BRENT RAY BREWER, PETITIONER v. NATHANIEL QUARTERMAN, DIRECTOR, TEXAS DEPARTMENT OF CRIMINAL JUSTICE, CORRECTIONAL INSTITUTIONS DIVISION
No. 05-11287
Supreme Court of the United States
Decided April 25, 2007
550 U.S. 286
Syllabus
NOTE: Whеre it is feasible, a syllabus (headnote) will be released, as is being done in connection with this case, at the time the opinion is issued. The syllabus constitutes no part of the opinion of the Court but has been prepared by the Reporter of Decisions for the convenience of the reader. See United States v. Detroit Timber & Lumber Co., 200 U. S. 321, 337.
SUPREME COURT OF THE UNITED STATES
Syllabus
BREWER v. QUARTERMAN, DIRECTOR, TEXAS DEPARTMENT OF CRIMINAL JUSTICE, CORRECTIONAL INSTITUTIONS DIVISION
CERTIORARI TO THE UNITED STATES COURT OF APPEALS FOR THE FIFTH CIRCUIT
No. 05-11287. Argued January 17, 2007—Decided April 25, 2007
Petitioner Brewer was convicted of murder committed during the course of a robbery. At sentencing, he introduced mitigating evidence of his mental illness, his father‘s extensive abuse of him and his mother, and his substance abuse. His counsel made the strategic decision not to present any expert psychological or psychiatric testimony. The trial judge rejected all of Brewer‘s proposed instructions designed to give effect to the mitigating evidence he presented, instructing the jury instead to answer only two special issues: whether his conduct was committed deliberately and with the reasonable expectation it would result in his victim‘s death and whether it was probаble he would commit future violent acts constituting a continuing threat to society. In closing argument, the prosecutor emphasized that Brewer‘s violent response to physical abuse by his father supported an affirmative answer to the “future dangerousness” special issue; he deemphasized any mitigating effect such evidence should have, stressing that the jurors lacked the power to exercise moral judgment and, in determining Brewer‘s sentence, must answer the questions according to the evidence. Ultimately, the jury answered both special issues in the affirmative, and Brewer was sentenced to death. The Texas Court of Criminal Appeals (CCA) affirmed on direct appeal and denied Brewer‘s application for state postconviction relief. He then filed a federal habeas petition. Following supplemental briefing concerning Tennard v. Dretke, 542 U. S. 274, the District Court granted conditional relief, but the Fifth Circuit reversed and rendered its own judgment denying the petition.
(a) Brewer‘s trial was infected with the same constitutional error that occurred in Penry I, where the Court held that jury instructions that merely articulated the Texas special issues, without directing the jury “to consider fully Penry‘s mitigating evidence as it bears on his personal culpability,” did not provide an adequate opportunity for the jury to decide whether that evidence might provide a legitimate basis for imposing a sentence other than death. 492 U. S., at 323. The Court characterized Penry‘s mental-retardation and childhood-abuse evidence as a “two-edged sword” that “diminish[ed] his blameworthiness for his crime even as it indicat[ed] a probability” of future dangerousness. Id., at 324. Brewer‘s mitigating evidencе similarly served as a “two-edged sword.” Even if his evidence was less compelling than Penry‘s, that does not justify the CCA‘s refusal to apply Penry I here. It is reasonably likely the jurors accepted the prosecutor‘s argument to limit their decision to whether Brewer had acted deliberately and was likely a future danger, disregarding any independent concern that his troubled background might make him undeserving of death. Also unpersuasive is the Fifth Circuit‘s explanation that Brewer‘s lack of expert evidence and that court‘s precedents holding that mental retardation, but not mental illness, can give rise to a Penry I violation prompted the Circuit‘s reversal of the grant of habeas relief. This Court has never suggested that the question whether the jury could have adequately considered mitigating evidence is a matter purely of quantity, degree, or immutability. Rather, the Court has focused on whether such evidence has mitigating relevance to the special issues and the extent to which it may diminish a defendant‘s moral culpability for the crimе. See id., at 322. Pp. 5-7.
(b) Under the narrowest possible reading of Penry I, Texas’ special issues do not provide for adequate jury consideration of mitigating evidence that functions as a “two-edged sword.” The Fifth Circuit‘s mischaracterization of the law as demanding only that such evidence be given “sufficient mitigating effect,” and improperly equating “sufficient effect” with “full effect,” is not consistent with the reasoning of Penry v. Johnson, 532 U. S. 782 (Penry II), which issued after Penry‘s resentencing (and before the Fifth Circuit‘s opinion in this case). Like the “constitutional relevance” standard rejected in Tennard, a
442 F. 3d 273, reversed.
STEVENS, J., delivered the opinion of the Court, in which KENNEDY, SOUTER, GINSBURG, and BREYER, JJ., joined. ROBERTS, C. J., filed a dissenting opinion, in which SCALIA, THOMAS, and ALITO, JJ., joined. SCALIA, J., filed a dissenting opinion, in which THOMAS, J., joined, and in which ALITO, J., joined as to Part I.
