appeal). In response,
the State filed memoranda
and introduced numerous
documents and records from
the various state court
proceedings. The district
court eventually conducted
an in camera evidentiary
hearing regarding
communications between
Johnson and his trial
attorneys concerning
Johnson's participation in
the events surrounding the
robbery and murder.
Johnson's trial attorneys
were also directed to file
under seal materials that
contained these
communications.4
According
to the district court, at
the hearing, Johnson's trial
lawyers "made it clear that
what Johnson had told his [trial]
attorneys about his personal
participation in the robbery
and murder of Mr. Cantrell
completely refuted his
present attorneys' `fictionalized'
account of his participation,
upon which most of their
present arguments are
founded." 58 F. Supp. 2d at
1326 n.14.
The
district court found that
Johnson had told his trial
attorneys that he had
participated in the robbery,
had personally fired shots
at Mr. Cantrell, and had
been wounded by Mr. Cantrell.
As discussed below, these
statements are indeed at
odds with the theory of
defense advanced now by
Johnson's habeas counsel.
On July
23, 1999, the district court
entered an exhaustive order
considering but ultimately
rejecting each of Johnson's
many habeas objections. In
so doing, the court made
various independent findings
of fact, and determined as
well that findings of the
Alabama Court of Criminal
Appeals were supported by
the record. This appeal
followed.
Johnson
asserts multiple grounds for
granting his § 2254 petition.
His principal arguments are
the following: (1) there was
insufficient evidence to
convict him of capital
murder, especially on the
issue of his intent to kill;
(2) his trial attorneys
provided ineffective
assistance of counsel (i) by
adopting an unreasonable
defense strategy that failed
to challenge the State's
proof of intent; (ii) by
failing to request a jury
instruction on felony murder;
(iii) by making improper
remarks during closing
argument and also failing to
object to improper remarks
by the prosecutor; and (iv)
by inadequately cross-examining
Lindsey and failing to call
witnesses who might have
impeached Lindsey's
testimony; (3) his appellate
lawyer provided ineffective
assistance of counsel; (4)
the State committed a
Brady violation by
suppressing material that
could have been used to
impeach witnesses
unfavorable to the defense;
and (5) the trial court's "reasonable
doubt" instruction
impermissibly lowered the
State's burden of proof
below that required by the
Constitution. We address
these arguments in turn, and
find each of them to be
without merit.5
III.
Johnson's
first argument for relief is
that there was insufficient
evidence to prove him guilty
of capital murder beyond a
reasonable doubt. In
particular, Johnson contends
that there was insufficient
evidence of his specific
intent to kill. Before
addressing this argument,
however, we must consider
whether it has been
preserved for federal court
review. We agree with the
district court that this
claim has been procedurally
defaulted. We also agree
that this argument fails on
its merits.
A.
We turn
initially to the question of
procedural default. To
obtain a writ of habeas
corpus under § 2254, a
petitioner must not have
procedurally defaulted his
federal claims in the state
courts. See, e.g.,
Wainwright v. Sykes, 433
U.S. 72, 82-85, 97 S. Ct.
2497, 2504-06 (1977).
"Federal review of a
petitioner's claim is barred
by the procedural default
doctrine if the last state
court to review the claim
states clearly and expressly
that its judgment rests on a
procedural bar, and that bar
provides an adequate and
independent state ground for
denying relief." Johnson
v. Singletary, 938 F.2d
1166, 1173 (11th Cir. 1991)
(en banc) (citing Harris
v. Reed, 489 U.S. 255,
263, 109 S. Ct. 1038, 1043
(1989)).
The
Alabama Court of Criminal
Appeals, considering
Johnson's appeal from the
denial of his state post-conviction
petition, expressly found
that Johnson's sufficiency
of the evidence challenge
was procedurally barred as a
matter of Alabama law to the
extent it "could have been
but was not raised on [direct]
appeal." Johnson v. State,
612 So. 2d at 1292. The
district court found that
the particular insufficiency
of the evidence claim
asserted by Johnson in this
proceeding could have been,
but was not, raised on
direct appeal, and therefore,
by virtue of the Alabama
Court of Criminal Appeals's
decision, is procedurally
barred from federal court
review. We agree. SeeChandler v. Moore,
240 F.3d 907, 912 (11th Cir.
2001); Singletary,
938 F.2d at 1173.
Johnson
insists that he did argue
insufficiency of the
evidence on direct appeal.
But while state appellate
counsel attacked the
sufficiency of the evidence
regarding Johnson's presence
at the scene, there was no
appeal on the separate and
distinct issue of whether
there was sufficient
evidence that Johnson had
the specific intent to kill
required under Alabama's
capital murder law.
Johnson
does not contend that such
an argument was advanced (indeed,
appellate counsel's failure
to advance that argument is
one of the reasons Johnson
now claims ineffective
assistance of counsel), and
there is no indication that
the Alabama Court of
Criminal Appeals, in its
ruling on Johnson's state
habeas petition, thought
that such an argument was
among those raised or
addressed on direct appeal.
See 612 So. 2d at
1292.
This is
not a situation where, to
use Johnson's words, a claim
was presented fairly but "inartfully"
on direct appeal; rather,
the sufficiency of the
evidence argument advanced
by Johnson on direct appeal
was totally different from
that advanced in this
federal proceeding.
Insufficiency of the
evidence is simply too broad
and malleable an objection
to hold, in these
circumstances at least, that
a direct appeal in state
court challenging the
sufficiency of the evidence
on one theory is enough to
preserve for federal habeas
review a challenge to the
adequacy of proof on a
factually and legally
distinct theory never fairly
presented to the state
courts. Cf.Hart
v. Estelle, 634 F.2d
987, 989 (5th Cir. 1981) (exhaustion
of state remedies
requirement not satisfied
where the petitioner "technically
asserted the same
constitutional deficiency
and the same facts" in the
federal proceeding, but did
so "in support of a
different legal theory"). We
therefore find that this
claim has been procedurally
defaulted.6
If a
petitioner has procedurally
defaulted a federal habeas
claim, he may be
nevertheless heard on that
claim if he can show "cause"
for the procedural default
and "prejudice" attributable
thereto. See
Murray v. Carrier, 477
U.S. 478, 485, 106 S. Ct.
2639, 2644 (1986). To show
cause, a petitioner must
prove that "some objective
factor external to the
defense impeded counsel's
efforts" to raise the claim
previously. Id. at
488, 106 S. Ct. at 2645.
Once cause is proved, a
petitioner also must prove
prejudice. He must show "not
merely that the errors at
his trial created a
possibility of prejudice,
but that they worked to his
actual and
substantial disadvantage,
infecting his entire trial
with error of constitutional
dimensions." United
States v. Frady, 456
U.S. 152, 170, 102 S. Ct.
1584, 1596 (1982) (emphasis
in original).
If a
petitioner cannot show
cause, he may still survive
a procedural bar by proving
that the failure to hear the
merits of his claim would
endorse a fundamental
miscarriage of justice.
SeeMurray, 477
U.S. at 495, 106 S. Ct. at
2649. This exception is
exceedingly narrow in scope,
as it concerns a
petitioner's "actual"
innocence rather than his
"legal" innocence. SeeCalderon v. Thompson,
523 U.S. 538, 559, 118 S. Ct.
1489, 1502- 03 (1998);
Murray, 477 U.S. at
495-96, 106 S. Ct. at 2649 (explaining
that a "fundamental
miscarriage of justice"
occurs "in an extraordinary
case, where a constitutional
violation has resulted in
the conviction of someone
who is actually innocent").
To meet
this standard, a petitioner
must "show that it is more
likely than not that no
reasonable juror would have
convicted him" of the
underlying offense.
Schlup v. Delo, 513 U.S.
