COMMONWEALTH of Pennsylvania, Appellee, v. Miguel RIOS, Appellant.
920 A.2d 790
Supreme Court of Pennsylvania.
Decided April 18, 2007.
Submitted April 11, 2003.
Amy Zapp, Esq. Hugh J. Burns, Jr., Esq., Philadelphia District Attorney‘s Office, for Commonwealth of Pennsylvania.
BEFORE: CAPPY, C.J., and CASTILLE, SAYLOR, EAKIN, BAER and BALDWIN, JJ.
OPINION
Chief Justice CAPPY.
Appellant Miguel Rios appeals from the Order of the Court of Common Pleas of Philadelphia County (PCRA court) denying and dismissing his Petition under the Post Conviction Relief Act (PCRA),
On August 27, 1992 Appellant rang the doorbell of a residence where Jose Ortiz lived with his girlfriend, Carmen Colon, their two-year old son, and Carmen‘s sister, Irma Colon. When Irma Colon answered the door, she found Appellant dressed in a Philadelphia Gas Works uniform and representing that he was there to check the gas meter. After being let into the house, Appellant took hold of Irma Colon‘s neck and demanded that she give him the key to admit an accomplice into the house. Appellant and his accomplice proceeded to the bedroom in which Mr. Ortiz, Carmen Colon and their son were sleeping. He threatened to kill Irma Colon unless Ortiz let him into the bedroom. Appellant then
Thereafter, both Irma and Carmen Colon were able to identify Appellant from a police photo array. After a warrant was issued, Appellant was apprehended while hiding in the closet of a home in Lancaster and arrested.
On June 17, 1993 a jury convicted Appellant of first-degree murder, robbery, unlawful restraint, aggravated assault, burglary, criminal conspiracy, and possession of an instrument of a crime. At the penalty phase, the jury found three aggravating circumstances: the murder occurred in the perpetration of a felony (burglary); defendant knowingly created a grave risk of death to another; and defendant had a significant history of violent crime felony convictions.
On appeal, this Court affirmed the judgments of sentence. See Commonwealth v. Rios, 546 Pa. 271, 684 A.2d 1025 (1996). Appellant filed a petition for a writ of certiorari with the United States Supreme Court, which was denied on May 19, 1997.
On appeal from the denial of PCRA relief, our standard of review is whether the ruling of the PCRA court is supported by the record and free of legal error. Commonwealth v. Breakiron, 566 Pa. 323, 781 A.2d 94 (2001). In order to qualify for PCRA relief, the appellant must prove by a preponderance of the evidence that his conviction or sentence resulted from one or more of the following statutorily enumerated factors:
- A violation of the Constitution of this Commonwealth or the Constitution or laws of the United States which, in the circumstances of the particular case, so undermined the truth determining process that no reliable adjudication of guilt or innocence could have taken place.
- Ineffective assistance of counsel which, in the circumstances of the particular case, so undermined the truth determining process that no reliable adjudication of guilt or innocence could have taken place.
- A plea of guilty unlawfully induced where the circumstances make it likely that the inducement caused the petitioner to plead guilty and the petitioner is innocent.
- The improper obstruction by government officials of the petitioner‘s right of appeal where a meritorious appealable issue existed and was properly preserved in the trial court.
- Deleted.
- The unavailability at the time of trial of exculpatory evidence that has subsequently become available and would
have changed the outcome of the trial if it had been introduced. - The imposition of a sentence greater than the lawful maximum.
- A proceeding in a tribunal without jurisdiction.
Appellant must further demonstrate that the issues raised in his petition have not been previously litigated or waived, and that “the failure to litigate the issue prior to or during trial or on direct appeal could not have been the result of any rational strategic or tactical decision by counsel.”
In this appeal, Appellant has raised many allegations of ineffective assistance of counsel throughout the guilt and penalty phases of his trial. In Pennsylvania, we begin with the presumption that counsel is effective. Commonwealth v. Rollins, 558 Pa. 532, 738 A.2d 435, 441 (1999). In order to overcome this presumption, an appellant must establish three elements: (1) the underlying claim has arguable merit; (2) counsel had no reasonable basis for his action; and (3) the petitioner was prejudiced by the ineffectiveness. Commonwealth v. Pierce, 515 Pa. 153, 527 A.2d 973, 975-76 (1987). In determining whether counsel‘s actions were reasonable, we do not question whether there were other more logical courses of action which counsel could have pursued: rather, we must examine whether counsel‘s decisions had any reasonable basis. Rollins, 738 A.2d at 441. Further, in order to establish prejudice, it must be demonstrated that “but for the act or omission in question, the outcome of the proceedings would
Under Commonwealth v. McGill, 574 Pa. 574, 832 A.2d 1014 (2003), the only claim of ineffectiveness that Appellant can assert in PCRA proceedings is that of appellate counsel‘s ineffectiveness for failing to claim on direct appeal that trial counsel was ineffective.1 McGill, 832 A.2d at 1021. The failure to allege appellate counsel ineffectiveness will waive the underlying ineffectiveness claim against trial counsel. Appellant must, then, plead, present, and prove the ineffectiveness of appellate counsel pursuant to the general Pierce test of ineffectiveness; i.e. that the underlying claim of appellate counsel ineffectiveness has arguable merit, appellate counsel had no reasonable basis for his action, and appellate counsel‘s ineffectiveness prejudiced Appellant. See Pierce, 786 A.2d at 213. In order to establish the first prong, arguable merit, as to appellate counsel‘s alleged ineffectiveness, Appellant must
In McGill, we recognized that due to the confusion surrounding the presentation of layered claims of ineffectiveness some appellants had failed to layer their ineffectiveness claims or had done so improperly, such as by a boilerplate allegation of ineffectiveness by all prior counsel. In such cases we held that “a remand to the PCRA court may be appropriate for cases currently pending in the appellate courts where the petitioner has failed to preserve, by pleading and/or presenting, a layered ineffectiveness claim in a manner sufficient to warrant merits review.” Id. at 1024. In Commonwealth v. Rush, 576 Pa. 3, 838 A.2d 651, 657 (2003), however, we explained that a remand “is not automatically appropriate.” We stated:
Nevertheless, there is simply no need to remand a PCRA petition when the petitioner has not carried his Pierce burden in relation to the underlying claim of trial counsel‘s ineffectiveness, since even if the petitioner were able to craft a perfectly layered argument in support of his claim, the petitioner‘s claim would not entitle him to relief. In these circumstances, a petitioner would never be able to establish the arguable merit prong necessary for proving appellate counsel ineffective.
Rush, 838 A.2d at 657-58. Thus, we will not remand a case to the PCRA court for the opportunity to properly plead and prove a claim of appellate counsel ineffectiveness when Appellant cannot establish that trial counsel was ineffective. To do so would merely allow Appellant to engage in an exercise in futility as trial counsel ineffectiveness is necessary to establish the first prong of a properly layered claim of appellate counsel ineffectiveness.
Appellant has raised twenty-three issues and several subissues in this appeal, raising claims of error in both the guilt
Appellant first asserts that trial counsel was ineffective for failing to object to the trial court‘s jury instructions on accomplice liability. He contends that the instructions improperly relieved the Commonwealth of its burden of proving every element of first degree murder beyond a reasonable doubt. Specifically, Appellant asserts that the trial court did not explain to the jury that in order for an accomplice to be convicted of first-degree murder, the Commonwealth must prove beyond a reasonable doubt that the accomplice himself had the specific intent that the victim be killed. Appellant contends that the instructions provided by the court failed to illustrate this principle and thus permitted the jury to find Appellant guilty of first-degree murder on the basis of the state of mind of the unapprehended accomplice.