Opinion of the Court
NOTICE: This opinion is subject to formal revision before publication in the preliminary print of the United States Reports. Readers are requested to notify the Reporter of Decisions, Supreme Court of the United States, Washington, D. C. 20543, of any typographical or other formal errors, in order that corrections may be made before the preliminary print goes to press.
SUPREME COURT OF THE UNITED STATES
No. 05-11287
BRENT RAY BREWER, PETITIONER v. NATHANIEL QUARTERMAN, DIRECTOR, TEXAS DEPARTMENT OF CRIMINAL JUSTICE, CORRECTIONAL INSTITUTIONS DIVISION
ON WRIT OF CERTIORARI TO THE UNITED STATES COURT OF APPEALS FOR THE FIFTH CIRCUIT
[April 25, 2007]
JUSTICE STEVENS delivered the opinion of the Court.
This is a companion case to Abdul-Kabir v. Quarterman, ante, p. ___. Like the petitioner in that case, petitioner Brent Ray Brewer claims that the former Texas capital sentencing statute impermissibly prevented his sentencing jury from giving meaningful consideration to constitutionally relevant mitigating evidence.
In Penry v. Lynaugh, 492 U. S. 302 (1989) (Penry I), we held that jury instructions that merely articulated the Texas “special issues,” without directing the jury “to consider fully Penry‘s mitigating evidence as it bears on his personal culpability,” did not provide his sentencing jury with an adequate opportunity to decide whether that evidence might provide a legitimate basis for imposing a sentence other than death. Id., at 323. We characterized the evidence of Penry‘s mental retardation and history of childhood abuse as a “two-edged sword,” because “it may diminish his blameworthiness for his crime even as it indicates that there is a probability that he will be dangerous in the future.” Id., at 324.
I
In 1991, Brewer was convicted of murder committed during the course of a robbery. At sentencing, he introduced several different types of mitigating evidence, including
“that he had a bout with depression three months before the murder; that he was briefly hospitalized for that depression; that his co-defendant, a woman with whom he was apparently obsessed, dominated and manipulated him; that he had been abused by his father; that he had witnessed his father abuse his mother; and that he had abused drugs.” Brewer v. Dretke, 442 F. 3d 273, 275 (CA5 2006) (per curiam)
At the conclusion of the sentencing hearing, Brewer submitted several additional instructions designed to give effect to the mitigating evidence he did present. App. 81-87. The trial judge rejected all of his proposed instructions and instead instructed the jury to answer only two special issues:
“Do you find from the evidence beyond a reasonable doubt that the conduct of the defendant, BRENT RAY BREWER, that caused the death of the deceased, Robert Doyle Laminack, was committed deliberately and with the reasonable expectation that the death of the deceased would result?
“Do you find from the evidence beyond a reasonable doubt that there is a probability that the defendant, BRENT RAY BREWER, would commit criminal acts
of violence that would constitute a continuing threat to society?” 442 F. 3d, at 277.
In closing argument, the prosecutor emphasized that Brewer‘s violent response to his father‘s extensive physical abuse of both Brewer and his mother supported an affirmative answer to the “future dangerousness” special issue. In contrast, he deemphasized any mitigating effect that such evidence should have on the jury‘s determination of Brewer‘s fate:
“And, you know, folks, you can take a puppy, and you can beat that puppy and you can make him mean, but if that dog bites, he is going to bite the rest of his life, for whatever reason.
“Whatever got him to this point, he is what he is today. And that will never change. That will never change.
“All that‘s happened to this time or all those years cannot change the violence and the cold, cold-bloodedness that he‘s exhibited right here. Not one tear. Not one tear, because life means nothing to him. Zero.
“You go back, you look at the evidence and you decide, not because of a poor family and not because of the survivors, because of the evidence that you see that he has shown.” App. 118.
The prosecutor stressed that the jurors lacked the power to exercise moral judgment in determining Brewer‘s sentence, admonishing them that “[y]ou don‘t have the power to say whether [Brewer] lives or dies. You answer the questions according to the evidence, mu[ch] like you did at the guilt or innocence [sic]. That‘s all.” Id., at 114. Ultimately, the jury answered both special issues in the affirmative, and Brewer was sentenced to death.