298, 327, 115 S. Ct. 851,
867 (1995). In addition, "`[t]o
be credible,' a claim of
actual innocence must be
based on reliable evidence
not presented at trial."
Calderon, 523 U.S. at
559, 118 S. Ct. at 1502-03 (quoting
Schlup, 513 U.S. at
324, 115 S. Ct. at 865) (explaining
that "[g]iven the rarity of
such evidence, in virtually
every case, the allegation
of actual innocence has been
summarily rejected" (internal
quotation marks omitted)).
Neither
exception to the procedural
bar rule applies in this
case. Johnson's only "cause
and prejudice" argument
stems from his appellate
counsel's purportedly
ineffective assistance in
failing to litigate on
appeal the intent issue. As
discussed below, however, we
do not find appellate
counsel to have been
constitutionally ineffective.
Nor, as discussed below,
does Johnson show "actual
innocence." Johnson bases
his objection on a new
theory of defense, not newly-discovered
evidence. He has not come
forward with any new
evidence in support of his
petition. In any event, we
cannot say that it was more
likely than not that no
reasonable juror would have
convicted Johnson of capital
murder.
B.
Indeed,
on the merits, we agree with
the district court that the
evidence at trial was
sufficient to sustain
Johnson's capital murder
conviction. The question we
ask is very limited: whether,
after reviewing the evidence
in a light most favorable to
the prosecution, any
rational trier of fact could
have found the petitioner
guilty beyond a reasonable
doubt. SeeJackson
v. Virginia, 443 U.S.
307, 313, 99 S. Ct. 2781,
2785 (1979); Martin v.
Alabama, 730 F.2d 721,
724 (11th Cir. 1984).
Although each element of the
offense must be established
beyond a reasonable doubt,
seeBishop v.
Kelso, 914 F.2d 1468,
1470 (11th Cir. 1990) (citing
Jackson, 443 U.S. at
316, 99 S. Ct. at 2787), the
State is not required to
rule out every hypothesis
except that of the guilt of
the defendant, see
Jackson, 443 U.S. at
326, 99 S. Ct. at 2792-93;
Martin, 730 F.2d at
724. When the record
reflects facts that support
conflicting inferences,
there is a presumption that
the jury resolved those
conflicts in favor of the
prosecution and against the
defendant. In other words,
federal courts must defer to
the judgment of the jury in
assigning credibility to the
witnesses and in weighing
the evidence. See
Jackson, 443 U.S. at
326, 99 S. Ct. at 2793;
Wilcox v. Ford, 813 F.2d
1140, 1146 (11th Cir. 1987).
In this
proceeding, Johnson's
sufficiency challenge
revolves around a so-called
"third man" defense.
Specifically, Johnson
contends that the trial
evidence indicates that he
was not one of the two
robbers who shot at Cantrell,
but rather was a "third" man
who participated in the
robbery but not in
Cantrell's shooting death.
As this theory goes, Johnson
entered the Cantrell house
during a lull in the
shooting just in time to be
caught in the back by the
dying Mr. Cantrell's last
shot.
This
theory -- which was not
advanced by Johnson's trial
or appellate counsel in
state court -- attempts to
build upon apparent
confusion in the testimony
of Mrs. Cantrell, the only
surviving eyewitness to the
shooting, as well as a
nuance in Alabama's capital
murder scheme. Although
Alabama law does identify
robbery as one of the
circumstances that may
elevate a murder to a
capital offense, see
Ala. Code § 13A-5-40(a)(2),
mere participation in a
robbery that leads to a
killing is not sufficient
for a capital conviction.
Alabama's capital murder
statute applies only when
the defendant has specific
intent to kill, and thereby
is guilty of an intentional
murder. SeeEx
parte Murray, 455 So. 2d
72, 74 (Ala. 1984); Lewis
v. State, 456 So. 2d
413, 416 (Ala. Crim. App.
1984) (stating that "no
defendant is guilty of a
capital offense unless he
had an intent to kill, and
that intent to kill cannot
be supplied by the felony
murder doctrine").
The State
has acknowledged that Mr.
Cantrell was actually killed
by the unidentified "first"
man rather than by Johnson.
That acknowledgment does not
relieve Johnson of liability,
however. Johnson may still
be liable for capital murder
upon proof of complicity in
an intentional murder
carried out by another. This
theory of liability requires
more than proof of
participation in a robbery;
it also requires proof that
Johnson, with an intent to
kill, aided another in the
killing Mr. Cantrell. SeeEx parte Raines, 429
So. 2d 1111, 1112-13 (Ala.
1982).7
At trial,
the state offered evidence
indicating that Johnson
possessed the intent
required under Alabama's
capital murder statute.
First, the State put Lindsey
on the stand to testify that
Johnson admitted shooting a
robbery victim in Hartselle.
Second, the State attempted
to identify Johnson as the
second robber in the
Cantrell home through
physical evidence, and then
put on testimony from Mrs.
Cantrell that this robber
had shot at her husband.
The
Alabama Court of Criminal
Appeals observed in post-conviction
proceedings that "[w]hile
the shots of the second `masked'
robber were not the shots
that killed the victim,
there was no reasonable
basis for the jury to doubt
that the second robber had
the intent to kill,
attempted to kill, and
actively participated in the
killing." Johnson v.
State, 612 So. 2d at
1298.
Johnson's
"third man" theory turns on
the notion that the evidence
at trial could be
interpreted to indicate that
there were three
robbers on the scene, and
that Johnson was not the
second but the third man to
enter the Cantrell home, and
hence was not one of the two
men who allegedly shot at
Mr. Cantrell. The State's
main argument on this point
was that there were two men
at the scene, two men shot
at Mr. Cantrell, Johnson was
at the scene, and
accordingly Johnson must
have been the second man.
Johnson counters that while
the State may have had
evidence that he was present
at the scene, it had little
solid evidence pointing to
him as the second man.
According to Johnson, a
properly-instructed jury
would have concluded that he
did not participate in the
shoot-out with Cantrell,
found evidence of
intentional murder lacking,
and opted instead for felony
murder, a non-capital
offense.
Johnson's
theory relies almost
entirely on apparent
confusion in portions of Mrs.
Cantrell's trial testimony.
As fairly described by the
district court, see
58 F. Supp. 2d at 1314-15,
Mrs. Cantrell's testimony
was essentially as follows.
Two intruders pushed past
her into the house. The
first man turned over a
couch in the living room and
took up a position behind it.
Mrs. Cantrell fell to the
floor at her husband's feet
and was unable to see much
of anything after that point.
After a brief verbal
exchange between her husband
and the intruders, the
second man opened fire. A
barrage of shots was
exchanged, followed by quiet.
The first man said "come on
in Bubba, I have got him."
Just after that, Mr.
Cantrell got off one last
shot. Mrs. Cantrell heard a
man say "Oh!," then heard
shuffling as if "they were
trying to help him out."
Mrs.
Cantrell continued:
A: It didn't take them long
. . . to start moving over
further towards the door.
Q: So neither one of them
was at the door when your
husband fired the last shot?
According
to Johnson, this portion of
Mrs. Cantrell's testimony is
critical because she placed
the two intruders away from
the door at the moment when
the last shot was fired and
one of the intruders was
hit. This is important,
Johnson claims, because the
State's evidence that
Johnson was present at the
scene was based largely on a
bullet which allegedly went
through the door and hit him.
Thus,
says Johnson, if both Mrs.
Cantrell's testimony and the
State's physical evidence
were to be believed, there
must have been three robbers
rather than two, and Johnson
could not have been the
second man.8
As the district court
explained, "Johnson's story
would go something like this.
