*1282 OPINION AND ORDER
This is a habeas corpus action in a state death penalty case. It is before the Court on the Amended Petition for Writ of Habe-as Corpus by a Person in State Custody [Doc. 10]. For the reasons set forth below, the Amended Petition is DENIED.
I. BACKGROUND
On March 11, 1986, Melbert Ray Ford was indicted by the Newton County, Georgia, grand jury for malice murder and felony murder of Lisa Chapman, malice murder and felony murder of Martha Chapman Matich, armed robbery, possession of a firearm during commission of a felony, and burglary. (Resp. Ex. 2 at 10-14.) The Supreme Court of Georgia, on direct appeal of his conviction and death sentence, set forth the facts of the case as follows:
After his relationship with Martha Ma-tich broke up, Ford began harassing her by telephone. Two weeks prior to her death, Ford told a friend of his that he “was going to blow her ... brains out.” The day before her death, Ford unsuccessfully tried to convince a friend to drive him to the convenience store where Matich worked. Ford told the friend that he planned to rob the store and work revenge upon Matich by killing her.
On March 6, 1986, Ford talked to several people about robbing the store. He told one that he intended to kidnap Ms. Matich, take her into the woods, make her beg, and then shoot her in the forehead. Ford tried to talk another into helping him with his robbery (Ford had no car). When this effort failed, Ford responded that “there wasn’t anybody crazy around here anymore.”
Finally, Ford met 19-year-old Roger Turner, who was out of a job and nearly out of money. By plying him with alcohol, and promising him that they could easily acquire eight thousand dollars, Ford persuaded Turner to help him.
They drove in Turner’s car to Chapman’s Grocery, arriving just after closing time. Ford shot away the lower half of the locked and barred glass door and entered the store. Turner, waiting in the car, heard screams and gunshots. Then Ford ran from the store to the car, carrying a bag of money.
At 10:20 p.m., the store’s burglar alarm sounded. A Newton County sheriffs deputy arrived at 10:27 p.m. Ms. Matich was lying dead behind the counter, shot three times. Lisa Chapman was discovered in the bathroom, shot in the head but still alive, sitting on a bucket, bleeding from the head, and having convulsions. She could answer no questions. She died later.
Ford and Turner were arrested the next day. Turner confessed first and was brought into Ford’s interrogation room to state to Ford that he had told the truth. Ford told him not to worry, that Turner was not involved in the murders. Afterwards, Ford told his interrogators that the shooting began after Martha Matich pushed the alarm button. He stated that, had he worn a mask, it would not have happened.
Ford claimed at trial that he was too drunk to know what was happening, and that it was Turner who entered the store and killed the victims.
Ford v. State,
The state sought the death penalty. At his trial in October, 1986, the Petitioner was found guilty of all counts. (Resp’t Ex. 2 at 119-20.) At the sentencing phase of the bifurcated trial, the jury found statute-
*1283
ry aggravating circumstances as to each murder. The jury found that the malice murder of Lisa Chapman was committed while the Petitioner was engaged in the commission of another capital felony— armed robbery — and during the commission of a burglary. The jury found that the malice murder of Martha Matich was committed while the Petitioner was engaged in the commission of the capital felonies of armed robbery and murder and during the commission of a burglary.
(Id.
at 129-32.) The jury recommended that the Petitioner be sentenced to death for the two malice murders.
(Id.
at 129-32.) In accordance with the jury’s recommendation, the trial court sentenced the Petitioner to death on both malice murder counts, to run consecutively to each other; merged the two felony murder counts into the malice murder counts; and imposed a consecutive 20-year sentence for armed robbery, a consecutive five-year sentence for the firearm possession, and a consecutive 20-year sentence for burglary.
(Id.
at 136-42.) The Petitioner’s convictions and sentences were affirmed on direct appeal.
Ford v. State,
The Petitioner filed his first state habe-as corpus petition in the Superior Court of Butts County on June 13, 1988, Ford v. Turpin, No. 88-V-1597 (Butts Super.Ct.) (“Ford I”). He subsequently amended the petition prior to the evidentiary hearing held on September 14, 1992. (Resp’t Exs. 15, 17.) Over the course of four years, the case was assigned to three different visiting judges. The first visiting judge presided at the September 14, 1992 evidentiary hearing. The third visiting judge entered a pretrial order in February 1996, directing the parties to present additional evidence in lieu of live testimony, to identify issues remaining for consideration, and set a deadline for filing post-hearing briefs. Ten years after the trial, in an order dated December 5, 1996, the state habeas corpus court denied relief. (Resp’t Ex. 16.) The court acknowledged Georgia’s procedural default rule of O.C.G.A. § 9-14-48(d) for original state petitions and further noted that this statutory provision contained a miscarriage of justice exception. (Id. at 1-2.) “Given the severity and finality of the punishment to be administered in this case, the Court has considered the validity of many issues that are proeedurally barred to insure that a miscarriage of justice has not occurred.” (Id. at 2.)
The Petitioner filed a timely application for certificate of probable cause to appeal in the Supreme Court of Georgia on February 10, 1997. (Resp’t Ex. 18.) On September 29, 2000, the Georgia Supreme Court denied the Petitioner’s application for certificate of probable cause to appeal. (Resp’t Ex. 19.) The Petitioner’s motion for reconsideration was denied on October 20, 2000. The United States Supreme Court denied certiorari on June 4, 2001. Ford
v. Head,
On September 27, 2001, the Petitioner filed his second state habeas corpus petition, styled Ford v. Head, No.2001-V-681 (Butts Super. Ct.) (“Ford II”). The Petitioner raised two grounds in the second state petition and, in a footnote, raised an ineffective assistance counsel claim that related to ground two. The Respondent asserted that the two substantive grounds were successive under O.C.G.A. § 9-14-51 and that the ineffective assistance claim was barred by res judicata. (Resp’t Ex. 21.) On October 23, 2001, the state habeas corpus court dismissed the second petition as successive, finding grounds one and two *1284 could reasonably have been raised in Ford I and that the ineffective assistance claim had been raised in Ford I and was barred from relitigation. (Resp’t Ex. 22.) The Georgia Supreme Court denied the Petitioner’s application for certificate of probable cause to appeal on March 12, 2002, Ford v. Head, No. S02E0560 (Ga. Mar. 12, 2002). (Resp’t Exs. 26, 27.) The 10-day period in which the Petitioner could move for rehearing expired, and the 90-day period in which he could file a petition for writ of certiorari to the United States Supreme Court expired on or about June 10, 2002.
On September 28, 2001, the day after he filed his second state petition, the Petitioner filed this federal habeas corpus action. He subsequently amended the petition. After a hearing, the Court granted in part the Petitioner’s motion for leave to conduct discovery, allowing the Petitioner to subpoena any written or recorded statements of Roger Turner or notes of interviews with Turner by law enforcement personnel. The Court further allowed the Petitioner to depose John Ott, the district attorney responsible for prosecuting the Petitioner. In a March 31, 2003 Order, the Court dismissed the following claims as procedurally defaulted: the Apprendi claim set forth in Claim P of the Amended Petition; the Giglio claim in Paragraph 119 of Claim K; Footnote 4 of Claim K; and Paragraphs 236 and 246 of the ineffective assistance of counsel claim set forth in Claim S. On April 13, 2004, the Court had an evidentiary hearing on the Petitioner’s remaining Giglio claim. Briefing on the merits of the Petition was completed on November 29, 2005. Twenty years after Petitioner’s conviction, the case is now before the Court for a ruling on the merits.
II. STANDARD FOR HABEAS CORPUS RELIEF
Pursuant to the Antiterrorism and Effective Death Penalty Act of 1996 (“AEDPA”), a federal court may not grant habeas corpus relief for claims previously adjudicated on the merits by a state court unless the state court adjudication resulted in a decision that (1) “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) “was based on an unreasonable determination of the facts in light of the evidence presented in the State court proceeding.” 28 U.S.C. § 2254(d). The first step in resolving a federal habeas corpus claim is to determine the “clearly established law at the relevant time.”
Neelley v. Nagle,
III. DISCUSSION
The Petitioner asserts twenty distinct and independently dispositive claims as well as an additional claim that the substantive and procedural errors, when viewed as a whole, violated his rights under the Fifth, Sixth, Eighth, and Fourteenth Amendments to the United States Constitution. It appears that counsel for the Petitioner assert what they consider to be the strongest claims first and the remaining claims in descending order. The Court will address them in the same order, with one exception — -the ineffective assistance of counsel claim. The Petitioner chose not to brief a number of claims. These claims will be addressed in the order in which they appear in the Amended Petition. Because the Petitioner’s ineffective assistance of counsel claim overlaps with a number of independent claims, the Court will address the ineffective assistance of counsel claim last.
A. Claim K — Failure to Disclose Complete Agreement with Co-Defendant
Prior to the Petitioner’s trial, the State entered into a plea agreement with the Petitioner’s co-defendant, Roger Turner. Pursuant to the terms of the plea agreement, Turner agreed to plead guilty to armed robbery with a recommendation by the State that he be sentenced to twenty years in prison. The State agreed to drop the murder charges provided that Turner testified truthfully and in accordance with his statements to the police.
(See
Apr. 13, 2004 Hr’g.) The Petitioner now contends that the State made an undisclosed additional promise as part of the plea agreement. Specifically, the Petitioner claims that the prosecutor, John Ott, promised to write a letter to the Georgia Board of Pardons and Paroles recommending that it grant Turner parole as soon as he became eligible. The Petitioner contends that the prosecution failed to disclose that aspect of the agreement, in violation of
Giglio v. United States,
Due process is violated when the prosecution suppresses evidence, irrespective of good or bad faith, that is favorable to the defense and material to the defendant’s guilt or punishment.
Brady v. Maryland,
The Petitioner did not present this claim either on direct appeal to the Georgia Supreme Court or in his state habeas corpus petitions. The Respondent argued that the factual basis for the claim was in existence and available to the Petitioner when he litigated his two state collateral attacks and, thus, the claim is procedurally defaulted. In a previous order, this Court found that the Petitioner’s appellate counsel exercised due diligence in investigating and pursuing the Petitioner’s claims in state court. Therefore, the claim was not barred and the Petitioner was entitled to an evidentiary hearing on the matter. (Order, Feb. 6, 2004.) The evidentiary hearing on this claim was held on April 13, 2004.
At the evidentiary hearing, John Ott 1 testified that he entered into a plea agreement with Roger Turner because he was convinced that Turner did not know in advance about the murders, and he felt that Turner’s testimony would provide the State with the strongest case against the Petitioner. Ott, however, testified emphatically that the plea agreement did not include a promise to write a letter to the Parole Board because he would not have committed himself to writing such a letter prior to trial. (Apr. 13, 2004 Hr’g Tr. at 48.) His testimony was as follows:
Q: And just in this agreement that you worked out with Mr. Lombardo [Turner’s counsel], did you agree to write the Parole Board on Mr. Turner’s behalf or assist in some sort of clemency at a future date?
A: I want to say no. I want to say that Mr. Lombardo might have brought that up to me about would I do so, but I would never have committed myself prior to him testifying to doing that because I just don’t deal that way with defendants and how they testify. I would never want to put myself in a position of a defendant who got up on that stand and did not make a strong witness, did not testify well, and then after the trial came to me and said, well, now you got to write me a letter to the Parole Board.
I would want to wait to see what the testimony was before I would ever commit to doing something like that.
*1287 Like I said, I would never commit myself before trial to something like that. Now Mr. Lombardo might have wanted me to do that and asked me to do that, but I would have said the deal was that he would get to plead out for the 20 years confinement. And I don’t mean to be flippant, but I’ve never really had much to do with the Parole Board. They always seem to parole the people I don’t want them to parole and not parole the people that I think ought to be paroled, so I just don’t — I trust them about as much as I can pick them up and throw them. And like I said, I don’t mean to be flippant, but that’s just nothing I had control over.
What I had control over was what he would plead guilty to and what sentence I could recommend to the judge that he would receive, and that’s what he would have committed to prior to his testimony.