Brewer‘s conviction and sentence were affirmed on
Brewer subsequently filed a federal habeas petition in the United States District Court for the Northern District of Texas. After requesting supplemental briefing concerning Tennard v. Dretke, 542 U. S. 274 (2004), the District Court granted conditional relief. Brewer v. Dretke, No. Civ.A.2:01-CV-0112-J (Aug. 2, 2004), App. 185-213. On March 1, 2006, the United States Court of Appeals for the Fifth Circuit reversed the judgment of the District Court and rendered its own judgment denying the petition. 442 F. 3d, at 282. We granted certiorari. 549 U. S. ___ (2006).
II
Like the petitioner in Abdul-Kabir, Brewer contends that the same constitutional error that infected Penry‘s sentencing hearing occurred in his trial. We agree. As did Penry‘s, Brewer‘s mitigating evidence served as a “two-edged sword” because it tended to confirm the State‘s evidencе of future dangerousness as well as lessen his
Also unpersuasive in distinguishing the instant case
III
Under the narrowest possible reading of our opinion in Penry I, the Texas special issues do not provide for adequate consideration of a defendant‘s mitigating evidence when that evidence functions as a “two-edged sword.” As
“The mitigating evidence presented may have served as a basis for mercy even if a jury decided that the murder was committed deliberately and that Petitioner posed a continuing threat. Without an instruction, much less a special issue on mitigation, this evidence was out of the jury‘s reach. Given the nature of the mitigating evidence before the jury and the lack of any instruction on mitigation, there is a reasonable likelihood that the jury applied its instructions in a way that prevented the consideration of the mitigating evidence. Reviewing the evidence in light of the special issues, a jury would be very hard pressed to see the evidencе presented as anything but aggravating. Failure to submit an instruction on mitigation evidence was an unreasonable application of federal law and Supreme Court precedent. Accordingly, habeas relief on this issue is conditionally granted.” No. Civ.A.2:01-CV-0112-J, at 9, App. 196.
In reversing the District Court‘s grant of habeas relief, and rejecting that court‘s conclusion that Brewer‘s mitigating evidence was effectively “out of the jury‘s reach,” the Court of Appeals mischaracterized the law as demanding only that such evidence be given “sufficient mitigating effect,” and improperly equated “sufficient effect” with “full effect.”7 This is not consistent with the reasoning of
For reasons not supported by our prior precedents, but instead dictated by what until quite recently has been the Fifth Circuit‘s difficult Penry jurisprudence, the Court of Appeals concluded thаt Brewer‘s evidence of mental illness and substance abuse could not constitute a Penry violation. It further concluded that “evidence of a troubled childhood may, as a result of its temporary character, fall sufficiently within the ambit of the special issues.” 442 F. 3d, at 280. For the reasons explained above, as well as in our opinion in Abdul-Kabir, these conclusions fail to heed the warnings that have repeatedly issued from this Court regarding the extent to which the jury must be allowed not only to consider such evidence, or to have such evidence before it, but to respond to it in a reasoned, moral manner and assign it weight in deciding whether a defendant truly deserves death. Id., at 7-9.
Accordingly, the judgment of the Court of Appeals is reversed.
It is so ordered.
ROBERTS, C. J., dissenting
SUPREME COURT OF THE UNITED STATES
Nos. 05-11284 and 05-11287
JALIL ABDUL-KABIR, FKA TED CALVIN COLE, PETITIONER
05-11284 v. NATHANIEL QUARTERMAN, DIRECTOR, TEXAS DEPARTMENT OF CRIMINAL JUSTICE, CORRECTIONAL INSTITUTIONS DIVISION
BRENT RAY BREWER, PETITIONER
05-11287 v. NATHANIEL QUARTERMAN, DIRECTOR, TEXAS DEPARTMENT OF CRIMINAL JUSTICE, CORRECTIONAL INSTITUTIONS DIVISION
ON WRITS OF CERTIORARI TO THE UNITED STATES COURT OF APPEALS FOR THE FIFTH CIRCUIT
[April 25, 2007]
CHIEF JUSTICE ROBERTS, with whom JUSTICE SCALIA, JUSTICE THOMAS, and JUSTICE ALITO join, dissenting.
A jury imposed a sentence of death in each of these cases, despite hearing mitigating evidence from the defendants about their troubled backgrounds. The convictions and sentences were upheld on direct review. On state collateral review, each defendant claimed that the jury instructions did not allow sufficient consideration of the mitigating evidence. This Court had considered similar challenges to the same instructions no fewer than five times in the years before the state habeas courts considered the challenges at issue here. See Jurek v. Texas, 428 U. S. 262 (1976); Franklin v. Lynaugh, 487 U. S. 164 (1988); Penry v. Lynaugh, 492 U. S. 302 (1989) (Penry I);
Under the Antiterrorism and Effective Death Penalty Act of 1996 (AEDPA), however, a state-court decision can be set aside on federal habeas review only if it is “contrary to, or involved an unreasonable application of, clearly established Federal law, as determined by the Supreme Court of the United States.”
