Lead Opinion
Opinion by Judge TASHIMA; Concurrence by Judge THOMPSON; Concurrence by Judge SILVERMAN; Dissent by Judge HALL.
This case comes to us in an unusual procedural posture, complicated by an atypical history. Real party in interest Horace Edwards Kelly (Kelly) was sentenced to death in two separate cases by the California state courts. See People v. Kelly, 51 Cal.3d 931,
The history of this case, combined with its procedural posture, require us to address several issues of concern in habeas corpus law. First, we must clarify whether a writ of mandamus can properly be issued to prevent the consideration of a first habeas petition. Second, we address the holding in Kelly IV, that res judicata applies in the habeas context. Third, we discuss what kinds of legal proceedings qualify as a “case” for purposes of the Supreme Court’s holding that the An-titerrorism and Effective Death Penalty Act of 1996 (“AEDPA”), Pub.L. No. 104-132, 1996 U.S.C.C.A.N. (110 Stat.) 1214, does not apply to “eases pending” at the time of the statute’s enactment. See Lindh v. Murphy,
I. History of the Case
The opinions in Kelly I, Kelly II, Kelly III and Kelly IV fully explain the history of this ease, and we summarize it here only briefly. Kelly was convicted and sentenced to death in Riverside County, California, for the murder of Danny O. Kelly I, 51 Cal.3d at 940,
Following the state court affirmances of his convictions and death sentences, Kelly
From 1992 to 1997, Kelly’s proceedings remained in the district court. During this period, Kelly did not file a petition for habeas corpus. On September 18, 1997, a three-judge panel of this court granted the State’s first petition for a writ of mandamus and ordered the dismissal of Kelly’s proceedings. See Kelly III,
The state courts then set new execution dates for Kelly and the State petitioned the state trial court to determine Kelly’s present competence to be executed. A divided jury found that Kelly was sane. Kelly then filed two federal habeas petitions which are the subject of this mandamus petition. These petitions raised the Ford claim and also raised numerous challenges to Kelly’s Riverside and San Bernardino convictions and death sentences. The district court held that the one-year limitations period of the AED-PA was tolled; consequently, that none of Kelly’s claims was time-barred. This order prompted the State to file a second petition for a writ of mandamus. The same three-judge panel that heard Kelly III again granted the writ. See Kelly IV,
We then granted en banc review of Kelly TV.
II. The Writ of Mandamus
The role of the court of appeals in this ease is strongly constrained by the fact that we are considering a petition for a writ of mandamus and not reviewing a final judgment. Normally, in an appeal, we receive a case after the district court has resolved every claim presented, after the parties have had the opportunity to raise every argument they choose, and after the facts have been fully developed. A petition for mandamus, however, is an original proceeding and, thus, is different from the normal appellate process in all of those respects. These differences
Because of the difficult position in which a mandamus petition places the court of appeals, we have repeatedly characterized mandamus as an “extraordinary” or “drastic” remedy. E.g., Calderon v. United States Dist. Court (Gordon),
(1) The party seeking the writ has no other adequate means, such as a direct appeal, to attain the relief he or she desires.
(2) The petitioner will be damaged or prejudiced in a way that is not correctable on appeal____
(3) The district court’s order is clearly erroneous as a matter of law.
(4) The district court’s order is an oft-repeated error, or manifests a persistent disregard of the federal rules.
(5) The district court’s order raises new and important problems, or issues of law of first impression.
Id. at 654-55 (citations omitted).
We have repeatedly employed the five Bauman factors in mandamus cases, e.g., Taiwan v. United States Dist. Court,
Here, we face a petition for mandamus that asks us to order the dismissal of Kelly’s first habeas petitions, including almost all the constitutional claims therein, before the district court can consider any of those claims on the merits. As explained below, we find that all five factors counsel against the issuance of mandamus; accordingly, we deny the petition.
