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Marco
Antonio MONTEZ
Date of arrest: July 12, 1987
Marco Antonio Montez
Multnomah County - Oregon
Born: 4/22/62
Sentenced to death: 6/16/1988
Montez and Timothy Aikens beat, raped and sodomized Candice Straub
in a Portland motel room in 1987. They then strangled her with a sheet
and set her body on fire. Aikens is serving a life sentence.
Interesting fact: Montez, Aikens and Straub met while they were
working as strawberry pickers.
Status: Death Row.
Court of Appeals of Oregon
MARCO ANTONIO MONTEZ v. STANLEY CZERNIAK
MARCO ANTONIO MONTEZ, Petitioner-Appellant,
v.
STANLEY CZERNIAK, Superintendent, Oregon State Penitentiary, Defendant-Respondent.
Marion County Circuit Court
97C12376A130258
Argued and submitted on June 16, 2010. -- September 22, 2010
Before Haselton, Presiding Judge, and
Brewer, Chief Judge, and Armstrong, Judge.
Marc Sussman argued the cause and filed the briefs
for appellant. Pamela J. Walsh, Assistant Attorney General, argued the
cause for respondent. With her on the brief were John R. Kroger,
Attorney General, and Jerome Lidz, Solicitor General.
Don A. Dickey, Judge.
Affirmed.
BREWER, C. J.
Petitioner, who was convicted of aggravated murder
and sentenced to death, appeals a judgment denying post-conviction
relief. He argues that the post-conviction court erred in rejecting his
numerous claims that counsel in his 1992 penalty-phase retrial
proceedings provided constitutionally ineffective assistance of counsel.1
For the reasons explained below, we affirm.
I. THE UNDERLYING CRIMES
We begin with the facts of the underlying crimes, as
taken from the Oregon Supreme Court opinion on direct review of the
initial conviction and death sentence.
“On June 20, 1987, Candice Straub, accompanied by two
men, rented a room at the Continental Motel in Portland. The next day,
firefighters responding to a fire at the motel discovered Straub's nude
and bound body on a bed in one of the motel's rooms. Her body had been
doused with flammable liquid and set afire. It was determined later that
she had been strangled to death.
“A few weeks later, defendant Marco Montez told [A.
E.], a woman with whom he had been living in Pocatello, Idaho, that he
had helped get rid of the body of a woman in Portland after Tim Aikens,
the co-defendant in this case, had strangled her. Edmo reported that
statement to the Pocatello police. Defendant was arrested in Pocatello
on July 12 on unrelated Idaho charges. The Pocatello police notified the
Portland police of his arrest and of Edmo's report.
“Portland Detective Goodale flew to
Pocatello to interview defendant. * * *
“In response to Goodale's questions, defendant at
first denied any involvement in Straub's murder. He stated that he had
met Aikens in Portland and that they had worked together for a day at a
cannery. Aikens had met Straub at the cannery, and she had accompanied
Aikens and defendant to a drop-in center in Portland when they returned
from work. After sleeping for a few hours, the three went to breakfast
and to a second hand store before separating. Aikens and Straub went
to the Continental Motel; and defendant went to a park, where he
remained until Aikens contacted him later. At that time, Aikens told
defendant that he had left Straub at the motel and that he wanted to
show defendant something there. Defendant, however, declined to go to
the motel. Aikens then said that he had a ‘problem,’ after which
defendant and Aikens then made plans to leave town.
“ * * * * *
“In response to further questions by Goodale,
defendant admitted that he had gone to the motel, where Aikens had
showed him Straub's dead body in the bathtub. Aikens told defendant
that Straub had refused to have sex with him, that he had hit her, and
that she had fallen and hit her head. Defendant stated that he had
then left the motel. Defendant stated that Aikens had later admitted
setting the motel room afire. Defendant at first denied involvement in
the fire, but he later admitted that he had helped Aikens move Straub's
body from the bathtub to a bed and had participated in setting the motel
room afire. Defendant admitted that it had been his plan to burn the
room, but he still denied killing Straub or having sexual relations with
her.
“ * * * * *
“Goodale resumed his questioning of defendant.
Defendant related more incriminating details about Straub's death,
although he still insisted that Aikens alone had killed her. Defendant
then returned to his cell, but shortly thereafter he asked a jailer to
tell Goodale to return and ‘to bring his tape recorder.’
“When Goodale arrived, he again
advised defendant of his Miranda rights. Defendant then admitted that
he had participated in Straub's murder. He stated that he and Aikens
had beaten, raped, and sodomized Straub and that when she had resisted,
Aikens pushed his fist into her anus causing her to bleed profusely.
They then tied Straub's arms and legs behind her back and gagged her and
put her in the bathtub. Defendant stated that he and Aikens became
concerned that Straub might report them to the police, and they decided
to kill her. After looping a towel around Straub's neck, each man
pulled one end until she was dead. They then placed her body on the
bed, doused it with lighter fluid, set it afire, and left. Defendant
admitted that they burned the motel room to destroy any evidence that
could link them to the crime.
“Defendant then asked if Goodale knew what would
happen to defendant in Oregon. Goodale explained the Oregon homicide
laws. Defendant then said that he was willing to plead guilty to
murder but hoped that he would not be sentenced to death.
“ * * * Goodale again spoke with defendant, who
stated that Straub had been conscious when he and Aikens carried her
into the motel bathroom and placed her in the bathtub. He also
admitted that he rather than Aikens had placed his fist in Straub's anus.”
State v. Montez, 309 Or 564, 567-69, 789 P.2d 1352
(1990).
Petitioner was charged with three counts of
aggravated murder, and one count each of first-degree arson and abuse of
a corpse. Id. at 569 n 1. In 1988, a jury convicted him of the charged
crimes and, following a penalty-phase proceeding, sentenced him to death.
In that first trial, petitioner was represented by attorneys Brad
Grove and Lynne Dickison. On automatic and direct review, the Oregon
Supreme Court affirmed the convictions and other sentences, but reversed
the death sentence on the basis of its holding in State v. Wagner, 309
Or 5, 786 P.2d 93 (1990). In Wagner, the court, relying on the United
States Supreme Court's opinion in Penry v. Lynaugh, 492 U.S. 302, 109 S
Ct 2934, 106 L.Ed.2d 256 (1989), held that Oregon's death penalty
sentencing scheme was constitutionally infirm because it did not include
a fourth, general mitigation, question.
II. THE PENALTY-PHASE RETRIAL
The case was remanded for a penalty-phase
retrial, and it is counsels' representation of petitioner at that
proceeding that is at issue in this appeal. Grove, the attorney who
represented petitioner at his first trial, again was appointed to
represent him; Dickison initially was replaced by another attorney.
On the day set for the penalty-phase retrial, both counsel withdrew due
to a conflict resulting from their representation of one of the
witnesses whom the state intended to call. Two days later, Dickison
agreed to represent petitioner; she selected Corinne Lai as her second
chair. The trial date was postponed. The two lawyers continued to
work with Judith Bieberle, an investigator who had been hired by and was
working with Grove. In addition, counsel moved for appointment of a
mitigation specialist. As will be discussed in more detail below, the
trial court denied the motion.
Dickison, Lai, and Bieberle continued preparing for
the penalty-phase retrial. Bieberle was sent to Minnesota, where
petitioner grew up, to investigate his background. Dr. Lenore Walker,
a psychologist, was retained as a defense expert. Walker referred
counsel to Dr. Toni Appel, a neuropsychologist, who reviewed Walker's
testing and suggested that no neuropsychological assessment was
necessary. Nonetheless, counsel had Dr. Les Goldmann, a clinical
psychologist, perform a number of neuropsychological tests on petitioner.
Goldmann found no neuropsychological deficits, nor did he find
evidence of brain injury. Counsel also retained Dr. Gary Jacobsen, M.D.,
an expert in addiction medicine, to examine petitioner's records to
determine whether he suffered from fetal alcohol syndrome and would be
treatable in prison. Counsel moved for several continuances to allow
them more time to prepare for trial; each request was denied.
Ultimately, a jury was selected and the penalty-phase
retrial began. Petitioner's counsel presented a number of expert and
lay witnesses in an attempt to convince the jury not to sentence
petitioner to death. Petitioner did not testify, nor did he allocute-that
is, make an unsworn statement to the jury. The jury voted to sentence
petitioner to death, and the trial court entered judgment accordingly.
On automatic and direct review, the Oregon Supreme
Court affirmed petitioner's death sentence, and the United States
Supreme Court denied certiorari. State v. Montez, 324 Or 343, 927 P.2d
64 (1996), cert den, 520 U.S. 1233 (1997). Petitioner filed a petition
for post-conviction relief; following a hearing, the post-conviction
court entered a judgment denying relief. This appeal follows.