He and several others went
to rob the Cantrells. He
waited outside while two
other men went in. They shot
Cantrell, and thinking the
fight was over called
Johnson in. As he walked in,
he was hit in the right side
of his back by Cantrell's
dying shot." 58 F. Supp. 2d
at 1331. Under this scenario,
Johnson was the "third man,"
did not participate in the
shooting, and lacks the
requisite intent to kill
required for capital murder.
We agree
with the district court that
the balance of the trial
evidence, viewed in a light
most favorable to the
prosecution, was sufficient
to permit a rational trier
of fact to find Johnson
guilty of the essential
elements of capital murder
beyond a reasonable doubt.
The balance of the evidence
points to two intruders
rather than three, with
Johnson as the second man.
First,
the evidence presented at
trial was more than adequate
to prove that Johnson was
present at the scene and
aided his associate in the
killing. Evidence at the
scene indicated that a
bullet had been fired by the
victim and had passed
through a pane of glass in
the carport door, only to
disappear. A bullet of the
type used by the victim, and
with markings matching the
type of gun used by the
victim, was recovered from
Johnson's back.
The
location of the bullet wound
was consistent with the
trajectory of the missing
bullet, and fragments of
glass found in the head of
that bullet matched the
physical characteristics of
the window pane through
which the shot had passed.
This evidence was sufficient
to allow a reasonable juror
to infer beyond a reasonable
doubt that Johnson was
present during the gunfight
which led to Mr. Cantrell's
death.
Second,
there was sufficient
evidence to establish
Johnson's intent to kill --
i.e., that he was the second
man. The physical evidence
indicated that an active gun
battle was waged between the
victim and two intruders. A
number of shots from both
sides passed through the
carport door, indicating
that one of the intruders
must have been firing from
behind the door during part
of the gunfight.
The fact
that Johnson was struck by a
bullet passing through this
door allowed the jury to
infer that he was the
shooter behind the door.
Johnson's wound location in
his right mid-back was
likewise consistent with the
notion that he had taken up
a position behind the door
during the fight and from
there shot at Mr. Cantrell.
Moreover,
Lindsey testified that
Johnson visited his home the
day after Mr. Cantrell was
murdered. According to
Lindsey, Johnson had with
him a "shiny" .357 Magnum
matching the description of
the gun carried by one of
Mr. Cantrell's killers.9
The next morning, Lindsey
drove Johnson to a motel in
Oxford, Alabama, where they
met some of Johnson's
friends.
Lindsey
testified that Johnson told
them that he "had to get the
hell out of Hartselle," and
that he and others had gone
into a place to get some
gold and that his buddy had
been shot. According to
Lindsey, Johnson also stated:
"I got shot, but I got off a
couple of rounds, and I
believe I got that son of a
bitch." The jury was
entitled to believe, and
presumably did believe,
Lindsey's testimony. The
record therefore contains
what amounts to an admission
by Johnson that he
participated in an
intentional killing. In
light of the other evidence,
a rational jury could
conclude that it was Mr.
Cantrell's murder which
Johnson was describing.
In the
end, virtually the only
evidence arguably supporting
the "third man" theory was
the snippet of Mrs.
Cantrell's testimony
highlighted now by Johnson.
But a reasonable jury could
easily have downplayed any
brief inconsistencies in Mrs.
Cantrell's testimony, and
based its conviction on the
balance of the evidence
pointing powerfully to
Johnson as one of two men
who shot at the victim.
On this
record, the State
sufficiently proved that
Johnson formed the requisite
intent to kill for capital
murder, and that he intended
to participate, and did
participate in Cantrell's
intentional killing. Giving
the jury's verdict the
deference it is due under
Jackson, Johnson is not
entitled to relief on the
ground that the evidence was
insufficient to convict him
of capital murder.
IV.
Johnson
next argues that he is
entitled to relief because
his trial counsel were
constitutionally ineffective.
Most of Johnson's
ineffectiveness arguments
center on trial errors that
Johnson attributes to his
lawyers' lack of
understanding of Alabama law
regarding the difference
between capital and felony
murder, and his lawyers'
related failure to recognize
the possibilities of a "third
man" defense. His lawyers'
purported errors include:
(1) failing to argue that
Johnson was not a
participant in the shooting,
but was instead a "third man";
(2) failing to argue that
there was insufficient
evidence of Johnson's
alleged intent to kill Mr.
Cantrell; (3) failing to
request a felony murder jury
instruction; (4) failing to
object to the prosecutor's
closing argument; and (5)
improperly suggesting during
their own closing argument
that Johnson would be guilty
of capital murder if he were
merely present at the
robbery and murder of Mr.
Cantrell. We address these
objections in turn.
A.
The
standard for ineffective
assistance of counsel is
well- settled. "First, the
defendant must show that
counsel's performance was
deficient. This requires
showing that counsel made
errors so serious that
counsel was not functioning
as the `counsel' guaranteed
the defendant by the Sixth
Amendment. Second, the
defendant must show that the
deficient performance
prejudiced the defense. This
requires showing that
counsel's errors were so
serious as to deprive the
defendant of a fair trial, a
trial whose result is
reliable." Williams v.
Taylor, 529 U.S. 362,
390, 120 S. Ct. 1495, 1511
(2000) (internal quotation
marks omitted) (citing
Strickland v. Washington,
466 U.S. 668, 687, 104 S. Ct.
2052, 2064 (1984));
accord, Chandler v.
United States, 218 F.3d
1305, 1312-1313 (11th Cir.
2000) (en banc), cert.
denied, 121 S. Ct. 1217
(2001).
The
petitioner bears the burden
of proof on the
"performance" prong as well
as the "prejudice" prong of
a Strickland claim,
and both prongs must be
proved to prevail. The
Strickland test is not
easily met; as we have said,
"the cases in which habeas
petitioners can properly
prevail on the ground of
ineffective assistance of
counsel are few and far
between.'" Waters v.
Thomas, 46 F.3d 1506,
1511 (11th Cir. 1995) (en
banc) (citation omitted).
To
establish ineffective
performance, a "petitioner
must show that `counsel's
representation fell below an
objective standard of
reasonableness.'" Darden
v. Wainwright, 477 U.S.
168, 184, 106 S. Ct. 2464,
2473 (1986) (quoting
Strickland, 466 U.S. at
668, 104 S. Ct. at 2065).
This Circuit reviews a
lawyer's conduct under the
"performance" prong with
considerable deference,
giving lawyers the benefit
of the doubt for "heat of
the battle" tactical
decisions. See
Mills v. Singletary, 161
F.3d 1273, 1285-6 (11th Cir.
1998) (noting that
Strickland performance
review is a "deferential
review of all of the
circumstances from the
perspective of counsel at
the time of the alleged
errors"); see also
Waters, 46 F.3d at 1518
("The test for
ineffectiveness is not
whether counsel could have
done more; perfection is not
required. Nor is the test
whether the best criminal
defense attorneys might have
done more. Instead the test
is . . . whether what they
did was within the `wide
range of reasonable
professional assistance.'" (citation
omitted)); Rogers v. Zant,
13 F.3d 384, 386 (11th Cir.
1994) (stating that "[w]hen
reviewing whether an
attorney is ineffective,
courts should always presume
strongly that counsel's
performance was reasonable
and adequate" (internal
quotation marks omitted)).
This
Court, sitting en banc,
recently discussed this
inquiry at length in
Chandler:
Likewise,
the "prejudice" prong is
difficult to meet. To
establish prejudice, a
petitioner must show "there
is a reasonable probability
that, but for counsel's
unprofessional errors, the
result of the proceeding
would have been different."
Strickland, 466 U.S.
at 694, 104 S. Ct. at 2068.