A. Factors One and Two: Other adequate means for relief and non-correctable prejudice.
Because these factors are similar, we consider them together. When we say that a litigant has no adequate means for relief other than mandamus, or that he or she will be prejudiced in a way not correctable on appeal, we do not mean that the litigant has been forced by an erroneous ruling of the district court to suffer unnecessary cost and delay. Mortgages, Inc. v. United States Dist. Court,
Thus, in order to satisfy either of the first two factors, a litigant must demonstrate some burden imposed by a clearly erroneous district court order, other than the mere cost and delay that are the regrettable, yet normal, features of our imperfect legal system. For example, these factors could be satisfied if the litigant’s claim will obviously be moot by the time an appeal is possible, e.g., Medhekar v. United States Dist. Court,
We see no reason why a first habeas petition in a death penalty case should be a unique exception to our general unwillingness to grant mandamus merely to avoid the normal cost and delay associated with litigation. Now that Congress has enacted a statute of limitations for the filing of habeas petitions, see 28 U.S.C. § 2244(d)(1), and given our holding that this limitations period can be equitably tolled in the proper circumstances, see Calderon v. United States Dist. Court (Beeler),
We acknowledge that the prejudice to the State stemming from a delayed execution is different in character from the prejudice to a litigant in, for example, a trademark, a product liability or an air crash case, who is erroneously forced to endure a trial when he or she should have prevailed on summary judgment. On the other hand, however, the interest of the capital habeas petitioner in having his first habeas petition heard completely and fully is also different in kind. Given the near-prohibition against the filing of successive petitions now mandated by the AEDPA, see 28 U.S.C. § 2244(b), and the irreversible consequences that flow from the rejection of a capital habeas petitioner’s first petition, we are constrained to assign less importance to the State’s interests in Bau-man factors one and two when we deal with a first petition from a sentence of death. McDaniel,
Thus, we find that the first two Bauman factors weigh against the State. Kelly has never had a federal court rule on his constitutional claims stemming from his convictions and death sentences. It would be inappropriate for us to prevent that consideration merely to accommodate the State’s desire for a quick execution.
Indeed, mandamus would be particularly inappropriate in this case because a stay of execution is inevitable. Kelly’s claim of present incompetence to be executed became ripe and exhausted only in 1998. Under Stewart v. Martinez-Villareal, — U.S. -,
B. Factors Four and Five: Oft-repeated error and new questions of law.
The fourth and fifth Bauman factors are the opposite sides of the same coin, Admiral Ins.,
The fourth factor is not present either, despite the disagreement between the district court and the three-judge panel about how broadly to read the panel’s opinion in Kelly III. The district court apparently took Kelly III to foreclose only those grounds for tolling actually discussed in Kelly III, while the panel majority gave Kelly III a much broader reading. See Kelly IV,