III. THE POST-CONVICTION
CASE AND APPLICABLE LAW
In his petition for post-conviction
relief, petitioner alleged dozens of ways in which counsel at his
initial trial and his penalty-phase retrial were ineffective. In 26
pages of findings and conclusions, the post-conviction court rejected
each claim. On appeal, petitioner raises four assignments of error
that all relate to the alleged ineffectiveness of counsel at his 1992
penalty-phase retrial. Within those four assignments of error, however,
are many specific claims of how counsel allegedly were deficient in the
performance of their duties and how those alleged deficiencies affected
the outcome of the penalty-phase retrial. The overarching theme of
petitioner's opening brief is that counsel failed to present an adequate
case on mitigation. We discuss-and reject-several of those arguments
below. We also have considered petitioner's remaining arguments, and
we reject them without discussion.
We begin with general principles. ORS 138.530(1)(a)
requires that a court grant post-conviction relief when a petitioner
meets her or his burden to establish by a preponderance of the evidence
a “substantial denial in the proceedings resulting in petitioner's
conviction, or in the appellate review thereof, of petitioner's rights
under the Constitution of the United States, or under the Constitution
of the State of Oregon, or both, and which denial rendered the
conviction void.” A criminal defendant has a constitutional right,
under Article I, section 11, of the Oregon Constitution, “to be heard by
himself and counsel.” That right to counsel includes the right to “an
adequate performance by counsel of those functions of professional
assistance which an accused person relies upon counsel to perform on his
behalf.” Krummacher v. Gierloff, 290 Or 867, 872, 627 P.2d 458 (1981).
Thus, a claim of ineffectiveness of counsel is a claim that the
petitioner was denied his or her rights under Article I, section 11.
Oregon courts apply a two-part test to determine
whether a petitioner's right to effective assistance of counsel was
violated:
“ ‘First, we must determine whether petitioner
demonstrated by a preponderance of the evidence that [his lawyer] failed
to exercise reasonable professional skill and judgment. Second, if we
conclude that petitioner met that burden, we further must determine
whether he proved that counsel's failure had a tendency to affect the
result of his trial.’ ”
Burdge v. Palmateer, 338 Or 490, 492, 112 P3d 320
(2005) (quoting Lichau v. Baldwin, 333 Or 350, 359, 39 P3d 851 (2002)).
That is, to be entitled to relief on a claim of denial of the right to
effective assistance of counsel, a post-conviction petitioner must
demonstrate by a preponderance of the evidence that (1) counsel
performed deficiently and (2) counsel's deficient performance prejudiced
the petitioner, that is, that it had a tendency to affect the result of
the trial. “Whether a petitioner has demonstrated prejudice is a
question of law that, in turn, may depend on the post-conviction court's
findings of fact.” Wyatt v. Czerniak, 223 Or.App. 307, 311, 195 P3d 912
(2008).
As noted, see _ Or.App. at _ n 1 (slip
op at n 1), the federal standard has been stated similarly. To prevail
on a Sixth Amendment claim of ineffectiveness of counsel, a petitioner
must demonstrate that his trial counsel's performance “fell below an
objective standard of reasonableness * * * under prevailing professional
norms” and that “there is a reasonable probability that, but for
counsel's unprofessional errors, the result of the proceeding would have
been different.” Strickland v. Washington, 466 U.S. 668, 688, 694, 104
S Ct 2052, 80 L.Ed.2d 674 (1984). “The reasonableness of counsel's
performance is to be evaluated from counsel's perspective at the time of
the alleged error and in light of all the circumstances, and the
standard of review is highly deferential.” Kimmelman v. Morrison, 477
U.S. 365, 381, 106 S Ct 2574, 91 L.Ed.2d 305 (1986). That is, “[a]
fair assessment of attorney performance requires that every effort be
made to eliminate the distorting effects of hindsight, to reconstruct
the circumstances of counsel's challenged conduct, and to evaluate the
conduct from counsel's perspective at the time.” Strickland, 466 U.S.
at 689.
We review the post-conviction court's judgment for
errors of law and to determine whether evidence supports its findings. Monahan
v. Belleque, 234 Or.App. 93, 95, 227 P3d 777, rev den, 348 Or 669
(2010). We are bound by the post-conviction court's factual findings
if they are supported by evidence in the record. Wyatt, 223 Or.App. at
311. If the post-conviction court did not expressly make such findings,
and there is evidence from which the facts could be decided more than
one way, we will presume that the facts were decided in a manner
consistent with the court's ultimate conclusion. Ball v. Gladden, 250
Or 485, 487, 443 P.2d 621 (1968). In reviewing a claim of ineffective
assistance, we “will not second-guess a lawyer's tactical decisions
unless those decisions reflect an absence or suspension of professional
skill and judgment[.]” Cunningham v. Thompson, 186 Or.App. 221, 226, 62
P3d 823 (2003), rev den, 337 Or 327 (2004).
Finally, we briefly set out the law that guides a
jury in determining whether to impose a sentence of death. At the 1992
penalty-phase retrial, the parties introduced evidence and made
arguments regarding the following three questions:
“(A) Whether the conduct of the defendant that caused
the death of the deceased was committed deliberately and with the
reasonable expectation that death of the deceased or another would
result;
“(B) Whether there is a probability that the
defendant would commit criminal acts of violence that would constitute a
continuing threat to society; [and]
“ * * * * *
“(D) Whether the defendant should receive a death
sentence.”
ORS 163.150(1)(b) (1991). The state
was required to prove the affirmative of the first two questions beyond
a reasonable doubt. ORS 163.150(1)(d) (1991). The final question
frames a discretionary determination for the jury and carries no burden
of proof. State v. Moore, 324 Or 396, 432, 927 P.2d 1073 (1996).
Moreover, the court was required to instruct the jury that, it must
answer “no” to the third question-“whether the defendant should receive
a death sentence”-if “one or more of the jurors find there is any aspect
of the defendant's character or background, or any circumstances of the
offense, that one or more of the jurors believe would justify a sentence
less than death.” ORS 163.150(1)(c)(B) (1991).
IV. PETITIONER'S CLAIMS ON APPEAL
With those general principles in mind, we turn to
petitioner's claims in this case, addressing only those that, in our
view, require discussion. We begin with a threshold claim that informs
petitioner's other claims, because it involves the trial court's choice
not to appoint a mitigation specialist. As noted, petitioner's trial
counsel (Dickison and Lai) sought the appointment of a mitigation
specialist.2
In his petition for post-conviction relief, petitioner alleged that
counsel were ineffective because they “failed to make a record objecting
to the trial court's refusal to grant petitioner's motion for
appointment of a mitigation expert and showing the prejudice to
petitioner caused by the trial court's action.” The post-conviction
court made three findings in support of its rejection of that claim:
“44. Petitioner did not produce evidence proving that
his counsel in 1992 acted unreasonably by not making more of a record of
the judge's decision denying appointment of a mitigation expert.
“45. Trial counsel in 1992 did make a motion for
appointment of a mitigation expert. It is not clear why there is no
record of this motion in the trial court record.
“46. Petitioner did not produce evidence proving that
the trial judge should have (or would have, with additional facts)
allowed the motion for appointment of a mitigation expert. Just what
argument or additional facts might have convinced the judge to grant the
motion is unknown.”
On appeal, while acknowledging that counsel did seek
appointment of a mitigation specialist in addition to investigator
Bieberle, petitioner argues that counsel were ineffective for failing to
make an adequate record regarding the denial of the motion. He asserts:
“While counsel recognized the need to
ask for the mitigation specialist, she had no reasonable explanation for
her failure to seek a hearing and make a record, with witnesses or
affidavits, showing the need for a mitigation specialist in the kind of
detail set out in the affidavits of [petitioner's experts]. Once the
request was initially denied it was a suspension of professional
judgment to fail to request a hearing and make a better record to
support the request.” 3
That is, petitioner argues, not that his counsel
performed deficiently for failing to request the appointment of a
mitigation specialist, but that counsel should have made a better record
after the court denied the request. Petitioner asserts that, if
counsel had made a better record regarding the need for appointment of a
mitigation specialist, the denial of the motion would have been an abuse
of discretion.
The state responds that petitioner did not meet his
burden to prove either deficient performance or prejudice. It points
out that the post-conviction court found that counsel did move for
appointment of a mitigation specialist, a fact that petitioner does not
dispute. We agree that that finding is supported by evidence in the
record. In her deposition, which was admitted as an exhibit at the
post-conviction hearing, Dickison testified that she had a particular
mitigation expert in mind, one whom another attorney had referred her to.
She explained that she had filed a “formal” motion for appointment of
a mitigation expert, including an affidavit explaining the need for such
an expert.
As noted, the trial court denied the motion, but
Dickison did not then abandon the idea of a mitigation specialist. The
transcript of the 1992 penalty-phase retrial reveals that she took
additional steps:
“MS. DICKISON: * * * I had submitted a request for a
different type of investigation services through this court, and I'm
gingerly stepping around this, but I submitted additional affidavits to
the court after the court rendered its decision. Have those affidavits
changed [the court's mind?]
“THE COURT: Everything that has been requested,
denied, is filed.
“MS. DICKISON: The court has not changed its mind
given the new affidavits?
“THE COURT: Right.”