A "reasonable probability is
a probability sufficient to
undermine confidence in the
outcome." Id. A
finding of prejudice
requires proof of "`unprofessional
errors' so egregious `that
the trial was rendered
unfair and the verdict
rendered suspect.'"
Eddmonds v. Peters, 93
F.3d 1307, 1313 (7th Cir.
1996) (quoting Kimmelman
v. Morrison, 477 U.S.
365, 374, 106 S. Ct. 2574,
2582 (1986)).
As we
recently explained, "habeas
petitioners must
affirmatively prove
prejudice because `[a]ttorney
errors come in an infinite
variety and are as likely to
be utterly harmless in a
particular case as they are
to be prejudicial.' `[T]hat
the error had some
conceivable effect on the
outcome of the proceeding'
is insufficient to show
prejudice." Gilreath v.
Head, 234 F.3d 547, 551
(11th Cir. 2000) (quoting
Strickland).
B.
Johnson
contends that his trial
attorneys were ineffective
by failing to attack the
State's showing on intent
and by failing to advance
the "third man" theory.
Johnson's argument starts
from the premise that trial
counsel did not understand
the intent element of a
capital murder charge, and
therefore failed to
recognize the significance
of Mrs. Cantrell's trial
testimony. This factual
allegation also underlies
Johnson's broader claim that
trial counsel unreasonably
advanced a flimsy defense --
that he was not present at
the scene of the crime --
rather than a stronger
defense based upon the his
lack of intent to kill and
his non-participation in the
murder.
The
Alabama Court of Criminal
Appeals explicitly found
that "[t]rial counsel [were]
aware that intent to kill
was a required element of
the capital offense."
Johnson v. State, 612
So.2d at 1298. That court
also found that "counsel
made a reasoned, strategic
decision not to argue . . .
that Johnson was present but
did not intend that the
victim be killed" based upon
a desire to avoid making
alternative arguments to the
jury as well as a "judgment
that, as a practical matter,
there was little or no
chance that the jury would
fail to find . . . intent to
kill if [it] concluded that
[Johnson] had been at the
scene." Id. at 1296.10
Johnson
fails to meet his heavy
burden of proving that his
trial counsel performed
unreasonably by pursuing the
strategy that they did. On
this record, the strategic
choices made by trial
counsel were reasonable and
constitutionally adequate in
the circumstances.
In
formulating their strategy
before trial, Johnson's
lawyers were aware of
statements by Johnson
himself that he was the
second man involved in the
robbery and that he had shot
at Mr. Cantrell.11
Johnson's now-preferred "third
man" defense, therefore, was
not compatible with the
information he conveyed to
his lawyers at the time.
SeeWilliamson v.
Moore, 221 F.3d 1177,
1180 (11th Cir. 2000) (counsel
not ineffective in choosing
particular defense strategy
in capital case where
reasonable counsel would
have determined that
petitioner's alternative
theory "was inconsistent
with Petitioner's own
description of the killing").
Notably,
Johnson does not, and cannot,
argue that these
communications with his
trial counsel are protected
in this context by the
attorney-client privilege.
As we have explained, a
party "waives its attorney-client
privilege when it injects
into this litigation an
issue that requires
testimony from its attorneys
or testimony concerning the
reasonableness of its
attorneys' conduct." GAB
Bus. Servs., Inc. v.
Syndicate 627, 809 F.2d
755, 762 (11th Cir. 1987).
By alleging that his
attorneys provided
ineffective assistance of
counsel in their choice of a
defense strategy, Johnson
put at issue -- and thereby
waived -- any privilege that
might apply to the contents
of his conversations with
those attorneys to the
extent those conversations
bore on his attorneys'
strategic choices.
In
Laughner v. United States,
373 F.2d 326 (5th Cir.
1967), we rejected the
argument of a § 2255
petitioner who asserted that
his trial counsel should not
have been permitted to
testify regarding their
confidential communications,
even though the petitioner
put those conversations at
issue by attacking the
attorney's performance.
The
petitioner sought to vacate
his conviction by arguing
that his attorney provided
inadequate representation.
The district court, in
accordance with this Court's
instructions, conducted a
hearing at which it heard
testimony from the attorney
who represented the
petitioner at the time of
his conviction. On the basis
of that testimony, the court
denied the § 2255 motion. We
affirmed, and rejected the
petitioner's claim of a
violation of the attorney-client
privilege:
Simply
put, when a habeas
petitioner such as Johnson
launches an attack on the
reasonableness of his
attorney's strategy in
conjunction with a claim of
ineffective assistance of
counsel, he puts at issue
his communications with
counsel relating to those
strategic choices. As
Strickland itself
emphasizes, the "reasonableness
of counsel's actions may be
determined or substantially
influenced by the
defendant's own statements
or actions.
Counsel's
actions are usually based,
quite properly, . . . on
information supplied by the
defendant . . . [and] . . .
inquiry into counsel's
conversations with the
defendant may be critical to
a proper assessment of
counsel's . . . litigation
decisions." 466 U.S. at 691,
104 S. Ct. at 2066; see
alsoChandler,
218 F.3d at 1318-19 ("Because
the reasonableness of
counsel's acts . . . depends
critically upon information
supplied by the [petitioner]
or the [petitioner]'s own
statements or actions,
evidence of a petitioner's
statements and acts in
dealing with counsel is
highly relevant to
ineffective assistance
claims." (citations and
internal quotation marks
omitted)).
Although
the precise boundaries of
the waiver will vary from
case to case, and in many
instances will require
careful evaluation by the
district court, there should
be no confusion that a
habeas petitioner alleging
that his counsel made
unreasonable strategic
decisions waives any claim
of privilege over the
contents of communications
with counsel relevant to
assessing the reasonableness
of those decisions in the
circumstances. The
importance of that rule to
proper resolution of a §
2554 proceeding is amply
illustrated by this case --
the communications between
Johnson and his trial
counsel clearly reveal the
incompatibility between what
Johnson told his lawyers at
the time and the theory of
defense that his present
lawyers insist their
predecessors should have
advanced.
Not only
would a "third man" theory
have been incompatible with
the information supplied by
Johnson to his counsel at
the time, it would have had
little foundation in other
evidence available to
counsel before the start of
the trial. Mrs. Cantrell's
pretrial testimony made no
suggestion of a "third man."
There was no evidence from
the preliminary hearing, or
information gleaned from
defense counsel's pretrial
investigation, reasonably
suggesting that a "third man"
defense would be successful.
Indeed, the available
evidence supported a two-
shooter robbery theory.
Accordingly, trial counsel
had little if any basis to
pursue a "third man" theory.
And without the "third man"
theory, no plausible
challenge could be made to
the State's proof of intent,
as the second man
participated in a shoot-out
and clearly displayed an
intent to help his partner
kill Mr. Cantrell.
Given the
evidence available at the
time and Johnson's own
admissions, the strategy
actually chosen by trial
counsel -- a "Johnson was
not there" defense -- was
reasonable. Although the
evidence tying Johnson to
the scene of the crime was
persuasive, it still was all
circumstantial and not
wholly iron-clad. Counsel
knew that no eyewitness
could identify Johnson as
being present at the crime
scene. The .357 magnum
handgun that was found with
Johnson at the motel in
Oxford was not clearly
matched to any of the
bullets at the crime scene.
The bullet found in
Johnson's back could not
itself be traced
definitively to Mr.
Cantrell's gun. A hair found
in a brown cap allegedly
worn by the Johnson during
the robbery and murder did
not match Johnson's hair.
And boots allegedly worn by
Johnson during the shooting
did not contain glass
fragments from a shattered
glass door pane.12
In short,
Johnson's trial attorneys
had a basis to argue that a
sufficient link could not be
forged between Johnson and
the crime. Their decision to
pursue a "Johnson was not
there" defense was within
the range of professionally
competent assistance.