C. Factor Three: Clear error as a matter of law.
We have reserved this Bauman factor for last because it is the most complex. A majority of the three-judge panel found clear error because, in its view, Kelly III flatly precluded reconsideration of the AEDPA’s time bar and the question of equitable tolling. See Kelly IV,
While we disagree with the panel majority that Kelly III has this preclusive effect, we do note that Kelly IV looks a lot like Kelly III: It has the same parties; the same facts; several of the same issues; and, until we granted rehearing en banc, the same judges. These similarities between Kelly III and Kelly IV suggest the possible applicability of one or more of an array of legal doctrines that are designed to prevent endless litigation of the same claims — specifically, law of the
1. Law of the Case
Kelly suggests that law of the case is the appropriate framework to decide whether Kelly III precludes the reconsideration of equitable tolling in Kelly IV. He argues that Kelly III lacks this preclusive effect because in Kelly IV he has raised new grounds for equitable tolling, grounds that were not raised or considered in Kelly III. Kelly then cites the familiar rule that law of the case prevents reconsideration only of those issues expressly resolved, or necessarily resolved by implication, in the prior decision. See Milgard Tempering, Inc. v. Selas Corp.,
We can dispense with law of the case as an impediment to considering the timeliness of Kelly’s first petitions for one simple reason. Law of the case never prevents an en banc court from disagreeing with the pri- or decisions of a three-judge panel. Jeffries,
2. Res Judicata
The three-judge panel in this case relied on res judicata to bar reconsideration of the effect of the AEDPA’s statute of limitations. See Kelly IV,
We reject the panel majority’s use of res judicata because it contravenes the longstanding rule that res judicata has no application in habeas corpus. The entire point of a habeas petition that challenges a state conviction is to relitigate issues that were raised in the state case and resolved against the petitioner. Wainwright v. Sykes,
The Supreme Court has confirmed that even a first habeas petition is not res judicata to subsequent petitions. McCleskey v. Zant,
If we characterize Kelly III as a habeas proceeding, then McCleskey squarely forecloses any possibility that res judicata could apply to this case. The panel majority, however, preferred to characterize Kelly III
We also reject the State’s argument that the traditional rule against applying res judi-cata in habeas cases has somehow been abrogated by the AEDPA. The State seizes on a part of one sentence in Felker v. Turpin,
Indeed, even after the AEDPA, it is still true that federal habeas relief exists in order to relitigate claims that were previously decided in state court, so it is quite fanciful to suggest that the AEDPA sub silentio introduced res judicata into habeas law. Further, the AEDPA includes specific provisions to govern successive habeas petitions, see 28 U.S.C. § 2244(b), and res judicata would render those provisions largely superfluous. We conclude that even after the AEDPA, the rule is as it has always been: Res judicata does not apply to habeas cases.
3. Abuse of the Writ
Having rejected law of the case and res judicata, we turn to the last doctrine that might have prevented the district court from reconsidering Kelly III’s holding that Kelly is time-barred from challenging his state convictions and death sentences in federal court: Abuse of the writ. Generally, this doctrine forbids the reconsideration of claims that were or could have been raised in a prior habeas petition. McCleskey,
Kelly’s present habeas petitions are not, and cannot be, an abuse of the writ because they are the first federal petitions he has ever filed. Boyer,
4. Timeliness
Having concluded that Kelly III does not preclude reconsideration of the application of the AEDPA’s one-year statute of limitations, we now turn to that issue. The AEDPA does not apply to “eases pending” at the time of the statute’s enactment. Lindh,
Beeler acknowledged some tension between its holding and the Supreme Court’s decision in McFarland v. Scott,
It was Beeler that initiated Kelly III and Kelly IV’s struggle with equitable tolling. Given Beeler, it was clear that Kelly’s case was not pending when the AEDPA was enacted; therefore, the one-year statute of limitations applied to this case. Kelly III correctly noted that in light of Beeler, Kelly’s hopes for federal habeas relief depended on equitable tolling, at least for his non -Ford claims. See Kelly III,
Recently, however, the Supreme Court decided Hohn v. United States, — U.S.-,
There can be little doubt that Hohn’s application for a certificate of appealability constitutes a case under § 1254(1). As we have noted, “[t]he words ‘case’ and ‘cause’ are constantly used as synonyms in statutes ..., each meaning a proceeding in court, a suit, or action.” Blyew v. United States,80 U.S. 581 ,13 Wall. 581 , 595,20 L.Ed. 638 (1871). The dispute over Hohn’s entitlement to a certificate falls within this definition. It is a proceeding seeking relief for an immediate and re-dressable injury, i.e., wrongful detention in violation of the Constitution. There is adversity as well as the other requisite qualities of a “case” as the term is used in both Article III of the Constitution and the statute here under consideration.