As stated, to obtain post-conviction
relief, petitioner “was obligated to make two distinct constitutional
showings: that counsel failed to exercise reasonable professional skill
and judgment and that petitioner suffered prejudice as a result.” Datt
v. Hill, 347 Or 672, 683, 227 P3d 714 (2010). Here, petitioner
introduced expert testimony demonstrating the importance of a mitigation
specialist in a capital case, and neither party really disputes that
point. But petitioner did not prove that counsels' materials filed in
support of their motion were deficient. Although he argues that
counsel had no reasonable explanation for their failure “to seek a
hearing and make a record, with witnesses or affidavits, showing the
need for a mitigation specialist in the kind of detail set out in the
affidavits of [petitioner's experts],” the record demonstrates that
counsel did in fact make a record to support the appointment of a
mitigation specialist.4
Petitioner did not carry his burden of proving that counsel performed
deficiently in that respect.
Petitioner next argues that the post-conviction court
erred in denying his claim that counsel were ineffective for failing to
investigate and present evidence of his traumatic sexual experiences,
evidence that he asserts would have been mitigating. In the post-conviction
court, petitioner presented evidence that his mother sexually abused him
when he was a child and that she threatened to harm him if he disclosed
the sexual abuse while he was undergoing residential alcohol treatment
as an adolescent at St. John's Hospital in St. Paul, Minnesota. He
also introduced evidence that, when he was 19 years old, he had a sexual
encounter with his former foster mother. According to petitioner,
information about those experiences was available to counsel-in records
from St. John's, in records of petitioner's interviews with Detective
Goodale, and in a statement from another witness-as they prepared for
the 1992 penalty-phase retrial.
The post-conviction court made findings in support of
its rejection of petitioner's claim about evidence of traumatic sexual
experiences:
“58. Trial counsel constructed a reasonable theory of
mitigation based on petitioner's history of childhood abuse and Dr.
Walker's undisputed expertise in the area of post-traumatic stress
disorder [ (PTSD) ], after a thorough investigation of petitioner's
family history.
“ * * * * *
“61. Trial counsel adequately introduced petitioner's
mental health and family history through Dr. Walker.
“62. Petitioner did not present credible evidence to
prove that trial counsel in 1992 failed to adequately investigate,
prepare, and present the defense experts with information concerning
petitioner's mental health and family history.
“63. Trial counsel provided Dr. Walker with all
available and reliable information about petitioner's mental health and
family history.
“64. Petitioner did not present
evidence to prove that trial counsel in 1992 failed to provide Dr.
Walker with all necessary information concerning petitioner's mental
health and family history.”
On appeal, petitioner argues that counsel were
ineffective for failing to more fully investigate his traumatic sexual
experiences, for failing to provide information about those experiences
to defense expert Lenore Walker, and for failing to present that
evidence to the jury. According to petitioner,
“Montez's attorneys did not investigate the sex abuse
issue. Dr. Walker, who was not informed of the abuse by counsel, did
not fully explore this area. Montez did tell Dr. Walker his mother
awoke him and his sister and told them to slow dance in their underwear
and hug and kiss on the lips [when he was living with her as a child].
Dr. Walker did ask Montez if he thought this was sex abuse; he said no
because he did not understand that to be sexual abuse.
“The failure to investigate and present evidence of
Montez's traumatic sexual experiences, including the abuse by his mother
and encounter with [his former foster mother], deprived the jury of
critical mitigation.
“ * * * * *
“ * * * The evidence of sexual abuse and other
traumatic sexual exposure would have provided an unequivocal factual
foundation for Dr. Walker's PTSD diagnosis because the impact of sexual
abuse was clearly recognized at that time.”
The state responds that the post-conviction court's
findings are supported by evidence in the record and are dispositive.
It asserts generally that much of the information to which petitioner
refers came to light only in his deposition taken for the post-conviction
proceeding, years after the penalty-phase retrial. Specifically, the
state claims, petitioner's records from St. John's “contain only two
cryptic references to petitioner's allegation of sexual abuse.” It
asserts that the witness who referred to petitioner's sexual abuse was
not a reliable witness and had no personal knowledge of any abuse.
The state points to Dickison's deposition testimony
that she and Lai provided all records to Dr. Walker for use in her
evaluation. It asserts that Dr. Walker's notes show that she
specifically asked petitioner whether he had been sexually abused and
that petitioner asserted that no sexually inappropriate touching had
occurred.5 The
state notes that petitioner acknowledged in his deposition that he did
not tell Dr. Walker about anything other than the “dancing in the
underwear” incident, nor did he report to her that he had been sexually
abused.
We agree with the state that the post-conviction
court's findings are supported by evidence in the record and that the
court correctly concluded that counsel were not ineffective for failing
to pursue and present evidence of petitioner's sexual abuse. The
record is clear that, at the time counsel were preparing their case,
there were few clues as to petitioner's childhood sexual abuse, and
those clues were vague. The record supports the post-conviction
court's finding that counsel “provided Dr. Walker with all available and
reliable information about petitioner's mental health and family history.”
Especially in light of petitioner's failure to disclose any sexual
abuse to Dr. Walker, it was reasonable for counsel not to pursue that
evidence. To be sure, in hindsight, there may have been more there
than met the eye. But, in determining whether counsel's performance
was deficient, we must evaluate their conduct from their perspective at
the time. Lichau, 333 Or at 360. Counsel's choice to give all the
material to Dr. Walker and to rely on her to evaluate it was not, as a
matter of law, unreasonable. The trial court correctly denied
petitioner's claim based on evidence of childhood sexual abuse.
Petitioner next argues that counsel were ineffective
for failing to develop evidence of his head trauma, seizure disorder,
and organic impairment and to present that information to defense
experts. In his petition for post-conviction relief, petitioner
alleged that counsel were ineffective for failing to
“adequately investigate, prepare and present evidence
of petitioner's mental condition at the time of the offense in light of
petitioner's intoxication, and history of depression and suicide
attempts, past substance abuse and history of factors associated with
the presence of organic brain damage as mitigation evidence[.]
“ * * * Trial counsel failed to adequately
investigate, prepare and present defense experts with evidence
concerning aspects of petitioner's * * * mental condition at the time of
the offense and factors associated with the presence of organic brain
damage[,] which was necessary to obtaining a complete and reliable
evaluation and report on mitigating factors[.]”
The post-conviction court rejected petitioner's
claims, making the following findings:
“52. Trial counsel in 1992 adequately investigated
the possibility of fetal alcohol syndrome, organic brain damage, and
other psychological factors as mitigation.
“53. Trial counsel retained Dr. Lenore Walker as an
expert on mitigation issues. Counsel followed through with Dr.
Walker's recommendation that petitioner be evaluated by a
neuropsychologist.
“54. Trial counsel retained Dr. Les Goldmann to
conduct a neuropsychological evaluation, but the evaluation produced no
evidence that petitioner suffered from any kind of organic brain damage.
“55. Dr. Goldmann and trial counsel
were constrained by the short time frame to prepare for trial and the
trial court's unwillingness to set over the 1992 trial date.
“56. Dr. Jacobsen saw no evidence of brain damage,
and Dr. Antoinette Appel, a neuropsychologist who trial counsel
consulted in 1992, told counsel that she thought a neuropsychological
evaluation was unnecessary.
“57. Petitioner did not present credible evidence to
prove that he had organic brain damage at the time of the crimes.”
On appeal, petitioner argues that the “records and
witnesses available to counsel revealed Montez had a seizure disorder
and an extensive history of head injury and the potential of brain
damage.” In light of that information, petitioner urges, “counsel
should have obtained a complete and comprehensive neuropsychological
evaluation.” To support that contention, petitioner introduced in the
post-conviction court the affidavit of Dr. Richard Kolbell, a clinical
neuropsychologist. Kolbell spent eight hours conducting a
neuropsychological evaluation of petitioner, and he prepared a report, a
copy of which was introduced in the post-conviction court. Based on
Kolbell's report, the report of Dr. Mark Cunningham (a forensic
psychologist who also evaluated him), and the affidavits of his experts
on mitigation (McMahill and Barker), petitioner concludes that the post-conviction
court erred in denying relief:
“The post-conviction court's Findings of Fact * * *
and conclusion that trial counsel conducted an adequate investigation
into this area simply disregards the foregoing information on the record
and uncontradicted testimony of Barker, McMahill and Drs. Kolbell and
Cunningham. Thus, the [post-conviction] court's findings are
inconsistent with the record and denial of relief on this claim was
error.”
We disagree. As stated above, at Walker's
suggestion, counsel had petitioner evaluated by a neuropsychologist, Dr.
Les Goldmann. Goldmann told counsel that he would conduct a screening
evaluation and that, if that evaluation revealed signs of brain injury,
he would conduct further evaluation. He stated that, if there were no
indications of brain injury on screening, there would be no need to
conduct a full assessment. In his affidavit submitted in the post-conviction
proceeding, Goldmann stated:
“In my experience, it is not only unlikely but
improbable that deficits will be found on a full neuropsychological
evaluation when the results of the screening battery were normal. If
one conducts enough tests, however, one can usually find an anomaly,
simply because the statistical chance of finding a significant result
increases with the number of tests administered.”