I suppose the Court today is free to ignore the import of Graham and Johnson on the question of what Penry I means, but in 1999 or 2001, respectively—when petitioners were denied collateral relief—the state courts did not
We give ourselves far too much credit in claiming that our sharply divided, ebbing and flowing decisions in this area gave rise to “clearly established” federal law. If the law were indeed clearly established by our decisions “as of the time of the relevant state-court decision,” Williams v. Taylor, 529 U. S. 362, 412 (2000), it should not take the Court more than a dozen pages of close analysis of plurality, concurring, and even dissenting opinions to explain what that “clearly established” law was. Ante, at 10-24. When the state courts considered these cases, our precedents did not provide them with “clearly established” law, but instead a dog‘s breakfast of divided, conflicting, and ever-changing analyses. That is how the Justices on this Court viewed the matter, as they shifted from being in the majority, plurality, concurrence, or dissent from case to case, repeatedly lamenting the failure of their colleagues to follow a consistent path. Whatever the law may be today, the Court‘s ruling that ‘twas always so—and that state courts were “objectively unreasonable” not to know it, Williams, supra, at 409—is utterly revisionist.
I
In 1987, Jalil Abdul-Kabir—referred to by his given name, Ted Calvin Cole, throughout this opinion, ante, at 1, n. 1—was convicted of capital murder after he confessed to strangling 66-year-old Raymond Richardson with a dog leash to steal $20 from him. Among the 21 claims Cole raised on state collateral review was a challenge under Penry I, supra, to the application of Texas’ special issue jury instructions. In evaluating Cole‘s challenge, the state habeas trial court stated:
“The issue is whether the sentencing jury had been
unable to give effect to [Cole‘s] mitigating evidence within the confines of the statutory ‘special issues.’ While [Penry I] held that evidence of a defendant‘s mental retardation and abused childhood could not be given mitigating effect by a jury within the framework of the special issues, the cases that followed such as Graham v. Collins, [506 U. S. 461] (1993), Garcia v. State, 919 S. W. 2d 370 (1996), Mines v. State, 888 S. W. 2d 816 (1994), and Zimmerman v. State, 881 S. W. 2d 360 (1994) held that the mitigating evidence of alcoholism, drug abuse, bad family background, bipolar disorder, low I.Q., substance abuse, head injury, paranoid personality disorder and child abuse were sufficiently considered under the special issues. The issue of whether the mitigating evidence can be sufficiently considered must be determined on a case by case basis, depending on the nаture of the mitigating evidence offered and whether there exists other testimony in the record that would allow consideration to be given.” App. in No. 05-11284, pp. 159-160.
Applying that standard, the state court concluded that “[t]he evidence presented at the punishment stage of the trial, especially evidence from [Cole‘s] expert witnesses, provide[d] a basis for the jury to sufficiently consider the mitigating evidence.” Id., at 161. The Texas Court of Criminal Appeals adopted the trial court‘s findings without substantive comment, and denied Cole‘s application for habeas corpus relief on November 24, 1999. Id., at 178-179.
In finding that the state court‘s decision was objectively unreasonable, the Court begins by stating that the principle the state court violated was “firmly established,” based on “[a] careful review of our jurisprudence in this area.” Ante, at 10. The only thing clear about our jurisprudence on the pertinent question in 1999, however, is that it was
In Jurek, the Court upheld Texas’ use of the special issues as facially constitutional, with the contrоlling opinion noting that “the constitutionality of the Texas procedures turns on whether the enumerated questions allow consideration of particularized mitigating factors.” 428 U. S., at 272 (joint opinion of Stewart, Powell, and STEVENS, JJ.). In so doing, Jurek left open the possibility that some mitigating evidence might not be within the reach of the jury under the special issues; other types of mitigating evidence, of course, would be. Cf. id., at 272-273 (suggesting that the future dangerousness special issue allowed the jury to consider prior criminal conduct, age, duress, and whether the defendant was under extreme mental pressure).
The next occasion the Court had to consider mitigating evidence under the Texas special issues arose in Franklin, in which the Court concluded that the defendant‘s mitigating evidence of good behavior in prison was taken into account under the future dangerousness special issue. 487 U. S., at 178-179 (plurality opinion); id., at 186-187 (O‘Connor, J., concurring in judgment). A plurality of the Court also rejected the argument that a jury must be permitted to give “independent” effect to mitigating evidence beyond the special issues, concluding that “this submission is foreclosed by Jurek” and rejecting the dissent‘s argument to the contrary. Id., at 179-180, and n. 10; see also id., at 199-200 (STEVENS, J., dissenting).