Id. at 1972. Of particular relevance to Beeler ’s holding that a petition for the appointment of counsel and a motion for a stay of execution do not start a habeas case is the following passage from Hohn:
We further disagree with the contention ... that a request to proceed before a court of appeals should be regarded as a threshold inquiry separate from the merits which, if denied, prevents the case from ever being in the court of appeals. Precedent forecloses this argument. In Ex Parte Quirin,317 U.S. 1 (1942), we confronted the analogous question whether a request for leave to file a petition for a writ of habeas corpus was a case in a district court.... We held the request for leave constituted a case in the district court over which the court of appeals could assert jurisdiction, even though the district court had denied the request. We reasoned, “[presentation of the petition for*540 judicial action is the institution of a suit. Hence the denial by the district court of leave to file the petitions in these causes was the judicial determination of a case or controversy....”
Id. at 1974-75.
In the wake of Hohn, we must overrule Beeler and Kelly III’s holding that a habeas corpus “case” is not pending until the habeas petition itself has been filed. Hohn’s holding, as well as its reliance on Ex Parte Quirin that a threshold request for leave to file a petition for habeas corpus commences the habeas “case,” is simply irreconcilable with Beeler and Kelly III. Like a request for leave to file a habeas petition, a petition for the appointment of counsel to prepare and file a petition for a writ of habeas corpus, accompanied by a motion for a stay of execution under McFarland, is a threshold action that presents a “case” to the district court. By analogy to Hohn, it follows that a petition for appointment of counsel under McFarland creates a pending habeas case.
Given this reading of Hohn and our partial overruling of Beeler and our overruling of Kelly III, it is clear that the AEDPA, including its statute of limitations, does not apply to the district court proceedings that Kelly filed in 1992 and 1993, i.e., cases No. CV 92-5420 TJH and No. CV 93-2951 TJH. Those cases were dismissed by the district court under the compulsion of the writ of mandamus issued in Kelly III, which we have now overruled. Thus, in retrospect, the district court’s decision to consider Kelly’s habeas petitions on the merits is not clear error.
Under the circumstances of this case, one remedy available to Kelly is to move in the district court to set aside those dismissals under Fed.R.Civ.P. 60(b)(6),
5. Tolling
In the alternative, we hold that it was not clear error as a matter of law for the district court to hold that Kelly’s habeas petitions, filed in 1998, were not barred by the AEDPA’s one-year statute of limitations. Indeed, the district court’s finding that the statute óf limitations should be equitably tolled under Beeler was clearly correct.
In Beeler, we held that the time bar of 28 U.S.C. § 2244(d)(1) can be tolled “if ‘extraordinary circumstances’ beyond a prisoner’s control make it impossible to file a petition on time.”
In its order of June 3, 1998, the district court “Ordered that the motions for equitable tolling be, and hereby is, Granted based on prior counsels’ reliance on this Court’s order staying all proceedings other than the issue of Petitioner’s sanity.” There are several reasons why this order is clearly correct, rather than clearly erroneous.
First, on January 9, 1995, as part of its order that Kelly be mentally evaluated, the district court ordered “that all other aspects of this case be, and hereby are, Stayed pending final determination by this Court of the Petitioner’s mental capacity to proceed.” The only reasonable reading of this order was that it prohibited Kelly’s attorneys from filing a habeas petition, which is how the district court itself construed it. Explaining its decision to grant equitable tolling in Kelly IV, the district court noted: “[T]his court indeed ordered a stay of all the proceedings other than the issue of the petitioner’s sani-ty____ Reasonably, it could not be expected that counsel would go forward [with filing the habeas petitions].” See also Kelly III,
Second, Kelly’s alleged mental incompetency also justifies equitable tolling, at least until a reasonable period of time has elapsed after the district court makes a competency determination. The record discloses that Kelly has been having serious mental problems for many years. See id., at 788 & n. 1. In fact, the State agreed that a hearing was necessary to determine his present competency. See id. at 788-89.