Goldmann evaluated petitioner over two
days in July 1992. He administered tests that “are particularly
sensitive to deficits seen in brain-injured individuals,” but he found
“no neuropsychological deficits * * *.” That is, he “saw no evidence
of brain injury.” In performing the tests, Goldmann would have asked
petitioner about any history of head injury, substance abuse, or
telltale symptoms. In his affidavit, Goldmann averred, “It was my
opinion in 1992 that Mr. Montez did not suffer from brain injury in any
form * * *.” 6
As noted above, Dr. Appel, another neuropsychologist, told counsel that
it was unnecessary to conduct a neuropsychological examination of
petitioner. Dr. Jacobsen, the expert in addiction medicine, who also
evaluated petitioner in 1992, similarly had no sense that brain damage
had occurred.
Petitioner's premise seems to be that, because he
produced evidence in the post-conviction case that he may have been
suffering from brain damage in (and before) 1992, he is entitled to
relief. But the issue on appeal in this post-conviction proceeding is
not whether petitioner actually had suffered brain damage or even
whether he introduced evidence of brain damage in the post-conviction
court. Rather, it is whether the post-conviction court's findings are
supported by the record and whether those findings support the court's
conclusion that counsel were not deficient in their performance. Here,
counsel investigated the possibility that petitioner suffered from brain
damage, and they employed experts to determine whether that was the
case. Petitioner did not prove that counsel failed to exercise
reasonable professional skill in their treatment of the possibility of
brain damage.
Petitioner next argues that counsel were ineffective
in failing to educate the jury in voir dire, opening statement, and
closing argument that a single “no” vote was sufficient to return a
verdict of life imprisonment; in failing to ensure that the jury was
properly instructed on the effect of a “no” vote; and in failing to
ensure the “return of a lawful life verdict.” In his petition for
post-conviction relief, petitioner made several allegations concerning
deficient performance related to the “no” vote:
“35. a. Trial counsel failed to educate the jury in
voir dire, opening statement or closing argument that a single ‘no’ vote
was sufficient to return a verdict of life imprisonment, and there was
no such thing as a hung jury in a capital sentencing trial;
“b. Trial counsel failed to request a jury
instruction [that] clearly informed the jury that any of the relevant
questions must be answered in the negative and a ‘life’ verdict would be
returned if any one or more of the jurors voted ‘no’ on any question,
either when the court instructed the jury, or in response to a question
from the jury on September 17, 1992 asking whether ‘all 12 jurors have
to agree on question # 3’;
“c. Trial counsel failed to educate the jury in voir
dire, opening statement or closing argument that each juror was required
to give individualized meaningful consideration and full effect to
mitigating evidence offered by the defense, and that mitigation is any
evidence that any juror believed is sufficient to justify a sentence of
less than death, as required by the Eighth and Fourteenth Amendments to
the United States Constitution and the Oregon Constitution;
“d. Trial counsel failed to request
jury instructions which clearly informed the jury that each juror was
required to give individualized meaningful consideration and full effect
to mitigating evidence offered by the defense as required by the Eighth
and Fourteenth Amendments to the United States Constitution and the
Oregon Constitution[.]”
The post-conviction court rejected petitioner's
claims, finding that petitioner did not prove that counsel had performed
deficiently.
On appeal, petitioner makes a number of interrelated
arguments as to why the post-conviction court erred in rejecting his
claims about counsel's “education” of the jury, approach to jury
instructions, and failure to object to the verdict. Relying on his
expert's affidavit setting out the standards by which counsel should
have conducted themselves in the 1992 penalty-phase retrial, petitioner
asserts that the post-conviction court erred in concluding that counsel
were not ineffective in how they chose the jury, what arguments they
made to the jury, what jury instructions they requested, and how they
responded to the jury's verdict. In addressing petitioner's arguments,
we begin by summarizing again the law governing the jury's deliberations,
as it stood in 1992.
ORS 163.150, the statute that governs the penalty
phase of an aggravated murder trial, sets out four questions that the
jury must answer. One of those questions, which relates to provocation
by the victim, is not given if there is no evidence of provocation; it
was not given in this case. Accordingly, the jury was presented with
three questions: (1) whether petitioner committed the murder
deliberately with the reasonable expectation that the victim's death
would result; (2) whether there was a probability that petitioner would
commit criminal acts of violence that would constitute a continuing
threat to society; and (3) whether petitioner should receive a death
sentence-the “general mitigation” question required by the Eighth
Amendment after Penry.
Before voir dire began, the trial court in
petitioner's penalty-phase retrial instructed the potential jurors about
the three questions set out above. Regarding the third question, the
court told the potential jurors, “Now, you should answer this question
no if you find that there is any aspect of the defendant's character or
background or any other circumstance of the offense that you believe
would justify a sentence less than death.” The court also explained
the effect of a “no” vote:
“If you find that the state has proven the
affirmative of the three questions beyond a reasonable doubt, you answer
each question yes. Before any question can be answered yes, all 12
jurors must agree on that answer.
“If you decide that the state has
failed to prove the affirmative on any one or more of the questions
beyond a reasonable doubt, then you must answer that question no. If
all 12 jurors cannot agree that a particular question should be answered
yes, then the answer must be no.
“Now, if your answer to all three questions is yes,
the law requires that the penalty shall be death. If your answer to
one or more of the questions is no, the law requires that the penalty
shall be life imprisonment.”
After the parties' closing arguments, the court again
instructed the jury (as required by ORS 163.150(1)(c)(A)) on how to
address the three questions:
“Now, in determining the issues raised in these
questions before you, you may consider any evidence which you consider
to be mitigating. This includes, but is not limited to, the
defendant's age, the extent and severity of the defendant's prior
criminal conduct, and the extent of the mental and emotional pressure
under which the defendant was acting at the time the offense was
committed.
“ * * * * *
“Now as a reminder, in order to answer yes to any of
the questions, 12 of you, all of your number must agree on that answer.
If upon any question all of your number, 12 of you cannot agree that
the question is should be answered yes, then your answer to that
question must be no.”
The jury deliberated over four days. At one point,
the jury submitted three written questions to the trial judge. One of
the questions asked, “Do all 12 jurors have to agree on question # 3?”
That inquiry referred to the “general mitigation” question, whether the
defendant should receive a death sentence. The trial judge responded
in writing, “In order to answer ‘yes' to any question, 12 of you must
agree on that answer.” When, the next day, the jury returned its
verdict of death for petitioner, counsel requested that the court poll
the jury. The court refused to conduct an oral poll, but it did
administer a written poll.
As noted, petitioner makes a number of
interrelated arguments regarding how counsel handled arguments, jury
instructions, and the verdict. Petitioner is correct, of course, that
a single juror's vote not to impose a death sentence precludes
imposition of that sentence. But the jurors were told that twice by
the court. Although petitioner may believe, in hindsight, that counsel
should have emphasized that point, counsel's choice to focus opening
statements and closing arguments more generally on the mitigating
evidence was not, as a matter of law, deficient. This court “will not
second-guess a lawyer's tactical decisions unless those decisions
reflect an absence or suspension of professional skill and judgment[.]”
Cunningham, 186 Or.App. at 226. In light of the correct instructions
by the trial court that addressed the effect of a “no” vote-both before
voir dire and after the parties rested at trial-it was reasonable for
counsel to devote argument to other matters. Thus, counsel's choice
not to inquire into the effect of a “no” vote during voir dire and not
to focus their argument on that point was reasonable.
Petitioner argues that counsel should have asked the
trial court to expand on its answer to the question sent out by the jury
during deliberation. Describing the trial judge's answer to the
question as “incomplete and misleading,” petitioner asserts that counsel
should have requested that the court give the following answer:
“This question calls for a discretionary
determination by each juror. If all 12 jurors do not agree that the
answer to this question is ‘yes,’ then you must answer this question
‘no.’ You must answer this question ‘no’ if one or more of the jurors
find there is any aspect of the defendant's character or background, or
any circumstances of the offense, that one or more of the jurors believe
would justify a sentence less than death.”
(Boldface in original.) As stated above, the trial
court answered the question by stating, “In order to answer ‘yes' to any
question, 12 of you must agree on that answer.” Of course, implicit in
that statement is the converse: If any one of the jurors did not agree
that any of the three questions should be answered “yes,” the jury as a
whole could not do so, and the answer would have to be “no.”
As the state correctly points out, a court is not
obligated to give an instruction that states merely the converse of a
correct instruction. State v. Nefstad, 309 Or 523, 549-50, 789 P.2d
1326 (1990). Here, petitioner asserts that counsel should have argued
to the trial court that it should respond to the jurors' question with a
statement that (1) repeated what the court already had instructed the
jury and (2) explicitly stated the converse of what the statement given
implied. Because the trial court's response was legally correct,
petitioner has not demonstrated that the trial court would have (or
should have) agreed to another response, or that any other response to
the jurors' question would have had a tendency to affect the outcome of
the penalty-phase retrial.