The Court today places great weight on the opinion by Justice O‘Connor concurring in the judgment in Franklin, an opinion joined only by Justice Blackmun. Ante, at 15-18. That separate opinion expressed “doubts” about the plurality‘s view that mitigating evidence need not be given effect beyond the special issues, noting that if the petitioner in Franklin had introduced evidence not covered by the special issues, “we would have to decide whether the
Penry I decided the following Term, concluded that in that case the Texas instructions did not allow the jury to give mitigating effect to evidence of Penry‘s mental retardation and abusive childhood. 492 U. S., at 328, 315 (“Penry does not . . . dispute that some types of mitigating evidence сan be fully considered by the sentencer in the absence of special jury instructions. Instead, Penry argues that, on the facts of this case, the jury was unable to fully consider and give effect to the mitigating evidence . . . in answering the three special issues” (emphasis added; citations omitted)). In granting relief, the Court, quoting the Franklin concurrence, noted that Penry‘s evidence “had relevance to [his] moral culpability beyond the scope of the special verdict questions,” 492 U. S., at 322 (quoting 487 U. S., at 185 (O‘Connor, J., concurring in judgment); some alterations deleted), and that it was relevant to the special issues “only as an aggravating factor.” 492 U. S., at 323 (emphasis in original). According to the Court today, the views of the Franklin concurrence and dissent were thus elevated to the opinion of the Court in Penry I, again clearly establishing federal law. Ante, at 17-18, and n. 15. The four dissenters in Penry I complained that the Court‘s holding “flatly contradic[ted]” Jurek, and that in finding a constitutional violation, the Court was “throwing away Jurek in the process.” 492 U. S., at 355, 354 (SCALIA, J., concurring in part and dissenting in part).
A state court looking at our pertinent precedents on the Texas special issue instructions would next have to con-
In Graham, decided three years later, the Court sought to clarify the interplay between Jurek, Franklin, and Penry I:
“It seems to us, however, that reading Penry as petitioner urges—and thereby holding that a defendant is entitled to special instructions whenever he can offer mitigating evidence that has some arguable relevance beyond the special issues—would be to require in all cases that a fourth ‘special issue’ be put to the jury: ‘Does any mitigating evidence before you, whether or not relevant to the above [three] questions, lead you to believe that the death penalty should not be imposed?’ The Franklin plurality rejected precisely this contention, finding it irreconcilable with the Court‘s holding in Jurek, and we affirm that conclusion today.” 506 U. S., at 476-477 (citation omitted; second emphasis added).
Thus, in Graham the Court rejected the reading of Franklin and Penry I that the Court today endorses, reasoning
Although the Cоurt today tells us it was clear that the applicable federal law was established by the Franklin concurrence and dissent, and that Penry I had to be read in that light, ante, at 17-18, the Court majority in Graham specifically relied instead upon the Franklin plurality in rejecting the same broad reading of Penry I the Court resuscitates today, nunc pro tunc. Graham, supra, at 476-477. The dissenters in Graham—including every remaining Member of the Penry I majority—were adamant that Penry I should have been controlling in Graham. See, e.g., 506 U. S., at 507 (opinion of SOUTER, J., joined by Blackmun, STEVENS, and O‘CONNOR, JJ.) (“Our description of Penry‘s claim applies . . . almost precisely to Graham‘s claim“); id., at 508 (“[Graham‘s] position is identical to that of Penry“); id., at 512 (”Penry controls in this respect, and we should adhere to it“); id., at 520 (“[T]he case is controlled by Penry“). The issue is not whether the majority or the dissenters in Graham were right about how to read Penry I, but whether it was reasonable for a state court in 1999 to read it the way the majority in Graham plainly did.
Later the same Term, in Johnson, the Court reaffirmed the “limited view of Penry” it had adopted in Graham. 509 U. S., at 365. Once again the Court majority specifically relied on the Franklin plurality—not the concurrence and
In short, a state court reading our opinions would see an ongoing debate over the meaning and significance of Penry I. That state court would see four dissenters in Graham and Johnson—including every remaining Member of the Penry I majority—arguing that the Court was failing to follow or sharply limiting Penry I in those cases. On the flip side, the state court would see four dissenters in Penry I—every one later joining the majorities in Graham and Johnson—suggesting that the Penry I majority departed from Jurek. It is in that context that the Court today tells us that the state courts should have regarded Penry I as “clearly established Federal law, as determined by the Supreme Court of the United States.”