Johnson
nevertheless contends that,
whatever the reasonableness
of his lawyers' pretrial
strategy, that strategy had
to change once Mrs. Cantrell
offered her testimony at
trial. As noted above,
apparent confusion in Mrs.
Cantrell's testimony
arguably could suggest that
Johnson was not one of the
two shooters, but merely a
third robber. Johnson
contends that Mrs.
Cantrell's testimony created
an opening to challenge the
State's evidence on intent,
and argues that it was
unreasonable for his counsel
not to have exploited this
opportunity.
We are
not persuaded that Johnson's
trial attorneys provided
professionally incompetent
assistance by failing to
alter their reasonable
strategy in favor of
pursuing a "third man"
defense. First, the relevant
portion of Mrs. Cantrell's
testimony was very brief,
not altogether clear, and at
odds with other portions of
her account of the incident.
We cannot say that, under
the circumstances, every
reasonably competent
attorney would have realized
or attempted to take
advantage of the potential
significance of this portion
of Mrs. Cantrell's testimony.
Second, counsel were
committed to the "Johnson
was not there" defense, and
to shift gears and argue in
the alternative that Johnson
was there, but only
as the "third man," would
have been risky.13
The
district court found that
counsel had already
presented to the jury the
theory Johnson was not
present at the robbery.
See 58 F. Supp. 2d at
1344 (citing transcript of
evidentiary hearing). That
theory, as explained above,
was reasonable. As we have
explained in similar
circumstances, "[a]lthough
inconsistent and alternative
defenses may be raised,
competent trial counsel know
that reasonableness is
absolutely mandatory if one
hopes to achieve credibility
with the jury." Harich v.
Dugger, 844 F.2d 1464,
1470 (11th Cir. 1988). To
argue in the alternative
that if Johnson was there,
he was a "third man" and not
one of the two shooters,
might well have undercut the
credibility of Johnson's
lawyers with the jury.
Finally,
there was little meaningful
evidence beyond the
highlighted portion of Mrs.
Cantrell's testimony to aid
a "third man" argument.
Johnson himself could not
have taken the stand, in
light of his contrary
admissions to his counsel.
There remained Lindsey's
testimony that Johnson had
admitted to firing at Mr.
Cantrell during the robbery.
In addition, the physical
evidence including the
bullet holes in the carport
door suggested that the
second shooter was behind
the door and not where Mrs.
Cantrell seemingly indicated
during her trial testimony.
As the
district court observed,
even Mrs. Cantrell's trial
testimony indicated, with
the exception of a few
inconsistencies, that two
intruders were involved in
the crime and that both
participated in the murder
of her husband. Given all of
these circumstances, we do
not find it performance
error that counsel did not
aggressively pursue a "third
man" theory or other intent-related
defenses during trial.
SeeWaters, 46
F.3d at 1512 (performance
inquiry "has nothing to do
with what the best lawyers
would have done. Nor is the
test even what most good
lawyers would have done. We
ask only whether some
reasonable lawyer at the
trial could have acted, in
the circumstances, as
defense counsel acted at
trial.").
C.
Johnson
next contends that his trial
counsel were ineffective
because they did not request
an instruction on the
offense of felony murder.
According to Johnson, with
the option of a felony
murder conviction, the jury
might have acquitted on the
capital murder charge to
spare Johnson the death
penalty if it had doubts
that he shot at Mr. Cantrell.
The district court did not
decide whether this failure
to request a felony murder
instruction was performance
error, finding instead no
prejudice because Johnson
failed to show a reasonable
probability that the jury
would have returned a
different verdict on the
capital murder charge if
they had been presented with
a felony murder jury
instruction.14
We agree with that analysis.
Relevant
to this legal question are
two Supreme Court decisions,
Beck v. Alabama, 447
U.S. 625, 100 S. Ct. 2382
(1980), and Schad v.
Arizona, 501 U.S. 624,
111 S. Ct. 2491 (1991),
which address the scope of a
capital defendant's Due
Process right to lesser-
included-offense jury
instructions. In Beck,
the Supreme Court found that
an Alabama statute violated
Due Process under the facts
of that case because it
prohibited lesser-included-offense
instructions in capital
cases.
The Court
reasoned that "when the
evidence unquestionably
establishes that the
defendant is guilty of a
serious, violent offense --
but leaves some doubt with
respect to an element that
would justify conviction of
a capital offense -- the
failure to give the jury the
`third option' of convicting
on a lesser included offense
would seem inevitably to
enhance the risk of an
unwarranted [capital]
conviction." 447 U.S. at
637, 100 S. Ct. at 2389.
The
Court's fundamental concern
was that a jury convinced
that the defendant had
committed some violent crime,
but not convinced that he
was guilty of a capital
crime, might nonetheless
vote for a capital
conviction if the only
alternative was to set the
defendant free with no
punishment at all. See
alsoSpaziano v.
Florida, 468 U.S. 447,
455, 104 S. Ct. 3154, 3159
(1984) ("[t]he absence of a
lesser included offense
instruction increases the
risk that the jury will
convict . . . simply to
avoid setting the defendant
free . . . . The goal of the
Beck rule . . . is to
eliminate the distortion of
the factfinding process that
is created when the jury is
forced into an all-or-nothing
choice between capital
murder and innocence.")
In
Schad, the Court
clarified that it is not per
se constitutional error for
a defendant to be denied a
lesser- included-offense
instruction in a capital
case. The Court found no
constitutional violation in
the denial to a capital
defendant of an instruction
on the lesser-included-offense
of robbery where the trial
court did give a separate
lesser-included- offense
instruction for second
degree murder. The Court
reached this conclusion
despite the defendant's
argument that his theory of
defense (he robbed the
victim but did not murder
him) supported a robbery
instruction, and that, in
the absence of the
instruction, the jury may
have convicted him of
capital murder simply
because they thought him
guilty only of robbery and
robbery was not available as
an alternative.
In the
words of the Court:
Here, the
question is different, in
that we focus not on whether
there was a Due Process
violation, but rather
whether the failure of
Johnson's trial attorneys to
ask for a felony murder
instruction amounted to
Strickland performance
error and prejudice.15
Johnson's argument, drawing
on Beck, is that the
absence of a felony murder
instruction made a capital
murder conviction more
likely because the other
charges presented to the
jury (robbery and
intentional murder) did not
allow for a conviction on an
unintentional murder theory
-- a theory corresponding to
the "third man" defense.
Citing the 9-3 jury vote for
a life rather than death
penalty recommendation,
Johnson contends that the
jury may have doubted the
strength of the evidence of
his intent to kill, but had
no alternative "lesser"
offense beyond robbery.
Having
reviewed the record, we
cannot say that Johnson was
prejudiced by the absence of
a felony murder instruction.
Like the district court, we
can find no logical basis to
conclude that an additional
alternative charge would
have led a rational jury
down a different path. The
jury already was presented
with non-capital
alternatives (intentional
murder and robbery) and
still found Johnson guilty
of capital murder.
A felony
murder instruction would not
have changed the standard
for a conviction on capital
murder, and so for an
objective and rational jury
-- and we must presume this
was such a jury -- an
instruction on that offense
should not have changed the
outcome. See
Kilgore v. Bowersox, 124
F.3d 985, 995 (8th Cir.
1997) (finding no prejudice
where capital defendant
charged his lawyer with
ineffective assistance for
not requesting a lesser-included
charge on second degree
murder).16
Johnson's
belief that the jury might
have doubted the evidence of
his intent to kill, but then
nevertheless chosen to
convict him for capital
murder because it thought
the only alternative was
robbery and that offense
would be too minor, is pure
speculation, and highly
strained speculation at that.