The issue of trial counsel ineffectiveness has already been litigated as an ineffectiveness claim on direct appeal, wherein we rejected Appellant‘s contention that trial counsel was ineffective.2 We held that “the trial court thoroughly explained the concept of specific intent to kill. The trial court also explained that an accomplice or co-conspirator can be liable if he shares the intent to commit the crime at issue, i.e. first degree murder. Consequently, there is no merit in Appellant‘s underlying claim of trial court error because the trial
Because, however, this is a layered claim of ineffectiveness, we will not deem this issue to be barred by
Appellant next contends that he was denied a fair trial because six or seven jurors saw him bound in handcuffs and flanked by sheriffs during a recess in the trial. Defense counsel moved for a mistrial or an immediate curative instruction. Further, Appellant charges that trial counsel was ineffective in failing to object to the trial court‘s refusal to give a curative instruction when six or seven jurors saw him bound in handcuffs.3
The record indicates that during a recess in trial, counsel informed the trial court that Appellant told him that six or seven jurors had seen him walking in the hallway with the sheriff as he returned from the men‘s room wearing handcuffs. Trial counsel moved for a mistrial or, alternatively, for a curative instruction. The trial court explained that it wanted to wait to give the curative instruction because a contemporaneous instruction would do more harm than good by highlighting the incident for the jury. The trial court later instructed the jury that although the defendant had been arrested and was in custody, these facts could not be used as evidence of guilt.
Under these circumstances, Appellant has failed to demonstrate that trial counsel was ineffective for acquiescing to the trial court‘s course of action. Initially, Appellant‘s underlying claim that some of the jurors viewed him briefly in handcuffs lacks support in the record. The only evidence of this episode is Appellant‘s uncorroborated statement to trial counsel that some of the jurors saw him in the hallway wearing handcuffs. Moreover, even if this brief viewing did occur, “[i]t is well settled law that a mere accidental observation of a defendant in handcuffs outside a courtroom by a juror does not, without more, require the granting of a mistrial, although a cautionary instruction by the trial court on the event will be appropriate.” Commonwealth v. Evans, 465 Pa. 12, 348 A.2d 92, 94 (1975).
Commonwealth v. Rios, 684 A.2d at 1032. As on direct appeal, we rely on the established precedent of this Court holding that the mere accidental observation of the defendant in handcuffs does not require a mistrial. Evans, 348 A.2d at 94. Therefore, Appellant cannot meet the arguable merit prong of his claim for appellate counsel ineffectiveness, since the claim for trial counsel ineffectiveness fails.
Appellant also contends that trial counsel was ineffective for failing to present exculpatory evidence in violation of
At the close of the defense‘s case, the trial judge conducted a colloquy as to the choice not to call the alleged alibi witnesses. The court explained to Appellant that he had a right to call the alibi witnesses in his defense. The court further explained that it would provide a jury instruction telling the jury to consider the alibi testimony in determining whether he could actually have committed the crime. Appellant confirmed on the record that he understood that alibi witnesses would not be presented and that he understood the implications of this omission. The colloquy, in relevant part, stated:
THE COURT: However, your attorney did send notice of alibi witnesses orally as a defense to the district attorney‘s office.
DEFENDANT: Yes.
THE COURT: Now, I am advised that you do not want to proceed with such witnesses. Is that correct?
DEFENDANT: No. I don‘t. I don‘t want to.
THE COURT: You don‘t want to?
DEFENDANT: No.
DEFENDANT: Correct.
N.T. 6/15/93, at 577. Thus, the record is clear that Appellant was presented with the option of calling alibi witnesses, and instructed as to the implications of calling such witnesses, but decided nevertheless not to do so.
This Court has held that “a defendant who makes a knowing, voluntary, and intelligent decision concerning trial strategy will not later be heard to complain that trial counsel was ineffective on the basis of that decision.” Commonwealth v. Paddy, 569 Pa. 47, 800 A.2d 294, 316 (2002) (citing Commonwealth v. Abu-Jamal, 553 Pa. 485, 720 A.2d 79, 93 (1998)). To do otherwise, the Court held, “would allow a defendant to build into his case a ready-made ineffectiveness claim to be raised in the event of an adverse verdict.” Id. In Paddy, the defendant complained of trial counsel‘s ineffectiveness for failing to call alibi witnesses. We held that “this ineffectiveness claim fails for the fundamental reason that Paddy agreed at trial to counsel‘s decision not to call the witnesses in question.” Id. at 315. As in this case, the trial court engaged Paddy in a colloquy as to the decision not to call the alibi witnesses. He replied that trial counsel had explained her decision not to call the witnesses and that he agreed. He further stated that he understood that he had a right to call the witnesses. We dismissed his claim, stating:
As Paddy expressed the view that the decision not to call alibi witnesses was his as well as trial counsel‘s, and his decision has not been shown to have been unknowingly, involuntarily, or unintelligently made, this allegation of ineffectiveness lacks arguable merit.
Id. at 316. Likewise, in this case, the trial court conducted a colloquy to determine whether Appellant knew of his right to call the alibi witnesses and waived this right knowingly. There is no indication from the record that there was anything other than a voluntary decision on the part of the Appellant, in consultation with counsel, to waive his right to call the alibi witnesses. In fact, while the defendant in Paddy merely
Appellant contends that trial counsel was ineffective in not requesting the trial court to provide the jury with a cautionary instruction regarding the identification testimony of Irma and Carmen Colon. He argues that Irma Colon had but a limited opportunity to identify the Appellant, as she was only able to catch quick glances at several points during the criminal episode. Likewise, Appellant states that Carmen Colon had only a limited view of him, as she was awaken from sleep and had her face covered for much of the incident in the bedroom. As such, Appellant argues that pursuant to our Court‘s holding in Commonwealth v. Kloiber, 378 Pa. 412, 106 A.2d 820 (1954), he was entitled to an instruction warning the jury about the unreliability of the testimony in light of the limited opportunity of the witnesses to observe him. He alleges that trial counsel was ineffective in failing to object to the lack of such instruction.
In Kloiber this Court held:
[W]here the witness is not in a position to clearly observe the assailant, or he is not positive as to identity, or his positive statements as to identity are weakened by qualification or by failure to identify defendant on one or more prior occasions, the accuracy of the identification is so doubtful that the Court should warn the jury that the testimony as to identity must be received with caution.
Kloiber, 106 A.2d at 826-27. Thus, Kloiber entitles a defendant to a cautionary instruction when either (1) the witness was in a position that prevented a clear observation of the actor; (2) he is equivocal in his identification of the assailant; or (3) he has failed to identify the defendant on one or more prior occasions. The existence of one of these factors will cast such doubt upon the accuracy of the identification so as to require a cautionary instruction.
As none of the Kloiber factors have been implicated, there was no need for the trial court to provide a cautionary instruction. As such, counsel was not ineffective in not requesting such an instruction.
On a related issue, Appellant argues that trial counsel was ineffective in failing to cross-examine Irma Colon regarding her prior statements about her opportunity to observe his identity. Appellant again argues that Irma Colon did not have ample opportunity to observe him and that this was reflected in her testimony at the preliminary hearing, which was allegedly contradicted at trial.
Appellant states that at the preliminary hearing, Irma Colon testified that it took fifteen seconds for the perpetrator to enter the house and throw her to the couch. N.T. 10/14/92 at 38. At trial, however, Appellant points out that that Irma Colon testified to a sequence of intervals which add up to more than fifteen seconds. N.T. 6/14/93 at 398. Further, Appellant alleges inconsistency in Irma Colon‘s pre-trial testimony, in which she stated that she could not see the perpetrator‘s face while she was on the couch, or while she was taken from the first floor to the second. N.T. 10/14/92 at 26, 38, 39, 40, 47. At trial, she testified that she was able to look at him while she was on the couch. Indeed, she testified that he stated
The Commonwealth argues that there was no real contradiction as to the length of time Irma Colon was able to view Appellant. She did not, as at the preliminary hearing, give a precise time frame in which she was able to see him, but did testify that she was able to see him sufficient that she could recognize him if she saw him again. N.T. 6/14/98, at 398. Further, there was no inconsistency as to Irma Colon‘s testimony regarding whether she could see Appellant‘s face while she was struggling with him on the couch. Both pre-trial and at trial she testified that she could not, in fact, see his face during the struggle. The Commonwealth concedes that Irma Colon‘s testimony was inconsistent in one instance. She stated at the preliminary hearing that she could not see Appellant‘s face after she had led him into the bedroom. At trial, however, she testified that she saw his face when he made her give him her jewelry. The Commonwealth points out, however, that Appellant has not put forth any evidence that counsel did not decide not to cross examine Ms. Colon on this single point out of some strategic consideration or that Appellant had established prejudice in any way.