Petitioner's final argument related to
the “no” vote issue is that counsel should have objected to the trial
court's refusal to conduct an oral poll in open court when the jury
returned its verdict. Petitioner concedes that counsel asked the court
to poll the jury and that the trial court had statutory authority, ORS
136.330, to conduct a written poll. He contends, nonetheless, that
“[c]ounsel should have objected on the grounds that administering a
written poll in the jury room rather than an oral poll in open court
violated [his] right to due process and was an abuse of discretion by
the trial court.”
The short answer to petitioner's argument is that he
failed to demonstrate in the post-conviction court that, had counsel
attempted to do more to persuade the trial court to conduct an oral poll
in open court, it would have done so and, if it had, that any of the
jurors would have answered any of the questions “no.” Because
defendant failed to show that different conduct by counsel-here, doing
more than requesting a poll-would have had a tendency to affect the
verdict, the post-conviction court correctly rejected his claim that
counsel were ineffective.
In his second assignment of error, petitioner argues
that he was denied effective assistance of counsel when counsel
introduced evidence informing the jury that he previously had been
sentenced to death and was then on death row, and advised him to waive
objections to the introduction of such evidence. In his third
assignment of error, petitioner asserts that trial counsel were
ineffective in “preparing for and presenting a defense on the sentencing
question on ‘risk of future acts of violence.’ ” As a sub-claim under
his third assignment of error, petitioner asserts that counsel were
“ineffective by calling as character witnesses from
death row, administrative segregation, and disciplinary segregation, at
the Oregon State Penitentiary without conducting interviews, or meeting
with the witnesses prior to trial and then failing to object to
irrelevant and prejudicial questions about the lengths of their
sentences and scheduled parole release dates or about escapes and
attempted escapes from prison.”
Because they are related, we address petitioner's
second assignment of error and the “inmate witness” subargument under
his third assignment of error together. In addressing petitioner's
claim, we begin by setting out how the issue of petitioner's previous
death sentence and housing on death row arose.
In any penalty-phase retrial, the court and the
parties are faced with the awkward reality that the jury has been
convened only to decide a penalty, often years after the guilt phase
took place. What to tell the jurors about the previous proceedings and
how much detail to give them presents a dilemma for the parties and the
court. At a hearing held before the commencement of the penalty-phase
retrial, Dickison told the court that she was concerned that “any of the
jurors or prospective jurors will know that a previous sentence of death
had been imposed upon” petitioner, and that she intended to file a
written motion to “exclude all jurors who are aware of the previous
death sentence.” The court agreed that the jury should not consider
petitioner's previous death sentence:
“As a matter of procedure, I suppose I
could, if reminded, ask each and every juror before you started whether
they had any information about [petitioner's] trial or sentence. Any.
Now, did you want me to be more specific than that?”
After additional discussion, Dickison asked the court
to inquire of the potential jurors whether they had any information
regarding previous “court hearings” involving petitioner. Dickison
also noted that the juror questionnaire asked the potential jurors what,
if anything, they had heard about the case. After the jury was
selected and sworn, the parties and the court engaged in additional
discussion of how to inform the jury of petitioner's convictions in a
way that would make it less likely that the jurors would speculate about
the outcome of the previous sentencing phase.
That state of affairs continued until the second day
of trial. As the parties took a break from a discussion of how the
state would introduce the recorded testimony of a witness who had died
since the first trial, Dickison raised a different issue:
“Judge, while we're waiting, and I've conferred with
Mr. Montez about this, it would seem since we're now going into the
previous trial anyways, it would seem that the court might want to
instruct the jury as to the previous proceedings in this case.”
The court and counsel discussed how the jury would be
informed of petitioner's convictions and why they were there to decide
his sentence. The court suggested the following solution:
“THE COURT: How about this: Members of the jury, as
you are now probably aware, Mr. Montez was convicted of Aggravated
Murder, as we've discussed, by a jury after a trial in 1988. An appeal
was taken-and I'd like to say as required by law, but I don't know
whether that's going to flag the results of that prior case, I don't
think they're sophisticated enough to understand the mandatory appeal.
An appeal was taken as required by law and a new sentencing hearing
ordered. You have been impaneled to decide that sentence.”
Dickison agreed with that proposal.
Petitioner's other attorney, Lai, however, then
proposed that the jurors be told about the first death sentence:
“Your Honor, I think the defense team with a great
deal of reservation feels that it is necessary at this point for the
jury also to be informed Mr. Montez was sentenced to death by the first
jury, but in some fashion told that they are not to consider that as
part of their deliberation, because the evidence presented may or may
not be the same as what was presented then.
“THE COURT: Boy, I'm-
“MS. LAI: We're asking for that instruction simply
because it will become very clear that Mr. Montez was on death row as we
go through the rest of this trial.”
The prosecutor pointed out that he had instructed all
the state's witnesses to avoid mentioning that petitioner had been
housed on death row, thereby avoiding the inference that he had
previously been sentenced to death. The judge asked Lai whether that
information changed her opinion, but she explained that it did not:
“MS. LAI: No, because it is our understanding that
the State intends to bring in acts allegedly or committed by Mr. Montez
while in the penitentiary system, part of that time was while he was on
death row, and the defense needs to and will offer some sort of
explanation for that activity in that specific area of the penitentiary.”
The court expressed its hesitancy to instruct the
jurors that petitioner had previously been sentenced to death. After
Lai again conferred with petitioner, the following exchange took place:
“MS. LAI: Your Honor, it is the desires of Mr.
Montez that the jury be told about the prior death sentence.
“ * * * * *
“THE COURT: Mr. Montez, have you had sufficient time
to speak with your attorneys? You feel adequately advised? You know
my reluctance to do this.
“[PETITIONER]: Yes, we will proceed that way.”
Lai again noted petitioner's agreement to the plan:
“Mr. Montez wishes to go through with advising the jury of the prior
death penalty sentence, and is prepared to answer your questions.”
In response to the prosecutor's request that the
court ensure that petitioner understood the choice he was making, the
trial court questioned petitioner:
“Now, Mr. Montez, as to my giving this [instruction
about the previous death sentence,] do you want me to give it?
“[PETITIONER]: Yes.
“THE COURT: And do you understand that because of
your asking for this and not objecting * * *, that in effect your
ability to have this matter overturned or reversed based upon my doing
this is nonexistent in a real sense?
“[PETITIONER]: I understand that.
“THE COURT: And have you had a sufficient chance to
talk to Miss Lai and talk to Miss Dickison so you feel you've gotten the
legal advice that's necessary for you to talk to me about this?
“[PETITIONER]: I have, Your Honor.
“THE COURT: Any questions?
“[PETITIONER]: No.”
The jury returned to the courtroom and the trial
court gave the following instruction:
“Before we proceed to the next witness, I want to
explain something to you in an effort to remove the mystery or any
speculation from this matter: As you're all now probably aware, Mr.
Montez was convicted of Aggravated Murder, as we've discussed here, by a
jury after a trial in 1988. A death sentence was imposed. An appeal
was taken, as required by law, and a new sentencing hearing was ordered.
You've been impaneled to decide the sentence.
“Now as to your role as the trier of
facts, this is a new proceeding, and you will decide the weight to be
given the evidence presented here, which may be different than the
evidence presented before.
“Now, what happened previously, with the exception of
the guilty finding, is not a consideration in this case. I tell you
this because I don't want you wondering, and I don't want you
speculating, and I don't want you to misuse the information before you.”
The state subsequently presented evidence of
petitioner's fights with other inmates while he was in prison; one of
those fights involved another death row inmate. In response to some of
that testimony, petitioner's counsel elicited testimony from the state's
witnesses about the conditions petitioner faced while incarcerated on
death row. They then presented testimony from several inmates,
including death row inmates, to explain conditions on death row and to
describe petitioner's behavior while incarcerated. Some of those
inmates testified that petitioner had helped them and inspired them, and
others testified that they had seen improvements in petitioner's
behavior during his incarceration.
In his petition for post-conviction relief,
petitioner alleged that trial counsel were ineffective because they
“introduced evidence that petitioner previously had been sentenced to
death and had been on death row and advised petitioner to waive any
objections to the introduction of such evidence[.]” He also alleged
that counsel were ineffective for calling the inmates as witnesses; for
failing to interview the inmate witnesses; for eliciting or failing to
object to the inmate witnesses' testimony about the lengths of their
sentences and scheduled parole release dates; and for failing to object
to “irrelevant and unduly prejudicial testimony” by two inmate witnesses
about the circumstances of their escapes and attempted escapes from
prison. The post-conviction court rejected the claims, making the
following findings of fact:
“74. Petitioner did not produce evidence proving that
his counsel in 1992 unreasonably disclosed that petitioner had
previously been on death row.
“75. Petitioner wanted the jury in 1992 to learn that
he had been on death row and had generally gotten along well with the
other inmates on death row and in general population.”
