I. INTRODUCTION
Randall Eugene Cannon appeals from the district court’s denial of his federal habeas corpus petition brought pursuant to 28 U.S.C. § 2254. In his petition, Cannon lodged numerous challenges to his Oklahoma first degree murder and arson convictions and to his death sentence. The district court denied relief as to each claim but granted Cannon a certificate of appeal-ability (“COA”) to raise five issues on appeal. See supra section II.B. After conducting a case management conference, this court granted Cannon a COA to raise three additional issues. See supra section II.B. After a thorough review of the record and consideration of Cannon’s appellate contentions, this court concludes that Cannon is not entitled to habeas relief. Accordingly, this court exercises jurisdiction pursuant to 28 U.S.C. §§ 1291 and 2253(c) and affirms the district court’s denial of Cannon’s § 2254 habeas corpus petition.
II. BACKGROUND
A. Factual Background
Cannon and his co-defendant Loyd La-Fevers were convicted in state court of murdering eighty-four-year-old Addie Hawley. The Oklahoma Court of Criminal Appeals (“OCCA”) recounted the facts of the crime as follows:
On June 24, 1985, [LaFevers] and ... Cannon decided to steal a car after [La-Fevers’] car broke down in a northwest Oklahoma City neighborhood. After selecting a house in the neighborhood, the two men forced their way into the home of eighty-four year old Addie Hawley. They ransacked her home, taking eight dollars from her purse, along with the keys to her car and the garage door opener. The two took her out of the house and into the car. Cannon, who was driving the car, drove for just over a mile before pulling over so that they could put Hawley in the trunk.
The two men drove to a convenience store where they bought a two liter bottle of orange soda. After drinking some of the soda, they poured the rest out and filled the bottle with gasoline. [LaFev-ers] directed Cannon to drive to a secluded area where he removed Hawley from the trunk of the car. Although there was evidence presented at trial that indicated that Hawley was raped, neither defendant admitted having committed rape or sodomy. Each man indicated in his pretrial confession to police and during his testimony at trial that the other man had committed the sexual offenses while he remained as a lookout.
After the completion of the sex acts, one of the two men, again each blamed the other, poured gasoline from the orange soda bottle on Hawley and set her on fire. They drove the car a short distance away and also set it on fire.
*1258 Rescue personnel were called to the scene soon after the fires were set. Although Hawley had been burned over sixty percent of her body, she was still alive. She had suffered a blunt injury to the forehead and had two black eyes along with multiple cuts and bruises. She died a short time after being taken to the hospital.
Lafevers v. State,
B. Procedural Background
An Oklahoma jury found Cannon guilty of first degree murder, rape, forcible sodomy, and arson.
1
The jury sentenced Cannon to death for the murder conviction. On direct appeal, the OCCA vacated the rape and sodomy convictions, concluding they were not supported by sufficient evidence; it affirmed the murder and arson convictions and death sentence.
See Cannon I,
.After the OCCA denied his request for post-conviction relief, Cannon filed a 28 U.S.C. § 2254 habeas petition in federal district court. The district court denied relief as to each of the numerous claims set forth in the petition. It did, however, grant Cannon a COA,
see
28 U.S.C. § 2253(c), to raise the following five claims on appeal: (1) statements Cannon made after his arrest were improperly admitted at trial because the statements were fruits of an illegal arrest and detention; (2) evidence seized during a warrantless search of Cannon’s home was improperly admitted at trial; (3) trial counsel was constitutionally ineffective during the guilt phase of the trial; (4) prosecutors violated Cannon’s due process rights when they failed to disclose, in violation of
Brady v. Maryland,
This court conducted a case management conference.
See In re:
Procedures for the Management of Death Penalty Matters issued Apr. 8, 1999. At the conclusion of that conference, Judge Porfilio issued a case management order granting Cannon a COA as to the following additional three claims: (1) the trial court denied Cannon his constitutional right to an impartial jury when it removed a prospective juror for cause; (2) the aiding and abetting instructions given at trial allowed the jury to convict Cannon of malice aforethought murder without any showing that he intended to kill the victim; and (3) the death penalty is invalid beсause the trial ■court failed to instruct the jury, pursuant to
Tison v. Arizona,
III. ANALYSIS
A. Standard of Review
Because Cannon filed his § 2254 habeas petition on September 29, 1997, well after the April 24, 1996 effective date of the Antiterrorism and Effective Death Penalty Act of 1996 (“AEDPA”),
4
this court reviews Cannon’s petition pursuant to the revised standards of review set out in 28 U.S.C. § 2254(d) and (e).
5
See Moore v. Gibson,
The Supreme Court ... elucidated the opaque language of § 2254(d)(1) in Williams v. Taylor,529 U.S. 362 ,120 S.Ct. 1495 , 1518-23,146 L.Ed.2d 389 (2000) (opinion of O’Connor, J.). Speaking for a majority of the Court in her separate concurring opinion, Justice O’Connor noted the AEDPA allows a federal court to grant habeas relief under § 2254(d)(1) only if the relevant *1260 state-court decision was either “contrary to” or “an unreasonable application of’ established Supreme Court precedent. See id. at 1519. As for § 2254(d)(l)’s “contrary to” clause, Justice O’Connor noted that a state-court decision would be contrary to the Court’s clearly established precedent in two circumstances: (1)“the state court applies a rule that contradicts the governing law set forth in [the Court’s] cases”; or (2) “the-state court confronts a set of facts that are materially indistinguishable from a decision of [the] Court and nevertheless arrives at a result different from” the result reached by the Supreme Court. Id. at 1519, 1519-20. Under the “unreasonable application” clause, on the other hand, a federal habeas court may grant the writ only if “the state court identifies the correct governing legal principle from [the] Court’s decisions but unreasonably applies that principle to the facts of the prisoner’s case.” Id. at 1523. To be сlear, “[u]nder § 2254(d)(l)’s ‘unreasonable application’ clause ..., a federal habeas court may not issue the writ simply because that court concludes in its independent judgment that the relevant state-court decision applied clearly established federal law erroneously or incorrectly. Rather, that application must also be unreasonable.” Id. at 1522.