The law presumes that trial counsel was effective. Commonwealth v. Miller, 494 Pa. 229, 431 A.2d 233 (1981). In order to establish a claim of ineffectiveness of counsel, the burden is on the criminal defendant to prove that (1) the underlying claim is of arguable merit; (2) counsel‘s performance had no reasonable basis; and (3) counsel‘s ineffectiveness worked to his prejudice. Commonwealth v. Baez, 554 Pa. 66, 720 A.2d 711, 733 (1998) (citing Commonwealth v. LaCava, 542 Pa. 160, 666 A.2d 221, 229 (1995)). Trial counsel‘s assistance is deemed constitutionally effective if the particular course
An examination of the record reveals that there is no real contradiction between Irma Colon‘s pre-trial statement and trial testimony regarding the length of time she was able to see Appellant. She stated that she saw him for sufficient time to be able to identify him if she would see him again. The only inconsistency on the record is that Irma Colon testified at trial that she was able to see Appellant‘s face while in the bedroom, whereas in her pre-trial statement she said that she was unable to see his face once in the bedroom.
The one minor inconsistency in Irma Colon‘s testimony does not establish Appellant‘s claim for ineffectiveness. See Baez, supra, and Moore, supra. Appellant has the burden of proving that counsel‘s failure to impeach Irma Colon on this point worked to his prejudice. He has not done so. As there was but one minor inconsistency in Irma Colon‘s testimony, and she testified to ample other opportunities to view Appellant, his burden of proving prejudice from trial counsel‘s failure to cross examine Irma Colon on the inconsistency has not been met. As such, the presumption that counsel was effective stands. See Commonwealth v. Albrecht, 554 Pa. 31, 720 A.2d 693 (1998).
Appellant claims that counsel was ineffective for failing to object to the trial court‘s erroneous instruction on reasonable doubt. The court explained to the jury that “a reasonable doubt is a doubt that would restrain a reasonably careful and sensible person from acting upon a matter of importance in his own affairs.” N.T. 6/16/93 at 634. Appellant points out that the standard Pennsylvania jury instruction for reasonable doubt states, “A reasonable doubt is a doubt
This Court has previously addressed this very issue. In Commonwealth v. Porter, 556 Pa. 301, 728 A.2d 890 (1999), the appellant put forth the same argument, that the trial court erred in using “restrain” rather than “hesitate” in its instruction on reasonable doubt. This court rejected the claim. We wrote:
This hyper-technical semantical claim is rejected on a plethora of bases. First, although we have historically considered the language contained in these standard instructions to be an aid in our review, we have not placed our imprimatur upon them. See generally, Commonwealth v. Tilley, 528 Pa. 125, 595 A.2d 575, 583 (1991). Second, even if we had adopted this specific instruction, it is an unquestionable maxim of law in this Commonwealth that a trial court has broad discretion in phrasing its instruction, and may choose its own wording so long as the law is clearly, adequately, and accurately presented to the jury for its consideration. Commonwealth v. Ohle, 503 Pa. 566, 470 A.2d 61, 70 (1983). In this matter the distinction between “hesitate” and “restrain before acting” is de minimis and clearly such a subtle variation in phrasing would not be an abuse of the trial court‘s discretion. Finally, this court has actually approved of a reasonable doubt instruction which tells the jury that it is “the kind of doubt that would restrain a reasonable man (or woman) from acting....” Commonwealth v. Young, 456 Pa. 102, 317 A.2d 258, 262 (1974).
Porter, 728 A.2d at 899-90; see also Commonwealth v. Hawkins, 567 Pa. 310, 787 A.2d 292, 301-02 (2001). Thus, it is clear that the jury instruction regarding reasonable doubt was not erroneous. As such, Appellant‘s claim of ineffectiveness must necessarily fail.
Appellant characterizes the following testimony of Carmen Colon as victim impact testimony: that her son was two years old at the time of the murder; that she had been romantically involved with the victim for four years; that she was three months pregnant at the time of the shooting; and that she was wearing only a bra and panties at the time of the shooting. Appellant contends that such facts have no relevance other than to inflame the jury and distract it from its essential fact-finding role.
Victim impact testimony is defined by
Because the testimony at issue was not victim impact testimony, counsel was not ineffective for failing to object thereto. As such, Appellant‘s claim fails.
Appellant next alleges ineffectiveness of counsel for failing to object to several of the prosecutor‘s statements from the guilt phase closing arguments which he deems to be prosecutorial misconduct.
First, Appellant contends that the prosecutor “invited the jury to put itself in the witnesses’ place, imagine their fear, and reach a verdict based on terror instead of an objective evaluation of the evidence.” Appellant‘s Brief at 89. Appellant was referring to the prosecutor‘s description of the violent and chaotic nature of the crime. He did refer to the witness’ fear, but not in order to influence the jury‘s decision. Rather, the prosecutor was merely attempting to explain how it was unlikely that the Colon sisters would not be able to remember the appearance of the man responsible for such actions and later to identify him. This was merely arguing from the evidence presented and did not invite the jury to reach a verdict based on terror. As such, this was not prosecutorial misconduct.
Appellant also claims that the prosecutor committed misconduct when he “asked jurors to base their decision on the purported fact that, absent a conviction, the lives of the witnesses would be jeopardized.” Appellant‘s Brief at 89. He refers to statements of the prosecutor explaining that Carmen and Irma Colon would have to return to the neighborhood after the trial and that in such neighborhoods, witnesses are regarded as snitches. N.T. 6/15/93 at 614-15. The substantive question of whether this statement constituted prosecutorial misconduct was litigated on direct appeal. In our opinion therein, we rejected the claim of misconduct and explained that the prosecutor raised such issues only to illustrate that Irma and Carmen Colon would have no motivation to lie.
Likewise, Appellant next contends that trial counsel erred in not objecting to the prosecutor‘s arguments without a basis in the record. Specifically, the prosecutor described Appellant as “a very intelligent man” in describing the way in which he planned and executed the crime. N.T. 6/15/93 at 604. Trial counsel requested a mistrial, which the court denied. The underlying issue of whether this statement constituted misconduct was also previously litigated. On direct appeal, we held that the trial court did not err in denying a mistrial. Rios, 684 A.2d at 1033. We explained that a prosecutor may make “all reasonable inferences that find support in the evidence.” Id. (citing Commonwealth v. Sam, 535 Pa. 350, 635 A.2d 603, 608 (1993)). We held that the evidence on record that Appellant “concocted a clever ruse to disguise the criminal purpose of his visit to the victim‘s home” supported the prosecutor‘s inference that Appellant is a very intelligent man. Rios, 684 A.2d at 1033. This claim of ineffectiveness must also fail. As previously explained, the prosecutor‘s comment was not improper in any way. As such, there is no arguable merit for a claim of ineffectiveness stemming therefrom. Further, Appellant cannot show that this one comment,
Further, Appellant argues that the prosecutor committed misconduct in arguing that the decedent “was going to die no matter what he did.” N.T. 6/15/93 at 617. He contends that this was improper because there was little evidence that the victim knew Appellant or that his death was inevitable. Appellant consequently contends that trial counsel was ineffective in failing to object to this statement.
The prosecutor‘s statement did not constitute misconduct. The prosecutor was merely making an argument based upon the evidence as to the nature of the crime. A prosecutor may urge the jury to draw any inference that is reasonably supported by the evidence. See Commonwealth v. Sam, 535 Pa. 350, 635 A.2d 603, 608 (1993). Here, the evidence presented supports the inference that Appellant had conspired to kill, not merely rob, the victim. Therefore this line of argument was not prosecutorial misconduct.
Appellant also contends that the prosecutor committed misconduct by arguing that the lack of a shell casing at the scene evidences the calculated execution of a conspiracy to murder the decedent. He argues that there was no testimony indicating that Appellant had taken the shell casing. As such, he contends that the prosecutor was arguing facts not on the record and that this constitutes misconduct. Because counsel did not object to this argument, Appellant claims ineffectiveness.
There was no testimony establishing that Appellant or his accomplice actually removed the shell casing from the scene.