“76. Petitioner did not produce evidence proving that
his counsel in 1992 acted unreasonably in preparing for, and in calling,
inmates to testify on petitioner's behalf.
“77. It was petitioner's decision to call inmates to
testify on his behalf, to show that he was not dangerous or violent in
the prison setting.
“78. Petitioner personally selected
the inmates that he wanted to testify on his behalf.”
On appeal, petitioner argues first that counsel's
decision was “not only unreasonable, it was a total abdication of their
duty to provide competent representation.” He asserts that counsel had
other, “less prejudicial means of offering the same evidence.”
Petitioner claims that the information about the prior death sentence
“is the type of evidence that is so prejudicial that it denied Montez a
fair trial.” Petitioner also argues that his consent to counsel's
approach should be disregarded because it was based on poor advice of
counsel.
The state responds that counsel's choice to inform
the jury about petitioner's previous death sentence and his housing on
death row was a reasonable tactical choice. It asserts that the
related claim that counsel gave petitioner bad advice about whether to
inform the jury about his death sentence and housing was not presented
in the petition for post-conviction relief and thus is unpreserved and,
in any event, is inconsistent with the record. The state explains:
“Counsel had the choice of two evils-they could
provide no information and allow the jury to speculate about what
misdeeds caused petitioner to be in prison, or they could allow the jury
to hear that petitioner was in prison because of an overturned death
sentence. Further, * * * counsel had little mitigating evidence to
present, and in light of petitioner's expressed desires, counsel
reasonably asked the court to truthfully inform the jury of petitioner's
prior death sentence. By doing so, counsel ensured that it would not
appear to the jury that petitioner was attempting to conceal the facts
of the case. Moreover, petitioner could freely present mitigating
evidence to help explain why he was involved in fights in prison.”
Finally, the state asserts, petitioner failed to
prove that any actions by counsel prejudiced his case.
We agree with the post-conviction court's rejection
of petitioner's claim, for two reasons. First, although petitioner
asserts that it was counsel's idea to inform the jury of the prior
sentence and that he merely “acquiesced” in it, the post-conviction
court found otherwise: “Petitioner wanted the jury in 1992 to learn
that he had been on death row and had generally gotten along well with
the other inmates on death row and in general population.” That
finding is supported by the colloquy between petitioner and the trial
court in the 1992 penalty-phase retrial. It was petitioner's burden to
show that his affirmative, well-documented choice to follow that
strategy was the result of bad advice, and he did not carry that burden.
In short, the record supports the post-conviction court's finding that
the choice-no matter whether it was petitioner or counsel who initially
proposed the strategy-was petitioner's. The point is not dispositive,
because counsel's duty can include trying to persuade a client against
implementing an ill-advised litigation strategy. However, such
persuasion may be more difficult and, in the end unsuccessful, where, as
the post-conviction court found here, the strategy originated with the
client.
In any event, counsel's strategy was
not unreasonable. “It is well established that a reviewing court will
not second-guess a lawyer's tactical decisions in the name of the
constitution unless those decisions reflect an absence or suspension of
professional skill and judgment.” Gorham v. Thompson, 332 Or 560, 567,
34 P3d 161 (2001). Here, we agree with the state that counsel's choice
of strategy did not demonstrate deficient performance. For example,
counsel reasonably could have believed that it would benefit petitioner
if the jury knew not only that another jury had sentenced him to death,
but that the death sentence had been determined by a court to be
improper. Moreover, a jury could believe that a death row inmate might
have nothing to gain from pretending, such that his exemplary behavior
is more likely to be heartfelt than is the case with other inmates. We
reject petitioner's position that it is never appropriate to tell a jury
in a penalty-phase rehearing that the defendant had previously been
sentenced to death.
We turn to the related claim regarding the choice to
call death row inmates to testify on petitioner's behalf. Petitioner
argues that the witnesses' testimony “harmed Montez's case, because
these character witnesses were convicted violent felons who lacked
credibility with and fostered little [or] no endearment from the jury.”
He points out that the jury was taken to the Oregon State Penitentiary
to hear the inmates' testimony. He points out that none of the inmate
witnesses was interviewed by the defense team before they testified.
He asserts that counsel's handling of the witnesses at trial prejudiced
him:
“Montez was further prejudiced when counsel either
elicited or allowed in, without objection, from most of these witnesses
the existence and circumstances of prior early releases from prison,
present parole release dates and the circumstances of past escapes and
attempted escapes. This testimony[,] along with the mention of ‘death
row,’ was inflammatory and induced the jury to vote for the death
penalty to ensure that Montez would not be paroled or escape in the
future.”
The state responds that it was petitioner's choice to
call the inmate witnesses and that the witnesses testified favorably for
petitioner. They generally described how he had helped them, how he
was not an aggressor, how he acted as a peacekeeper, and how he was
attempting to transform himself into a better person. The inmates also
testified about the conditions in prison generally and on death row
specifically, and how those conditions caused tension among the
prisoners. The state points out that the prosecutor did not impeach
the inmates regarding their positive substantive testimony about
petitioner, but only asked about their sentences, release dates, and
escape attempts. It also notes that the record refutes petitioner's
assertion that counsel did not adequately prepare for the inmates'
testimony. Counsel's-and petitioner's-tactical choice to call the
inmates, the state concludes, was reasonable.
We agree. First, it is undisputed
that petitioner himself made the choice to call the inmates and that he
personally chose the inmates who would testify. The record supports
the post-conviction court's finding that petitioner wanted the inmates
to testify to the positive improvements he had made while in prison,
partly to rebut the state's evidence of some assaultive behavior on his
part. As the United States Supreme Court explained in Strickland,
“[t]he 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 informed
strategic choices made by the defendant and on information supplied by
the defendant.” 466 U.S. at 691.
Here, petitioner-who was very active in the
preparation and presentation of his case-wanted the inmates called.
Although counsel initially questioned the wisdom of that approach, they
decided the approach was reasonable in light of the sparse mitigation
hand they had been dealt. As Dickison testified in the post-conviction
court:
“It's my recollection-whether it's right or wrong-that
[petitioner] very much wanted the jury to learn what the [prison]
environment was like. [He wanted the jury to be] introduced to some of
the other long-term guests there, and be told of the type of situation
it was there.”
In response to the state's attorney's question about
other mitigating evidence, Dickison conceded that “[t]here was not an
awful lot.” When asked if she had tried to dissuade petitioner from
having the inmate witnesses called, Dickison responded:
“I don't think I tried to dissuade him. I think I
did tell him I didn't like the idea.
“But then again, there was some advantage to exposing
a jury who probably wasn't aware of that sometimes evil things that
human beings can do to other individuals who had done the same thing and
were not sentenced to death.
“This is an appalling case to practiced lawyers. To
a jur[or] who spends her life teaching * * * second graders or whatever,
you have to get over that initial recoiling.”
Given the dearth of other mitigating evidence and
petitioner's insistence on calling the inmate witnesses, counsel were
not ineffective for following that strategy.
Nor does the record support petitioner's claim that
counsel were unprepared for the presentation of those witnesses. When
Dickison was asked about whether the inmates had been interviewed before
they testified, she stated that there had been communication with the
inmates, that she was aware of their criminal records, that she had an
overview of what their testimony would be, and that petitioner had
represented that each inmate would testify favorably. Moreover,
petitioner did not prove that counsel's choice not to object to
testimony about early release from prison amounted to deficient
performance or that it prejudiced him. As Dickison testified, “there's
always a weighing that occurs when you're examining or cross-examining
or objecting to witnesses, and you have to decide if it's going to make
the unwanted statement more important to the jury if you object and
bring attention to it or if you don't.” Even assuming that counsel's
choices regarding use of the inmate testimony and whether to object to
some of it were not, in hindsight, the best choices, that is not the
test. Even effective counsel may make “tactical choices that backfire,
because, by their nature, trials often involve risk.” Krummacher, 290
Or at 875. The post-conviction court's findings are supported by
evidence in the record and dispose of petitioner's arguments about the
inmate testimony.7
As stated above, petitioner's third
assignment of error includes several specific claims under the general
heading that counsel failed to provide effective assistance in
“preparing for and presenting a defense on the sentencing question of
‘risk of future acts of violence.’ ” Having resolved petitioner's
subclaim regarding testimony by prison inmates, we turn to his argument
that counsel generally failed to adequately address the “future
dangerousness” question that the jury would answer. Petitioner asserts
that the state's theory was that, based on petitioner's past criminal
and assaultive behavior and the extreme nature of the crime, the jury
should answer “yes” to the future dangerousness question. Counsel's
job, according to petitioner, was to rebut that argument by presenting
evidence to neutralize or explain petitioner's prior violent acts and to
demonstrate that he was unlikely to commit serious acts of violence in
prison. According to petitioner, “[a]ccepted practice among reasonable
capital defense counsel was to introduce evidence in the penalty phase
which rebutted [the type of arguments made by the state] and dispelled
the notion that the client is dangerous based on the nature of the crime
and/or his past crimes.”