Thomas v. Gibson,
To the extent that the state court has not addressed the merits of a claim and “the federal district court made its own determination in the first instance,” this court reviews “the district court’s conclusions of law de novo and its findings of fact, if any, for clear error.”
LaFevers v. Gibson,
B. Guilt Phase Issues
1. Confession Obtained in Violation of the Fourth Amendment
In his habeas petition, Cannon argued that the Oklahoma state courts committed constitutional error when they refused to suppress certain statements he made shortly after his arrest. In particular, Cannon argued that his arrest was illegal because the outstanding warrants for which he was arrested were invalid. He thus argued the custodial statements were fruits of an illegal arrest. The district court concluded that it was barred from reaching the merits of Cannon’s claim because Cannon received an opportunity for full and fair litigation of the claim in state court.
See Stone v. Powell,
On appeal, Cannon asserts the district court erred in applying
Stone
to bar habeas relief because he never received a full and fair opportunity to litigate this claim in statе court.
6
Whether Cannon had a full and fair opportunity to litigate his Fourth Amendment claim in state court is a question of law this court reviews
de novo. See Miranda v. Cooper,
Prior to trial, Cannon filed a discovery motion asking that the trial court order the prosecution to disclose “[cjopies of any arrest warrants and affidavits obtained or issued in this case.” Although the record does not disclose whether the trial court acted on this request, it did hold a hearing regarding the propriety of Cannon’s arrest. Detective Ron Mitchell of the Oklahoma City Police Department testified that he arrested Cannon because he “had an outstanding ... misdemeanor warrant and then also a couple of back traffic tickets.” Mitchell testified he learned of the outstanding warrants by calling the police department’s Crime Information Unit (“CIU”); the CIU then called the issuing entity to verify that the warrants were still valid. According to Mitchell, the CIU verified the existence of both the misdemean- or warrant and traffic warrants. Mitchell testified that he never personally verified the existence of the misdemeanor warrant, but that the traffic warrants “had to be in hand in order to book somebody on those charges.”
Cannon testified that no outstanding warrants existed on the day he was arrested and that he had previously paid all fines related to the misdemeanor and traffic charges. He requested that the trial court hold its ruling in abeyance until he could present receipts for payment of the fines. Cannon also asked that the prosecution produce the warrants for examination by the trial court. In response, the prosecution argued that it was not necessary to produce the warrants because the trial court could rely on the testimony of Mitchell. The trial court rejected Cannon’s request, ruling as follows: “The Defendant’s motion to hold in abeyance the ruling is overruled, and the motion to suppress the evidence of the arrest is overruled. All right. The evidence will be admitted.”
When Cannon raised this claim on direct appeal, the OCCA noted in a footnote that “[a] copy of the [misdemeanor] warrant was submitted as a supplemental record on appeal and accepted as tendered for filing on April 1.1994.”
Cannon I,
Like the district court, we conclude this procedural history demonstrates that the state court proceedings sufficed to provide
*1262
Cannon with an opportunity for full and fair litigation of this claim. When Cannon first raised this claim, the trial court conducted a hearing outside the presence of the jury, at which time it heard testimony and received all evidence that was readily available to be presented. Based upon the evidence presented during the hearing, the trial court concluded that Cannon’s arrest comported with the Fourth Amendment and ruled that all evidence flowing from Cannon’s arrest was admissible. When this claim was raised on direct appeal, the OCCA allowed the record to be expanded with a copy of the arrest warrant.
See Cannon I,
Despite this procedural history, Cannon asserts on appeal that he did not have a full and fair opportunity to litigate this claim because the prosecution never produced copies of the relevant warrants prior to or at the suppression hearing. This court is not convinced, under the particular facts of this case, that the prosecution’s failure to produce the warrants at the suppression hearing deprived Cannon of his ability to fully and fairly litigate his illegal-arrest claim. First, the district court specifically found that all of the- documents relevant to the validity of the misdemeanor warrant were in the.files of the Oklahoma County District Court and were freely available to Cannon for a period of several years prior to his trial. 8 Furthermore, the opinion of the OCCA in Cannon I mаkes clear that the parties were afforded an opportunity to supplement the direct appeal record with the documentary material relevant to this claim. See id. at 95 n. 7. Accordingly, Cannon cannot claim that the prosecution’s failure to produce relevant documents precluded him from obtaining a full and fair litigation of his illegal-arrest claim.
*1263 2. Warrantless Search of Home
In addition to his illegal-arrest claim, Cannon also asserted in his habeas petition that a warrantless search of his home on the morning following his arrest violated the Fourth Amendment. In particular, Cannon asserted that Oklahoma failed to prove that he knowingly and voluntarily consented to the search. As with Cannon’s illegal-arrest claim, the district court concluded that a review of the merits of this claim was barred by
Stone.
Upon
de novo
review,
see Miranda,
Cannon’s primary contention on appeal is that he was denied a full and fair opportunity to litigate this claim because the state trial court did not make specific, express findings that Cannon actually consented to the search or that any such consent was voluntary. A review of the state trial record clearly demonstrates, however, that the state trial court implicitly made the requisite findings after a full and fair evidentiary hearing on the validity of the warrantless search. The state trial court held an
in camera
hearing on the validity of the warrantless search pursuant to
Jackson v. Denno,
During his own testimony at the Jackson v. Denno hearing, Cannon testified that the signature on the consent form the prosecution had attempted to introduce was not his. 9 He also testified that he did not remember giving consent to a search of his home. At the request of his trial counsel, Cannon submitted an exemplar of his signature to the trial court for comparison with the signature on the photocopied consent form.
On direct appeal, the OCCA discussed the evidence presented at the
Jackson v. Denno
hearing as well as the evidence presented by Pacheco in open court.