In this case, we must presume that counsel was effective unless proven otherwise. Commonwealth v. Miller, 494 Pa. 229, 431 A.2d 233, 235 (1981). Appellant‘s claim for ineffectiveness cannot succeed here as he has not demonstrated that he was prejudiced by counsel‘s failure to object to the prosecutor‘s argument. The few sentences urging the jury to infer a well-planned and executed crime from the absence of a shell casing were but a minor addition to the closing argument. This case focused primarily on identification, the well-hatched plan was not a significant part of the prosecution‘s theory. It was supported, however, by other evidence, such as the fact that Appellant and his accomplice procured Philadelphia Gas Works uniforms and gained entry into the house by claiming that they needed to check the gas meter. Appellant has not demonstrated how one minor fact of a relatively unimportant part of the prosecution‘s theory has caused him prejudice. Consequently, Appellant‘s ineffectiveness claim must fail. See Commonwealth v. Albrecht, 554 Pa. 31, 720 A.2d 693, 701 (1998).
Next, Appellant contends that the prosecutor committed misconduct in stating “if I walk into this door and take out a gun and take one of you out and blow your brains out, you can bet....” N.T. 6/15/93 at 603. At this point trial counsel objected and moved for a mistrial. The court sustained the objection, instructing the prosecutor not to involve the jury in the case, but denied the motion for a mistrial. Id. Appellant contends, however, that the prosecutor‘s statements violate this Court‘s holding in Commonwealth v. Brown, 489 Pa. 285, 414 A.2d 70, 76 (1980), that “[d]eliberate attempts to destroy the objectivity and impartiality of the finder of fact so as to cause the verdict to be a product of the emotion rather than reflective judgment will not be tolerated.”
An examination of the record shows, however, that the prosecutor was not attempting to emotionally charge the
Finally, Appellant argues that counsel was ineffective in failing to object to the prosecutor‘s statements that, “You saw the photo spread. They picked out this man. Think of it. Would you have forgotten the man who comes in and does that? She has all the Puerto Ricans in all of North Philadelphia to pick from. She picks him. He is the one.” N.T. 6/15/93 at 606. Appellant claims that this statement constitutes misconduct in that it incorrectly suggested that he was
These arguments are without merit. The statements cannot be reasonably construed that Irma and Carmen Colon actually picked Appellant out from among every Puerto Rican in North Philadelphia. Rather, the statement was merely an example of oratorical flair. We have held that prosecutorial misconduct will not be found when comments were only oratorical flair. Commonwealth v. Jones, 571 Pa. 112, 811 A.2d 994, 1006 (2002). Here, as the prosecutor‘s comments cannot be reasonably interpreted as anything except oratorical flair, Appellant‘s claim fails. Likewise, there is no indication that the prosecutor was improperly injecting race into the proceedings in order to prejudice the jury. He was merely arguing that Appellant, a Puerto Rican male, was identified unequivocally by Irma and Carmen Colon as the perpetrator.
Appellant next asserts a series of claims for PCRA relief stemming from alleged errors at the penalty phase of his trial. First, Appellant claims that he is entitled to a new sentencing hearing due to trial counsel‘s ineffectiveness in investigating, developing, and presenting significant mitigating evidence. Specifically, Appellant argues that counsel failed to prepare and present evidence relating to two specific mitigating circumstances, his upbringing and family history and his mental health issues. We shall examine these in the order in which they were raised by Appellant.
An ineffectiveness claim based on counsel‘s failure to pursue all reasonably available avenues of developing mitigating evidence constitutes a mixed question of fact and law. As such, our standard of review is de novo and we will draw our own legal conclusions as to whether counsel‘s conduct fell below the constitutionally required standards. Commonwealth v. Gorby, 589 Pa. 364, 909 A.2d 775 (2006) (Cappy, C.J. joined by Newman, J. concurring).6 As such, we owe no
Appellant contends that trial counsel failed to present sufficient lay testimony as to his upbringing and family difficulties. Only the testimony of Jacinto Rios, Appellant‘s brother, was presented. Appellant states that several additional family members were available to testify, but that trial counsel failed to contact them.
Counsel was not ineffective in failing to present the additional family testimony as Appellant himself played a role in their exclusion. Appellant specifically instructed trial counsel not to present additional family witnesses. N.T. 4/4/2000 at 137. In fact, Appellant threatened trial counsel not to call such additional witnesses. Id. Appellant may not now allege that counsel was ineffective for following his directives.
In Commonwealth v. Sam, 535 Pa. 350, 635 A.2d 603 (1993), we held that the failure of defendant‘s counsel to present mitigating evidence did not constitute ineffectiveness when the defendant directed counsel not to present such evidence. While Sam had instructed his trial counsel not to present mitigating evidence at the penalty hearing, he later argued that no attorney has the discretion in a death penalty case to follow his client‘s instruction not to present such evidence. Sam, 635 A.2d at 611. He argued that an attorney has a duty in such a situation to defy his client and present mitigating evidence. Id. We rejected this argument. We held that “[a] criminal defendant has the right to decide whether mitigating evidence will be presented on his behalf.” Id. at 611-12. As such, “counsel has no duty to introduce and argue evidence of mitigating circumstances where his client has specifically directed otherwise.” Id. at 612 (citing Commonwealth v. Tedford, 523 Pa. 305, 567 A.2d 610 (1989) (trial court has no duty to compel the introduction of mitigating evidence at sentencing phase of trial when the defendant has specifically instructed counsel not to present such evidence)). Like the defendant in Sam, Appellant had specifically instructed his counsel not to present the testimony of additional family members. It was
Appellant next argues that counsel was ineffective for failing to introduce two mental health reports and for failing to follow alleged leads contained in such reports regarding Appellant‘s mental health condition. Specifically, Appellant contends that the 1982 Saul Report and the 1984 Byrne Report, assessments prepared by mental health experts, illustrate that he has severe mental and emotional difficulties that should have been put before the jury as mitigating factors. This claim fails in that counsel obtained a stipulation from the Commonwealth that Appellant had been diagnosed as schizophrenic and was able to argue the mental health issue to the jury as a mitigating factor. Counsel specifically chose to limit his mental health evidence to the stipulation so as to put the diagnoses before the jury without delving into the negative statements in the mental health reports. N.T. 7/12/00 at 25-26, 28-30.
The PCRA court found that counsel was not ineffective in failing to present the mental health reports and evidence gleaned therefrom in that by relying upon the stipulation as to Appellant‘s mental health he was able to avoid cross examination and rebuttal by the Commonwealth. We agree.7
diagnosis of schizophrenia contained in reports that were nine and eleven years old at the time of trial was by no means unassailable. As the PCRA court pointed out, the stipulation was, in fact, a coup for Appellant as the Commonwealth had reliable evidence that Appellant was not mentally ill, was fully capable of presenting the criminality of his acts, and was not under extreme mental or emotional stress at the time of the crime. Trial Court Opinion, 4/25/02 at 3. As such, counsel‘s decision to rely upon the stipulation rather than independently pursuing testimony as to Appellant‘s mental health cannot be deemed to be ineffectiveness.
In addition to the above outlined independent grounds to deny Appellant‘s ineffectiveness claims stemming from both counsel‘s alleged failure to call additional family witnesses and to present additional mental health issues, they must also fail under our holding in Commonwealth v. Marshall, 571 Pa. 289, 812 A.2d 539 (2002). In Marshall, Appellant argued that counsel was ineffective in failing to present testimony of family members in order to establish the catch-all mitigating factor of
Appellant asserts that he is entitled to relief from his death sentence because the prosecutor deliberately misled the sentencing jury regarding the criminal record of his brother, Jacinto Rios. The prosecution asked Jacinto Rios three questions regarding his criminal background:
Q. Sir you have never been arrested or convicted for or (sic) killing anybody ... have you?
A. No.
Q. You have never been in trouble?
A. No.
Q. You have never been convicted of breaking into somebody‘s house and taking their property, have you, sir?
A. No.
Appellant alleges that this line of questioning and argument was improper because it misled the jury as to Jacinto Rios’ criminal record. Appellant contends that at the time of his testimony, Jacinto had multiple convictions and was at that very time being prosecuted for a drug related offense. As such, Appellant claims that counsel was ineffective in failing to object to this line of questioning and impeach Mr. Rios on his record.
This claim is frivolous. First, only one line can be construed as even arguably misleading, when Jacinto Rios testified that he had never “been in trouble.” Jacinto Rios’ criminal record, attached to Appellant‘s PCRA Petition, reveals that he had, in fact, one eight year old conviction for possession of a controlled substance with intent to deliver and criminal conspiracy at the time of his testimony. While he was also being prosecuted for a drug related offense at the time of his testimony he was not yet convicted. In his closing argument, the prosecutor did not argue that Jacinto Rios had never been in trouble, rather, he argued that Jacinto had never killed anyone. As such, taken in context, Jacinto Rios’ testimony as to his criminal record was not misleading. In addition, Appellant has set forth nothing to prove that, even if these comments were improper, they caused him prejudice. A bald assertion of improper questions in the course of cross examination is insufficient, absent a showing of prejudice, to support a claim for ineffectiveness. See Albrecht, 720 A.2d at 701.