One of petitioner's specific arguments about his
counsel's alleged failure to rebut the state's case on future
dangerousness is that counsel offered the jury “no meaningful evidence
upon which to make their evaluation of the risk that Montez presented.”
As the state characterizes the argument, petitioner asserts that
“counsel failed to investigate and present expert testimony on assessing
the risk of violence and prison management[.]”
In the post-conviction court, petitioner introduced
the affidavit of Dr. Mark Cunningham, a nationally-recognized clinical
and forensic psychologist. Cunningham evaluated petitioner and
reviewed records from a variety of sources. In his 181-page affidavit,
he discussed both petitioner's background and personal characteristics,
and how capital defendants generally should be assessed for risk. In
Cunningham's opinion, counsel in the 1992 penalty-phase retrial failed
to present necessary evidence on risk assessment:
“The errors in violence risk assessment that
characterized Mr. Montez' capital murder sentencing phase trial were
neither inevitable nor unavoidable. There was conceptual and research
literature regarding violence risk assessments, and violence risk
assessments of capital offenders easily available to experts or defense
counsel in 1992 that would have been of significant assistance to the
jury both in avoiding misconceptions and error, and in approaching the
capital sentencing risk assessment task with a greater degree of
scientific understanding. Mr. Montez' risk of serious violence while
incarcerated could have been reliably estimated utilizing actuarial
techniques that were then individualized to him. These risk estimates
were not appropriately expressed as the sort of global categorical
conclusions offered in argument by the State. Instead, they would have
been most informatively expressed as probabilities-as statements of
relative likelihood.”
Cunningham concluded that “[r]eliable
methodology and research data was available at the time of Marco Montez'
capital sentencing trial in 1992 and could have had an important impact
on the jury in avoiding error in their assessment of his future violence
risk.” Petitioner asserts that “Dr. Cunningham demonstrated that
offenders with capital offenses present a low risk of committing violent
acts while in prison and on old age parole and that Montez fit within
the overall pattern.” The type of actuarial data supplied by
Cunningham should have been presented in 1992, according to petitioner.
The state responded to petitioner's evidence in the
post-conviction court with its own expert, Dr. Richard Hulteng, a lawyer
and forensic clinical psychologist. Hulteng reviewed Cunningham's
extensive affidavit and a number of other documents, including the
transcript of the 1992 penalty-phase rehearing, police reports,
petitioner's criminal history, and other evaluations and affidavits
prepared for the post-conviction case. Like Cunningham's affidavit,
Hulteng's reports were extensive and technical. At bottom, Hulteng
disagreed with a number of Cunningham's premises and, ultimately, his
conclusions.
Hulteng disagreed with Cunningham's view of the
availability of actuarial studies and base rates for capital sentencing
purposes in 1992. As Hulteng stated in his report, it was not until
1998 that Cunningham would “publish his first article advocating the use
of institutional violence base rates for capital sentencing.” That
statement is consistent with Dickison's statement in 2001 that there
were no experts in 1992 testifying about actuarial studies on future
dangerousness. Hulteng also stated that he had not “come across any
literature from that period taking the position advocated by Dr.
Cunningham, namely that an expert should focus exclusively on the risk
of violence within the prison or in old age upon parole.” Although
both petitioner and the state presented additional information on the
nature of risk assessment and prediction of future dangerousness-and on
the state of the art in 1992-suffice it to say that each side had its
expert, and the experts disagreed.
The post-conviction court rejected petitioner's claim
that counsel in 1992 were ineffective for failing to present evidence
such as the evidence that he presented through Cunningham in the post-conviction
case:
“65. Petitioner presented the testimony of Dr. Mark
Cunningham, through affidavit, on the issue of future dangerousness.
The information regarding institutional violence base rates on which Dr.
Cunningham relied was not published until six years after petitioner's
1992 resentencing proceeding.
“66. Dr. Richard Hulteng credibly
testified by affidavit that there were no experts in 1992 testifying
about the prediction of future dangerousness based on actuarial studies
and base rates.
“67. Dr. Hulteng credibly testified that petitioner's
prior arrest record was significant in predicting whether petitioner
would be dangerous in the future, and that Dr. Cunningham failed to take
that factor into consideration in forming his opinion.
“68. Dr. Hulteng credibly testified that the
testimony on future dangerousness in the 1992 resentencing proceeding
* * * was generally consistent with clinical practices and available
empirical literature at that time.
“69. Dr. Hulteng credibly testified that Dr.
Cunningham's interpretation of how actuarial principles should be
applied in a capital sentencing context involves a number of assumptions
* * * was not articulated by Dr. Cunningham until after petitioner was
sentenced in 1992.
“70. Petitioner failed to prove that trial counsel
did not adequately investigate and present evidence on the issue of
petitioner's future dangerousness in the 1992 resentencing proceeding.”
In our view, the record supports those findings, and
they are dispositive. As the state argues:
“Counsel cannot be faulted for failing to present an
opinion like Dr. Cunningham's when the research on which such an opinion
is based was not available at the time of trial, even assuming that it
was otherwise reliable. Just as counsel is not constitutionally
inadequate for failing to predict changes in the law, counsel is not
inadequate for failing to predict changes in psychological research or
other trends in current issues.”
Petitioner nonetheless takes issue with the post-conviction
court's findings, arguing that they are not supported by the record.
He asserts that the post-conviction court “applied an erroneous standard
by weighing the two expert opinions.” But the post-conviction court
did not weigh the evidence on the ultimate question, viz., the risk that
petitioner would commit future criminal acts of violence. Rather, it
considered what type of evidence on the issue was available in 1992,
what competent counsel in 1992 were doing, and whether petitioner met
his burden to show both deficient performance and prejudice. In making
that determination, the court considered the conflicting expert
testimony. That was appropriate. Although petitioner views the
conflicting evidence differently than does the state or the post-conviction
court, the record supports the post-conviction court's findings. The
court correctly rejected petitioner's claim that counsel were
ineffective for failing to present evidence such as that presented by
Dr. Cunningham. We reject without discussion petitioner's other
arguments regarding deficiencies in counsel's treatment of the future
dangerousness issue.
We turn to petitioner's fourth
assignment of error. In his petition for post-conviction relief,
petitioner alleged that trial counsel were ineffective in that they
“failed to advise petitioner about his right of allocution at the
sentencing hearing, thereby misleading petitioner into forgoing his
right to speak in his own behalf before sentence was imposed. See
Rogers, 330 Or at 282 (2000).” The post-conviction court made the
following findings in rejecting that claim:
“88. Petitioner's presentation regarding the issue of
allocution, including the testimony and evidence of counsel, Lynne
Dickison, was not consistent.
“89. The statement of trial counsel, Lynne Dickison,
that she did not advise petitioner of his right to allocute is not
credible.
“90. The record does not establish that trial counsel
did not inform petitioner of his right of allocution.
“91. Petitioner's testimony in this proceeding
regarding his remorse for the murder was not credible.
“92. Taking part in allocution would have been
inconsistent with petitioner's strategy of not participating in the 1992
resentencing proceeding on ‘so-called’ jurisdictional grounds.
“93. Petitioner testified in this proceeding that he
and trial counsel agreed that he should not participate in the
resentencing, in order to avoid a possible waiver of a ‘jurisdictional’
argument. Participation in allocution would have been inconsistent
with that strategy.
“94. In the 1992 resentencing proceeding, petitioner
did not express anything to the trial court which could reasonably be
interpreted as a desire to allocute.
“95. Had petitioner been given a specific opportunity
to make an unsworn statement in allocution to the jury, it would not
have made any positive difference.”
On appeal, petitioner argues that counsel were
ineffective when they “failed to advise him of his right to make an
unsworn statement in allocution at his penalty phase retrial.”
According to petitioner, the right to allocute-that is, make an unsworn
statement to the sentencer, not subject to cross-examination-was well-established
in 1992. He asserts that, had he been advised of his right to make
such a statement, he would have told to the jury about the consecutive
sentences he received on his non-aggravated-murder crimes. He could
have explained that, in light of those other sentences, he would not be
eligible for parole until at least 12 1/2 years after the 30-year
minimum sentence he would serve on a life sentence. That is, he claims,
he could have reassured the jury that, even if they sentenced him to
life in prison, he would not be released for at least 42 1/2 years.
Petitioner also asserts that he could have made statements “accepting
responsibility and of contrition” that would have been “powerful
mitigation.” Petitioner argues that that alleged deficiency in
counsel's performance had a tendency to affect the result of the penalty-phase
retrial:
“The prejudicial effect of counsel's failure in this
case is underscored by numerous studies on juror attitudes in capital
cases, which show that remorse and the length of time a juror thinks
someone sentenced to life imprisonment actually will serve are
significant factors in jury decisions on whether to impose the death
penalty.”