See Cannon I,
Despite the litigation of this claim in a
Jackson v. Denno
hearing, at trial, and on direct appeal to the OCCA, Cannon argues that the state courts did not actually consider this Fourth Amendment claim because the trial court did not make specific, explicit findings regarding the existence and voluntariness of his consent and because the OCCA simply affirmed the trial court’s “non-existent” findings. Cannon equates the failure to make specific, explicit findings to a failure to consider his
*1264
arguments and cites
Reed v. Farley,
Under the facts of this case, we cannot conclude that the state trial court’s failure to make specific, explicit findings constitutes a failure to consider Cannon’s arguments regarding the validity of the war-rantless search. As the procedural history set out above clearly demonstrates, Cannon’s arguments regarding the validity of the search were extensively litigated before the trial court. The trial court’s decision to admit the fruits of the search after the
in camera
hearing and Pacheco’s testimony in open court certainly constitutes an implicit determination that Cannon knowingly and voluntarily consented to the search. Furthermore, on direct appeal the OCCA reviewed the merits of this implicit finding and determined it was well supported by the record.
See Cannon I,
Cannon further argues that he was denied a full and fair opportunity to litigate his illegal-search claim because the OCCA improperly denied him the benefit of the state-law rule announced in
Schorr v. State,
Evidence did not show whether Pacheco repeated the Miranda warnings before asking Cannon for consent to search. Cannon claims this Court has held that a valid custodial consent to search must be preceded by Miranda warnings. He relies on Schorr v. State,499 P.2d 450 (Okl.Cr.1972), overruled on other grounds, Rowbotham v. State,542 P.2d 610 (Okl.Cr.1975), judgment vacated and remanded,428 U.S. 907 ,96 S.Ct. 3218 ,49 L.Ed.2d 1215 (1976), modified to life imprisonment,554 P.2d 814 (Okl. Cr.1976). Although nothing specifically overrules this portion of Schon", it is cited only in dissenting or questioning opinions subsequent to Rowbotham. Since Rowbotham this Court has not held Miranda warnings are required before obtaining consent to search. The record here does not show whether Pacheco gave Cаnnon Miranda warnings when discussing the consent form, but Cannon received such warnings on the evening of the 25th when he was taken into custody and booked. .Cannon has not alleged that he requested an attorney or invoked his right to silence at that time. Testimony showed that officers did not speak to Cannon between booking and Pacheco’s visit. Cannon does not allege that he did not understand his rights vis a vis the consent form.
Cannon I,
*1265 Finally, Cannon incorporates his arguments with regard to his illegal-arrest claim, see supra section III.B.l., asserting that because his arrest was illegal, his consent to the warrantless search obtained while he was in custody on an illegal arrest is necessarily invalid as well. In that regard, he further asserts that because he was denied the opportunity to fully and fairly litigate the illegal arrest claim based on the prosecution’s Brady violation and ineffective assistance of counsel, he was also necessarily denied the ability to fully and fairly litigate his illegal-search claim. These assertions fail for the reasons set out in rejecting Cannon’s Brady claim, see infra section III.B.4., and in rejecting Cannon’s claim of ineffective assistance, see supra section III.B.l., at p. 13 n. 8 & infra III.B.3.
8. Ineffective Assistance of Counsel
In his habeas petition, Cannon sought to raise the following three claims of ineffective assistance of trial counsel: (1) counsel was ineffective in failing to challenge the seizure of a gun taken from Cannon’s home at the time of his arrest; (2) counsel was ineffective in failing to request a handwriting expert to contest the prosecution’s assertion that the signature on the “search waiver” was Cannon’s; and (3) counsel was ineffective in not adequately investigating and presenting Cannon’s illegal-arrest claim. Although it recognized that Cannon had not raised these claims in state court and that the claims were therefore unexhausted, the district court chose to deny relief on the merits pursuant to 28 U.S.C. § 2254(b)(2).
10
This court, however, denies Cannon relief as to these claims under the doctrine of procedural bar.
See Medlock v. Ward,
Except for a few narrow exceptions, § 2254 habeas petitioners must exhaust available state court remedies before seeking habeas relief.
See id.; Smallwood v. Gibson,
This court may not consider issues raised in a habeas petition “that have been defaulted in state court on an independent and adequate procedural ground[ ] unless the petitioner can demonstrate cause and prejudice or a fundamental miscarriage of justice.”
English v. Cody,
4. Brady Violation
In his habeas petition, Cannon argued that the prosecution violated Brady by failing to disclose prior to trial the misdemeanor arrest warrant, the underlying Application to Revoke Suspended Sentence supporting the warrant, and the District Court Appearance Docket Sheet for Oklahoma County. Cannon argued that these documents were material and exculpatory and that the prosecution’s failure to disclose the documents prevented him from adequately litigating his illegal-arrest and warrantless-search claims. In response, Oklahoma asserted that Cannons’ Brady claim was procedurally barred because Cannon had never raised the claim on direct appeal. 11
*1267
In resolving this claim, the district court agreed that Cannon had never presented his
Brady
claim to the state courts for resolution and that the claim would be procedurally barred under Oklahoma law if it were now presented in state court.
See
Okla. Stat. tit. 22, § 1086. The district court concluded, however, that the procedural bar was not adequate to bar federal habeas corpus review because it had not been applied strictly, regularly, or evenhandedly to all similar claims.
See English,
Unfortunately, the district court did not have the benefit of this court’s decision in
Hale v. Gibson,
Hale
thus not only expanded the universe of cases, beyond those identified by the district court, in which the OCCA applied the procedural bar to
Brady
claims not raised on direct appeal, it also rejected as dissimilar two cases relied on by the district court in determining the procedural bar was not regularly applied.
See id.