(Id. at 36-37; see also id. at 42, 47.) According to Ott, the decision was made to write a letter to the Parole Board only after Turner had testified in an impressive and nonevasive manner at the Petitioner’s trial. (Id. at 39-40.) Ott’s testimony is substantiated by the letter he eventually wrote to the Parole Board, dated February 18, 1991, in which he stated, in pertinent part:
At the time of trial, I was impressed with Mr. Thomas’ [sic] acceptance of his illegal acts and strong desire to do whatever he could to rectify his wrongs, accept his punishment and then continue with his life. After prosecuting so many defendants who refuse to accept responsibility for their acts, it was refreshing to find one who did.
I told Mr. Turner, after he had testified, that I would do whatever I could to see that he was paroled when the time came.
(Id., Pet’r Ex. 5) (emphasis added). Additionally, Turner corroborated Ott’s recollection of the plea agreement, testifying that although he and his attorney discussed trying to get Ott to help with the Parole Board, his plea agreement with the State did not include a promise of assistance from Ott with the Parole Board. (Id. at 54-55, 58.) The Petitioner has offered no reason for Ott to withhold disclosure of an agreement to write a letter to the Parole Board if that had been part of the plea bargain.
The Petitioner contends, however, that the testimony of Barry Lombardo, Turner’s counsel, and a number of letters written by Turner establish that the promise of a letter to the Parole Board was in fact part of the plea agreement. Lombardo testified that he requested and that Ott agreed to write a letter on Turner’s behalf when Turner became eligible for parole. (Apr. 13, 2004 Hr’g Tr. at 14-15.) According to Lombardo, this agreement was reached and communicated to Turner prior to the Petitioner’s trial. (Id. at 15.) However, Lombardo later admitted that the agreement was “very informal” and that he did not have a clear memory of when the discussions regarding assistance with the Parole Board actually took place, acknowledging that they could have occurred after Turner testified. (Id. at 24-25, 29.)
In addition to Lombardo’s testimony, the Petitioner relies to a great extent on three letters written to Lombardo by Turner during the time that they were putting together materials for Turner’s parole petition. In each of these letters, dated August through December of 1990, Turner referenced the fact that Ott had given “his word” to help Turner, presumably with the Parole Board. (Apr. 13, 2004 Hr’g, Pet’r Exs. 6-8.) According to the Petitioner, the fact that Ott gave “his word” indicates that the parties had an “actual deal,” not a *1288 gratuitous promise, for which Ott would have expected something in return. He claims that the only possible consideration that Turner could offer was his testimony. The Petitioner, however, makes too much of Turner’s word choice, assuming that Turner must have been referring to an enforceable contract with bargained-for consideration. This argument is without merit. Turner’s letters establish little more than that Ott had agreed to act on Turner’s behalf, a fact about which there is no dispute. Nevertheless, the Petitioner argues that a quote contained in one letter, which Turner attributed to Ott, indicates that the agreement was made in August of 1986, approximately two months prior to the Petitioner’s trial. Specifically, Turner wrote:
Have you talked to Ott yet? I’m very anxious to hear just to what extent he plans to help. Would he go so far as to go back and ask the judge for a reduction from 20 to 15 years (which would let me go in 5) or say “time served?” Could he not entertain a “motion of mitigation” and call the case back up and reduce the sentence? I mean, I’m hoping his (hopefully, face-to-face, but in the least “official”) word of recommendation will be enough to move the board, but if not how far will he go to “help [me] out when the time comes” (Quoted from Ott 8-86) ?
(Id., Pet’r Ex. 6) (emphasis added). When questioned about this quote, Turner testified that he had not been quoting from any document and could not recall specifically to what he had been referring.
The Petitioner has presented insufficient evidence to establish the existence of a pretrial deal under which Ott would write a letter to the Parole Board in exchange for Turner’s testimony. Turner’s letters contain ambiguous references to Ott’s promise and the mere possibility that Turner indicated, four years later, that the agreement to help was made in August of 1986, is insufficient evidence of a pretrial deal. Ott testified unequivocally that he would not have entered into an agreement to write a letter to the Parole Board before being assured as to how Turner would testify. In contrast, Lombardo could only testify that he had “reason to believe” that Ott agreed to this prior to the trial. (Apr. 13, 2004 Hr’g Tr. at 29.) Without for a moment questioning Lombardo’s honesty or sincerity, the Court finds that the testimony of Ott and Turner was more persuasive. Therefore, having found no evidence of an undisclosed “deal,” habeas relief based on the prosecution’s failure to disclose is not warranted.
Furthermore, even assuming that the promise to write a letter to the Parole Board on Turner’s behalf was made prior to the Petitioner’s trial, the Petitioner’s
Giglio
claim still fails. The government is not required to disclose every conversation or agreement with a witness or his lawyer.
United States v. Curtis,
Lastly, in order to establish a
Gig-lio
claim, the Petitioner must show that the undisclosed promise was material, i.e., there is a reasonable likelihood that the false testimony could have affected the judgment of the jury.
Brown,
B. Claim A — Right to Counsel During Custodial Interrogation
The Petitioner contends that his Fifth, Sixth, and Fourteenth Amendment rights were violated because law enforcement officers continued to interrogate him after he invoked his right to counsel in violation of
Edwards v. Arizona,
In contrast to the Sixth Amendment, the Fifth Amendment guarantees that “[n]o person ... shall be compelled in any criminal case to be a witness against himself.” U.S. Const. amend. V. In an effort to counteract the “inherently compelling pressures” of custodial interrogation, the Supreme Court has extended the
*1290
prohibition against compelled self-incrimination to include the right to have counsel present during a custodial interrogation.
Miranda v. Arizona,
During the Petitioner’s trial, the trial court held a
Jackson v. Denno,
The Supreme Court of Georgia agreed with the findings of the trial court
2
and held that the Petitioner’s right to counsel under
Edwards
had not been violated and that his statements were voluntarily given to authorities. In reaching this conclusion,
*1291
the court stated that the Petitioner had not only failed to clearly invoke his right to counsel but had also been the one to initiate further conversation with the police.
Ford v. State,
The Petitioner argues that the Georgia Supreme Court unreasonably concluded that he did not clearly invoke his right to counsel when he asked if he could call an attorney. In support of his contention, the Petitioner cites only lower court decisions that have found statements similar to his to constitute an unequivocal request.
See United States v. de la Jara,
At the time of the Georgia Supreme Court’s decision, the United States Supreme Court had not addressed what constituted an ambiguous or equivocal request. The Court, however, had provided some guidance in this area by indicating that whether a statement is ambiguous is to be determined by an objective standard.
See Barrett,
The Petitioner also contends that the Supreme Court of Georgia applied clearly established federal law in an unreasonable manner when it held that the Petitioner reinitiated the interview with police. The Petitioner relies on
Smith v. Illinois
in support of his argument. That reliance is misplaced. In
Smith,
the Supreme Court held that “postrequest responses to further interrogation may not be used to east doubt on the clarity of the initial request itself.”
Smith,
To the extent that the Petitioner claims that
Smith
prohibited the police from asking any questions following his request, this argument also fails. In
Smith,
the Supreme Court recognized that an accused’s assertion of his right to counsel could be ambiguous or equivocal.
Smith,
Although the
Smith
Court acknowledged the various approaches to the consequences of ambiguity, because the statement at issue in that ease was deemed clear and unequivocal, the Court declined to address the conflict among the lower courts.
Smith,
Finally, even if the right to counsel was invoked, the Court agrees with the Georgia Supreme Court that the Petitioner initiated further conversation with the police. The Supreme Court has made clear that
“Edivards
does not foreclose finding a waiver of Fifth Amendment protections after counsel has been requested, provided the accused has initiated the conversation or discussions with the authorities.”
Minnick v. Mississippi,
To be valid, a waiver of counsel must be made voluntarily, knowingly, and intelligently.
Moran v. Burbine,
C. Claim, S — Mental Health Expert
Following a brief mental health examination by the Forensic Services Team of the Georgia Medical Health Institute, the Petitioner moved for funds to retain an independent mental health expert. According to the Petitioner, the trial court granted the request provided, however, that the Petitioner disclose the results of the mental health examination to the court as well as the State.
(See
Resp’t Ex. 2 at 82-83, 83A-83C.) The Petitioner accepted the condition and hired Dr. Cassandra Newkirk, a forensic psychiatrist recommended by the ACLU. She evaluated the Petitioner and testified for the defense during the sentencing phase. However, the Petitioner alleges that under the circumstances, he was denied his due process right to the services of a competent and independent mental health expert under
Ake v. Oklahoma,
1. Independent and Confidential Mental Health Expert
The Fourteenth Amendment’s due process guarantee of fundamental fairness entitles indigent defendants to “an adequate opportunity to present their claims fairly within the adversary system.”
Ake,
In addressing this claim, the state habeas court found that “the psychiatrist was provided adequate information by defense counsel to conduct her evaluation, and that she provided Petitioner with a competent and independent evaluation.” (Resp’t Ex. 16 at 21.) The Petitioner argues that this decision was contrary to clearly established federal law because the court relied only on a state court decision that misstates the rule of
Ake.
Specifically, the state habeas court cited the decision of the Supreme Court of Georgia in
McNeal v. State,
The Petitioner argues that even if the state habeas court applied the correct standard, its decision was unreasonable because it found no error in requiring the defense to share Dr. Newkirk’s report with the prosecution. In support, the Petitioner relies on two circuit court cases that held that the right to psychiatric assistance is not satisfied by a neutral psychiatrist.
Cowley v. Stricklin,
2. Ineffective Assistance of Expert Witness
The Petitioner also contends that Dr. Newkirk failed to conduct an adequate and professionally appropriate psychiatric examination in accordance with the applicable standard of care and, thus, he did not receive the assistance of a competent psychiatrist. (See Am. Petition ¶¶ 178-88.) In conducting her evaluation, Dr. Newkirk met with the Petitioner on two occasions, spoke with the Petitioner’s parents and trial counsel, and reviewed various medical and psychological records that she was able to obtain. (Resp’t Ex. 6A at 994-95; see also Resp’t Ex. 2 at 83A.) The Petitioner maintains that such an evaluation was incomplete and inadequate. According to the Petitioner, in order to assess an individual properly and render an accurate diagnosis, the standard of care requires a psychiatrist to: (1) obtain an accurate medical and social history from the patient and sources independent of the patient; (2) conduct a thorough physical examination, including a neurological examination; and (3) conduct appropriate diagnostic studies in light of the history and physical examination. In addition, the Petitioner maintains that a standard mental status examination cannot be relied upon in isolation as a diagnostic tool in assessing the presence or absence of organic impairment. (Am. Petition ¶ 182.) The Petitioner alleges that Dr. Newkirk’s evaluation did not meet the standard of care in a number of ways. First, he claims that Dr. Newkirk obtained incomplete psychological and medical histories of the Petitioner because she failed to interview enough people, review available records, or conduct a physical examination. Second, he contends that Dr. Newkirk fell below the standard of care because she conducted no psychological testing. According to the Petitioner, based on the inadequate evaluation, Dr. Newkirk misdiagnosed the Petitioner with antisocial personality disorder and ultimately offered testimony harmful to the defense. He further asserts that had Dr. Newkirk acted in a professionally competent manner, she would have developed evidence that would have affected the outcome of the guilt-innocence and sentencing phases of the Petitioner’s trial.
As discussed, the Supreme Court has established that due process requires that a state “assure the defendant access to a competent psychiatrist who will conduct an appropriate examination.... ”
Ake,
Rather than setting forth any allegations implicating due process, the Petitioner’s claim is more akin to one of professional malpractice or ineffective assistance of a mental health expert. Neither claim is recognized under
Ake.
In recognizing the right of access to a competent psychiatrist, the Supreme Court relied exclusively on due process grounds and explicitly refused to consider the applicability of the Sixth Amendment.
Ake,
D. Claim P — Modification of Jury Verdict (Apprendi)
The Petitioner alleges that the trial court improperly modified the jury verdict at the sentencing phase in violation of the Fifth, Sixth, Eighth, and Fourteenth Amendments. He contends that the jury returned a verdict that did not contain any valid statutory aggravating circumstances as required by Georgia law. The Petitioner argues that the trial court rewrote the verdict making the finding of statutory aggravating circumstances in the jury’s place, in violation of
Apprendi v. New Jersey,
However, even if the claim is not procedurally barred, the Petitioner is not entitled to relief. In
Teague v. Lane,
In
Apprendi,
the Supreme Court held that “[o]ther than the fact of a prior conviction, any fact that increases the penalty for a crime beyond the prescribed statutory maximum must be submitted to a jury, and proved beyond a reasonable doubt.”