Third, Kelly had timely, i.e., not subject to the AEDPA’s statute of limitations, habeas
For all of these reasons, the district court correctly held that Kelly’s 1998 habeas petitions, i.e., those filed in cases No. CV 98-2722 TJH and No. CV 98-2723 TJH, were entitled to the benefit of the equitable tolling of the statute of limitations. Cf. Herring v. FDIC,
In sum, the State has not demonstrated that the challenged orders of the district court are clearly erroneous as a matter of law.
III. Conclusion
We hold that Kelly’s original habeas proceedings, filed in 1992 and 1993, were pending at the time the AEDPA was enacted. Therefore, the AEDPA, including § 2244(d)(l)’s statute of limitations, does not apply to Kelly’s original federal habeas proceedings. In the alternative, we also hold that Kelly’s 1998 habeas petitions are not barred by the AEDPA’s statute of limitations because the district court correctly ruled that these petitions were entitled to the benefit of the equitable tolling of the statute of limitations. The State has failed to demonstrate that any of the five Bauman factors that are needed to support issuance of the writ of mandamus exists in this case. Accordingly,
The State’s petition for a writ of mandamus is DENIED.
Notes
. No hearing on the merits has yet been held.
. Kelly TV has been withdrawn. Calderon v. United States Dist. Court, No. 98-70569,
. This was in accordance with customary practice and Local Rules 26.8.7(b) and (c) of the Central District of California. See Brown v. Vasquez, 952 F.2d 1164, 1165 (9th Cir.1991).
. At issue in this case is the district court’s denial of the State's Rule 12(b)(6) motion to dismiss on statute of limitations grounds. There is no reason why this motion to dismiss should be treated differently, i.e., reviewed by mandamus rather than on appeal from a final judgment, than the dozens of 12(b)(6) rulings that district courts in this circuit make every day.
. In order to decide whether “clear error as a matter of law” exists, we must first examine what the law is, before deciding whether the district court clearly departed from it. See, e.g., Beeler,
. In fact, under the “exhaustion" requirement, a habeas petitioner must "afford the State a full and fair opportunity to address and resolve the claim on the merits.” Keeney v. Tamayo-Reyes,
.The dissent attempts to distinguish Hohn on the ground that, because the appointment of counsel is "mandatory” and "a stay of execution will usually be granted,” the “adversity” required by Hohn is missing. The attempt is misguided. First, the State could challenge whether the putative petitioner is "financially unable to obtain adequate representation,” as required by 21 U.S.C. § 848(q)(4)(B) to be eligible for the appointment of counsel, an issue which would require adjudication. Second, the grant or denial of a stay of execution under 28 U.S.C. § 2251 is addressed to the discretion of the district court, again, requiring judicial resolution of the issue. While it may be correct that a stay of execution will usually be granted, it is not a ministerial or mandatory act. See McFarland,
. Ironically, in its order that was the subject of Kelly III, the district court originally (and, in hindsight, correctly) held that the AEDPA did not apply to Kelly's petitions. See Kelly III,
. The rule provides:
On motion and upon such terms as are just, the court may relieve a party or a party’s legal representative from a final judgment ... for the following reasons: ... (6) any other reason justifying relief from the operation of the judgment.
Fed.RXiv.P. 60(b)(6).
. Since the dismissals were "based” on Kelly III, which has now been overruled, these circumstances also provide sufficient grounds under Fed.R.Civ.P. 60(b)(5) (which applies when a "a prior judgment upon which it [the dismissal] is based has been reversed or otherwise vacated”) to set aside those dismissals. See Tomlin v. McDaniel,
. Because of the writ of mandamus issued in Kelly III, the scheduled hearing on mental competency never took place.
Concurrence Opinion
with whom KOZINSKI, Circuit Judge, joins, Specially Concurring.