(“ ‘The test ... is whether the state courts’ actual application of the particular procedural default rule to
all similar claims
has been evenhanded in the vast majority of cases.’ ” (quoting
Maes v. Thomas,
In considering one of these two remaining cases,
Munson,
the district court erred in concluding that the OCCA decision supported its view that Oklahoma’s procedural bar of
Brady
claims was not adequate. Although there is no discussion of the procedural bar, the
Munson
opinion makes clear that the
Brady
issue could not be adequately raised on direct appeal because much of the material forming the basis of the claim became available only after direct appeal.
See
We agree with the district court that the OCCA’s failure to apply the procedural bar in
Van Woudenberg
cannot be explained by reference to the exception in § 1086 for claims that could not be adequately presented on direct appeal.
See
In
Andrews v. Deland,
this court held that the test of a procedural bar’s adequacy is whether the state court’s “actual application of the particular procedural default to all similar claims has been evenhanded in the vast majority of cases.”
This court may not consider issues raised in a § 2254 habeas petition “that have been defaulted in state court on an independent and adequate procedural ground, unless the petitioner can demonstrate cause and prejudice or a fundamental miscarriage of justice.”
English,
Although this court does not doubt that a prosecutor’s failure to disclose exculpatory materials may in certain circumstances serve as cause for the failure to raise a
Brady
claim in the appropriate state proceeding,
see, e.g., Parkus v. Delo,
5. Jury Instructions
At trial, the prosecution offered the jury alternative theories upon which it could convict Cannon of malice afоrethought murder: (1) Cannon directly committed the murder; or (2) Cannon aided and abetted LaFevers in committing the murder. 13 In his § 2254 habeas petition, *1270 Cannon alleged that the aiding and abetting instructions given at trial impermissi-bly allowed the jury to convict him of malice aforethought murder without any showing he intended that Ms. Hawley be killed. Because Oklahoma law requires proof of specific intent for a malice murder conviction, 14 Cannon asserts that the alleged instructional error denied him his Fourteenth Amendment right to due process of law. 15
On direct appeal, the OCCA rejected Cannon’s claim that the aiding and abetting instructions given at trial permitted the jury to convict Cannon of malice murder without finding that he had the specific intent to kill Ms. Hawley. In so doing, the OCCA held as follows:
Nobody contests the fact that, under the aiding and abetting theory, the jury had to find that Cannon was a principal to the crime. Instructions 36 and 37 correctly defined “principal” and aiding and abetting. The remaining instructions clearly set forth the defense of abandonment, the burden of proof, and the definition of criminal intent.
Canhon claims that the malice murder instructions told the jury that Cannon must have caused the victim’s death and that the aiding and abetting instructions told them Cannon could be guilty if he did not actually commit the acts. He says “it is not a giant leap” to conclude that an aiding and abetting conviction for malice murder required only general intent. On the contrary, this is a leap of epic proportions. The aiding and abetting instructions cannot be read in a vacuum; they explicitly refer to the underlying charged crime and indicate that the elements of the charged offense must be proved. Read as a whole, the *1271 instructions clearly required the jury to find that Cannon’s conduct caused Haw-ley’s death and that he intended to take her life, or that he aided and abetted LaFevers’ acts knowing of and sharing in LaFevers’ intent to take Hawley’s life. These instructions were not erroneous.
Cannon I,
In this case, the state trial court defined aiding and abetting in Instruction 37 as follows:
One who does not actively commit the offense, but who aids, promotes, or encourages its commission, either by act or counsel or both, is not deemed to be a principal to the crime unless he did what he did knowingly and with criminal intent. To aid or abet another in the commission of a crime implies a consciousness of guilt in instigating, encouraging, promoting, or aiding in the commission of that criminal offense,
(emphasis added). Furthermore, the jury instructions defined criminal intent as the “[djesign to commit a crime or to commit acts the probable consequences of which are criminal.” (emphasis added). Taken together, Cannon asserts that these instructions allowed the jury to convict him of malice murder without finding that he had the specific intent to take Ms. Haw-ley’s life. 16
Like the district court, this court concludes that the decision of the OCCA rejecting Cannon’s claim of instructional error is neither “contrary to” nor an “unreasonable application of’
Patterson v. New York,
C. Penalty Phase Issues
1. Ineffective Assistance of Counsel
Cannon argued in his habeas petition before the district court and reasserts on appeal that he was denied his Sixth Amendment right to effective assistance of counsel when his trial counsel failed to develop and introduce additional mitigation evidence during the penalty phase of the trial. In particular, Cannon identifies the following three areas of mitigation evidence not developed by counsel at trial: (1) evidence of possible organic brain damage; (2) a social history investigation which would have examined Cannon’s childhood and early adult life; and (3) DNA testing of blood stains on Cannon’s pants. The district court reviewed these claims on the merits and concluded that, even assuming counsel had rendered substandard performance, Cannon had not carried his burden under
Strickland v. Washington,
“To establish ineffective assistance of counsel, a petitioner must prove that counsel’s performance was constitutionally deficient and that counsel’s deficient performance prejudiced the defense.”
See Wallace v. Ward,
a. Failure to Obtain DNA Testing
Cannon argues that his trial counsel was ineffective for failing to have DNA testing performed on a pair of pants admitted at his trial. At trial, the prosecution presented to the jury two pairs of blood-stained pants and asserted that one pair was worn by Cannon (“Exhibit 84”) and the other by LaFevers (“Exhibit 83”) on the night of the murder. In that regard, Joyce Gilchrist, a forensic chemist employed by the Oklahoma City Police Department (“OCPD”), testified that eight blood stains on Exhibit 84, the pants associated with Cannon, were analyzed for blood type. That analysis revealed four stains of type O blood around the cuffs and back of the pants, three type A stains in various locations on the pants, and one stain that was inconclusive as to type on the inside of the *1274 lower leg. Gilchrist further testified that both Cannon and the victim had type 0 blood and that LaFevers had type A blood. Finally, Gilchrist testified that Exhibit 83, the pants associated with LaFevers, had four type 0 blood stains and four type B stains.