The Court asserts that Graham and Johnson did not “disturb the basic legal principle” at issue, ante, at 23, and that we cite no post-Penry I cases inconsistent with its reading of that case, ante, at 17, n. 14. I do not understand how the author of today‘s opinion can say that Graham did not disturb the principle of Penry I, however, when he joined a dissent in Graham stating that “[Graham‘s] position is identical to that of Penry” and that Graham‘s case “is controlled by Penry.” 506 U. S., at 508, 520 (opinion of SOUTER, J.) (emphasis added). That would
In fact, Penry I is not even consistent with the reading the Court ascribes to it—in that case the Court concluded that a jury could only view Penry‘s mitigating evidence as aggravating, and thus could not give the evidence any mitigating effect. 492 U. S., at 323 (Penry‘s evidence was “relevant only as an aggravating factor” (emphasis in original)); see also Graham, supra, at 473 (“Although Penry‘s evidence of mental impairment and childhood abuse indeed had relevance to the ‘future dangerousness’ inquiry, its relevance was aggravating only” (emphasis in original)). The Court concedes that Cole‘s evidence in the present case was not purely aggravating, see ante, at 24
As might be expected in light of the foregoing, judges called upon to apply these precedents were confused by the ambiguity of this Court‘s pronouncements. See, e.g., Mines v. Texas, 888 S. W. 2d 816, 820 (Tex. Crim. App. 1994) (Baird, J., concurring) (“The Supreme Court‘s holdings in Penry, Graham and Johnson do not provide an analytical framework to determine when our capital sentencing scheme fails to allow the jury to consider and give effect to mitigating evidence . . .“); see also Brewer v. Dretke, 442 F. 3d 273, 279, n. 16 (CA5 2006) (per curiam) (remarking, in applying Graham and Penry I, that “[t]here is no easy way to locate [the defendant] at either pole“). Commentators at the time likewise concluded that Graham and Johnson “put a cap on Penry‘s principles.” Denno, Testing Penry and Its Progeny, 22 Am. J. Crim. L. 1, 10 (1994) (“In Graham, the Court made clear that it did not interpret Penry ‘as effecting a sea change’ in its evaluation of the constitutionality of the former Texas death penalty statute . . .“). See also Twenty-Eighth Annual Review of Criminal Procedure, 87 Geo. L. J. 1756, 1770 (1999) (“The possible reach of Penry has been circumscribed by [Graham] and [Johnson]“).
It is a familiar adage that history is written by the victors, but it goes too far to claim that the meaning and scope of Penry I was “clearly established” in 1999, especially in the wake of Graham and Johnson. In applying
When the state court rejected Cole‘s claim, it knew that mitigating evidence of mental retardation and severe childhood abuse could not be given effect under the special issues, Penry I, 492 U. S., at 328, but that evidence of youth and a transient upbringing could be, Graham, 506 U. S., at 476; Johnson, 509 U. S., at 368. The court concluded that Cole‘s mitigating evidence—a troubled childhood and “impulse control” disorder—was more like that considered in Johnson and Graham than in Penry I. And because Cole‘s mitigating evidence was not as troubling as that at issue in Penry I, the state court did not act unreasonably in concluding that the collateral damage of his upbringing and impulse control disorder would, like youth in Johnson, dissipate over time, so that Cole would be less of a danger in the future. It is irrelevant that the ill effects of Cole‘s upbringing and impulse control disorder might not wear off for some time—there was no suggestion in Johnson that the petitioner in that case would become less dangerous any time soon.
In other words, our precedents—which confirmed that the permanence of a mitigating feature was highly relevant, and that the correct answer was a case-specific matter turning on the particular facts—did not provide a clear answer, because the particular evidence before the court fell somewhere between the guideposts established by those precedents. As we have recognized, “the range of reasonable judgment can depend in part on the nature of the relevant rule. . . . [Some] rules are more general, and their meaning must emerge in application over the course of time.” Yarborough v. Alvarado, 541 U. S. 652, 664 (2004). See also Brown v. Payton, 544 U. S. 133, 143 (2005) (reviewing state-court application of Supreme Court precedent “to similar but not identical facts” and
The state court‘s approach to the question was plainly correct; indeed, we engaged in a similar comparison in Graham itself in determining that the evidence presented in that case was cognizable under the special issues:
”Jurek is reasonably read as holding that the circumstance of youth is given constitutionally adequate consideration in deciding the special issues. We see no reason to regard the circumstances of Graham‘s family background and positive character traits in a different light. Graham‘s evidence of transient upbringing and otherwise nonviolent character more closely resembles Jurek‘s evidence of age, employment history, and familial ties than it does Penry‘s evidence of mental retardation and harsh physical abuse.” 506 U. S., at 476.
The state court thought that Cole‘s evidence “more closely resemble[d]” Johnson and Graham than Penry I. That cannot be said to be “contrary to, or an unreasonable application of, clearly established Federal law.”