The state responds that petitioner did not meet his
burden to prove that trial counsel did not, in fact, advise him of his
right of allocution. The state further asserts that the right of
allocution on which petitioner relies was not established in 1992:
“Petitioner's claim that he had a right to make an
unsworn statement to the jury is based on State v. Rogers, 330 Or 282,
300-01, 4 P3d 1261 (2000). Obviously, that case had not been decided
at the time of petitioner's 1992 penalty-phase retrial. * * * [T]he
evidence supports the implicit findings and the conclusion of the post-conviction
court that petitioner's trial counsel in 1992 had no reason to know of
the principles that would be announced in Rogers eight years later.
Petitioner did not prove, given the state of the law at the time, that
reasonable trial counsel would have advised him that he had a right to
allocute by making an unsworn statement to the jury.”
Finally, the state maintains, petitioner failed to
prove prejudice for two reasons. First, it asserts, “the evidence
before the post-conviction court showed that a statement from petitioner
in the form of allocution would have been cumulative and ineffectual.”
It notes that the jury heard a number of petitioner's statements of
remorse, for example, in his statements to Detective Goodale. Second,
the state asserts, “petitioner failed to prove prejudice because of his
lack of credibility.” It asserts that the post-conviction court found
that petitioner would not have allocuted, had he been advised of that
right. “And even if petitioner had made a statement in allocution to
the jury,” the state concludes, “the evidence presented to the post-conviction
court established that there were many reasons that the jury would not
have found his statements credible.”
Petitioner's argument on appeal rests
squarely on the factual premise that he was unaware of his right to
allocute and on the legal premise that competent counsel in 1992 would
have informed him of that right. The post-conviction court found that
petitioner did not “establish that trial counsel did not inform
petitioner of his right of allocution.” That finding is supported by
the record. Petitioner testified that counsel did not inform him of
the right to allocute, but the post-conviction court at least implicitly
found petitioner not to be credible on the allocution issue. The court
found that petitioner's presentation regarding the allocution issue “was
not consistent.” It noted that allocution would have been inconsistent
with petitioner's strategy not to participate in the penalty-phase in an
attempt to prevent the trial court from having “jurisdiction” over him.
The post-conviction court found, at least implicitly, that petitioner
was not credible.8
Moreover, the post-conviction court found that
Dickison's statement that she did not advise petitioner of his right to
allocute was “not credible.” Dickison's statements on the issue varied
among a 2001 interview, her 2003 deposition, and her 2004 testimony in
the post-conviction court. Among her other statements during her post-conviction
testimony, Dickison-when asked whether she had discussed allocution with
petitioner-agreed that she would have had every reason to. Dickison
also testified that, if she was aware of the right of allocution in
1992, “and if I wasn't distracted by the one million one hundred things
I was doing, I don't believe that there would have been any reason I
would not have told” petitioner about the right of allocution. That
testimony, and other portions of the post-conviction record, support the
trial court's foundational finding that Dickison was not credible in her
statement that she did not tell petitioner about the right of allocution
and the court's ultimate factual finding that he was so informed. This
court is bound by the post-conviction court's findings, which are
supported by evidence in the record. Petitioner failed to meet his
burden to show that counsel did not inform him of his right of
allocution.
In any event, we agree with the state that, given the
state of the law in 1992 governing the right of allocution, even if
counsel had failed to inform petitioner of the right, counsel would not
have failed to exercise reasonable professional skill and judgment. In
his petition for post-conviction relief, petitioner cited Rogers for the
proposition that he had a constitutional right to allocution. But Rogers
was decided in 2000, eight years after petitioner's 1992 penalty-phase
retrial. In 1992, no federal or state constitutional right to allocution
was clearly recognized. As the Supreme Court said in its 2000 Rogers
opinion, it was not even at that time clear whether the right to offer
sworn testimony subject to cross-examination satisfied the right of
allocution:
“This court has determined that ‘the right * * * to
be heard by himself’ in Article I, section 11, encompasses the right of
all criminal defendants to allocution, which ‘refers to a convicted
defendant's opportunity to speak before sentencing [.]’ DeAngelo[ v.
Schiedler], 306 Or [91,] 94, 93 n 1 [, 757 P.2d 1355 (1988) ].
According to the state, however, DeAngelo leaves open the question of
the form that allocution may take. The state is correct that DeAngelo
does not resolve that issue directly.”
Rogers, 330 Or at 296. The Rogers
court stated that it was addressing “for the first time the parameters
of allocution in the context of a capital sentencing proceeding, in
which both jury and court play a role.” Id. at 306. Moreover, as the
Rogers court pointed out, the United States Supreme Court had not, at
that time, “resolved definitively the questions of whether and to what
extent the right of allocution may have a basis in the United States
Constitution.” Id. at 303.
Whether a capital defendant had a right to make an
unsworn statement to the jury, not subject to cross-examination, was an
open question in 1992. Although petitioner introduced evidence in the
post-conviction court that some criminal defense lawyers were arguing
for such a right in 1992, the state introduced evidence that the state
had vigorously and successfully opposed that position. It follows that,
had counsel not told petitioner that he could allocute, that action
would not have shown a lack of professional skill and judgment. See
Wells v. Peterson, 315 Or 233, 236, 844 P.2d 192 (1992) (“Failure of
petitioner's criminal trial counsel to contend that ORS 161.620
prohibited the sentence here was not inadequate assistance of counsel,
because at the time of trial the meaning of the statute was not clearly
settled. Reasonable counsel could have disagreed about whether to make
that argument at the time that the original case was tried.”); Teague
v. Palmateer, 184 Or.App. 577, 592, 57 P3d 176, rev den, 335 Or 181
(2002) (“Because Apprendi's [[9
] rule was new, counsel exercising reasonable professional skill and
judgment could not anticipate that the law would develop as it did, and
reasonable counsel could have disagreed as to whether to raise the
argument that Apprendi eventually endorsed.”).
V. CONCLUSION
In conclusion, although petitioner demonstrated in
the post-conviction court other ways in which counsel could have handled
the 1992 penalty-phase retrial, he failed to prove that his counsel's
performance both was deficient and that it had a tendency to affect the
outcome of the proceeding. The post-conviction court did not err in
denying relief.
Affirmed.
FOOTNOTES
1. FN1. The
standards for determining the adequacy of counsel under the state
constitution are functionally equivalent to those for determining the
effectiveness of counsel under the federal constitution. Indeed, the
Supreme Court has suggested as much. See State v. Davis, 345 Or 551,
579, 201 P3d 185 (2008) (equating “effective” assistance with “adequate”
assistance).
2. FN2. Petitioner's
expert explained that a“mitigation specialist is a person with a
background in human services who conducts a thorough social history
investigation of a capital defendant's life. The social history is the
base upon which successful mitigation is built. Mitigating factors are
aspects of the defendant's background and character that can be
considered as a basis for reducing the defendant's moral culpability for
the homicide(s). These factors can provide an explanation for the crime
that has occurred.”
3. FN3. Although
petitioner sometimes refers to his counsel in the singular, we
understand his claims generally to apply to both Dickison and Lai; we
accordingly refer to counsel in the plural throughout this opinion.
4. FN4. Petitioner
argues that “[i]t is erroneous to excuse counsel's failure to obtain a
mitigation specialist, even when initially rebuffed by the court, in
order to meet her obligation to conduct a constitutionally adequate
mitigation investigation by saying, in effect: ‘well, she did ask
once!’ ” But, as the transcript of the 1992 penalty-phase retrial
demonstrates, counsel did not abandon their efforts after asking only
once.
5. FN5. Petitioner
interprets Walker's notes differently. He does not dispute, however,
that he never told Walker that he had been sexually abused.
6. FN6. In
the post-conviction court, petitioner submitted a supplemental affidavit
by Goldmann that appears to contradict much of what he said in the
affidavit submitted by the state. But the post-conviction court made
findings that align with what Goldmann said in his initial affidavit,
and those findings are supported by the record. Accordingly, we
disregard any discrepancies between the two affidavits.
7. FN7. As
noted, petitioner asserts that counsel should have objected to evidence
of the inmates' sentences, release dates, and escapes. On direct
review of the penalty-phase retrial, the Supreme Court held that
evidence of early release from prison was not relevant, so that the
trial court erred in admitting it. The court concluded, however, that
the error was harmless, as the jury heard-without objection-substantially
similar testimony from other inmates. The court also refused to
address petitioner's claim on direct review that the trial court had
erred in admitting evidence of escapes and attempted escapes, as counsel
had not objected and the claim was, therefore, unpreserved. Montez, 324
Or at 355-56. But a determination on direct review that a claim is not
preserved is a far cry from a determination in post-conviction that
counsel's choice not to object to certain evidence demonstrates
ineffective assistance. As noted, counsel reasonably chose not to
object to the evidence.
8. FN8. As
the state points out, the post-conviction court made an explicit finding
that petitioner was not credible in his statement that he would have
chosen to allocute, if he had known about it. That finding does not go,
however, to the factual issue whether counsel told petitioner of the
right.
9. FN9. Apprendi
v. New Jersey, 530 U.S. 466, 120 S Ct 2348, 147 L.Ed.2d 435 (2000).