Following Gilchrist’s testimony, the prosecution adduced the testimony of Tom Bevill, an employee of the OCPD with an expertise in “geometric blood stain analysis.” As to Exhibit 84, Bevill testified that the majority of the blood on the pants constituted transfer blood, i.e., blood that did not drip or splatter from the blood source but instead came from rubbing against a bloody object or body part, and that there were “very few instances” of medium velocity splatters. Bevill testified that medium velocity blood stains were indicative of force being applied to a bloody surface, such as a physical blow to an already bloodied body part. He further testified that the “majority of the activity as far as medium velocity is going to be very low toward the cuff and primarily to the back side of the pair of jeans.” Bevill testified that Exhibit 83 was more heavily stained with blood, including a much larger number of medium velocity blood stains. Based on the testimony of Gilchrist and Bevill, the prosecutor asked the jury to infer that Cannon had directly participated in the beating of the victim before she was set on fire.
In his habeas petition, Cannon argued as follows:
The blood splatter evidence was the foundation of the state’s case to make Randy Cannon an active participant in the murder rather than a person who was merely present as argued by defense counsel at trial. From conversations with defendant, there is no question the blood on the trousers is not the victim’s blood.... DNA testing would have negat[ed] this portion of the state’s case to prove Randy Cannon beat Ms. Hawley numerous times causing blood to splatter on his clothing.
The district court rejected this claim, concluding that Cannon had failed to demonstrate any prejudice flowing from counsel’s failure to request DNA testing. In support of this conclusion, the district court noted as follows: (1) evidence Cannon participated in beating Ms. Hawley formed only a small part of the prosecution’s case; (2) trial counsel’s cross-examination of Be-vill was effective in demonstrating that LaFevers was, based upon the amount and location of the blood on the clothing introduced into evidence, more involved in the beating of the victim than was Cannon; and (3) the blood-splatter evidence was not unduly stressed during closing arguments. Accordingly, the district court concluded that even if the DNA testing conclusively established that the blood on Exhibit 84 was Cannon’s and not the victim’s, there wаs no reasonable probability that the jury would have rendered a different verdict.
On appeal, Cannon simply reasserts the arguments he made before the district court and argues that if DNA evidence were admitted during the second stage of his trial at least one juror would have voted for life. Upon de novo review, this court agrees with the district court that Cannon has not carried his burden of demonstrating prejudice flowing from trial counsel’s failure to obtain DNA testing of Exhibit 84.
This court has closely reviewed the testimony of both Gilchrist and Bevill and concludes, like the district court, that the testimony had no impact on the jury’s imposition of the death penalty. We begin by noting that trial counsel was exceedingly effective during cross-examination in eliciting testimony regarding two key defense points: (1) it was a matter of pure speculation whether the type 0 blood on exhibit 84 was the blood of the victim; and *1275 (2) assuming the pants adduced by the prosecution were worn by LaFevers and Cannon on the night of the murder, and further assuming that the blood on Exhibit 84 came from the victim, the blood splatter evidence demonstrated that LaFevers was far more involved in the beating of the victim. 21 In that regard, this court notes that Gilchrist testified on cross-examination that despite the availability of DNA testing well before trial and the efficacy of such testing on old samples of dried blood, the prosecution had not undertaken to conduct DNA testing on the pants. 22 BeviU’s testimony regarding the blood on the pants is best described as equivocal. For instance, he testified that the pants appeared to be work pants, that he could not say when the blood stains were deposited on the pants, and that he could not link up the small number of medium veloсity blood splatters on the pants with 'the murder of Ms. Hawley. He also testified that the pants and other clothing associated with LaFevers were far more likely to have been near a violent scene. As to Exhibit 84, Bevill testified that the person wearing those pants “would be at more of a distance [from the victim during the beating] than the person wearing [Exhibit 83]” and that, based on the pattern of the medium velocity blood splatters, might have had his back turned to the scene. Based upon this testimony, the jury was specifically instructed during the penalty phase that Cannon had presented evidence “as to the following mitigating circumstances: 1. Randall Cannon played a lesser role in the death of Addie Hawkins.”
In addition to the equivocal nature of the testimony of Gilchrist and Bevill, we note that, considered in context of all of the evidence presented at trial, the blood splatter evidence did not play a particularly significant part in the proceedings. Although the prosecution did ask the jury to infer from the presence of the medium *1276 velocity blood splatters on the cuffs and back of Exhibit 84 that Cannon had participated in beating the victim, that evidence was not unduly emphasized during its closing arguments. Furthermore, in considering the likely impact of the prosecutor’s closing arguments, this court will not disconnect those comments from the actual evidence presented at trial, evidence that was, as noted above, equivocal. In that regard, we note that the jurors were specifically instructed that it was their responsibility “to determine the facts from the evidence” and that “[n]o statement or argument of the attorneys is evidence.” Considered in context of all of the evidence presented at trial, we conclude that Cannon has not carried his burden of demonstrating a reasonable possibility that the result of the penalty phase would have been different if his counsel had DNA tests conducted on Exhibit 84 and those test revealed the blood did not come from the victim.
Our conclusion in this regard is bolstered by the fact that the prosecution presented evidence of Cannon’s participation in the other key aspects of the criminal episode leading up to the death, including the dousing of Ms. Hawley with gasoline and setting her on fire.
See Cannon I,
b. Failure to develop additional mitigation evidence relating to brain damage and social history
Cannon argued in his habeas petition that his trial counsel was ineffective in *1277 failing to develop the following two strands of mitigation evidence at trial: (1) Cannon suffered from brain damage and a resulting mental disorder which “prevented him from using appropriate judgment in the incident which caused the victim’s death”; and (2) a developmental social history demonstrating links between that history and Cannon’s conduct at the time of the offense. The district court denied relief, finding that, without regard to whether trial counsel had rendered constitutionally deficient performance, Cannon had failed to demonstrate that he was prejudiced by trial counsel’s failure to adduce these additional strands of mitigation evidence. In so concluding, the district court noted that in an affidavit submitted by Cannon, the expert had opined that the result of the penalty phase would have likely been different if the additional evidence had been presented to the jury. The district court held, however, that this opinion was not supported by objective facts. Instead, after a thorough review of the entire trial transcript and the exhibits submitted by Cannon, the district court concluded that there was no reasonable probability that the jury would have returned a verdict less than death had the additional mitigation evidence been introduced. In particular, the district court identified the brutal nature of the murder and the strength of the other evidence supporting the aggravating factors found by the jury.