The Court further holds that the jury instructions did not permit Cole‘s evidence to have “mitigating force beyond the scope of the special issues,” ante, at 21, as it now reads Penry I to require. At the time the state court ruled, however, Graham and Johnson, decided after Penry I, had expressly rejected the notion that a jury must be able to give effect to mitigating evidence in “every conceivable manner in which the evidence might be relevant,” so long as the jury could consider “in some manner all of a defendant‘s relevant mitigating evidence.” Johnson, supra, at
In reaching today‘s result, the Court also takes advantage of eight years of hindsight and relies on three cases that postdate the state court‘s ruling. Ante, at 28 (citing Penry v. Johnson, 532 U. S. 782 (2001) (Penry II), Tennard v. Dretke, 542 U. S. 274 (2004), and Smith v. Texas, 543 U. S. 37 (2004) (per curiam)). What is pertinent under
II
In 1991, petitioner Brent Ray Brewer was convicted of murder committed during the course of a robbery. Like Cole, Brewer claims that the Texas special issues prevented the jury from giving effect to mitigating evidence that he suffered from depression and had been abused as a teenager. The Texas courts rejected these claims on both direct and collateral review.
The Court rejects this distinction, noting that while Brewer‘s mitigating evidence may have been less compelling than Penry‘s, “that difference does not provide an acceptable justification for refusing to apply the reasoning in Penry I to this case.” Ante, at 6, and n. 5. This misses the point. The state court‘s distinction goes not to the relative strength of the mitigating evidence, but rather its character—an episodic rather than permanent mental disorder. As discussed in the context of Cole, see supra, at 12, the distinction was not a “refus[al] to apply the reasoning in Penry I,” ante, at 6, but rather an application of Penry I that сan hardly be said to be “objectively unreasonable” based on this Court‘s decisions as of 2001. Indeed, in considering future dangerousness, it is difficult to imagine a more pertinent distinction than whether a mental condition is or is not permanent.
The Court concedes that “[t]he transient quality of [Brewer‘s] mitigating evidence may make it more likely to fall in part within the ambit of the special issues,” and yet still finds the state court‘s decision unreasonable because the evidence may have had relevance beyond the special
III
In
Still, perhaps there is no reason to be unduly glum. After all, today the author of a dissent issued in 1988 writes two majority opinions concluding that the views expressed in that dissent actually represented “clearly established” federal law at that time. So there is hope yet for the views expressed in this dissent, not simply down the road, but tunc pro nunc. Encouraged by the majority‘s determination that the futurе can change the past, I respectfully dissent.
I remain of the view “that limiting a jury‘s discretion to consider all mitigating evidence does not violate the Eighth Amendment.” Ayers v. Belmontes, 549 U. S. 7, ___ (2006) (slip op., at 1) (SCALIA, J., concurring) (citing Walton v. Arizona, 497 U. S. 639, 673 (1990) (SCALIA, J., concurring in part and concurring in judgment)).
I
But even under this Court‘s precedents to the contrary, the state-court decisions in these two cases were hardly objectively unreasonable under the Antiterrorism and Effective Death Penalty Act of 1996, as THE CHIEF JUSTICE‘s dissenting opinion demonstrates. That is all
The dissenters in Johnson very much disagreed with that analysis. They read Penry I for the more expansive proposition that “the Texas special issues violated the Eighth Amendment to the extent they prevented the jury from giving full consideration and effect to a defendant‘s relevant mitigating evidence.” 509 U. S., at 385 (opinion of O‘Connor, J.) (citing Penry I, supra; emphasis added and deleted). “[H]aving some relevance to [a special] issue,” the dissent said, “was not sufficient.” 509 U. S., at 385. And because youth (the mitigating feature in Johnson) had obvious relevance beyond the special issues, an additional instruction was needed. Id., at 375. The differences between the Johnson majority and dissenters could not have been more pronounced.
Today the Court overrules Johnson sub silentio, and reinstates the “full effect” interpretation of Penry I. For as THE CHIEF JUSTICE explains, ante, at 12, 15 (dissenting opinion), it was not objectively unreasonable for the state courts to conclude that the ill effects of petitioners’ mental illnesses and difficult childhoods would wear off in due time, allowing the jury to give that mitigating evidence some effect through the future dangerousness instruction—just as could be done for the mitigating factor of youth in Johnson. The Court nonetheless reverses these sentences because the juries were unablе to give effect to “any independent concern” (independent, that is, of the Texas special issues) that the defendants “may not be deserving of a death sentence,” Brewer, ante, at 6, or to consider the evidence‘s “relevance to the defendant‘s moral culpability beyond the scope of the special verdict questions,” id., at 7 (internal quotation marks omitted). The Court does not acknowledge that it is overruling Johnson, but makes the Court of Appeals the scapegoat for its change of heart.