Appellant contends that counsel was ineffective in failing to object to the use of his prior conviction for burglary
Appellant argues that the trial court erred in permitting testimony detailing the facts of his 1975 convictions for robbery, possession of an instrument of a crime, and aggravated assault in order to establish the
Appellant contends that in order to establish the significant history aggravator, the prosecutor need only show that the defendant had the relevant prior convictions. It is not proper, he contends, to introduce details of the prior convictions, as these details are unnecessary and can only serve to prejudice the jury. This contention is contrary to our law. In Commonwealth v. Marshall, 537 Pa. 336, 643 A.2d 1070, 1074 (1994), we held:
[a] capital sentencing hearing is not a sanitized proceeding limited only to evidence of aggravating circumstances. Rather, it must, by necessity, inform the jury of the history and natural development of the events and offenses with which the appellant is charged, as well as those with which he has been convicted, so that the jury may truly understand the nature of the offenses and Appellant‘s character. The jury simply cannot perform its function in ignorance of the facts of the crime for which Appellant is being sentenced, or the crimes for which he has previously been convicted, to the extent that those crimes may properly support the existence of aggravating circumstances provided in
Section 9711(d) .
Id. (Emphasis added) (internal citations omitted). Thus, it was perfectly consistent with the law of this Commonwealth for the court to allow details of Appellant‘s prior crimes to establish the significant history aggravator.9 As such, Appellant‘s ineffectiveness claim must fail.
The core of Appellant‘s argument is that
Appellant does challenge the sufficiency of the evidence supporting the jury‘s finding that he knowingly created a grave risk of death to another person in addition to the victim. Appellant contends there was no grave risk of death because Irma, Carmen and her baby were not close enough to the victim when the shot was fired for any of them to have been endangered. We disagree.
Commonwealth v. Rios, 546 Pa. 271, 684 A.2d 1025, 1036 (1996). We explained that it is not necessary for the endangered bystander to be in the direct line of fire in order to be placed in a grave risk of death. We further explained that the aggravator has been found in situations when, as here, only a single shot was fired into the victim at close range. Rios, 684 A.2d at 1037. As such, we held that there was sufficient evidence to support the jury‘s finding that the
Here, Appellant couches his arguments in terms of a constitutional argument that the aggravator is vague and overbroad. The gist of the ineffectiveness argument, however, is identical to that raised on direct appeal, that the facts of this case do not support finding the aggravator and counsel did raise an
Next, Appellant contends that trial counsel was ineffective in failing to object to the trial court‘s jury instructions at the close of the penalty phase, which were weighed in favor of death in violation of his rights under the Eighth and Fourteenth Amendments to the United States Constitution as well as Article I, § 13 of the Pennsylvania Constitution. This contention is without basis in law or fact.
Appellant argues that the trial judge gave several examples of how aggravating circumstances could outweigh mitigators, but only one example of how mitigating circumstances could outweigh aggravators. Further, he alleges that the court only once explained to the jury how it could impose a sentence of life in prison.
An examination of the record reveals no irregularities in the instructions of the trial court. The court specifically instructed the jury that “[y]ou have to decide whether to sentence the defendant to death or life in prison. Your sentence will depend on what you find about aggravating circumstances on the one hand and mitigating circumstances on the other hand.” N.T. 6/17/93 at 783-84. The court‘s instructions were consistent with the law of this Commonwealth in that it explained to the jury that if it finds that the aggravating circumstances, if any, outweigh any mitigating circumstances, it must impose death. Id. at 784. The court specifically instructed: “Now in all other situations you may not impose the death penalty.” Id. The court also explained that the jury could also impose life in prison if it could not come to a unanimous decision in favor of death. Id. at 785. Further, the court explained that if the jury cannot agree as to whether to impose death or life imprisonment, it must report to the judge, who would enter a verdict of life in prison. Id. Contrary to Appellant‘s contention, the jury was well apprised of its role in determining whether to impose a sentence of death or life imprisonment. It was made very clear that death could only be imposed in one circumstance, when they found that the aggravators out
Appellant claims that the trial court misinstructed the jury as to how it should consider mitigating evidence. Appellant asserts that trial counsel was ineffective for failing to object and pursue this claim.
Specifically, Appellant claims that the trial court “improperly told the jury to consider all of the mitigating evidence together in deciding whether Appellant had met his burden of proof regarding any mitigating circumstance.” Brief of Appellant, at 71 (emphasis original). Appellant reasons that weighing the mitigating evidence as such could result in prejudice in that weakness in establishing any given mitigator will carry over to diminish the proof in establishing any other factor. To the contrary, Appellant states that evidence of each mitigator must be considered individually in determining whether that particular mitigator has been established.
Appellant‘s claim fails. First, a review of the record shows that the court did not instruct the jury as to weighing the mitigators as characterized by Appellant. The court instructed the jury that they must find that the defendant had proven the mitigating circumstances by a preponderance of the evidence. N.T. 6/17/93 at 788. The court then explained the jury‘s task of balancing the evidence as to the mitigating circumstances saying, “If the scales tip in favor of any of the mitigating circumstances, then the defendant has proven his burden.” Thus, the court instructed the jury to weigh the evidence as to each individual mitigating circumstance.
In addition, even if Appellant were correct in his allegations of error as to the jury instruction, his contention would nevertheless fail under our case law for lack of prejudice. Appellant alleges error in the instructions because of their potential to mislead the jury in its balancing of the evidence so as to redistribute strong evidence of one mitigator
Appellant next claims that the trial court failed to adequately instruct the jury as to the nature of aggravating and mitigating circumstances and that trial counsel was ineffective in failing to object. Specifically, he argues that the court erred in instructing the jury that aggravating circumstances “make a first degree murder case more terrible and deserving of the death penalty than not. Mitigating circumstances are those factors which make the case less terrible and less deserving of the death penalty than not.” Brief of Appellant at 74 (quoting N.T. 6/17/93 at 745-46.) Appellant argues that in explaining aggravation and mitigation in this way, the court changed the focus from his culpability to the “terrible” nature of the case.
We have addressed this very issue before in Commonwealth v. Johnson, 572 Pa. 283, 815 A.2d 563, 587 (2002). In Johnson, the exact instruction complained of here was given to the jury. Appellant Johnson argued that the instruction “impermissibly diverted the focus of the jury‘s life or death deliberation from a reasoned determination as to [Johnson‘s] personal culpability, to an amorphous and unguided consideration of how terrible ‘the case’ was.” Johnson, 815 A.2d at 587. We held:
We do not find that the instructions of the trial court, as a whole, interfered with the jury‘s evaluation of the specific mitigation evidence presented by Appellant or their assessment of his personal moral culpability. These instructions merely expressed to the jury, in layman‘s terms, the purpose for the distinction between aggravating and mitigating circumstances in a capital penalty phase.
Id. at 587-88 (quoting Commonwealth v. Stevens, 559 Pa. 171, 739 A.2d 507, 526-27 (1999)). It is, therefore, settled law that
Appellant claims that he was denied a fair sentencing proceeding where counsel failed to object to the trial court‘s instruction to the jury that it could not consider sympathy in its determination. Specifically Appellant takes issue with the following statement:
You should reach a fair decision, and you should not be influenced by passion or prejudice or sympathy or bias or hostility or anything else ...
You cannot let sympathy or bias or any kind of personal emotion or feelings enter into your decision.
N.T. 6/17/93 at 799. He claims that a good deal of evidence was presented, such as the testimony of family members, that had real potential for generating sympathy. He further contends that because these feelings could only have benefited him by making it more likely that the jury would impose a life sentence.
Appellant‘s contention must fail, as it is contrary to the established case law of this Court. In Commonwealth v. Lesko, 509 Pa. 67, 501 A.2d 200 (1985), we dismissed the appellant‘s claim that the trial court erred in its instruction to disregard sympathy in deciding whether to impose the death penalty. We rejected this contention, writing that:
Read as a whole, the trial judge‘s charge fully and fairly presented to the jury its duty to consider and weigh the aggravating factors which accompanied this killing against all mitigating factors, including the broad mitigation provision of
Section 9711(e) of the Sentencing Code,42 Pa.C.S. § 9711(e)(8) .