This court reviews
de novo
the district court’s conclusion that Cannon was not prejudiced by his counsel’s failure to adduce evidence relating to the two additional strands of mitigation evidence.
See Smith,
We begin by noting that trial counsel presented substantial mitigation evidence at trial relating to Cannon’s exemplary work history; lengthy history of acts of kindness to the elderly, disabled, and destitute; strong, continuing attachment to his young daughter, despite the fact of his continued incarceration; lack of a criminal record before the murder; relatively less culpable role in the murder; and exemplary behavior as a prisoner over the previous eight years. Read holistically, trial counsel’s mitigation evidence painted Cannon as a kind, compliant, and responsible individual whose involvement in the murder was an aberration.
The omitted mitigation evidence identified in Cannon’s petition comes in the form of affidavits from a clinical psychologist, a Licensed Clinical Social Worker, and a professor of neurology and pharmacology. Taken together, these affidavits indicate that Cannon suffers from serious brain damage and resulting psychiatric disorders which “distort his perceptions and impair his judgment.” The psychiatric disorders flow from organic damage, head trauma, and prolonged alcoholism and drug abuse. The head trauma originated from an incident in which Cannon was hit in the head with a police officer’s flashlight.
Cannon asserts on appeal that absent the omitted mitigation evidence an incomplete picture was provided to the jury resulting in its decision to impose the death sentence. In particular, Cannon asserts that the neuropsychological evidence and the social history background could have “explained to the jury how [Cannon] came to participate in this crime and why they should spare his life.” This court’s review of the omitted evidence, however, leads us to conclude that the evidence is far less beneficial than asserted by Can
*1278
non. In particular, the omitted evidence tends to depict Cannon as an unstable individual with very little impulse control. This evidence would have negated much of the mitigation evidence actually adduced by trial counsel and could have strengthened the prosecution’s argument that Cannon represented a continuing threat to society.
See Davis v. Executive Dir. of Dept. of Corr.,
2. Imposition of Death Penalty in Violation of Enmund and Tison
Cannon asserts that he was sentenced to death without the jury making the individualized culpability findings necessary to render that sentence constitutional under Enmund and Tison. 24 The viability of this claim is entirely dependent upon Cannon’s assertion that the jury instructions given in this case permitted the jury to convict him of malice aforethought murder without finding beyond a reasonable doubt that he intended the victim die. 25 Because this court has already rejected Cannon’s claim that the jury was not properly instructed during the guilt phase of the trial, see supra section III.B.5., Cannon’s claim *1279 based on Enmund and' Tison necessarily fails. 26
3. Removal of Prospective Juror for Cause
The Due Process Clause of the Fourteenth Amendment and the Sixth Amendment’s guarantee of an impartial jury, operating together, prohibit the imposition of the death penalty “if the jury that imposed or recommended it was chosen by excluding veniremen for cause simply because they voiced general objections to the death penalty or expressed conscientious or religious scruples against its infliction.”
Witherspoon v. Illinois,
The OCCA considered and rejected this claim on the merits on direct appeal, holding as follows:
Cannon ... argues that prospective juror Vann was improperly excusеd for cause. Cannon’s right to an impartial jury prohibits the exclusion of venire members who voice general objections to the death penalty or express scruples against its imposition. The relevant question is whether the juror’s views could prevent or substantially impair the performance of his duties as a juror in accordance with the instructions and his oath....
Cannon argues that Vann was improperly excused because he said he was not opposed to the death penalty and in the right case would consider imposing it. A thorough reading of the transcript shows that Vann did not understand what was being asked. Initially he said he was not personally opposed to the death penalty but could not consider imposing it as a juror. Later he agreed *1280 he would have preconceived notions of appropriate punishment but admitted he did not know what that phrase meant; that he could consider all punishments but his mind was closed; and that he didn’t believe in the death penalty.... The record clearly reflects that Vann did not believe in and would not impose the death penalty, and his excusal for cause was not an abuse of discretion.
Cannon I,
The Supreme Court has made clear that the
Witherspoon/Waimmight
“standard ... does not require that a juror’s bias be proved with ‘unmistakable clarity.’ ”
Id.
Instead, in situations where the printed record lacks clarity, “deference must be paid to the trial judge who sees and hears the jurors” as “there will be situations where the trial judge is left with the definite impression that a prospective juror would be unable to faithfully and impartially apply the law.”
Id.
at 425-26,
After conducting a lengthy voir dire, wherein the prosecutiоn, defense counsel, and trial court all questioned Vann, the trial court dismissed Vann for cause. In so doing, the trial court concluded as follows: “The Court is convinced that Mr. Vann cannot properly serve on this jury.” In both his habeas petition before the district court and brief before this court on appeal, Cannon cites primarily to responses Vann provided to defense counsel during voir dire and asserts that those responses “clearly and unequivocally” demonstrate that Vann would consider imposing the death penalty in an appropriate case. Like the district court, however, this court concludes that the transcript of voir dire, considered as a whole, supports the trial court’s decision to exclude Vann for cause. 29
During initial questioning by the prosecution, Vann unequivocally indicated that although he was not opposed to the death penalty per se, he could not personally vote to impose that ultimate penalty. Defense counsel attempted to rehabilitate Vann as a potential juror during his portion of voir dire. As accurately noted by Cannon, Vann does appear to have retreated, during defense counsel’s voir dire, from his earlier unequivocal statements regarding his unwillingness to impose the death penalty. In light of this apparent change of heart, the trial court conducted its own voir dire of Vann. The initial part of the exchange between Vann and the trial court is best characterized as confused. Although Vann did state at various times during the initial part of the trial court’s voir dire that he could consider the death penalty as a possible punishment, it is *1281 clear that the trial court thought Vann’s responses were hesitant and unclear. Apparently feeling that Vann wаs embarrassed by the personal nature of these questions, the trial court called Vann to the bench and asked him a series of questions outside of the hearing of the other potential jurors. At this time, Vann once again unequivocally expressed that he could not personally sentence a person to death.