I agree with the majority that the AED-PA’s statute of limitations never should have been applied to Kelly because, under the analysis of Hohn v. United States, —- U.S. -,
However, I write separately to express my disagreement with the majority’s unnecessary and wholesale rejection of res judicata in the habeas context. Both Congress and the Supreme Court have made it clear that in the absence of unusual circumstances, habeas petitioners cannot continue to litigate issues that have been or could have been litigated already in habeas proceedings. When Congress amended § 2244 of the habeas corpus statute in 1966, it specifically stated that “the purpose of these new subsections is to add to section 2244 of title 28, United States Code, provisions for a qualified application of the doctrine of res judicata.” S.Rep. No. 89-1797, at 2 (1966) (emphasis added). The Supreme Court has agreed. See Calderon v. Thompson,
By definition, a petition for writ of habeas corpus is a collateral attack on a final judgment. It is in that sense that res judicata does not apply to habeas corpus proceedings. That is a far cry from a rule of res judicata that prevents a habeas petitioner who has already litigated X in habeas proceeding from relitigating X in new habeas proceedings without good excuse. This case illustrates the problem. In 1992, Kelly started his first habeas proceeding by requesting the appointment of counsel. In 1997, after the AEDPA statute of limitations had run, the state moved to dismiss the proceedings on the grounds that no petition for writ of habe-as corpus had ever been filed and that the time to file had run out. Kelly responded to the motion to dismiss with two arguments: First, that the AEDPA’s statute of limitations did not apply to him; and second, that even if it did, the statute of limitations was equitably tolled by his incompetency. At no time did Kelly also claim equitable tolling based on his reliance on Judge Hatter’s order. In fact, when this case was argued to the Kelly III panel, this revealing colloquy occurred:
Judge Tashima: Suppose, suppose, we don’t agree that this is a pending case. In other words, that the AEDPA does apply to this case. Your position then is what?
Mr. Neuhoff,
Kelly’s counsel: Well, at that point, this Court is entitled to ... if there is any ground appearing in the record from which the district court’s decision and its exercise of discretion can be upheld then the court can deny the writ [of mandamus sought by the state] on that basis and another ground here is equitable tolling.
Judge Tashima: What appears in the record to support that?
Mr. Neuhoff: What appears in the record is that the district court has before it prima facie evidence, at least, that Mr. Kelly is: (a) incompetent to proceed and assist counsel in his habeas proceedings and (b) is incompetent to be executed.
* * *1
Conspicuously absent was anything from Kelly’s counsel along the lines of “... and (c) Kelly or his lawyers relied in good faith on Judge Hatter’s order.” Judge Hatter’s order, which looms so large now, wasn’t even mentioned.
The upshot of that oral argument was the decision in Kelly III holding that Kelly’s incompetency did not constitute grounds for equitable tolling. After Kelly III was decided, the state again moved the district court to dismiss Kelly’s habeas proceedings as time-barred. This time, for the first time, Kelly raised Judge Hatter’s order as a basis for equitable tolling.
One can only wonder how many additional theories of equitable tolling Kelly had in reserve. One must also wonder how this court could possibly permit him to litigate one of his grounds for equitable tolling and then, after he loses, to raise additional grounds for equitable tolling of which he was previously aware. The record in this case is devoid of any explanation of why Kelly’s counsel did not raise the currently proffered ground for equitable tolling earlier, either in response to the state’s motion to dismiss in the district court or in connection with the petition for writ of mandamus in this court in Kelly III. As a result, in my view, he is barred from belatedly raising it now unless his default is excused by a showing of cause and prejudice or manifest injustice.
The problem raised by the Supreme Court’s decision in Hohn is a different matter. “[A] court should not reopen issues decided in earlier stages of the same litigation. The doctrine does not apply if the court is convinced that [its prior decision] is clearly erroneous and would work a manifest injustice.” Agostini v. Felton,
. Transcript of argument of Calderon v. U.S.D.C. (Kelly), (“Kelly III"), September 5, 1997 at 13.
Dissenting Opinion
Dissenting.
The majority opinion expresses clear disdain for the fact that the AEDPA’s statute of limitations bars Kelly from filing a first habe-as petition. Unfortunately, the statute of limitations is the law.