Lesko, 501 A.2d at 207. Further, the United States Supreme Court has also held that an instruction directing the jury to disregard sympathy in its sentencing determination does not violate the Eighth Amendment. In Saffle v. Parks, 494 U.S. 484, 110 S.Ct. 1257, 108 L.Ed.2d 415 (1990), the Court rejected the very argument set forth by Appellant here. It explained:
Saffle, 494 U.S. at 492-93, 110 S.Ct. 1257. As it is well established that a jury instruction not to allow feelings of sympathy to influence the sentencing consideration is constitutionally proper, counsel in this case were not ineffective in failing to object to such instruction. Appellant‘s claim thus fails.
Appellant claims that because the term “significant history” is not defined by Pennsylvania law, the
Appellant further contends that testimony elicited from his brother that Appellant has had six children with six women, but had never married the mothers, constitutes the introduction of a non-statutory aggravator into the jury‘s
It is well established that when cross examining a witness, a prosecutor is entitled to question the witness about “any facts tending to refute inferences arising from matters raised during direct testimony,” as well as “omissions or acts that are inconsistent with his testimony.” Commonwealth v. Begley, 566 Pa. 239, 780 A.2d 605, 627 (1999). Further, a trial court‘s ruling on the admissibility of evidence will not be reversed unless the opponent can show that the court abused its discretion. Commonwealth v. Spiewak, 533 Pa. 1, 617 A.2d 696, 699 n. 4 (1992). In this case, Jacinto Rios testified as to Appellant‘s character on direct examination. He testified that “he always be a good guy to everybody,” and that “he is a good person all the time.” N.T. 6/17/93 at 765. The prosecutor was entitled to elicit testimony on cross examination intended to refute any inference of good character raised by Jacinto Rios’ testimony and to illustrate acts that are inconsistent with that testimony. See Begley, 780 A.2d at 627.
Appellant contends that the trial court erred in failing to instruct the jury that a sentence of life imprisonment means life without the possibility of parole and that counsel was ineffective in failing to object. Appellant cites to Simmons v. South Carolina, 512 U.S. 154, 114 S.Ct. 2187, 129 L.Ed.2d 133 (1994), wherein the plurality held that due process requires such an instruction when the prosecution expressly places the defendant‘s future dangerousness at issue and the law of the state would prohibit the defendant‘s release on parole from a life sentence. Appellant claims that all prior counsel were ineffective in failing to obtain such an instruction and for failing to object to its omission.
The Simmons decision was not handed down until 1994, one year after Appellant‘s sentencing hearing. Prior to Simmons, long-standing precedent in Pennsylvania prohibited capital juries from hearing about Pennsylvania‘s life without parole statute. Commonwealth v. Smith, 544 Pa. 219, 675 A.2d 1221, 1233 n. 8 (1996) (citing Commonwealth v. Christy, 540 Pa. 192, 656 A.2d 877 (1995)). In O‘Dell v. Netherland, 521 U.S. 151, 157-67, 117 S.Ct. 1969, 138 L.Ed.2d 351 (1997), the United States Supreme Court held that Simmons constituted the creation of a new rule of law and was, therefore, not retroactive in application. Moreover, in Commonwealth v. Smith, supra, we held that an appellant cannot maintain a claim of ineffectiveness “for failing to request an instruction under
In this case, Simmons was decided while Appellant‘s direct appeal was pending. This does not change our analysis. We encountered this very situation in Commonwealth v. Jones, 571 Pa. 112, 811 A.2d 994 (2002). There, we held that just as trial counsel cannot be deemed ineffective for failing to request a not-yet-existent Simmons instruction, nor will appellate counsel be ineffective in failing to request a retroactive application of the rule. Jones, 811 A.2d at 1005. We explained, “in order for a new rule of law to apply retroactively to a case pending on direct appeal, the issue had to be preserved ‘at all stages of adjudication up to and including the direct appeal.‘” Id. (citing Commonwealth v. Tilley, 566 Pa. 312, 780 A.2d 649, 652 (2001)). In Jones, we held that the appellant had failed to preserve a Simmons type instruction through no fault of his own, thus precluding any retroactive application. Jones, 811 A.2d at 1005. We hold the same here. Trial counsel did not request, and thus did not preserve, a Simmons type instruction. As such, appellate counsel was not ineffective in failing to request a retroactive application on direct appeal.
Appellant claims trial counsel ineffectiveness for failing to object to alleged misconduct that the prosecutor committed in his closing argument of the penalty phase in violation of his rights to due process and a fair trial in violation of the Fifth and Fourteenth Amendments to the United States Constitution and corresponding provisions of the Pennsylvania Constitution.
He sets forth several allegations of impropriety in the prosecutor‘s closing argument that have already been addressed at length above. He argues that the prosecutor misrepresented the law regarding the “grave risk of death”
Appellant next claims that the prosecutor misstated the law in arguing that the legislature has decided that “there are some murders that just cannot be tolerated; that are more terrible than just what some people call an average murder, and they have enacted laws after careful consideration that certain killings require or sometimes demand that the penalty of death be imposed.” N.T. 6/17/93 at 770. This statement was improper, he reasons, in that it leads the jury to believe that the death penalty is mandatory for certain crimes.
This argument is specious. The prosecutor at no point indicated that certain types of murder carry by law a mandatory sentence of death. Further, the statute itself states that “the verdict must be a sentence of death if the jury unanimously finds at least one aggravating circumstance specified in subsection (d) and no mitigating circumstances or if the jury unanimously finds one or more aggravating circumstances which outweigh any mitigating circumstances.”
Appellant finally asserts that the prosecutor committed misconduct in asking the jury to sentence him to death in
Having addressed all of Appellant‘s claims of ineffectiveness of counsel, he has failed to establish that trial counsel was ineffective in a single instance. He is consequently unable to establish that there is any arguable merit to a claim of appellate counsel ineffectiveness as required under the layered analysis of McGill, supra. As we enunciated in Rush, there is no need for us to remand this case to allow Appellant to properly layer claims of ineffectiveness that cannot, as a matter of law, prevail.
Appellant has set forth three additional claims for relief under the PCRA that do not arise from a claim of ineffectiveness of counsel. First, Appellant argues that his death sentence was a product of systemic racial discrimination
Specifically, Appellant bases this claim on the study by Professors David Baldus and George Woodworth entitled Racial Discrimination and the Death Penalty in the Post-Furman Era: An Empirical and Legal Overview, with Recent Findings from Philadelphia, 83 Cornell L.Rev. 1638 (1998). Citing the study, Appellant claims that the pervasive racial discrimination at the district attorney‘s office made it at least 3.25 times more likely that he would receive the death penalty than if the victim of the crime had been black. Brief of Appellant, at 76. Further, he argues that the office trained its attorneys to strike African American jurors. Because this information was allegedly not available at the time of the judgment in this case, Appellant contends that it is cognizable for the first time on PCRA review.
This Court has specifically held that the Baldus / Woodworth study is not sufficient to give rise to a PCRA claim under
Further, neither this Court nor the United States Supreme Court will permit generalized allegations of discrimination or statistics showing a disproportionate application of the death penalty to members of certain groups to invalidate such sentences on constitutional grounds. In McCleskey v. Kemp, 481 U.S. 279, 107 S.Ct. 1756, 95 L.Ed.2d 262 (1987), the United States Supreme Court rejected appellant‘s claim that an earlier study by Baldus demonstrates that the death penalty is meted out in a racially discriminatory manner, and is
Our analysis begins with the basic principle that a defendant who alleges an equal protection violation has the burden of proving the existence of purposeful discrimination. A corollary to this principle is that a criminal defendant must prove that the purposeful discrimination had a discriminatory effect on him. Thus, to prevail under the Equal Protection Clause, McClesky must prove that the decision makers in his case acted with discriminatory purpose.
McCleskey, 481 U.S. at 292, 107 S.Ct. 1756. (emphasis original, internal citations omitted). The Court likewise held that McClesky‘s Eighth Amendment claim failed:
Despite McClesky‘s wide-ranging arguments that basically challenge the validity of capital punishment in our multiracial society, the only question before us is whether in his case, the law of Georgia was properly applied.