Apprendi,
E. Claim D — Limitation of Voir Dire
The Petitioner claims that he was denied the right to a fair trial by an impartial jury because the trial court refused to allow the Petitioner to conduct an adequate voir dire examination of prospective jurors. The Petitioner asserts three bases for this allegation: (1) defense counsel was denied the right to conduct individual, sequestered voir dire; (2) the trial court prohibited defense counsel from asking detailed questions from his proposed questionnaire; and (3) defense counsel was not permitted to ask questions regarding whether prospective jurors would automatically vote in favor of the death penalty. On direct appeal, the Petitioner raised the first two issues but he did not specifically argue that he was precluded from identifying jurors who would immediately vote to impose a death sentence.
12
The Supreme Court of Georgia rejected the Petitioner’s claim that voir dire was improperly limited. The court found that, although it correctly observed that many of the proposed voir dire questions were improper, the trial court did not expressly rule on any specific questions prior to trial and did not disallow any defense questions during voir
*1301
dire.
Ford v. State,
The Supreme Court of Georgia found that the trial court did not expressly rule on any specific voir dire questions and did not disallow any questions actually posed by defense counsel. Prior to trial, defense counsel submitted an extensive list of proposed voir dire questions. (Resp’t Ex. 2 at 85-93.) When pressed for a ruling on which questions would be allowed, the trial court declined to rule on the particular questions, stating that: “Defense counsel is expected to know what a permissible question is and most of these are not permissible questions.” (Resp’t Ex. 6 at 33-34;
see also id.
at 27, 29.) During voir dire, the trial court did not disallow any question actually posed by defense counsel. Thus, the record clearly supports the findings of the Supreme Court of Georgia. Moreover, these factual findings are presumed correct unless the Petitioner rebuts the “presumption of correctness by clear and convincing evidence.” 28 U.S.C. § 2254(e)(1);
Miller-El v. Dretke,
The Petitioner also challenges the substance of the Georgia Supreme Court’s decision, arguing that it is contrary to or an unreasonable application of clearly established federal law. Specifically, he contends that he was denied the opportunity to determine whether prospective jurors would automatically vote for the death penalty because the trial court: (1) denied his request for individual, sequestered voir dire; and (2) refused to ask
“reverse-With-erspoon”
questions of prospective jurors. The right to trial by jury guarantees that a criminal defendant will receive a fair trial by an impartial jury.
Irvin v. Dowd,
The Petitioner claims that the trial court refused either to ask or to allow defense counsel to ask
“reverse-Wither-spoon ”
questions,
13
which are used to determine whether there are jurors who would vote automatically to impose the death penalty if the defendant were found guilty of a capital crime. As noted, the trial court has the discretion and authority to limit the scope of voir dire. However, “the exercise of the trial court’s discretion, and the restriction upon inquiries at the request of counsel, are subject to the essential demands of fairness.”
Morgan,
A “new rule” will only be given retroactive effect if it falls within one of the two narrow exceptions of
Teague.
The
Morgan
rule does not place certain kinds of conduct beyond the power of a state to proscribe and, thus, it does not fit the first exception. Under the second exception, a new rule will apply retroactively if it con-
*1303
statutes a “watershed rule” of criminal procedure implicating fundamental fairness. This exception is “clearly meant to apply only to a small core of rules requiring observance of those procedures that ... are implicit in the concept of ordered liberty.”
Beard v. Banks,
Furthermore, even if Morgan applied retroactively, the Petitioner’s claim would fail. As noted, Morgan requires a trial court to allow life-qualifying questions only after a request from the defendant. The Petitioner included a number of “re verse-Witherspoon ” questions in his list of proposed voir dire questions. (Resp’t Ex. 2 at 92-93.) As discussed above, however, his contention that the trial court refused to ask these questions or refused to allow defense counsel to ask the questions is not supported by the record. The trial court neither expressly discussed nor ruled upon the propriety of asking these specific questions, either prior to or during voir dire. Moreover, defense counsel made no effort to ask the questions during voir dire. Thus, the absence of voir dire questioning regarding whether prospective jurors would automatically vote to impose the death penalty was not due to any error on the part of the trial court. The holding of the Supreme Court of Georgia that no improper limitations were placed upon voir dire was not contrary to or an unreasonable application of clearly established federal law. Accordingly, relief based upon this claim is not warranted.
F. Claims F and M — Handcuffs and Excessive Security
During the trial, the jury allegedly viewed the Petitioner in handcuffs as he was being led to lunch. Following the Petitioner’s motion for a mistrial, the trial court held a brief hearing and heard testimony from the Petitioner and two deputies. (Resp’t Ex. 6 at 300-12.) The Supreme Court of Georgia summarized that testimony as follows:
The jury left the courthouse first. After waiting during what they believed was a sufficient period of time for the jury to be removed away from the area, two deputies walked Ford from the rear of the courthouse. Ford exited first and began descending the steps when he noted the jury boarding a bus some 20 yards away. He was wearing an overcoat, the sleeves of which covered but did not completely hide the cuffs. Ford turned his back to the jury. He and the deputies then returned to the courthouse.
Ford v. State,
*1304 It has come to my attention that at the beginning of the noon recess perhaps one or more of you jurors saw the defendant wearing handcuffs as he was being escorted from the courthouse. I want to explain to you that the security measures that we have taken here are not to be interpreted by you as any indication from the Court that the defendant is a dangerous person. It is my responsibility as presiding judge to control the flow of people in to and out of the courtroom and the courthouse and I have given you a ten minute head start at the noon recess and also when we adjourn for the evening as to allow you sufficient time to exit the courthouse before other persons are allowed to disperse.
You are not to infer by that that the defendant is dangerous and in fact you are to make no inference at all harmful to him because of that. Now, obviously the defendant is in custody, he is accused of serious crimes and the sheriffs department is responsible for his custody throughout this trial and placing him in handcuffs, if they elect to do so, is a very simple, ordinary measure.
If, in fact, any of you did see him in handcuffs you are not to infer from that that he is guilty of any crime or that he is dangerous to you or anyone else or that he presents a threat of harm to you or anyone else during this trial. In fact, you are to make no inference at all from that fact, especially no inference of harm to the defendant.
(Resp’t Ex. 6 at 314-15.) The Petitioner contends that the viewing and the subsequent curative instruction by the trial court were inherently prejudicial because they imprinted an image of him as “dangerous” in the minds of the jurors. Thus, the Petitioner claims that he was denied the right to a fair trial by an impartial jury. The Supreme Court of Georgia denied this claim:
“Absent justifying circumstances, the defendant normally should not be seen by the jury handcuffed in the courtroom or courthouse. However, where one or more jurors by chance see the defendant in handcuffs outside the courtroom, it is not error to deny a motion for mistrial.” Gates v. State,244 Ga. 587 , 593,261 S.E.2d 349 (1979).
The court did not err by failing to declare a mistrial in this case. The defendant did not object at trial to the curative instruction given by the court, and may not now complain that the instructions “served only to impress the incident upon the minds of the jurors.”
Ford v. State,
“Central to the right to a fair trial, guaranteed by the Sixth and Fourteenth Amendments, is the principle that ‘one accused of a crime is entitled to have his guilt or innocence determined solely on
*1305
the basis of the evidence introduced at trial, and not on grounds of official suspicion, indictment, continued custody, or other circumstances not adduced as proof at trial.”
Holbrook v. Flynn,
The Petitioner was not handcuffed, shackled, or restrained in any manner during courtroom proceedings. Rather, he alleges only that the jury observed him in handcuffs during a lunch recess, briefly and from a distance. None of the jurors were questioned following the incident. Thus, there is no direct evidence that any of the jurors, who were approximately 20 yards away, actually noticed the handcuffs, which were partially concealed.
Ford v. State,
Because clearly established federal law does not dictate that it was inherently prejudicial for the jurors to briefly and inadvertently observe the Petitioner in handcuffs while being escorted out of the courthouse, the Petitioner must show actual prejudice.
See United States v. Diecidue,
Even considering the jury’s observation of the Petitioner in handcuffs in combination with the alleged excessive security, the Petitioner has not established that the security measures were prejudicial. The Petitioner was not handcuffed or shackled during courtroom proceedings. According to John Howell, the Petitioner’s trial counsel, there were typically two or three bailiffs present during a trial in Newton County. During the Petitioner’s trial, there were only one or two additional deputies, which was not unusual for a murder ease. (Resp’t Ex. 17 at 187.) Howell also noted that after he expressed concern regarding the impact that extra security could have on the jury’s perception of the Petitioner, the trial judge cautioned the deputies to keep a low profile. {Id. at 188.) There is no evidence to indicate that the deputies were unusually armed or that they did not abide by the trial court’s request to maintain a low profile. Under the circumstances, the state habeas court found that the number of security personnel was not excessive.
In
Holbrook v. Flynn,
the United States Supreme Court addressed the effect of security personnel on a defendant’s right to a fair trial. Distinguishing security personnel from shackling and prison clothes, which are indicative of a need to separate the defendant from the community, the Supreme Court explained that it was possible for jurors to draw a wide range of inferences from the presence of armed security personnel that were not inherently prejudicial to the defendant’s right to a fair trial.
Holbrook,
G. Claim N — Closing Argument (Sentencing Phase)
The Petitioner alleges that the prosecutor’s improper, misleading, and inflammatory closing argument during the sentencing phase resulted in a denial of due process. In order to establish a denial of due process based upon prosecutorial misconduct, the Petitioner must prove that: (1) the prosecutor made improper remarks during the closing argument; and (2) that the statements were so prejudicial as to render the sentencing proceeding fundamentally unfair.
Darden v. Wainwright,
1. Biblical References
During his closing argument, the prosecutor made the following biblical reference:
There is sometimes some questions raised about whether the Bible would condone an execution. Sometimes well people say I don’t know if the Bible would condone it. But knowing from Genesis Nine, Chapter Nine, Verse Six, God only made his covenant to Noah, said two points, he would never flood the earth again and secondly, if man should shed the blood of a fellowman, then so should his blood be shed by man, because man was made in the image of God. God never broke his promise, never gone back on his promise, never changed his promise in the Bible.
(Resp’t Ex. 6A at 1040.) The Petitioner contends that this argument was improper in that it substituted biblical law, which
*1309
demands the death penalty, for statutory law, which requires the jury to assess aggravating and mitigating circumstances before determining if death is appropriate. The state habeas court agreed with the Petitioner, finding the argument to be improper pursuant to
Hammond v. State,
As noted, however, finding that a prosecutorial argument is improper does not end the due process inquiry: the argument must also render the sentencing proceeding fundamentally unfair.
See Cape v. Francis,
When assessing whether arguments are sufficiently egregious to warrant habeas relief, the court must consider the statements in context of the entire proceeding, including factors such as: (1)
*1310
whether the remarks were isolated, ambiguous, or unintentional; (2) whether there was a contemporaneous objection by defense counsel; (3) the trial court’s instructions; and (4) the weight of aggravating and mitigating factors.
Romine,
Mr. Ott was giving you a quotation from the Bible a moment ago. I thought of one, it’s for you to determine whether it’s appropriate or not and I am not a biblical scholar by any means, don’t pretend to preach to you on this, but I do recall something about mercy. Something to the effect that blessed be the merciful, they shall obtain mercy.
{Id. at 1056-57.) Defense counsel further responded to the prosecutor’s reference to Genesis as follows:
Mr. Ott’s passage that he read from Genesis about shedding the blood, what did he say; so shall his blood be shed by Me, not by us, but by God all mighty is what Genesis said, we are not God. We are not God like. We don’t have the infallibility or the omnipotence to make those type decisions, do we? Is that reason enough to decline to impose the death penalty in this case?
(Id.
at 1059.) Countering biblical law with biblical law likely minimized any prejudice caused by the prosecutor’s statements.
See Cargill,
You shall consider any mitigating circumstances and you may, if you see fit, and this is a matter entirely within your discretion fix the penalty as life imprisonment based upon any mitigating circumstance or reason satisfactory to you or without any reason whatever, if you see fit to do so. You may fix the penalty as life imprisonment even though you have found one or more of the statutory aggravating circumstances given to you in this charge to have existed beyond a reasonable doubt.