First, the majority finds that all five factors enumerated in Bauman v. United States Dist. Ct., 557 F.2d 650, 654-55 (9th Cir.1977), counsel against the issuance of mandamus. However, this is no ordinary mandamus action. Kelly TV was simply an action to enforce the mandate of Kelly III, a decision the District Court chose to ignore. It is horn-book law that mandamus “is available to a party who has prevailed in this Court if the lower court does not proceed to execute the mandate, or disobeys and mistakes its meaning.” Vendo Co. v. Lektro-Vend Corp.,
The real issue is whether the District Court did or did not violate this court’s mandate. While the majority deems this issue “most complex,” the simple fact is that the District Court allowed Kelly to file a habeas petition after this court held that such a petition was time-barred. I can conceive of no clearer violation of this court’s mandate. The majority concludes that Kelly should not be precluded from filing a habeas petition because res judicata does not apply to habeas petitions, but as the panel decision made clear, “[Kelly’s] prior cases did not involve true habeas corpus petition proceedings. He never got that far.” Calderon v. United States Dist. Ct. (Kelly), No. 98-70569,
The majority also makes much of the fact, in its discussion of “abuse of the writ,” that it was the state that selected the issues to be decided in Kelly III’s mandamus proceeding. This fact is wholly irrelevant. Res judicata “prevents litigation of all grounds for, or defenses to, recovery that were previously available to the parties, regardless of whether they were asserted or determined in the prior proceeding.” Americana Fabrics, Inc. v. L & L Textiles, Inc.,
While I dissent from the entire opinion as it stands, I wish to point out that the portion of the opinion from which I dissent above is in fact dictum. The majority does not use its carefully crafted (but misguided) interpretation of res judicata and abuse of the writ in order to provide Kelly with a new basis for equitable tolling of the statute of limitations. Instead, the majority simply goes on to hold that the statute of limitations does not apply to Kelly at all. This holding does not depend upon the application of res judicata or abuse of the writ but upon the majority’s misapplication of a recent Supreme Court case.
The majority employs an overbroad interpretation of the Supreme Court’s opinion in Hohn v. United States, — U.S. -,
Beeler expressly held (a holding that the en banc majority does not disturb) that the AEDPA’s statute of limitations was not jurisdictional.
Even if Hohn and Beeler were using the word “case” to mean the exact same thing (which they were not), the cases are so factually distinguishable as to belie the argument that one “has vitiated” the other. In Hohn, the Supreme Court merely stated that a habeas corpus petition that had been ruled upon in the District Court but denied a certificate of appealability remained a ease for purposes of a petition for certiorari. The case before us deals with a request for counsel and a stay of execution where no habeas petition had been filed, and thus there was nothing that could “remain” a case.
The majority overlooks another underlying rationale in Hohn: that a certificate of ap-pealability involves adversity. See — U.S. at-,
For the reasons above, I respectfully dissent.
. The majority, in a judicial sleight-of-hand that also undermines the AEDPA’s statute of limitations, holds that this court may deem the habeas petitions filed after the AEDPA's effective date as having been filed nunc pro tunc before that date in order to avoid reaching the issue of equitable tolling. See n.7, supra. This does not change the fact, however, that when the request for counsel and stay of execution were made, no habeas petition had been filed.
Concurrence Opinion
Specially Concurring.
I concur in the majority opinion except for the second and third reasons given for applying equitable tolling in Part II C 5.
I agree with the majority that because the district court’s June 3, 1998 order stayed all proceedings other than the issue of Kelly’s sanity, that order prevented Kelly’s counsel from filing a habeas petition, and equitable tolling applies. I do not agree, however, that Kelly’s alleged mental incompetency equitably tolled the AEDPA’s one-year statute of limitations, and I would not reach the question whether equitable tolling applies as a result of the dismissal of Kelly’s habeas proceedings under the compulsion of the writ of mandamus issued in Kelly III.