In Commonwealth v. Crews, 552 Pa. 659, 717 A.2d 487 (1998) we rejected appellant Crews’ similar claim that the death penalty was unconstitutional as applied in that it was disproportionately applied to the poor. In dismissing his claim, we cited to McCleskey, supra, and stated further that “Crews also fails to articulate how the death penalty is unconstitutional as applied to him.” Crews, 717 A.2d at 489.
In this case, Appellant only proffers statistics and generalized claims that the death penalty is applied in Philadelphia County in a racially discriminatory manner. He has not set forth any evidence to show that the allegedly pervasive discriminatory atmosphere affected his individual case. Mere allegations of general bias and statistics are not sufficient to meet the burden of proving purposeful discrimination as to Appellant‘s case. As such, this claim fails.
Appellant finally asks this court to remand this case for another evidentiary hearing and/or permit him the opportunity to amend his pleadings. Every case must have an ending. This case will end here. A party is not entitled to an evidentiary hearing where there are no issues of material fact. Commonwealth v. Hardcastle, 549 Pa. 450, 701 A.2d 541, 543 (1997). We have thoroughly examined each of the Appellant‘s claims and find that there are no issues that warrant additional evidentiary exploration. Likewise, a party may not resurrect a claim utterly devoid of merit by being afforded the opportunity to amend his pleadings ad infinitum. Appellant had a full and fair opportunity to litigate his petition under the PCRA before the court below, which denied him relief, and on appeal to this Court. After reviewing Appellant‘s claims, we find no error and affirm the holding of the PCRA court.
Justice CASTILLE, EAKIN and BAER join the opinion.
Justice SAYLOR files a concurring and dissenting opinion in which Justice BALDWIN joins.
Justice SAYLOR, concurring and dissenting.
I concur in the result with respect to the denial of Appellant‘s guilt-phase claims. As to certain penalty-phase claims, however, I would remand for a further hearing and specific findings of fact and conclusions of law from the PCRA court.
Appellant argues that his trial and appellate counsel were ineffective in failing to raise and preserve a claim that the prosecutor‘s exhortation in his closing remarks to the jury to “send a message to society” by returning a death sentence were inflammatory and prejudicial. See N.T., June 17, 1993, at 777-78 (reflecting the prosecutor‘s statement to the sentencing jury as follows: “You have, for the protection of society, to send a message to society that no, we will not tolerate this, ... and that when you impose the death penalty, send that message, and it is up to you, the law is allowing and giving you the opportunity to use that sword in your hand and you decide what you did [sic].“). The majority rejects this claim on the basis that, although the Court has recently held that such arguments are improper and per se prejudicial, see Commonwealth v. DeJesus, 580 Pa. 303, 860 A.2d 102 (2004), they were permitted at the time of Appellant‘s trial. See Majority Opinion, slip op. at 40.
In fact, however, the Court explained in DeJesus that it had not consistently approved such arguments, but instead, had “strongly admonished prosecutors to refrain from exhorting jurors to use their verdict to ‘send a message’ to the community or the judicial system.” DeJesus, 580 Pa. at 325, 860 A.2d at 116 (citing Commonwealth v. Crawley, 514 Pa. 539, 559, 526 A.2d 334, 344 (1987)). Crawley, cited in DeJesus for the proposition that send-a-message arguments analogous to that made in the present case were actually forbidden, was the
Appellant also claims that his trial counsel unreasonably failed to investigate and present substantial life-history and mental-health mitigation evidence at the penalty phase of trial. On the life-history aspect, the majority indicates that Appellant specifically instructed trial counsel not to present additional family witnesses and threatened counsel. See Majority Opinion, at 619-20, 920 A.2d at 811. The PCRA court, however, did not rest its decision on this evidence or make a credibility assessment in this regard. Moreover, there was evidence of additional discussions with Appellant, see, e.g., N.T., April 4, 2000, at 67-68; trial counsel further testified at the post-conviction hearing that he did not believe that he was impeded from presenting all of the mitigating evidence that he had available to him, see N.T., April 4, 2000, at 141-42; and counsel did secure family witness testimony. In these circumstances, I have difficulty with the application of Commonwealth v. Sam, 535 Pa. 350, 368-69, 635 A.2d 603, 612 (1993), to foreclose examination of the stewardship of trial and appellate counsel. Rather, in such situations, I believe that a factfinder should examine the totality of the circumstances to determine whether and to what degree a capital defendant has forbidden the presentation of mitigating evidence. Particularly given the dynamic character of death-penalty litigation, when combined with the substantial pressures associated with a capital trial, I do not support reliance by an appellate court upon isolated remarks taken out of their full context, especially in the absence of relevant factual findings. Indeed, given the consequences of this sort of decision, where a defendant chooses to waive mitigation, this Court has indicated that the trial court should be involved and colloquy the defendant to
In reviewing claims of deficient stewardship associated with the presentation of mitigating evidence, an evaluation of the adequacy of counsel‘s underlying investigation is a threshold inquiry. See, e.g., Commonwealth v. Malloy, 579 Pa. 425, 454, 856 A.2d 767, 784 (2004). This is so because strategic judgments made by counsel are assessed in light of the reasonableness of the investigation performed. See id. at 460, 856 A.2d at 788 (citing Wiggins v. Smith, 539 U.S. 510, 528, 123 S.Ct. 2527, 2539, 156 L.Ed.2d 471 (2003)). See generally Williams v. Taylor, 529 U.S. 362, 364, 120 S.Ct. 1495, 1498, 146 L.Ed.2d 389 (2000) (explaining that capital counsel have the “obligation to conduct a thorough investigation“). Additionally, the Unit-
Here, concerning the mental-health aspect of Appellant‘s claim, trial counsel possessed various records indicating that Appellant had, on multiple occasions, been diagnosed as suffering from a major mental health condition, namely, paranoid schizophrenia, and apparently had been treated with anti-psychotic medication by the government while in prison. Despite this information, however, counsel did not consult a mental health professional in connection with the penalty defense and, at the post-conviction stage, was unable to articulate a strategic or tactical reason for having failed to do so. See N.T., April 4, 2000, at 112-13, 117, 152-53.