{Id. at 1065) (emphasis added).
Finally, the strength of the aggravating factors versus the minimal evidence of mit
*1311
igation is relevant to the determination that the prosecutor’s argument did not undermine the confidence in the outcome. The jury had already found the Petitioner guilty of armed robbery, burglary, and the murder of Lisa Chapman, three of the statutory aggravating circumstances argued by the State. These were horrific crimes. Conversely, other than the plea for mercy by the Petitioner’s mother, the only evidence of mitigation presented by the defense was the fact that the Petitioner had a history of psychological and behavioral problems as well as substance abuse. There is no indication in the record that the jury struggled to reach a sentencing verdict.
Contra Romine,
2. Caldwell v. Mississippi
As part of his claim regarding the prosecutor’s reference to the Bible, the Petitioner contends that the argument diminished the jury’s sense of responsibility for reaching its own decision as to the sentence to be imposed, in violation of
Caldwell v. Mississippi,
3. Jury’s Duty Based on Oath
In
United States v. Young,
However, even if the statements were in error, the comments were not “so egregious as to create a reasonable probability that the outcome was changed because of them.”
Cargill,
4. Mitigating Circumstances
The Petitioner asserts that the prosecutor incorrectly defined mitigating circumstances as “those circumstances that lessen the crime,” and therefore misled the jury into believing that certain evidence, such as the Petitioner’s character and psychological history, was not relevant to mitigation. However, the trial court clearly and correctly instructed the jury that mitigating circumstances are those circumstances which “in fairness and mercy may be considered as extenuating or reducing the degree of moral culpability or
*1313
blame.” (Resp’t Ex. 6A at 991.) Instructions from the court are “definitive and binding statements of the law” and carry more weight than arguments of counsel.
Boyde v. California,
5. Deterrence
The Petitioner argues that the prosecutor improperly argued deterrence as a justification for the death penalty. During his closing argument, the prosecutor briefly referenced deterrence as follows:
Commonly, there are two reasons that everybody knows about for a death sentence, one is for deterring. You might deter somebody else; you might not deter anybody else by deterring anybody else, but do deter one person and that’s Ray Ford. He will not be able to hurt anybody else.
(Resp’t Ex. 6A at 1035.) According to the Petitioner, this argument improperly indicated that the Petitioner would be paroled from a life sentence and free to commit further crimes if the death penalty was not imposed. This Court agrees with the state habeas court that there was no such implication. Furthermore, along with retribution, deterrence is an accepted penological justification for imposition of the death penalty. As such, the Eleventh Circuit has held that arguments based on deterrence, either specific or general, 19 are appropriate and relevant during the sentencing phase:
[W]ith respect to specific deterrence, the jury may appropriately consider whether a particular defendant is so likely to be dangerous in the future and so unlikely to be rehabilitated that incapacitation is warranted. Even general deterrence, while principally a concern for the legislature, can be considered in fixing a punishment. In deciding whether to impose the death penalty in a particular case, it is appropriate for a jury to consider whether or not the general deterrence purpose of the statute would be served thereby. Georgia permits argument about these penological justifications. Such arguments are logically relevant to the jury’s proper task. Neither reason nor precedent suggests that we should raise a constitutional barrier to such arguments.
Brooks,
In a similar vein, the Petitioner contends that the prosecutor improperly commented on the possibility that the Petitioner could kill or injure guards or other inmates if he were not given the death penalty. These comments were made in
*1314
the context of addressing the testimony of Dr. Newkirk, the psychiatrist called by the defense, that the Petitioner had antisocial personality disorder, including a tendency to be impulsive, and might “boil over” in prison and injure someone. (Resp’t Ex. 6A at 1039.) Arguments regarding a defendant’s future dangerousness are permissible and, thus, cannot support the Petitioner’s claim for relief.
Cargill,
6. Victim Impact Evidence
During his closing argument, the prosecutor argued that unlike the Petitioner’s mother, the families of the victims did not have the opportunity to plead for the lives of Chapman and Matich. (Resp’t Ex. 6A at 1036.) The Petitioner argues that this was inflammatory and improperly detracted from the mitigation testimony offered by the Petitioner’s mother. A prosecutor is prohibited from making improper suggestions, insinuations, or assertions that could inflame the jury’s prejudices or passions.
United States v. Rodriguez,
7. Improper Characterization of Evidence
Lastly, the Petitioner alleges that the prosecutor improperly introduced new evidence and improperly construed trial testimony when he characterized the Petitioner as guilty of other crimes and without remorse. The prosecutor argued that the Petitioner was a “criminal” who had admitted to theft by receiving, drug use, and procurement of drugs. (Resp’t Ex. 6A at 1039.) The Petitioner claims that no evidence of such crimes had been presented and that the trial court had instructed the prosecutor that prior convictions could not be introduced during sentencing. The Petitioner ignores the fact, however, that he testified during the trial to buying and using marijuana, (Resp’t Ex. 6A at 709, 715-16, 726, 729), as well as purchasing a gold watch that he knew was stolen at the time he bought it,
(id.
at 754). Therefore, the state habeas court correctly found that the prosecutor was arguing inferences based on evidence properly before the jury rather than improperly introducing new evidence.
See Tucker (Richard),
Although he does not identify any particular testimony, the Petitioner argues that the prosecutor improperly construed the Petitioner’s testimony to indicate that he felt no remorse over the deaths of the victims. The prosecutor argued that the Petitioner’s lack of remorse regarding the death of Martha Matich was
*1315
evidenced by the Petitioner’s actions following the murders, including buying marijuana and ordering pizza, as well as his testimony that he was sorry about Ma-tich’s death for about four months but had gotten over it. (Resp’t Ex. 6A at 1039-40.) Prosecutors are permitted to argue inferences based on evidence presented during the trial.
Tucker (Richard),
Now, as I indicated yesterday, he has no remorse at all for Lisa, never mentions her name. Never heard anything about any remorse except one statement when I questioned him about the statement he made when Gary Nicholson asked him about Lisa and he said she shouldn’t have been in there; did you make that statement, his response was something to the effect if you stand in the middle of the road you can expect to be hit by a truck, as if somehow it was that child’s fault for getting killed or perhaps her parents [sic] fault for having her there and that he is not to blame somehow for this. So no remorse at all.
(Id. at 1039-40.) In making this argument, the prosecutor did nothing more than summarize testimony given by the Petitioner. 20 Thus, the prosecutor was at liberty to draw inferences based upon the Petitioner’s testimony and argue the State’s interpretation of the statement. The Petitioner has not established that it was contrary to or an unreasonable application of clearly established federal law when the state habeas court held that the various comments made by the prosecutor during his closing argument were either proper or did not render the sentencing phase fundamentally unfair. Thus, the Petitioner is not entitled to habeas relief based upon this claim.
H. Claim B — Improper Exclusion of Prospective Juror
The Petitioner argues that he was denied his right to a fair trial and impartial jury because prospective juror Gwen Gibbs was improperly excused due to her views regarding capital punishment. The Supreme Court of Georgia denied this claim, finding that Gibbs indicated that she would not vote to impose the death penalty regardless of the facts and circumstances of the case and was, therefore, properly excused.
Ford v. State,
In
Witherspoon v. Illinois,
A sentence of death cannot be carried out 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.
*1316
The Supreme Court’s subsequent decision in
Wainwright v. Witt,
During voir dire, the trial judge asked the prospective jurors if they were conscientiously opposed to capital punishment. Gibbs responded in the affirmative. (Resp’t Ex. 6 at 41.) During individual, sequestered voir dire, the following exchange took place between the trial judge and Juror Gibbs:
THE COURT: Would you vote against the death penalty regardless of what transpires at the trial?
THE JUROR: Uh-huh.
THE COURT: Regardless of what happens, you would vote against the death penalty?
THE JUROR: I think I would.
THE COURT: Even though the evidence and the law said otherwise?
THE JUROR: As far as guilty or not guilty, you know, I think I could fairly decide that. I just do not want the responsibility of sentencing someone to death.
THE COURT: Do I understand that you are so committed to vote against the death penalty that you would vote against it regardless of the facts and circumstances of the case?
THE JUROR: I think I would.
MR. HOWELL 21 : ... Now, your answer that you gave, the Judge posed that question to you sounded somewhat equivocal to me that there was some room there for imposition of the death penalty if the case were hard enough and warranted it.
THE JUROR: I would not want to vote for the death penalty for anyone just, you know, my own conscious, my own beliefs, am I answering you?
THE COURT: You say you would not want to, the question is would you?
THE JUROR: No, sir.
THE COURT: You would not vote the death penalty?
THE JUROR: No.
THE COURT: Regardless of the facts, regardless of the circumstances?
THE JUROR: I don’t think I could.
THE COURT: Don’t say — the question—
THE JUROR: No, sir, I would not.
THE COURT: You would not?
THE JUROR: No, sir.
THE COURT: And you are firm about that?
THE JUROR: Uh-huh.
THE COURT: ... You are positive you would not vote for the death penalty period?
*1317 THE JUROR: Yes.
(Id. at 63-66.) The trial judge’s determination, following this testimony, that Ms. Gibbs should be excused for cause is afforded a presumption of correctness. Although some of Gibbs’s responses could seem equivocal if viewed in isolation, her testimony as a whole, including her unequivocal statements that she would not vote for the death penalty under any circumstances, sufficiently demonstrates that her views would prevent or substantially impair her ability to impose the death penalty if warranted. The Supreme Court of Georgia’s holding that it was constitutionally proper to exclude Gibbs was neither an unreasonable determination of the facts nor an unreasonable application of the standard set forth in Witt. The Petitioner’s claim for relief is denied.
I. Claim C — Failure to Exclude Biased Prospective Jurors
In contrast to Claim B, in which the Petitioner alleged improper exclusion of a prospective juror, the Petitioner also contends that the trial court failed to excuse a number of biased prospective jurors, in violation of his right to a fair and impartial jury. Specifically, the Petitioner alleges that thirteen individuals plus the 34 prospective jurors who had been exposed to pretrial publicity, some of whom overlap the specifically identified venire members, should have been excused for cause. During voir dire, the Petitioner moved to exclude Mrs. Clarence Henderson for cause. The trial court granted the motion and she was excused. (Resp’t Ex. 6 at 90-91.) Thus, any claim that the jury was not impartial based upon Mrs. Henderson is completely meritless. The Petitioner, however, did not move to excuse for cause any of the other allegedly biased jurors. The state habeas court reviewed the voir dire for each of the alleged biased jurors and found that none were biased such that excusal for cause was warranted. (Resp’t Ex. 16 at 4-10, 31-32.)
The Sixth and Fourteenth Amendments protect a criminal defendant’s right to be tried by an impartial jury.
Ross v. Oklahoma,
Turning to the alleged biased members of the jury, the Petitioner contends that Juror Belcher should have been excused for cause because he had been the defendant in a debt collection action in which the former law firm of Ben Hendricks, the Petitioner’s trial counsel, represented a creditor. Hendricks testified during the state habeas hearing, however, that the suit was filed by his former partner three and a half years before the Petitioner’s trial and that he had no knowledge of Belcher. (Resp’t Ex. 17 at 308-09, 316-17, 338.) Nonetheless, according to the Petitioner, Juror Belcher’s failure to bring up the conflict had a damaging impact on the impartiality of the jury. The state habeas court found that the Petitioner had presented, at most, “bare speculation that Juror Belcher even remembered the associate defense counsel and harbored ill will to such a degree that he would sentence the attorney’s client to death to ‘get even.’ ” (Resp’t Ex. 16 at 10.) The court, therefore, held that striking Belcher for cause would not have been justified. The Petitioner has not presented any evidence to establish otherwise.
Juror Rutledge stated during voir dire that he had learned from media accounts that robbery was a suspected motive for the murders. (Resp’t Ex. 6 at 77.) The Petitioner argues that such exposure could have led Juror Rutledge subconsciously to accept robbery as the motive and, thus, prevented him from being impartial. Again, the Petitioner’s sole reliance on speculation is insufficient to establish bias. Moreover, Rutledge stated that nothing he had heard prior to trial would affect his ability to remain impartial.