Moreover,
as discussed above, there is
little evidentiary
foundation for Johnson's
belief that the jury in his
case might have been
inclined to convict for
felony murder in lieu of the
other offenses. The weight
of the evidence pointed to
only two men, not three,
with Johnson as either (1)
one of the two men and
therefore guilty of capital
murder, or (2) not one of
them and therefore not
guilty altogether. That
issue was the focus of the
evidence and of the parties'
arguments before the jury.
In this context,
unintentional murder was not
so viable an option for the
jury that the absence of an
instruction on felony murder
amounts to Strickland
prejudice.
D.
Johnson
next claims that his trial
lawyers were ineffective by
misstating the law during
their closing argument and
also by failing to make a
key objection during the
prosecutor's closing
argument. Johnson contends
that these failures stemmed
from his attorneys' failure
to understand the intent
requirement of Alabama's
capital murder scheme. This
argument, like many of
Johnson's other objections,
ultimately relates to the "third
man" theory. We find no
error entitling Johnson to
relief.
Johnson
contends that a statement by
his counsel during closing
argument improperly
suggested to the jury that
he could be convicted for
capital murder if he were
merely present during the
robbery. The challenged
passage is as follows:
In any
event, even if we assumed
performance error, any
prejudice to Johnson was
cured by the trial court's
jury instructions. Prior to
closing argument, the trial
judge reminded the jury that
the arguments of the lawyers
were not to be taken as the
law applicable to the case.
Following closing argument,
the judge again instructed
the jury that it was the
court's duty to decide and
define the law.
During
his instructions, the judge
repeatedly and emphatically
instructed the jury that a
necessary element of the
capital offense was that the
defendant had committed an
intentional killing, or had
intentionally aided and
abetted an intentional
killing and repeatedly
emphasized that the jury
could not convict the
defendant of capital murder
unless it was convinced that
these requirements had been
proved beyond a reasonable
doubt. Given these
instructions, which Johnson
does not contend are
inaccurate, we find no
prejudice from the isolated
passage in his attorneys'
closing argument that
Johnson now highlights.
SeeUnited States v.
Smith, 918 F.2d 1551,
1562 (11th Cir. 1990) (stating
that "[b]ecause statements
and arguments of counsel are
not evidence, improper
statements can be rectified
by the district court's
instruction to the jury that
only the evidence in the
case be considered");
Shriner v. Wainwright,
715 F.2d 1452, 1459 (11th
Cir. 1983) (noting that "with
a properly instructed jury,
there is nothing to show the
jury relied on the
prosecutor's remarks," and
citing Grizzell v.
Wainwright, 692 F.2d
722, 726-27 (11th Cir. 1982)
for proposition that "`[a]
jury is presumed to follow [the]
jury's instructions as to
evidence it may consider'");
see alsoUnited
States v. Gainey, 111
F.3d 834, 836-37 (11th Cir.
1997) ( prosecutors
inappropriate comment not
prejudicial where it "was
mitigated by the district
court's curative
instructions"); United
States v. Barshov, 733
F.2d 842, 846-47 (11th Cir.
1984) (same).
For
similar reasons, we reject
on prejudice grounds
Johnson's allegation that
his trial attorneys were
constitutionally ineffective
because of their failure to
object to certain comments
made by the prosecutor in
closing argument. In his
argument, the prosecutor
said the following:
The
prosecutor's statement is
surely wrong under Alabama's
capital murder statute.
Specific intent to kill is
required for conviction.
However, we find no
prejudice from trial
counsel's failure to object
to this statement. First,
the statement did not
undercut Johnson's defense
-- that he was not present
and was not one of the two
robbers who shot Mr.
Cantrell. Second, as
discussed above, the trial
evidence was generally
inconsistent with a felony
murder argument, so the
likelihood that the jury
would have considered the
case differently in light of
the prosecutor's comments is
minimal. Third, and most
importantly, any possible
prejudice was cured by the
trial court's correct jury
instructions. Under our
caselaw, as noted above,
improper statements during
argument can be cured by
clear and accurate jury
instructions like those
given here. The trial judge
plainly instructed the jury
that the lawyers' arguments
were not to be taken as
descriptions of the law, and
gave the jury proper
instructions on the offenses
for which Johnson was
charged. We cannot say, on
this record, that there was
a reasonable probability
that the outcome of the
trial would have been
different if Johnson's
counsel had objected to the
prosecution's remarks.
Accordingly, there is no
Strickland prejudice.
E.
Johnson
next alleges ineffectiveness
in his trial attorneys'
incomplete cross-examination
of David Lindsey. First,
Johnson claims that his
counsel failed to identify
for the jury certain
asserted discrepancies
between statements Lindsey
had given to police --
statements that trial
counsel allegedly had in
their possession -- and
testimony by Lindsey at the
preliminary hearing and at
trial. Second, Johnson
asserts that his attorneys
did not adequately impeach
Lindsey when they failed to
take full advantage of an
alleged affair between
Johnson and Lindsey's wife;
by not further inquiring
into a criminal
investigator's report which
said that Lindsey was
considered by some to be a "thief";
and by not inquiring into
evidence that he was not
well thought of when he left
his employment as an oil
rigger. Finally, Johnson
argues that counsel
inappropriately failed to
call as witnesses several
people who had shared the
motel room with him in order
to rebut Lindsey's testimony
regarding Johnson's alleged
admissions.
The
Alabama Court of Criminal
Appeals considered and
rejected these objections in
the state post-conviction
proceeding. As that court
explained:
Moreover,
when an attorney "substantially
impeache[s]" the witness, no
claim for ineffectiveness
can succeed unless the
petitioner comes forward
with "specific information"
which "would have added to
the impeachment of the
State's witnesses."
Aldrich v. Wainwright,
777 F.2d 630, 636-37 (11th
Cir. 1985); see alsoCard v. Dugger, 911
F.2d 1494, 1506 (11th Cir.
1990). Without that kind of
information, a petitioner
cannot meet his burden of
proving a Strickland
violation. Johnson's
arguments fail on this basis
as well.
In
particular, Johnson's
argument that the other
persons at the motel would
have discredited Lindsey's
testimony regarding
Johnson's admissions is
unsubstantiated by the
record. Johnson has offered
no evidence that any of the
individuals who were present
with him in the Oxford motel
would have testified in a
way that was inconsistent
with the testimony given by
Lindsey. Johnson points only
to unsworn statements taken
from the men which did not
expressly confirm Lindsey's
testimony about Johnson's
admissions. But none of
these statements indicates
that Johnson did not admit
to the crime, and none
directly contradicts
Lindsey's testimony. SeeCard, 911 F.2d at
1506 (finding no
ineffectiveness where "none
of the evidence that
petitioner claims could have
been introduced directly
contradicts or undermines
the testimony of" the
State's witness). Johnson
offers only speculation that
the missing witnesses would
have been helpful. This kind
of speculation is "insufficient
to carry the burden of a
habeas corpus petitioner."
Aldrich, 777 F.2d at
636.
For all
of the foregoing reasons,
Johnson cannot establish a
Strickland violation
based on the conduct of his
trial counsel.17
V.
Johnson's
assertion that his appellate
counsel, Mays, was
constitutionally ineffective
requires little separate
discussion. Johnson contends
that appellate counsel made
two main errors. First,
according to Johnson,
counsel performed
inadequately by presenting
only a few grounds for
reversal when other, more
substantial objections were
available. Second, Johnson
contends that counsel's
brief to the Supreme Court
of Alabama was merely a copy
of his brief to the Court of
Criminal Appeals, without
any attempt to respond to
the reasoning of the lower
court or advance the
arguments that (Johnson now
feels) should have been
advanced. Johnson insists
that, by simply submitting
to the Alabama Supreme Court
his prior brief, counsel
tacitly assented to the
Court of Criminal Appeals's
unpersuasive analysis, and
provided no assistance
whatsoever in Johnson's
effort to obtain direct
review from the state
supreme court.