The trial court’s finding that Vann could not properly serve on the jury is well-supported by the record as a whole. See 28 U.S.C. § 2254(d)(2), (e)(1). Furthermore, in reviewing Cannon’s Witherspoon claim on direct appeal, the OCCA applied the controlling Supreme Court precedent (ie., Witherspoon and Wainwright) and concluded that Cannon was not entitled to relief. See id. § 2254(d)(1). Because Cannon has failed to demonstrate by clear and convincing evidence that the trial court’s factual finding was incorrect, and because the decision of the OCCA is not an unreasonable application of Supreme Court precedent, Cannon is not entitled to habeas relief. 30
IV. CONCLUSION
For the reasons set out above, the order of the United States District Court for the Western District of Oklahoma denying Cannon’s § 2254 habeas petition is hereby AFFIRMED.
Notes
. Cannon’s convictions on these same charges following a first trial were reversed by the OCCA on the ground that the trial court should have severed Cannon’s trial from that of his co-defendant.
See Cannon v. State,
. See Okla. Slat. Ann. lit. 22, § 1089 (providing that original application for post-conviction relief where defendant is under penalty of death shall be filed directly with OCCA).
.The case management order further provided: "Any request for leave to grant additional issues in the [COA] must be raised by written motion filed not later than ten days after the date of this order.... The Clerk shall submit motions for modification of the [COA] to the merits panel.... Unless otherwise ordered by thе merits panel, no issue shall be included in the briefs other than those [for which COA has been granted].' 1 Case Management Order issued Oct. 4, 1999, at para. 6; see also In re: Procedures for the Management of Death Penalty Matters issued Apr. 8, 1999, at para. 2 (noting that court may "address issues regarding issuance of a [COA]” during case management conference); id. at para. 3 ("The court will issue a scheduling order following the conference. In that order, the court will set all appropriate deadlines.”).
Without filing a request for an expanded COA, Cannon's counsel included in his appellate brief twelve issues for which no COA had been granted. Counsel asserted he briefed the issues "to preserve [them] for future review,” but asked this court to "review [them] for Constitutional error, and grant [Cannon] relief.” We specifically admonish counsel for failing to comply with this court's case management order and note that the failure to comply with that order constitutes a waiver of the right to seek an expanded COA. Nevertheless, we have reviewed each of the additional twelve issues raised by Cannon and conclude that the district court's resolution of those claims is neither debatable among jurists of reason nor "adequate to deserve encouragement to proceed further.”
Slack v. McDaniel,
. Pub.L. No. 104-132, 110 Slat. 1214 (1996).
. The pertinent subdivisions of § 2254 provide as follows:
(d) An application for a writ of habeas corpus on behalf of a person in custody pursuant to the judgment of a State court shall not be granted with respect to any claim that was adjudicated on the merits in Stale court proceedings unless the adjudication of the claim-—
(1) resulted in a dеcision that was contrary to, or involved an unreasonable application of, clearly established Federal law, as determined by the Supreme Court of the United States; or
(2) resulted in a decision that was based on an unreasonable determination of the facts in light of the evidence presented in the State court proceeding.
(e)(1) In a proceeding instituted by an application for a writ of habeas corpus by a person in custody pursuant to the judgment of a State court, a determination of a factual issue made by a State court shall be presumed to be correct. The applicant shall have the burden of rebutting the presumption of correctness by clear and convincing evidence. 28 U.S.C. § 2254(d), (e).
. As noted by the district court, Cannon’s illegal-arrest claim is closely related to his claim under
Brady v. Maryland,
. The OCCA's rationale for upholding the sufficiency of the traffic warrants is as follows:
The arresting officers testified that they knew of one outstanding misdemeanor warrant and two traffic warrants. While they did not have the warrants at the time of arrest, evidence showed that they needed a copy of the traffic warrants in order to book Cannon on those charges. The record clearly indicates the warrants existed and would have been sufficient to sustain the arrest without the misdemeanor warrant.
Cannon I,
. In the alternative, Cannon asserts that his trial counsel provided ineffective assistance in failing to obtain the relevant materials prior to trial and that counsel's ineffective assistance denied him a full and fair opportunity to litigate his illegal-arrest claim. In rejecting this claim, the district court concluded that Cannon could not satisfy his burden under 28 U.S.C. § 2254(d) because he had failed to support this particular claim of ineffective assistance with- argument or citation to legal authority. We agree. With regard to this claim, Cannon’s habeas petition simply alleged as follows:
This is a ground for relief pleaded in the alternative. Should the Court determine petitioner is not entitled to relief in ground four (4) relating to suppression of petitioner’s confession based upon an illegal arrest, and the denial of relief is based upon error or mistake of trial counsel, then petitioner claims counsel was ineffective in not investigating, presenting and preserving this Constitutional error in violation of the standards as established by Strickland, supra.
Cannon's conclusory assertion that counsel was ineffective, along with a bald reference to
Strickland v. Washington,
. During the in camera hearing, the prosecution attempted to introduce a photocopy of a consent form signed by Cannon prior to the search. The prosecution stated fоr the record that the original consent form had been lost in the interim between Cannon’s first and second trials. When Cannon asserted a “best evidence” objection to the admission into evidence of the photocopy, the prosecution withdrew it and recalled Pacheco to testify that he received verbal consent to search Cannon’s home.