(Id.
at 78.) The trial court’s finding that Juror Rutledge did not indicate any bias or preconceived ideas is presumed correct.
(See id.
at 117 (“No other jurors who were examined individually while being sequestered indicated any bias, leaning or prejudice or preconceived ideas at all about the case based upon any news reports or street talk or any other source of information they may have had about the case.”).) The Petitioner has not presented any evidence to rebut this presumption. Along these same lines, the Petitioner alleges generally that 34 members of the venire were exposed to pretrial publicity and that five of these individuals, presumably including Rutledge, sat on the jury. (Am.
*1319
Petition ¶ 54.) Jurors are not deemed impartial simply because they have heard something about the case, and the Petitioner has not presented any evidence that these prospective jurors entertained such preconceived ideas that they could not render an impartial verdict.
See Yount,
Lastly, the Petitioner claims that Juror Kelly could not be impartial, and should have been excused for cause, because he was a local attorney whose livelihood depended on his reputation in the community. The Petitioner presents absolutely no support for this contention. Nor, this Court feels quite safe in assuming, has any court ever held that merely practicing law in a community impugns a prospective juror’s impartiality and provides cause to excuse the juror. Thus, absent any indication that the seated jurors possessed any bias or preconceived notions about the Petitioner or the case, the state habeas court’s holding that the Petitioner was not denied an impartial jury is neither contrary to nor an unreasonable application of clearly established federal law.
J. Claim E — Change of Venue
1. Prejudicial Pretrial Publicity
The Petitioner contends that, given the amount and type of pretrial publicity, the trial court’s refusal to grant a change of venue deprived him of the right to a fair trial. In support of a pretrial motion for change of venue, the Petitioner tendered four newspaper articles (three of which ran within a week of the crimes and one that was published several days before the beginning of the trial) and news stories from the three major Atlanta television stations that were broadcast around the time of the crimes. (Resp’t Ex. 5 at 5-8; Resp’t Ex. 6 at 7-10.) After reviewing this evidence, the trial court reserved ruling on the motion until after the completion of voir dire. (Resp’t Ex. 6 at 10.) During voir dire, 34 out of 60 prospective jurors indicated that they recalled reading, seeing, or hearing something about the case. The trial court conducted individual, sequestered voir dire of each of these prospective jurors.
(Id.
at 48-116.) The trial court excused two prospective jurors that “indicated some pre-existing feelings about the case, which they said would make it difficult for or impossible for them to decide the case impartially....”
(Id.
at 117.) None of the remaining prospective jurors were found to have any bias, leaning or prejudice, or preconceived ideas about the case based upon pretrial publicity.
(Id.)
Therefore, following the individual voir dire and after consideration of all of the evidence of publicity, the trial court found that the Petitioner could receive a fair trial in Newton County and refused to grant a change of venue.
(Id.
at 117-18.) The Supreme Court of Georgia found no error in the denial of the change of venue motion.
Ford v. Georgia,
The Due Process Clause of the Fourteenth Amendment safeguards a defendant’s Sixth Amendment right to be tried by a panel of impartial, indifferent jurors.
Coleman v. Kemp,
It is not required ... that the jurors be totally ignorant of the facts and issues involved. In these days of swift, widespread and diverse methods of communication, an important case can be expected to arouse the interest of the public in the vicinity, and scarcely any of those best qualified to serve as jurors will not have formed some impression or opinion as to the merits of the case. This is particular true in criminal cases. To hold that the mere existence of any preconceived notion as to the guilt or innocence of an accused, without more, is sufficient to rebut the presumption of a prospective juror’s impartiality would be to establish an impossible standard. It is sufficient if the juror can lay aside his impression or opinion and render the verdict based on the evidence presented in court.
Irvin,
A trial is deemed fundamentally unfair, and thus a change of venue warranted, only if the pretrial publicity resulted in actual or presumed prejudice.
See Murphy v. Florida,
The Petitioner appears to argue that due process required a change of venue based on presumed prejudice. Prejudice is presumed when the defendant establishes that the community where the trial was held was saturated by pretrial publicity that was sufficiently prejudicial and inflammatory.
Meeks,
The Petitioner claims that the murders and robbery were the subject of extensive and highly sensational publicity at the times the crimes were committed and immediately prior to the trial. However, the newspaper articles submitted by the Petitioner fall short of showing that the publicity was “pervasive” or “inflammatory” and, thus, do not raise the presumption of prejudice.
See Meeks,
The remaining five articles
25
were published within a week of the crimes, i.e.,
*1322
over seven months before voir dire started, and primarily provided factual accounts of: (1) the circumstances surrounding the crimes, the reporting of which was not unnecessarily graphic; (2) the developing case, including the arrest of the Petitioner and Turner; and (3) brief descriptions of the victims. (Resp’t Ex. 17 at 64-65, 74-77.) News articles such as these that are largely factual in nature are not considered sufficiently prejudicial or inflammatory to presume prejudice.
See Murphy,
Moreover, the Petitioner has not shown that the alleged prejudicial pretrial publicity saturated the community in which he was tried. In
Rideau,
the Supreme Court presumed prejudice when the defendant’s 20-minute taped confession was broadcast three times to tens of thousands of people, in a community of only 150,000 people.
Rideau,
2. Expert Witnesses
Although not directly related to the alleged prejudicial effects of pretrial publicity, the Petitioner also challenges the court’s denial of funds to hire an expert to examine the potential effects of the publicity and for a psychologist to assist in voir dire.
(See
Resp’t Ex. 2 at 70-72.) The Petitioner raised this claim as enumeration of error fourteen on direct appeal. (Resp’t Ex. 8.) Without specifically addressing the claim, the Supreme Court of Georgia rejected it as having no arguable merit.
Ford v. Georgia,
K. Claim G — Prosecutor’s Opening Statement
The Petitioner argues that he was denied due process and the right to a fair trial because the prosecution’s opening statement contained inaccurate and improper statements and misled the jury as to potential evidence. None of the complained of remarks were objected to by the Petitioner’s trial counsel. The state habe-as court found the Petitioner’s claims of prosecutorial misconduct in the opening statement to be without merit. (Resp’t Ex. 16 at 61-63.) As discussed above with regard to the closing argument, the threshold inquiry when evaluating a prose-cutorial misconduct claim is to determine whether the prosecutor’s remarks were improper. However, it is not enough simply to establish that the prosecutor’s remarks were “undesirable or even universally condemned.”
Darden v. Wainwright,
First, the Petitioner argues that the prosecutor’s reference to the appointed status of his trial counsel was error because it allowed the jurors to conclude that the egregious nature of the crimes may have prevented the Petitioner from getting a lawyer on his own. This statement came at the beginning of the prosecutor’s opening statement and in the context of introducing himself to the jury.
See Cargill,
*1325 The Petitioner also alleges that the prosecutor made misleading statements about evidence, some of which was never presented during the trial. In particular, in the context of describing the events allegedly leading up to the murders, the prosecutor stated:
We think the evidence is going to show that meanwhile Roger Turner, who is driving Ray Ford in the Toyota they are driving around the area ... they realize after the last person left the store no one is there except [the victims]. At that time the evidence should reveal that Roger pulled his car up to the side of the store ... and he had told Ray he wasn’t getting out of the car, that all he was going to do is drive him down there ... and if Ray got stuck out there that was his problem.
(Resp’t Ex. 6 at 198) (emphasis added). The Petitioner contends that the italicized statement was improper because the prosecutor never introduced evidence of such an agreement. “The purpose of an opening statement is to inform the jury and the court of the nature of the case, and to give an outline of the proof the party anticipates presenting.”
Parker v. State,
Similarly, while describing what the State anticipated the evidence to show about the scene inside the convenience store, the prosecutor stated that: “[A]c-cording to Roger Turner what we feel the evidence is going to reveal, the child eleven-year old Lisa Chapman was in the bathroom seated cowarding on a green bucket.” (Resp’t Ex. 6 at 201.) According to the Petitioner, this statement was intentionally misleading and meant to incite the jury because the prosecutor knew that Turner remained in the car and, thus, could not see and had no way of knowing the position of Chapman. The Petitioner is correct in asserting that the prosecution knew Turner would testify that he did not enter the convenience store and did not witness what occurred inside. However, two other witnesses, the officers that first responded to the scene, testified that Lisa Chapman was found in the bathroom and seated on a bucket. (Resp’t Ex. 6A at 557-58, 582-83.) Therefore, although the evidence did not come from Turner, the prosecutor had more than a good faith belief that the evidence would be presented in court. Accordingly, the remark was neither improper nor misleading.
Finally, the Petitioner claims that the prosecutor misled the jury as to the strength of the State’s case by commenting that not all of the prosecution’s witnesses would be called to testify. This comment was made in the context of informing the jury that the prosecution would try to keep the trial as short as possible, including not calling redundant witnesses. (Resp’t Ex. 6 at 204.) It is the prosecution’s prerogative whether to call all of its witnesses, and there is nothing *1326 improper about this statement. Any inferences drawn by the jury as a result of the remark are pure speculation. Because the Petitioner cannot show that the prosecutor’s remarks were improper or rendered the trial fundamentally unfair, the decision of the state habeas court denying the Petitioner’s claim of prosecutorial misconduct in the opening statement was neither contrary to nor an unreasonable application of clearly established federal law. The Petitioner is not entitled to habeas relief based on this claim.
L. Claim H — Photographs
The Petitioner claims that the introduction into evidence of photographs of the victims denied him his right to due process and a fair trial. Specifically, the trial court admitted into evidence during the guilt-innocence phase a photograph of the body of Martha Matich at the crime scene (Resp’t Ex. 6A at 559-60) as well as four pre-autopsy photos of the two victims that depicted the location and extent of the gunshot wounds
(id.
at 594-95, 601-03). According to the Petitioner, these photographs served no other purpose than to inflame the jury and further prejudice them against the Petitioner. This same objection was made by defense counsel during the trial, and each photograph was examined by the trial judge and admitted over objection. Under Georgia law, photographs which depict the crime scene and demonstrate the location and nature of wounds to a victim are relevant and material, even if they are duplicative or tend to inflame the jury.
Jackson v. State,
The state habeas court determined that the photographs, although gruesome, had evidentiary value and were properly admitted by the trial court. “[I]t is not the province of a federal habeas court to reexamine state-court determinations on state-law questions.”
Estelle v. McGuire,
M. Claim I — Prosecutor’s Closing Argument (Guilt-Innocence Phase)
As with the claims of prosecutorial misconduct in the opening statement and sentencing phase closing argument, the Petitioner contends that a number of statements during the prosecutor’s closing argument of the guilt-innocence phase denied him due process and a fair trial. As discussed above, a prosecutor’s argument results in a denial of due process if the prosecutor’s remarks were improper and, when considered in context of the entire proceeding, rendered the trial fundamentally unfair.
Donnelly,
The state habeas court correctly stated that a prosecutorial misconduct claim requires proof that the argument was improper and rendered the proceeding fundamentally unfair. (Resp’t Ex. 16 at 44-45.) Thus, the proper inquiry here is whether the state habeas court relied on an objectively unreasonable application of clearly established federal law or determination of facts in denying the Petitioner’s claim. In holding that the closing argument was neither improper nor harmful, the state habeas court thoroughly addressed the allegedly improper statements as follows:
Petitioner alleges that the prosecutor should not have characterized the crimes as “horrendous” and an “execution,” or Petitioner as a “manipulator”, “arrogant”, “weaseling” and a “cowboy,” or the defense argument as “muddying the waters.” Attorneys may, however use figurative speech in closing arguments. Stancil v. State,158 Ga.App. 147 , 148,279 S.E.2d 457 (1981). These comments were not so inflammatory or prejudicial that Petitioner was denied a fair trial, or that the validity of the verdict is now questionable because of the comments. Petitioner complains that arguments concerning the credibility of Petitioner’s testimony or his exculpatory evidence were inappropriate comments on Petitioner’s presumption of innocence and right against self-incrimination. 27 Once *1328 Petitioner testified, however, he waived his right to silence and his testimony could be weighed (and attacked) as any other witness. Carter v. State,161 Ga. App. 734 , 736,288 S.E.2d 749 , 751 (1982) (“A defendant in a criminal case who voluntarily testifies in his own behalf, waives completely his privilege under the Fifth Amendment. Furthermore, when a defendant voluntarily takes the stand in his own behalf and testifies as to his guilt or innocence as to a particular offense, his waiver is not partial; having once cast aside the cloak of immunity, he may not resume it at will, whenever cross-examination may be inconvenient or embarrassing.”).