The majority displaces any review of counsel‘s investigation by relying upon the entry of a stipulation that counsel secured in the penalty phase of trial that Appellant suffered from a “schizophrenic reaction” ten years before his offenses. See Majority Opinion, at 620-21, 920 A.2d at 812. The majority reasons that counsel‘s decision to proceed solely on the stipulation cannot have represented deficient stewardship, as “the Commonwealth had reliable evidence that Appellant was not mentally ill, was fully capable of presenting [sic] the criminality of his acts, and was not under extreme mental or emotional stress at the time of the crime.” Id. at 621, 920 A.2d at 812. This reasoning is faulty, in the first instance, as the source of the information referenced by the majority was Dr. John S. O‘Brien, who did not examine Appellant until seven years after his trial. See N.T., July 25, 2000, at 9-10. Counsel thus could not have relied upon a report that did not yet exist to forego an investigation into his client‘s mental health condition. Additionally, it would seem to me to be an untenable practice to rely upon an adverse party‘s expert witness to omit an investigation, particularly in light of the information contained in Appellant‘s records.2
Counsel‘s actual, stated basis for his strategic decision was to avoid negative references in various records, for example, to Appellant having “social judgment [that] is impaired and self centered.” See, e.g., N.T., April 3, 2000, at 55. Again, however, the proper threshold focus in assessing this claim is on the adequacy of counsel‘s investigation supporting this strategic decision. See, e.g., Malloy, 579 Pa. at 454, 856 A.2d at 784. In this regard, in the post-conviction proceedings, counsel was unable to explain how it was that he could consider the relative merits of presenting a developed case of mental-health mitigation without consulting a mental health professional, particularly where counsel seemed to possess at best a rudimentary understanding of the mental health information that he had in his possession.3 Capital counsel should be well aware that mental health disorders may provide context for impulsivity and/or impaired judgment. See American Bar Association, ABA Guidelines for the Appointment and Performance of Counsel in Death Penalty Cases 11.8.3(F) (explaining that capital counsel should consider presenting “[e]x-
The majority also indicates that, since the jury found both mitigators advanced by Appellant, i.e., those pertaining under
The mitigating circumstance(s) found by one or more of us (is)(are):
(1) Loss of Mother
(2) Mental Illness
(3) Plea of Children
(4) Plea of Brother
Additionally, the majority‘s statement that “the jury” found one or more mitigators is misleading. As previously noted, consistent with established capital sentencing procedure, the verdict slip reflects only a notation that “one or more” jurors found the noted mitigators. This is significant because, if there was additional, strong evidence of a particular mitigator, there may be a reasonable possibility that such evidence would have persuaded additional jurors, and only one of twelve jurors need be persuaded to avoid a death verdict. See
Notably, Marshall couched this principle as an encapsulation of a narrow footnote in Commonwealth v. Scott, 561 Pa. 617, 752 A.2d 871 (2000), which, in substance, states only that the failure to adduce vague, supplemental evidence of drug abuse treatment was non-prejudicial. See Id. at 627-28 n. 7, 752 A.2d at 877 n. 7. I fully support the notion that a failure on the part of trial counsel to adduce redundant evidence concerning a found mitigator will not satisfy a post-conviction petitioner‘s burden to prove prejudice. I have difficulty, however, with transporting this logic to bar claims that are based on substantial differences between the weight or type of the evidence that was presented at trial and that which is presented at the post-conviction stage. See Commonwealth v. Brown, 544 Pa. 406, 425, 676 A.2d 1178, 1187 (1996) (allowing for the possibility of post-conviction relief “if it can be concluded that an alternative not chosen offered a potential for success substantially greater than the course actually pursued” (citation omitted)). Thus, I would not extend Mar-6
Appellant presented a developed case of life-history and mental-health mitigation at the post-conviction stage, including testimony that such evidence was reasonably available at the time of Appellant‘s trial. See, e.g., N.T., November 23, 1999, at 3-259 (testimony of Lawson F. Bernstein, Jr.); N.T., February 1, 2000, at 6-126 (Ruth Latterner, PhD). The PCRA court discounted the post-conviction life-history evidence in light of the minimal evidence that was presented at trial and credited a strategic decision by trial counsel to limit mental-health mitigation evidence without making any assessment of the underlying investigation. As I find such approach to be inconsistent with prevailing standards in the capital arena, I would vacate the court‘s decision concerning penalty only and remand for an adequate assessment and to conform the record to McGill.8 Further, I would recognize that the PCRA court‘s perspective concerning the relative weight of the testimony of Appellant‘s and the Commonwealth‘s post-conviction experts, respectively, concerning whether Appellant suffers from para-
Justice BALDWIN joins this concurring and dissenting opinion.
921 A.2d 1180
COMMONWEALTH of Pennsylvania, Petitioner,
v.
Gregory ANSPACH, Respondent.
Supreme Court of Pennsylvania.
April 26, 2007.
ORDER
PER CURIAM.
Pursuant to Commonwealth v. Williams, 578 Pa. 504, 854 A.2d 440, 445 (2004) (credibility of witnesses lies solely with trier of fact; appellate court will not reweigh evidence and substitute its judgment), the Petition for Allowance of Appeal is hereby GRANTED, the order of the Superior Court is
Notes
1. Notably, the Sam Court emphasized that such a colloquy was conducted in the case. See Sam, 535 Pa. at 368, 635 A.2d at 611. While I recognize that the Sam and Crawley decisions concerned defendants’ waivers of all mitigation evidence, I see no reason why the requirement of a colloquy should not also pertain when a capital defendant, contrary to his counsel‘s advice and prejudicial to his interests, elects to forego a substantial aspect of a mitigation case that counsel believes may be dispositive.
It also bears mention that counsel‘s presentation of life-history mitigation at the penalty phase of Appellant‘s trial was exceptionally truncated; indeed it spans just two pages of the transcript. See N.T., June 17, 1993, at 764-65. In terms of life history, the jurors heard only that Appellant was born in Puerto Rico, that he was ten years old when he came to the United States, and that his mother committed suicide by setting herself on fire. See id. By comparison, the post-conviction case included, inter alia, evidence that Appellant was abandoned at an early age by his father; witnessed several suicide attempts by his mother prior to her eventual self-immolation; was disfavored and abused by relatives when he came to the United States; was ultimately barred from his father‘s household around the age of twelve or thirteen; became addicted to heroin during this time period; and engaged in bizarre behaviors and suffered from delusions from an early age. A fair amount of this information was contained in pre-sentence reports available to counsel. See 1984 Pre-Sentence Investigation Report (“After his mother‘s departure, the family structure dissolved” and Appellant was a “product of a broken home and subsequent [to the] reported suicide of his mother, he appeared to have been reared without the benefit of adequate discipline, guidance, love and supervision.“). The United States Supreme Court has repeatedly recognized the potential value of this sort of evidence in terms of mitigation in a capital case. See, e.g., Wiggins, 539 U.S. at 535, 123 S.Ct. at 2542 (citing cases).
The mere fact that [Appellant] was arrested and accused of a crime and brought to trial is not evidence. The fact that he is sitting here represented by an attorney and may even be in custody is not evidence. That is the procedure that is followed in most cases. The evidence bearing on the charges is what was brought to you by way of witnesses and other physical evidence that was introduced.
Notes of Testimony 6/16/93 at 631-32. Thus, the trial court addressed the issue while not bringing potentially negative attention to the actual incident that may or may not have been witnessed by many of the jurors.3. Counsel testified that he did not believe that he knew what a schizophrenic reaction was, other than it was some type of a psychiatric problem, “probably having something to do with some type of split or bipolar personality.” N.T., April 3, 2000, at 51. Further, despite that the reference to a ten-year-old “schizophrenic reaction” was the sole source of evidence concerning mental-health mitigation, counsel testified that he did not consider it important that the jury be advised as to what the reference meant. See id. at 59-60.
5. Trial counsel‘s entire argument to the jury concerning the mitigator was as follows:
The other mitigating circumstance is the mental capacity of the defendant. You will hear the law again as to that. Do not listen to me.
You will hear from Judge Riber [sic], who will talk about the law. You also heard about the schizophrenic tendencies that he has. That is also something that will show that that specific circumstance outweighs any aggravating circumstances in this case.
N.T., June 17, 1993, at 781. Counsel‘s entire penalty-phase argument covers only four pages of transcript and consists predominately of generic comments about the seriousness of the case, the nature of the death penalty, and disadvantages associated with life in prison. See id. at 778-82. His discussion of mitigating circumstances is on a single page and, in terms of specifics, in addition to the above, encompasses only an indication that Appellant‘s daughters and brother loved him. See id. at 780.
Further, the dissent‘s suggestion that it is not a sound practice to rely upon an adverse party‘s expert witness to omit an investigation is well taken. However, as our analysis here does not encounter such a situation, there is no need to delve into its implications on the review of counsel‘s effectiveness.
7. I find the majority‘s decision particularly troubling to the extent that it can be read as suggesting that a finding of any catch-all mitigating circumstance by at least one juror will foreclose a challenge based upon a capital attorney‘s failure to investigate and present other reasonably available catch-all-type evidence of a different character. Measured against their facts, neither Scott nor Marshall supports such a proposition.8. In light of the calculated nature of Appellant‘s crimes and his criminal history, I recognize that this was a particularly difficult case for the defense at the penalty phase of trial. Nevertheless, I believe that the judicial review in this case should fairly reflect an acknowledgment that trial counsel‘s penalty-phase presentation was very weak, and that there was considerable information available that would have presented a better case of mitigation. Concerning the weight of the latter, I would leave the assessment to the PCRA court in the first instance, upon correction of the deficiencies noted above.
10. The actual testimony at issue proceeded as follows:
Q. Sir, your brother has six children, does he not?
Mr. Perri: Objection.
The Court: Overruled.
Q. Does he not?
A. Yes.
Q. He has six children from six different women, is that correct?
A. Correct.
N.T. 6/17/93 at 766.
Further, in his penalty phase closing, the prosecutor argued:
We understand that there are people out in the street who can‘t read and write and they work and other people who can‘t read and write and go and steal.
You reach a point in your life where you are a man. And you make decisions and you do the right thing or the wrong thing. This is a man here who has had six children by six different women. Here is a man who made decisions in his life, and you have seen three of them, the three convictions, and now he has made decisions in his life, and nobody has forced him to do it.
Id. at 776.