. Section 2254(b)(2) provides as follows: “An application for a writ of habeas corpus may be denied on the merits, notwithstanding the failure of the applicant to exhaust the remedies available in the court of the State.” 28 U.S.C. § 2254(b)(2).
. Because Cannon never raised this claim in state court, either on direct appeal or in a petition for post-conviction relief, the claim is technically unexhausted. Nevertheless, if the OCCA would consider the claim procedurally barred based on Cannon's failure to timely raise the claim in state court, the claim is "considered exhausted and procedurally defaulted for purposes of federal habeas relief.”
Thomas,
. We have also identified an additional case in which the OCCA held that a
Brady
claim was not preserved for post-conviction review because the petitioner failed to demonstrate that the claim could not have been presented on direct appeal.
See Brown v. State,
.
See Cannon I,
.
See Cannon I,
.
See Patterson v. New York,
. In particular, Cannon asserted as follows in his § 2254 habeas petition:
The[ ] [aiding and abetting] instructions, on their face, permit a jury to convict a person of malice aforethought murder if the jury finds the person aided and abetted the perpetrator "knowingly” and with an intent to commit any act the "probable results of which are criminal.” Such instructions negate the requirement that an accused must have "malice aforethought” or the "specific intent” to cause death [ ] before conviction of "malice aforethought” murder.
.
See, e.g., Jones v. United States,
. Instruction 18 provides as follows:
No person may be convicted of MURDER IN THE FIRST DEGREE BY MALICE AFORETHOUGHT unless the State has proved beyond a reasonable doubt each element of the crime. These elements are: First, the death of a human;
Second, the death was unlawful;
Third, the death was caused by the defendant;
Fourth, the death was caused by malice aforethought.
. Instruction 11 provides as follows:
*1272 The defendant is presumed innocent of the crime charged, and the presumption continues unless, after consideration of all the evidence, you are convinced of his guilt beyond a reasonable doubt. The State has the burden of presenting the evidence that establishes guilt beyond a reasonable doubt. The defendant must be found not guilty unless the State produced evidence which convinces you beyond a reasonable doubt of each element of the crime.
Instruction 30, the jury instruction relating to Cannon's intoxication defense, provides as follows:
It is the burden of the State to prove beyond a reasonable doubt .that the Defendant formed the specific criminal intent of the crime[ ] of Murder in the First Degree ....
If you find that the State has failed to sustain that burden, by reason of the Defendant's intoxication, then the Defendant must be found not guilty of that ... crime.
. Before proceeding to the merits of these particular ineffective assistance claims, the district court recognized that the OCCA had refused to consider the claims on the merits in deciding Cannon’s state petition for post-conviction relief. The OCCA concluded that the claims were procedurally defaulted because Cannon failed to raise them on direct appeal.
See Cannon II,
In its brief on appeal, the state reasserts the procedural bar. Its brief, however, simply refers this court to its inadequate briefing before the district court. Like the district court, we conclude that the state has failed to carry its burden as set forth in Hoolcs and, therefore, proceed to the merits of Cannon’s claims.
. This court is well aware that subsequent DNA tests on Exhibit 83, the pants allegedly worn by LaFevers, demonstrated that the blood on those pants came from Cannon rather than the victim.
See LaFevers v. Gibson,
. This court recognizes that recently information has come to light casting serious doubt on the veracity of Gilchrist's testimony in a large number of criminal prosecutions.
See generally
CBS News/60 Minutes II,
Under the Microscope,
(May 9, 2001)
http://www.cbsnews.com/now/sto-ry/Q,1597,290046- 412,00.shtml
(noting that Gilchrist is the "target of several investigations,” including an FBI investigation and noting that "there are growing concerns that she may have put people in prison with more sorcery than science”). In fact, there is serious reason to doubt the veracity of Gilchrist's testimony in this particular case.
See LaFev-ers,
. Furthermore, even Cannon’s own confession, a self-serving confession that consistently assigns primary blame to LaFevers, demonstrates that Cannon was well aware LaFevers intended to murder Ms. Hawley and that Cannon took actions to aid LaFevers in that purpose. For instance, Cannon stated that as he and LaFevers began to drive away from Ms. Hawley’s house, she fell from the car.
See Cannon I,
. In
Enmund v. Florida,
the Supreme Court reversed the death sentence of a defendant convicted under Florida’s felony-murder rule.
See
. See Appellant’s Brief at 87 ("Had the jury been properly instructed they were required to find Mr. Cannon personally had 'malice aforethought’ before finding him guilty, this issue would not be in question. However, if they were not properly instructed in the first stage, [there] would be an Enmund violation in the second stage....”).
. In resolving Cannon’s
Enmund/Tison
claim, both the OCCA and the district court expressed doubt as to whether those cases were even applicable given the context of this case.
See Cannon I,
.
Cf. Davis v. Georgia,
.
See Wainwright v. Witt,
. This court notes that the entire text of the voir dire of Vann is set forth in the district court’s order denying Cannon's habeas petition. We find it unnecessary to quote the entirety of that lengthy transcript a second time. Nevertheless, this court has closely reviewed the entire transcript of Vann’s voir dire in deciding this issue.
. Recognizing the healthy deference that must be afforded a state court finding of fact under 28 U.S.C. § 2254(d)(2) and (e)(1), Cannon asserts that this court should review the question of Vann’s bias
de novo
because that trial court did not make a specific enough finding on that question. As aptly noted by the district court in rejecting this same claim, Cannon's assertion runs directly contrary to Supreme Court’s precedent. In
Wainwright,
the petitioner asserted that the trial court’s simple command, given in response to the prosecution's challenge for cause, that the potential juror "step down” was not a sufficient finding of fact entitled to deference of federal habeas review.
See
We decline to require the judge to write out in a separate memorandum his specific findings on each juror excused. A trial judge’s job is difficult enough without senseless make-work. Nor do we think under the circumstances that the judge was required to announce for the record his conclusion that [the juror in question] was biased, or his reasoning. The finding is evident from the record.
Id.