Petitioner also cites as error argument by the district attorney concerning events leading up to the murders, and a phone conversation with Petitioner’s mother after the murders. There is evidence in the record to support the inference that Petitioner did solicit more than one person to assist in the robbery and did alter his story over time. Likewise, whether or not Petitioner was intoxicated at the time of his conversation was also a contested matter that the State could argue.
The district attorney was also at liberty to argue the State’s interpretation of Petitioner’s statement that Lisa Chapman would not have been killed if she had not been in the store. The statement is a matter of record introduced by one of the law enforcement agents, and acknowledged and explained by Petitioner. (T. Trans, at 485-86; 796-97). While the district attorney did refer to a Frito-Lay display box that was not admitted into evidence, the Court finds that there was only a reference to the box and not argument concerning the bullet trajectory for which it had originally been offered. (T. Trans, at 889). Therefore, no improper argument was made on these points.
The Court has reviewed the Prosecutor’s argument distinguishing felony and malice murder. (T. Trans, at 884-85; 913-14). The Court finds that this argument was legally correct and proper. Whether or not the district attorney argued the law correctly, however, is irrelevant since the trial judge’s charged on the legal issues superseded any comments made by the attorneys regarding the law.
Petitioner argues that the Prosecutor’s statement that “these victims deserve” for the jury to look at the autopsy photographs, made while he described the relevant evidence that could be ascertained from the photographs, was improper. (T. Trans, at 890). Petitioner also contends that the Prosecutor’s comment on Petitioner’s objection to admission of his custodial statements was improper. (T. Trans, at 906). The Court finds that these arguments could be fairly inferred from and related to the evidence. Further, they are not so inflammatory that they call the impartiality of the jury’s verdict into question when taken in context of the entire argument. There was no constitutional error committed in these arguments.
(Id. at 45-48.)
The Petitioner does not present any particular argument as to how the state habeas court’s holding was an unreasonable application of federal law. After independently reviewing the trial record and the habeas record, this Court cannot conclude that the state habeas court’s denial of habeas relief based on the prosecutor’s closing argument during the guilt-inno
*1329
cence phase was contrary to or involved an unreasonable application of clearly established federal law. In reaching this conclusion, the Court notes that the Petitioner’s trial counsel did not object to the State’s closing argument. (Resp’t Ex. 6A at 994.) The Eleventh Circuit has stated that the lack of an objection “may demonstrate defense counsel’s belief that the live argument, despite its appearance in a cold record, was not overly damaging” and, thus, weighs against a determination that the argument was in fact prejudicial.
Cargill,
N. Claim J — Improper Jury Instructions (Guilh-Innocence Phase)
The Petitioner argues that the trial court’s improper jury charge during the guilt-innocence phase and its failure to give critical instructions requested by the Petitioner violated his right to due process and a fair trial. However, the Petitioner’s trial counsel did not expressly object to any of the instructions given by the trial court. (Resp’t Ex. 6A at 944-45.) And, as the Supreme Court has noted, “[i]t is the rare case in which an improper instruction will justify reversal of a criminal conviction when no objection has been made in the trial court.”
Henderson v. Kibbe,
1. Presumption of Innocence
The Petitioner challenges a number of the trial court’s instructions. First, he contends that the trial court failed to give proper weight to the presumption of innocence by stating that “the plea of not guilty entered by the defendant to the indictment is not evidence of innocence; that is simply the manner in which the issue is joined and presented to you for your decision.” (Resp’t Ex. 6A at 919.) The trial court expressly instructed the jury that the defendant is presumed inno *1330 cent and that the presumption remains with the defendant until and unless it is overcome by evidence sufficient to establish his guilt beyond a reasonable doubt. (Id. at 919-20.) Moreover, the challenged statement was made in the context of explaining that the burden rests on the State to prove beyond a reasonable doubt all elements of the crimes charged against the Petitioner and that the plea of not guilty, like the indictment, is not to be considered evidence. (Id. at 918-19.) The Petitioner’s claim is without merit.
2. Reasonable Doubt
The Petitioner also challenges the trial court’s instructions on reasonable doubt. The trial court charged the jury as follows:
A reasonable doubt is just what the term implies. It is a doubt based upon reason. It is not a fancy or a conjecture or a supposition that the defendant might be innocent, but is just such a doubt as a reasonable man or woman would have and would act upon or decline to act upon in a matter of importance or of grave concern to himself or herself. In other words, it is the doubt of a fair minded, impartial juror honestly seeking the truth and it may arise from a consideration of the evidence or from a lack of evidence.
(Resp’t Ex. 6A at 920) (emphasis added). According to the Petitioner, the emphasized portion improperly implied that the defendant had the burden of proving his innocence beyond a reasonable doubt. The wording of this particular sentence may not be the picture of clarity, but what is clear is the fact that the trial court repeatedly instructed the jury that the burden rests upon the
State
to prove
guilt
beyond a reasonable doubt.
(Id.
at 918-20.) The Petitioner also contends that the trial court lessened the State’s burden of proof by implying that the jury need only be convinced beyond mere “conjecture.” The Petitioner, however, seems to ignore the fact that the trial court specifically stated that reasonable doubt is
not
simply conjecture. The trial court’s instruction, taken as a whole, accurately conveyed the concept of reasonable doubt, and the Petitioner’s claim is without merit.
See Victor v. Nebraska,
3. Custodial Statement
The Petitioner next asserts that the trial court’s instruction regarding the voluntariness and admissibility of his custodial statement was inadequate. The trial court instructed the jury that before it could consider as evidence the Petitioner’s statements made while in custody, it must determine whether he was advised of his constitutional rights, whether he knowingly and voluntarily waived them, and whether his statement was freely and voluntarily given. (Resp’t Ex. 6A at 926.) The court also explained that if the Petitioner exercised his rights by requesting an attorney, the police could not question him further without an attorney present, “unless the defendant himself freely and voluntarily requests and initiates further conversations with the police without an attorney being present.” (Id. at 927.) The court further instructed the jury that any statement made after an invocation of the right to counsel must be disregarded if the police, and not the Petitioner, initiated or continued the conversation. 28 (Id.) The *1331 state habeas court found this to be a proper statement of law, and this Court agrees. Habeas relief is not warranted.
4.Statements by Defendant
The Petitioner challenges another instruction given in connection with the charge regarding the defendant’s custodial statement. Specifically, the Petitioner claims that the trial court improperly gave a prejudicial instruction when it encouraged the jury to “consider with great care and caution the evidence of any statement made by the defendant.” (Resp’t Ex. 6A at 929.) According to the Petitioner, a reasonable juror could construe this as indicating that the jury should presume the defendant’s testimony to be untrue. However, the Petitioner takes the statement out of context. The entirety of this instruction, given immediately following the charge on the voluntariness of the custodial statement, was as follows:
You should consider with great care and caution the evidence of any statement made by the defendant. The jury may believe any statement in whole or in part, believing that which they find to be true and rejecting that which they find to be untrue. Upon you alone rests the duty protesting the believability of witnesses and to decide what weight should be given to all or any part of any such evidence.
(Resp’t Ex. 6A at 929.) The instruction as a whole does not imply that the Petitioner’s testimony was to be disbelieved. Moreover, the language of the trial court’s charge is substantially similar to that contained in the Petitioner’s Request to Charge 7. (Resp’t Ex. 2 at 104 (“I charge you that an alleged statement by the Defendant was admitted in evidence. You should consider with great caution the evidence of any admission. The jury may believe admissions or incriminating statements in whole or in part, believing that which they find to be true and rejecting that which they find to be untrue.”).) The Petitioner’s claim is without merit.
5.Accomplice Testimony
The Petitioner next argues that the trial court improperly instructed the jury regarding testimony of an accomplice and the need for corroborating evidence. The trial court explained that “a person accused of crime cannot be convicted on the testimony of an accomplice unless such testimony is supported by other evidence connecting the accused with the alleged crime and tending to show his participation therein....” (Resp’t Ex. 6A at 929-30.) The court further explained that whether a witness was in fact an accomplice and, thus by implication, whether corroborating evidence was necessary, was a determination to be made by the jury. These are correct statements of Georgia law. See O.C.G.A. § 24-4-8; Council of Superior Court Judges of Georgia, Suggested Pattern Jury Instructions, Vol. II, Part 3, ¶ 208.40 CC (2d ed.1991). Nevertheless, the Petitioner argues that by stating that “[t]he Court does not intimate to you that there is or that there is not any testimony of an accomplice in this case,” Resp’t Ex. 6A at 930, the trial court improperly emphasized a finding that Turner was not an accomplice. This contention is in no way supported by, and is in fact contradicted by, the trial court’s statement. The state habeas court’s finding of no constitutional error was correct and the Petitioner’s claim is properly denied.
6.Malice
The trial court charged the jury that “[m]alice may be implied where
*1332
no considerable provocation appears and where all the circumstances of the killing show an abandoned and malignant heart.” (Resp’t Ex. 6A at 932.) According to the Petitioner, this charge impermissibly allowed the jury to presume intent, in violation of
Sandstrom v. Montana,
Here, the instruction given by the trial court did not create an unconstitutional mandatory presumption of intent but rather a permissive inference. A permissive inference “merely allows an inference to be drawn and is constitutional so long as the inference would not be irrational.”
Baxter,
Moreover, when considered in the full context of the charge, the challenged statement did not impermissibly shift the burden. The trial court explained that “[a]n accused person will not be presumed to have acted with criminal intention,” Resp’t Ex. 6A at 931, and clearly instructed the jury that intent to kill is an element of malice. (Resp’t Ex. 6A at 932 (“Malice in it’s legal sense is not necessarily ill will or hatred. It is the unlawful, deliberate intention to kill a human being without justification or excuse, which intention must exist at the time of the killing.”).) Accordingly, the trial court charged the jury: “It is for you to decide whether or not the facts and circumstances of this case show malice.” (Id.) In addition, the court specifically instructed the jury that the State bears the burden of proving each element of a crime beyond a reasonable doubt. Thus, this Court finds that the state habeas court’s decision that the malice charge did not violate Sand-strom was not contrary to or an unreasonable application of clearly established federal law. Habeas relief is not warranted based on this instruction. 29
*1333 7. Elements of Crimes Charged
The Petitioner also contends that the trial court failed to give certain required and requested instructions. First, the Petitioner maintains that the trial court failed to charge the jury as to the State’s obligation to prove beyond a reasonable doubt each of the elements of the crimes charged and failed to instruct the jury as to the elements of armed robbery and burglary. As previously discussed, however, the trial court specifically charged the jury regarding the State’s burden. (Resp’t Ex. 6A at 918) (“[T]he burden is upon the State to prove beyond a reasonable doubt all of the material elements and allegations of each of the crimes charged in order for you to find the defendant guilty of such crime.”) In addition, the trial court’s instructions regarding armed robbery and burglary (Resp’t Ex. 6A at 937, 940-41) mirror the language of the Georgia statutes defining these crimes.
See
O.C.G.A. § 16-8-41(a) (armed robbery); O.C.G.A. § 16-7-1 (burglary);
see also
O.C.G.A. § 16-8-2 (theft by taking). Similarly, the Petitioner claims that the trial court failed to distinguish properly between felony murder and malice murder. The state habeas court determined that the trial court properly charged the jury regarding these crimes, and this Court will defer to that determination.
See Estelle v. McGuire,
8. Voluntary Intoxication
Finally, the Petitioner contends that the trial court failed to give his requested charges regarding: (1) the effect of voluntary intoxication on criminal intent; and (2) voluntary and involuntary manslaughter. As noted above, in instances where a petitioner seeks habeas relief based on a court’s failure to give an instruction, the burden of proof is “especially heavy” because omissions are less likely to be prejudicial than substantive misstatements of the law.