The Fifth Circuit in both of these cases relied heavily on Johnson when denying relief. See Cole v. Dretke, 418 F. 3d 494, 505 (2005); Brewer v. Dretke, 442 F. 3d 273, 278, 281 (2006) (relying on Cole). How does the Court manage to distinguish it? The Court tries two main lines of argument. First, the Court explains:
“A critical assumption motivating the Court‘s decision in Johnson was that juries would in fact be able to give mitigating effect to the evidence, albeit within the confines of the special issues. . . . Prosecutors in
some subsequent cases, however, have undermined this assumption, taking pains to convince jurors that the law compels them to disregard the force of evidence offered in mitigation.” Abdul-Kabir, ante, at 26.
Because Johnson‘s “critical assumption” has now been “undermined,” the Court says, Johnson cannot be said to “foreclos[e] relief in these circumstances.” Abdul-Kabir, ante, at 26.
This attempt to “distinguish” Johnson wilts under even the mildest scrutiny. Since when does this Court craft constitutional rules that depend on the beneficence of the prosecutor? (Never mind that this “critical assumption” of Johnson was not so critical as to be mentioned in the case.) And more importantly, how can prosecutorial style have any bearing on whether the Eighth Amendment requires a jury to be able to give “some effect,” as opposed to “full effect,” to a defendant‘s mitigating evidence? It is of course true that a prosecutor‘s arguments may be relevant evidence in the final analysis of whether a capital trial has met the “some effect” test. But it has absolutely no relevance to which test is selected in the first place.*
Second, the Court explains that the consideration of the defendant‘s mitigating evidence of youth in Johnson could easily have directed jurors towards a ‘no’ answer with regard to the question of future dangerousness,” whereas a juror considering petitionеrs’ mitigating evidence “could feel compelled to provide a ‘yes’ answer to the same question.” Abdul-Kabir, ante, at 27. But it is quite apparent that jurors considering youth in Johnson could also have
As the Court‘s opinion effectively admits, nothing of a legal nature has changed since Johnson. What has changed are the moral sensibilities of the majority of the Court. For those in Texas who have already received the ultimate punishment, this judicial moral awakening comes too late. Johnson was the law, until today. And in the almost 15 years in-between, the Court today tells us, state and lower federal cоurts in countless appeals, and this Court in numerous denials of petitions for writ of certiorari, have erroneously relied on Johnson to allow the condemned to be taken to the death chamber. See, e.g., Robison v. Johnson, 151 F. 3d 256, 269 (CA5 1998) (denying petition for rehearing), cert. denied, 526 U. S. 1100 (1999) (petitioner executed Jan. 21, 2000); Motley v. Collins, 18 F. 3d 1223, 1233-1235 (CA5), cert. denied sub nom. Motley v. Scott, 513 U. S. 960 (1994) (petitioner executed Feb. 7, 1995).
II
The individuals duly tried and executed between Johnson and today‘s decisions were not, in my view (my view at the time of Johnson, and my view now), entitled to federal judicial invalidation of their state-imposed sentences. That is because in my view the meaning of the Eighth Amendment is to be determined not by the moral perceptions of the Justices du jour, but by the understanding of
Notes
“(1) Appellant was not mentally retarded, but was involuntarily committed on January 1, 1990, for ‘major depression, single episode, without psychotic features, polysubstance abuse.’ The examining physician based his opinion on a suicide note appellant wrote to his mother. On January 25, appellant signed a request for voluntary admission to Big Springs State Hospital for fourteen days.
“(2) Appellant came from an abused background where he was ignored by both his father and step-father. He did not have a relationship or live with his real father until he was fifteen years old. Apрellant‘s father hit him on several occasions, once with the butt of a pistol and once with a flashlight. Appellant‘s father frequently beat his mother. Appellant‘s father had once told him, ‘If you ever draw your hand back, you‘d better kill me because I‘ll kill you.’
“(3) Appellant had smoked marijuana when he was a teenager.” Brewer v. State, No. 71,307 (June 22, 1994), p. 15, App. 140 (footnotes omitted).
In evaluating the state court‘s analysis, the Court criticizes its reliance on Graham because Graham primarily addressed retroactivity under Teague v. Lane, 489 U. S. 288 (1989). Ante, at 23. But in considering whether the rule requested was dictated by precedent, Graham of course had to evaluate the scope of that precedent—including Penry I—and did so extensively. See 506 U. S., at 467-477. Moreover, as explained below, the Court in Johnson v. Texas, 509 U. S. 350, 370-372 (1993), adopted the same reading of Penry I adopted in Graham, without considering the issue under Teague.