The
standards applicable to
Johnson's claims of
ineffectiveness against
trial counsel apply equally
to the charges leveled
against his appellate lawyer.
SeeHeath v. Jones,
941 F.2d 1126, 1130 (11th
Cir. 1991); Orazio v.
Dugger, 876 F.2d 1508,
1513 (11th Cir. 1989). To
prevail, Johnson must
demonstrate both that his
appellate counsel's
performance fell below
reasonable professional
standards and that he was
prejudiced by his attorney's
substandard performance.
SeeStrickland,
466 U.S. at 687, 104 S. Ct.
at 2064.
Johnson
cannot meet this demanding
test. Appellate counsel's
choices regarding which
issues to press on appeal
were adequate in the
circumstances. Johnson
argues that the two guilt-related
arguments raised as errors
by his appellate counsel --
that a particular juror
should not have been struck
for cause and that a motion
for judgment of acquittal
should have been granted
because the trial evidence
was insufficient to support
his conviction -- were two
of the less serious errors
that could have been raised.
Johnson further claims that,
rather than the faulty and
weak arguments actually
raised, appellate counsel
should have asserted many of
the more substantial claims
presented in this petition.
It is
difficult to win a
Strickland claim on the
grounds that appellate
counsel pressed the wrong
legal arguments where the
arguments actually pursued
were reasonable in the
circumstances. We have
emphasized that even in a
death penalty case, counsel
must be "highly selective
about the issues to be
argued on appeal . . . ."
United States v. Battle,
163 F.3d 1, 1 (11th Cir.
1998).
The
district court, having
considered the record and
Mays's testimony during the
state post-conviction
proceeding, found that Mays
had carefully considered
many of the claims now
raised in appeal, but
ultimately chose to pursue
the claims he felt were most
likely to prevail and winnow
out the arguments he thought
were less persuasive. We
agree. In any event, there
was little persuasive
foundation, and little
likelihood of success, for
many of the arguments
Johnson now suggests should
have been pressed on appeal.
Likewise,
we reject Johnson's claim
that appellate counsel was
ineffective by failing to
address specifically in his
petition for a Writ of
Certiorari to the Supreme
Court of Alabama the
findings and conclusions
reached by the Court of
Criminal Appeals. Counsel's
brief was sufficient to
alert the Alabama Supreme
Court to the issues
reasonably raised before the
Court of Criminal Appeals.
Moreover there has been no
showing regarding the effect,
if any, that a different
brief would have had on the
outcome of proceedings.
Johnson, in short, does not
establish a Strickland
violation on the part of his
appellate counsel.
VI.
Johnson
next asserts that the State
violated the rule set forth
in Brady v. Maryland,
373 U.S. 83, 83 S. Ct. 1194
(1963), when it failed to
produce "all information
favorable to the defense" as
requested in Johnson's pre-trial
discovery motion. The items
Johnson points to as
Brady material are: (1)
a report prepared by the
Alabama Bureau of
Investigation ("ABI"), which
suggested that the police
had identified suspects
other than Johnson and
contained statements taken
from the men present in the
motel room at the time of
Johnson's arrest;18
and (2) documentary evidence
that the State was
investigating two other
suspects in connection with
the murder of Mr. Cantrell.19
Johnson claims that the
suppressed information could
have been used to impeach
the testimony of two of the
state's witnesses, Lindsey
and Sergeant Newell.
The
Brady legal framework is
well-settled. "There are
three essential components
of a true Brady
violation: the evidence at
issue must be favorable to
the accused, either because
it is exculpatory, or
because it is impeaching;
that evidence must have been
suppressed by the State,
either willfully or
inadvertently; and prejudice
must have ensued."
Strickler v. Greene, 527
U.S. 263, 281, 119 S. Ct.
1936, 1948 (1999). Thus, to
prove a Brady claim,
a party must show: "(1)
suppression by the
prosecution (2) of
exculpatory evidence (3)
material to the issues at
trial or sentencing."
Kennedy v. Herring, 54
F.3d 678, 682 (11th Cir.
1995).
Included
in the materiality prong of
Brady analysis is a
requirement that the
petitioner make a showing of
actual prejudice. Seeid. To demonstrate
prejudice, the petitioner
must "convince us that there
is a reasonable probability
that the result of the trial
would have been different if
the [allegedly suppressed
items] had been disclosed to
the defense.
In other
words, the question is
whether the favorable
evidence could reasonably be
taken to put the whole case
in such a different light as
to undermine confidence in
the verdict." High v.
Head, 209 F.3d 1257,
1267 (11th Cir. 2000) (citations
and internal quotation marks
omitted); see also
Strickler, 527 U.S. at
289-90, 119 S. Ct. at 1952
("`the question is not
whether the defendant would
more likely than not have
received a different verdict
with the evidence, but
whether in its absence he
received a fair trial,
understood as a trial
resulting in a verdict
worthy of confidence") (citation
omitted).20
Johnson
does not contend that the
items in question are
exculpatory in the sense
that they would have been
used in the defense's
case-in-chief. Nor does he
contend that, if he had
access to these items, he
would have used them as
leads to conduct an
investigation into the
identity of the "real"
shooters or even the
identity of the unnamed
source referenced in the ABI
report. Instead, Johnson
contends only that they
could have been used for
impeachment during cross
examination. The duty to
disclose can include
impeachment evidence. SeeUnited States v. Bagley,
473 U.S. 667, 676, 105 S. Ct.
3375, 3380 (1985). The
problem for Johnson, however,
is that he fails to show
that the State's failure to
produce these materials
caused him prejudice.
Johnson
contends that he could have
used the ABI report to
impeach Sergeant Newell.
According to Johnson,
information contained in the
report not only suggests the
involvement of other
suspects, particularly
Garland and Wayne McCulloch,
but also contains an
allegation (attributed to
the unnamed source) that the
McCulloch brothers "did the
shooting."
Johnson
argues that this evidence
tends to establish that the
two McCullochs were the
shooters, and that he, at
best, was the "third man."
But Johnson makes no effort
to explain, let alone
demonstrate from the record,
how he permissibly could
have used this information
from the ABI report for the
narrow purpose of
discrediting specific direct
testimony by Sergeant Newell
during a cross-examination
of that witness. Nor does
Johnson explain how his
asserted inability to "impeach"
Sergeant Newell with this
allegation from an unnamed
source was so devastating to
the defense as to undermine
confidence in the verdict.
To
reiterate, Johnson does not
argue that the report as a
whole or the underlying
suggestion from the unnamed
source that the McCullochs "did
the shooting" would have
been admissible as
substantive evidence for the
defense.21
Even assuming that the
report, and in particular
the unnamed source's
reference to the McCullochs
as doing the shooting, could
properly have been invoked
at all during the cross-examination
of Sergeant Newell, its use
at that point and thereafter
during the trial would have
been extremely limited, and
its potential persuasive
value would have been
correspondingly limited.
Of course,
to the extent the ABI report
or the investigative notes
merely suggested that there
may have been participants
other than Johnson in the
attempted robbery of the
Cantrells, that information
does not establish that
Johnson was not involved, or
indeed that he was not the "second
man." More to the point, we
are unconvinced that
evidence of that sort --
identifying additional
participants in the crime,
but not directly disputing
Johnson's presence or status
as the "second man" -- could
have been used to discredit
in any meaningful way
Sergeant Newell's testimony.
Significantly, there was
already evidence before the
jury regarding the alleged
involvement of other
participants.