Kibbe,
*1334 9. Manslaughter
The Petitioner contends that the trial court’s failure to charge the jury on voluntary and involuntary manslaughter violated his constitutional rights, as set forth in
Beck v. Alabama,
In Georgia, in order to warrant a charge on voluntary manslaughter, the evidence must show that the defendant was acting solely “as the result of a sudden, violent, and irresistible passion resulting from serious provocation sufficient to excite such passion in a reasonable person.” O.C.G.A. § 16-5-2(a). The Petitioner makes a con-clusory argument that the circumstances under which he allegedly killed his ex-girlfriend could have constituted “heat of passion.” However, to the contrary, the State introduced substantial evidence that the Petitioner contemplated killing Martha Matich for a number of weeks before the murders, including evidence that he approached several people, the day before and the day of the murders, for a ride to the convenience store where Matich worked.
See Ford v. Georgia,
O. Claim K — Knowing Presentation of False Testimony (Brady/Giglio)
The Petitioner contends that the prosecutor knowingly presented false testimony, or at least allowed false testimony to go uncorrected, in violation of
Brady v. Maryland,
During trial, the four officers who were present during the interrogation room encounter 30 each testified that when Turner was brought into the room, he informed the Petitioner that he had told the truth about what happened the night of the murders. (Resp’t Ex. 6 at 482, 516; Resp’t Ex. 6A at 546-47, 572.) According to the officers, the Petitioner responded that Turner should not worry because the Petitioner would testify that Turner was not involved in the murders. (Resp’t Ex. 6 at 482, 509, 516-18; Resp’t Ex. 6A, at 547-48, 573.) The Petitioner argues that this testimony is contradicted by an affidavit of Roger Turner submitted during the state habeas proceeding in 1992. In his affidavit, Turner stated:
After I had been interrogated for quite some time, I was taken to the room where Ray Ford was being interrogated. After I was brought into the room, I was asked by one of the officers to tell Ray whether or not I had made a statement. I indicated to Ray that I had made a statement to the GBI. Ray was sitting down with his head in his hands. He didn’t look up. The same officer then asked Ray if he wanted to make a statement. Ray said “no”. After that I was escorted out of the room and did not see Ray again that day. At no time did Ray say anything other than the word “no” while I was in his presence in the interrogation room.
(Resp’t Ex. 17, Plaintiffs Ex. 15 113.) Although he relied on Turner’s affidavit to establish the alleged falsity of the officers’ testimony, even the Petitioner’s trial testimony was not consistent with Turner’s affidavit. Rather than claiming that he *1336 had remained silent during the encounter, as Turner testified, the Petitioner testified to making a few comments to Turner in the interrogation room. In particular, the Petitioner testified that he told Turner he was sorry he had gotten him involved, that everything would be alright, and that he should cover his a — . (Resp’t Ex. 6A at 737-38, 787-88, 799.)
The Petitioner must show conclusively that the statements of the four law enforcement officers were actually false.
Maharaj v. Secretary for Dep’t of Corr.,
P. Claim L — Unlawful Use of Peremptory Strikes (Batson)
The Petitioner alleges that the prosecutor violated the mandate of
Batson v. Kentucky,
In
Batson,
the Supreme Court held that an African-American defendant stated an Equal Protection claim based on allegations that the prosecutor exercised peremptory strikes in a manner allegedly intended to exclude African-Americans from serving on the jury in a systematic manner.
Batson,
Q. Claim O — Improper Jury Instructions (Sentencing Phase)
As discussed above with regard to Claim J, an erroneous jury instruction warrants habeas relief only when, viewed in the context of the entire charge, “the ailing instruction by itself so infected the entire trial that the resulting conviction violates due process.”
Kibbe,
With regard to its sentencing verdict, the trial court instructed the jury, in relevant part:
The law provides that when a person is convicted of a crime which may be punishable by death, a sentence of death shall not be imposed unless the jury unanimously finds beyond a reasonable doubt that at least one statutory aggravating circumstance was present, designates such findings in writing, signed by the foreperson and fixes the penalty as death.
If the jury fixes the penalty as death, the defendant shall be sentenced to death. If the jury fixes the penalty as life imprisonment, the defendant shall be sentenced to life imprisonment. The decision is one entirely for the jury to make and the jury may in any event, regardless of it’s [sic] findings as to aggravating or mitigating circumstances, fix the penalty as life imprisonment.
If you decide to fix the penalty as death, the foreperson will write on line four below we unanimously fix the penalty as death. If you decide to fix the penalty as life imprisonment the foreperson will write on line four below we unanimously fix the penalty as life imprisonment.... Whatever your verdict is it must be unanimous....
(Resp’t Ex. 6A at 1060-61, 1066-67.) Under Georgia law, life imprisonment or the death penalty are the only two sentences that can be imposed following a conviction for murder, and “if the convicting jury is unable to agree on which of those two sentences to impose, the trial judge must impose the lesser, life imprisonment.”
Hill v. State,
With regard to statutory aggravating circumstances, the trial court instructed the jury as to the specific aggravating factors that it could consider in reaching its verdict. In particular, the trial court advised the jury that it could find the existence of a statutory aggravating circumstance if it determined, beyond a reasonable doubt, that either murder was committed while the Petitioner was in the commission of armed robbery or burglary. The Petitioner contends that the charge regarding these statutory aggravating circumstances was deficient because the trial court did not instruct the jury as to the elements of the offenses and, therefore, impermissibly reduced the State’s burden of proof. The Petitioner does not allege that the instructions given by the trial court were substantively erroneous, just that they were incomplete. Generally, the possibility of prejudice is slight under such circumstances.
Adams v. Wainwright,
R. Claim Q — Unified Appeal Procedure
The Petitioner challenges Georgia’s Unified Appeal Procedure (“UAP”), O.C.G.A. § 17-10-36, arguing that it violates his Fifth, Sixth, Eighth, and Fourteenth Amendment rights. The UAP sets forth rules promulgated by the Georgia Supreme Court that prescribe procedures to be utilized in death penalty cases by the trial court, defense counsel, and the prosecutor prior to, during, and after trial. The procedures were established to prevent or correct errors in the proceedings and to ensure that the defense raises, or expressly waives, all matters that can be raised prior to trial.
Buttrum v. Black,
S. Claim R — Failure to Conduct Competency Hearing
The Petitioner alleges that the trial court violated his procedural due process rights by failing to conduct, sua sponte, a competency hearing. The Due Process Clause prohibits the state from trying and convicting a mentally incompetent defendant.
Drope v. Missouri,
The Petitioner argues that a bona fide doubt as to his competence to stand trial arose out of a statement he made at a pretrial hearing. During the pretrial hearing, the trial court addressed a number of the Petitioner’s motions, including motions for fees to hire independent experts, motion for change of venue, motion to sever offenses, and motions relating to voir dire. (Am. Petition ¶ 171; Resp’t Ex. 4.) At the conclusion of the hearing, the trial judge posed the following question to the Petitioner: “Mr. Ford, do you understand what is taking place here today?” *1340 The Petitioner responded: “I understand about half of it.” (Resp’t Ex. 4 at 33.) According to the Petitioner, his response that he only understood “about half’ of what transpired during the hearing was evidence of his inability to comprehend the proceedings and was sufficient to create a bona fide doubt regarding his mental competence. The state habeas court found that:
[A] proper reading of this statement in context with the hearing, which involved extensive legal argument, does not indicate mental incompetence, but rather a layman’s inability to fully comprehend the jargon and principles of the law. No violation of constitutional rights occurred when neither defense counsel nor the trial court pursued the comment.
(Resp’t Ex. 16 at 43-44.) This conclusion was not contrary to or an unreasonable application of the clearly established federal law set forth in
Dusky, Pate,
and
Drope.
It was not unreasonable of the state habe-as court to conclude that the Petitioner’s statement simply demonstrated a lack of complete understanding of legal argument intricacies, rather than a lack of a rational or factual understanding of the proceedings. Moreover, the Petitioner has not presented any evidence of irrational behavior or evidence that his demeanor during the hearing should have created doubt regarding his competence.
See Medina v. Singletary,
T. Claim T — Ineffective Assistance of Counsel
The Sixth Amendment guarantees the right to counsel.
Strickland v. Washington,
In
Strickland,
the Supreme Court set out the two components of a claim of ineffective assistance of counsel.
Strickland,
“The petitioner’s burden to prove, by a preponderance of the evidence, that counsel’s performance was unreasonable is a heavy one.”
Jones v. Campbell,
*1342
Counsel are presumed to have rendered adequate assistance and to have exercised reasonable professional judgment.
Strickland,
The Petitioner was represented during trial by John Howell and Ben Hendricks. At that time, Howell had been practicing law for fourteen years and had participated in over two hundred felony trials, including two capital cases. (Resp’t Ex. 6A at 1074; Resp’t Ex. 17 at 87.) Hendricks, who was appointed to assist Howell, had been a member of the bar for approximately ten years and had been involved in several serious criminal cases prior to representing the Petitioner. (Resp’t Ex. 6A at 1075; Resp’t Ex. 17 at 296.) During his first state habeas corpus proceeding, the Petitioner asserted a claim of ineffective assistance of counsel based on a number of alleged constitutional deficiencies in trial counsels’ performance. Before addressing the individual allegations, the state habeas court correctly stated the two-pronged test from
Strickland
and noted that there is a “strong presumption that trial counsel’s performance falls within the wide range of reasonable professional assistance, and that any challenged action by trial counsel might be considered sound trial strategy.” (Resp’t Ex. 16 at 3-4,
quoting Noble v. State,
Although the state habeas court accurately set forth the controlling law from
Strickland,
the Petitioner contends that its decision denying the claim was “contrary to”
Strickland.
Relying on instances where the state habeas court denied individual claims because the Petitioner had not shown prejudice, the Petitioner argues that the state habeas court improperly required the Petitioner to show more than a reasonable probability that the result of the proceeding would be different. In making this argument, the Petitioner seems to ignore the fact that
Strickland
requires the defendant to show “that the deficient performance
prejudiced
the defense.”
Strickland,
The Petitioner also argues that in denying his ineffective assistance of counsel claims, the state habeas court unreasonably determined the facts or unreasonably applied clearly established federal law. The Court will address the Petitioner’s specific allegations of ineffective assistance of counsel, of which there appear to be approximately thirty errors alleged, and the state habeas court’s ruling thereupon in turn.
1. Failure to Investigate and Present Mitigating Evidence
The Petitioner contends that he was denied effective assistance of counsel because trial counsel failed to investigate and present available mitigating evidence during the sentencing phase. In Strickland, the Supreme Court established a standard for deference given to decisions to limit investigation based on defense strategy:
Strategic choices made after thorough investigation of law and facts relevant to plausible options are virtually unchallengeable; and strategic choices made after less than complete investigation are reasonable precisely to the extent that reasonable professional judgments support the limitations on investigation. In other words, counsel has a duty to make reasonable investigations or to make a reasonable decision that makes particular investigations unnecessary. In any ineffectiveness case, a particular decision not to investigate must be directly assessed for reasonableness in all the circumstances, applying a heavy measure of deference to counsel’s judgments.
Strickland,
In
Wiggins,
the defendant’s counsel at sentencing limited the investigation to three sources: (1) a psychologist’s reports; (2) a pre-sentence investigation report including a one-page account of the defendant’s “personal history”; and (3) Department of Social Services records documenting the defendant’s placements in the state’s foster care system.
Wiggins,
The Petitioner contends that trial counsel similarly failed to obtain and present adequate mitigating evidence during the sentencing phase. In preparation for the sentencing phase, trial counsel talked to the Petitioner and members of his family. They also requested that Dr. Newkirk, the appointed psychiatrist who evaluated the Petitioner, conduct her evaluation with an eye toward providing mitigating evidence, including preparing information concerning the Petitioner’s family background, childhood and any drug or alcohol abuse. (Resp’t Ex. 17 at 194-95, 207, 251, 266-67.) Mr. Howell conceded, however, that he did not undertake an independent investigation of the Petitioner’s background. (See id. at 197, 201.) During the sentencing phase, the defense presented only two witnesses — Dr. Newkirk and Georgia Ford, the Petitioner’s mother.