As for
the statements of the men
present in the motel room
with Johnson, a similar
analysis applies. Johnson
asserts that these
statements would have been
useful to impeach Lindsey,
because they are
inconsistent with Lindsey's
testimony. But none of these
witness statements directly
contradicted Lindsey's
testimony about Johnson's
admissions.
These
witness statements do not
corroborate Lindsay's story,
and in that sense might have
be used to challenge
Lindsey's testimony. But the
statements do not actually
dispute Lindsey's testimony
regarding Johnson's
admissions, and as noted
above Lindsey's credibility
was already amply called
into question during cross-examination.
Johnson fails to show that
the unavailability of the
statements for the limited
purpose of using them in
cross examination was so
serious as to undermine
confidence in the verdict.
Accordingly, having reviewed
the record, we find that the
allegedly suppressed items
-- viewed individually or
collectively -- were not
material, and hence there
was no Brady
violation entitling Johnson
to relief. See
Moore, 240 F.3d at
915-16 (no Brady
violation entitling
petitioner to habeas relief
where petitioner failed to
show prejudice from the
allegedly suppressed items).
VII.
Johnson's
final claim on appeal is
that the jury instructions
violated the Supreme Court's
holding in Cage v.
Louisiana, 498 U.S. 39,
111 S. Ct. 328 (1990) (per
curiam), overruled in
part, Estelle v.
McGuire, 502 U.S. 62,
112 S. Ct. 475 (1991),
because it lowered the
government's burden below
proof beyond a reasonable
doubt. We find no error
entitling Johnson to relief.22
In a
criminal case, the
government must prove each
element of a charged offense
beyond a reasonable doubt.
See, e.g., In re
Winship, 397 U.S. 358,
361, 90 S. Ct. 1068, 1072
(1970). Although a court
must instruct the jury that
a defendant's guilt has to
be proven beyond a
reasonable doubt, the
Supreme Court has stated
that "the Constitution
neither prohibits trial
courts from defining
reasonable doubt nor
requires them to do so as a
matter of course." Victor
v. Nebraska, 511 U.S. 1,
5, 114 S. Ct. 1239, 1243
(1994). If a trial court
does attempt to define
reasonable doubt, it must
explain the standard
correctly, although "the
Constitution does not
require that any particular
form of words be used in
advising the jury of the
government's burden of proof."
Id.
When
reviewing the correctness of
reasonable-doubt charges,
the Supreme Court has
phrased the proper
constitutional inquiry as "`whether
there is a reasonable
likelihood that the jury
understood the instructions
to allow conviction based on
proof insufficient to meet
the Winship standard.'"
Harvell v. Nagle, 58
F.3d 1541, 1542-43 (11th
Cir. 1995) (quoting
Victor, 511 U.S. at 6,
114 S. Ct. at 1243). We
consider the instruction as
a whole to determine if the
instruction misleads the
jury as to the government's
burden of proof. Seeid.; see alsoVictor, 511 U.S. at
5-6, 114 S. Ct. at 1243 (instructions
must be "taken as a whole");
Cage, 498 U.S. at 41,
111 S. Ct. at 329 (explaining
that "[i]n construing the
instruction, we consider how
reasonable jurors could have
understood the charge as a
whole").
At the
close of the evidence at
Johnson's trial, the judge
gave the jury a lengthy
instruction on reasonable
doubt. Johnson contends that
the instruction was flawed
because, in the course of
the instruction, the trial
judge (1) equated "beyond
reasonable doubt" with
"moral certainty"; (2)
referred to a reasonable
doubt as an "actual and
substantial one," or a "a
doubt for which a good
reason can be given or
assigned"; and (3) said that
in "the final analysis" each
juror would have to look
into his "own heart and mind"
for the answer. Johnson
asserts that these comments
effectively lowered the
burden of proof below the
reasonable doubt standard.
In
Cage, the petitioner had
been convicted of first
degree murder and sentenced
to death. During the trial,
the court instructed the
jury as follows:
Cage
is limited precedent because
it has been modified by
subsequent decisions. In
Cage, as noted above,
the Court had merely asked
whether a reasonable jury,
viewing the challenged
instruction as a whole, "could"
have construed it in a way
that would violate
Winship. In Estelle,
however, the Court explained
that the appropriate
standard is whether there
exists a "reasonable
likelihood" that the jury
read the instruction to
lower the required threshold.
502 U.S. at 72, 112 S. Ct.
at 482; see also
Victor, 511 U.S. at 5-6,
114 S. Ct. at 1243 ("The
constitutional question . .
. is whether there is a
reasonable likelihood that
the jury understood the
instructions to allow
conviction based on proof
insufficient to meet the
Winship standard.").
In
Victor, the Court used
that new test to find that a
trial court's use of the
term "moral certainty" did
not result in a
constitutional violation on
the record before it. The
Court reasoned that "[w]e do
not think it reasonably
likely that the jury
understood the words `moral
certainty' either as
suggesting a standard of
proof lower than due process
requires or as allowing
conviction on factors other
than the government's proof."
Id. at 16, 114 S. Ct.
at 1248.
In a
companion case, Sandoval
v. California, 511 U.S.
1, 114 S. Ct. 1239 (1994),
the Court rejected the
argument that equating a
reasonable doubt with an
"actual and substantial"
doubt lowered the degree of
doubt permissible for a
conviction. Although the
Sandoval Court found the
disputed language "somewhat
problematic," it concluded
that "the context makes
clear that `substantial' is
used in the sense of
existence rather than
magnitude of the doubt."
Id. at 19-20, 114 S. Ct.
at 1250.
Here, the
trial judge employed "beyond
a reasonable doubt" and "to
a moral certainty"
interchangeably and even
informed the jury that the
two terms were synonymous.
But other portions of the
instruction ensured that the
"moral certainty" language
would not reasonably be
understood to lower the
State's burden. We have
specifically recognized that
the use of the term "moral
certainty" in a reasonable
doubt instruction is not
fatal. SeeFelker
v. Turpin, 83 F.3d 1303,
1309 (11th Cir. 1996) (trial
court's definition of
reasonable doubt as "`doubt
which is based on the
evidence, a lack of evidence
or a conflict in the
evidence'" and "`doubt which
is reasonably entertained as
opposed to vague or fanciful
or farfetched doubt,' served
to erase any taint created
by the term `moral certainty'
and to thus place it beyond
the potential for
constitutional harm");
Harvell, 58 F.3d at 1543
(trial court's statements
that reasonable doubt had to
be derived from the evidence
and that reasonable doubt
could not be "fanciful,
vague, whimsical, capricious,
conjectural or speculative"
cured any potential
constitutional harm
associated with the term
"moral certainty").
The
instruction in this case
included substantial
language echoing the key
phrases in Felker and
Harvell. Specifically,
the trial judge in this case
repeatedly informed the jury
that it could not convict
Johnson unless the evidence
presented to it was
inconsistent with any
reasonable theory of
innocence; the judge also
repeatedly instructed the
jury not to go beyond the
evidence and engage in
speculation in order to find
Johnson guilty.23
The
instruction as a whole,
which emphasized the jury's
obligation to focus on the
evidence presented in court
and made abundantly clear
that a conviction could not
be based on speculation,
convinces us that it was not
reasonably likely that the
jury understood the
instructions to allow
conviction based on proof
insufficient to satisfy
Winship.
The trial
judge's references to
"actual and substantial"
doubt do not change that
conclusion. As we said in
Harvell:
Viewed as
a whole, the trial court's
instruction was
constitutionally acceptable.
Johnson's objections, viewed
individually and
collectively, do not prove a
Cage violation
entitling him to habeas
relief; this claim, like his
other claims, is simply not
established on this record.
Accordingly, we affirm the
district court's denial of
Johnson's § 2254 petition.