The Petitioner contends that trial counsels’ investigation and presentation of mitigating evidence was based on neglect, not a strategic decision, and fell short of reasonable professional standards. In support of his claim that trial counsel could have obtained and presented additional mitigation evidence, the Petitioner introduced at the state habeas proceeding the affidavits of a number of family members, a minister, and a former elementary school teacher. In Waters v. Thomas, the Eleventh Circuit commented on the relatively limited evidentiary value of such affidavits in a habeas case:
It is common practice for petitioners attacking their death sentences to submit affidavits from witnesses who say they could have supplied additional mitigating circumstance evidence, had they been called or, if they were called, had they been asked the right questions. This case is no exception. But the existence of such affidavits, artfully drafted though they may be, usually proves little of significance. This case is no exception in that respect either. That other witnesses could have been called or other testimony elicited usually proves at most the wholly unremarkable fact that with the luxury of time and the opportunity to focus resources on specific parts of a made record, post-conviction counsel will inevitably identify shortcomings in the performance of prior counsel. As we have noted before, in retrospect, one may always identify shortcomings, but perfection is not the standard of effective assistance. The widespread use of the tactic of attacking trial counsel by showing what “might have been” proves that nothing is clearer than hindsight— *1345 except perhaps the rule that we will not judge trial counsel’s performance through hindsight.
Waters,
The Petitioner argues that trial counsel were deficient for failing to interview and present the testimony of these available witnesses, failing to obtain medical, psychiatric, and school records, and for relying almost entirely on the appointed psychiatrist to develop the mitigation case. According to the Petitioner, had trial counsel conducted an adequate investigation, they would have discovered the following important mitigation evidence:
• Petitioner had a history of problems with alcohol and legal and illegal drugs. 34
• Petitioner had periods of blinding headaches and black-outs.
• Petitioner had a history of severe asthma, allergic reactions, and other physical problems.
• Petitioner took medications that had the potential to cause euphoria, insomnia, mood swings, personality changes, and severe depression.
• Petitioner had a history of severe emotional difficulties, including major depression and attempts at suicide.
• Petitioner, on several occasions, was sent to counselors and psychologists for psychological treatment.
• Petitioner’s father had been addicted to alcohol and pain killers.
• Petitioner’s family was financially unstable and unable to provide him with the psychological help he needed as a child.
• Petitioner performed poorly in school.
• In the weeks preceding the murders, the Petitioner had been abusing alcohol and drugs and appeared to be very depressed.
• Petitioner’s caring personality.
The state habeas court rejected the Petitioner’s ineffectiveness claim, holding that:
Mitigation evidence from an independent psychiatrist and from the Petitioner’s mother was presented. Petitioner cannot demonstrate any constitutional violation in his own failure to present other evidence. The Court finds that Petitioner agreed with counsel’s decision not to present certain other witnesses that counsel and Petitioner had discussed. Petitioner cannot now be heard to complain about a strategic decision he and his attorney made. 35
*1346 Further, some, if not all, of the evidence that Petitioner alleges should have been presented (other family members, a former school teacher, and a minister) would have been cumulative of some of the testimony and emotional pleas offered by the two mitigation witnesses. The habeas court cannot second guess the decision of a defendant and his counsel regarding when enough mitigation evidence has been presented. The fact is, the opportunity to present such evidence was given and there can be no constitutional violation when a defendant and his counsel decide that they have exercised that right to the fullest extent desirable. Demonstrating in the habeas proceeding that there were other witnesses who could have testified at trial does not, by itself, prove that counsel was ineffective for not presenting them at trial.
(Resp’t Ex. 16 at 65-66) (citations omitted). The Petitioner argues that the state habeas court’s decision constitutes an unreasonable application of the standards for effective assistance clearly established in Strickland and outlined in Williams and Wiggins.
The record from the state habeas proceeding suggests the possibility that trial counsel did not perform a thorough investigation of the Petitioner’s background. However, trial counsels’ failure to interview a number of these witnesses or to investigate certain aspects of the Petitioner’s background may have been due to what, if any, information the Petitioner supplied to trial counsel. The Supreme Court has stated that the reasonableness of counsel’s actions should be evaluated based on “strategic choices made by the defendant and on information supplied by the defendant.”
Burger v. Kemp,
691,
Having found that trial counsel made a strategic decision along with the Petitioner regarding what mitigating evidence to present, the state habeas court did not expressly address the prejudice
*1347
prong of the
Strickland
test. However, this Court finds that even if trial counsels’ performance was deficient, the Petitioner has not shown prejudice stemming from the alleged failures. Although the Petitioner challenges trial counsels’ failure to call a number of witnesses in mitigation, the Supreme Court has made clear that trial counsel is not required to present all available mitigating evidence during the sentencing phase.
Wiggins,
It appears that the only issues addressed in the affidavit testimony that were not presented during the sentencing phase concerned: (1) the Petitioner’s history of headaches, allergies, and asthma; and (2) the Petitioner’s father’s addiction to pain killers and alcohol. The Petitioner also asserts that the witnesses could have testified to his caring personality.
But see Strickland,
2. Failure to Prepare Mental Health Aspects of Case Adequately
The Petitioner argues that trial counsel rendered ineffective assistance in presenting the testimony of Dr. Cassandra Newkirk during the sentencing phase. Dr. Newkirk testified that the Petitioner suffered from residual attention deficit disorder and antisocial personality disorder. According to Dr. Newkirk, individuals with antisocial personality disorder have an inability to control their impulses. (Resp’t Ex. 6A at 1000-01.) She analogized this to “water in a pot that’s boiling and the lid is on and they get so angry at times that the lid blows.” (Id. at 1000.) Dr. Newkirk also testified that people who have impulse disorders often suffer from depression and abuse alcohol and drugs. (Id. at 1004.) In the Petitioner’s case, Dr. Newkirk testified that in the months leading up to the murders, the Petitioner was using drugs and alcohol and had become very angry and depressed. (I'd. at 1004-06.) As a result, he could not control his behavior and “it was as if the lid blew, it was like it had been seething for a long time and it was that the lid blew at that particular time.” (Id. at 1005.) Dr. Newkirk testified, however, that impulse control problems tend to lessen when an individual receives psychiatric treatment. (Id. at 1001-02.) The Petitioner also points out that on cross examination, Dr. Newkirk testified that the Petitioner admitted that he was not entirely truthful during her evaluation. (Id. at 1012.) The Petitioner asserts that trial counsel were ineffective for calling Dr. Newkirk because she offered only harmful testimony. In the alternative, the Petitioner argues that if trial counsel were not aware of what Dr. Newkirk was going to say, they were ineffective for failing to prepare the witness. The state habeas court held that trial counsel were not ineffective “simply because the psychiatrist’s findings were not overly favorable to Petitioner.” (Resp’t Ex. 16 at 21.)
The crux of the Petitioner’s ineffective assistance claim is his contention that Dr. Newkirk’s testimony was not mitigating. The record does not indicate this to be the case. For instance, Dr. Newkirk testified that the Petitioner had exhibited psychiatric problems in the past, including attempting suicide, and was suffering from extreme depression at the time of the murders. (Resp’t Ex. 6A at 998-99, 1005.) The Petitioner focuses, however, on Dr. Newkirk’s testimony regarding his diagnosis of antisocial personality disorder with
*1349
the attendant impulse control problems. Testimony such as this is a double-edged sword. Admittedly, comparing the Petitioner to a pot waiting to boil over could be harmful. However, in
Magill v. Dugger,
Dr. Newkirk’s testimony may have contained “both favorable and unfavorable elements.”
Hance,
8. Failure to Interview and Prepare Witnesses
The Petitioner alleges that trial counsel were ineffective because they conducted inadequate witness interviews, including interviewing witnesses in the presence of the prosecutor, and failed to interview other witnesses entirely. Mr. Hendricks testified during the state habe-as hearing that he interviewed five or six witnesses in combination with the prosecutor. According to Hendricks, however, each of these individuals were incidental witnesses, i.e., police officers that were on the scene and citizens that had driven by the scene, who were never called to testify at trial. (Resp’t Ex. 17 at 301-02.) The Petitioner has not shown any prejudice stemming from these joint interviews. The Petitioner identified only one specific witness that trial counsel allegedly failed to interview adequately — his aunt, Martha Boleman. The Petitioner argues that trial counsel were deficient based on an affidavit tendered during the state habeas hearing in which Ms. Boleman stated: “The attorneys hardly talked to me at all before the trial.”
(Id.,
Pet’r Ex. 8 ¶ 9.) Boleman’s testimony was offered in support of the Petitioner’s main defense that the Petitioner was intoxicated to the point of incapacitation on the night of the murders. Specifically, she testified that she saw the Petitioner at the grocery store where she worked on the night of the murders and that based on his appearance and lack of motor skills, he appeared to be very drunk or high on drugs. (Resp’t Ex. 6A at 663-65.) Although he claims that trial counsel failed to interview Boleman adequately, the Petitioner does not identify any information that trial counsel failed to obtain relevant to the guilt-innocence phase.
37
See Lockett v. Anderson,
The Petitioner identifies two witnesses that trial counsel allegedly failed to interview — Donna Ford and Roger Turner.
38
The Petitioner’s claim regarding Turner will be discussed separately. Here, the Petitioner claims ineffectiveness based on trial counsels’ failure to interview, and call as a witness, his sister Donna Ford. Defense counsel has a duty to “conduct a substantial investigation into any of his client’s plausible lines of defense.”
Fortenberry v. Haley,
Nevertheless, even assuming that trial counsel were deficient by failing to interview Ms. Ford, the Petitioner cannot establish ineffectiveness under Strickland. According to the Petitioner, had Ms. Ford been called, she could have testified that she saw the Petitioner drinking hard liquor on the night of the murders and that he was barely able to stand. (See Resp’t Ex. 17, Plaintiffs Ex. 11 f 10.) This testimony would not have been substantially different from that actually presented during the trial. The defense called four witnesses: Martha Boleman; Paulette Ford, the Petitioner’s sister-in-law; Georgia Ford, his mother; and the Petitioner himself. Each of these witnesses testified that the Petitioner was intoxicated on the night of the murders. The Petitioner detailed his use of marijuana, liquor, and beer on the night of the murders. (Resp’t Ex. 6A at 708-09, 714.). Paulette Ford corroborated the Petitioner’s testimony that he left his parent’s house to go buy liquor. She also testified that the Petitioner was slurring his words, was not very coherent, and was very unstable when walking. (Id. at 674-76.) Georgia Ford testified that the Petitioner was slurring his words during a phone conversation that occurred shortly after the time of the murders. (Id. at 687.) Finally, as noted above, Martha Boleman testified that Petitioner appeared very intoxicated that night. Because the jury heard a good deal of testimony regarding the Petitioner’s intoxicated state on the night of the murders, there is not a reasonable probability that had trial counsel interviewed and presented the testimony of Donna Ford, the outcome of the proceeding would have been different. The Petitioner’s claim for relief is properly denied.
4. Failure to Investigate and Cross-Examine Roger Turner Adequately
The Petitioner argues that trial counsel rendered ineffective assistance by failing to interview Roger Turner. Although they viewed and had a transcript of Turner’s videotaped statement, neither Howell nor Hendricks could testify for certain that they interviewed Turner. (Resp’t Ex. 17 at 178, 302.) The Petitioner contends that as a result of trial counsels’ failure to interview Turner, they were unable to present evidence to contradict the officers’ account of statements made by the Petitioner during his interrogation. As discussed above in regard to Claim K, four officers testified at trial that the Petitioner made incriminating statements when Turner was brought into the Petitioner’s interrogation room. Trial counsel cross-examined the officers regarding their recollection of what occurred. (Resp’t Ex. 6 at 517-18, 547-51.) The Petitioner claims, however, that if trial counsel had interviewed Turner, they could have impeached the officers’ testimony. Specifically, the Petitioner relies on the affidavit presented during the state habeas proceeding in which Turner testified that the Petitioner did not make any comments while Turner was present in the interrogation room. (See Resp’t Ex. 17, Plaintiffs Ex. 15 ¶ 3.) What the Petitioner fails to note, however, is that he clearly testified at trial that he made comments to Turner in the interrogation room, he simply disagreed with the officers as to what those statements were. (Resp’t Ex. 6A at 737- *1352 38, 787-88, 799.) Thus, had Turner testified in accordance with his affidavit, his testimony would have contradicted the Petitioner’s own description of what occurred when he was confronted with Turner. In light of this contradictory evidence, the Petitioner has not established that trial counsels’ failure to interview Turner caused prejudice.
In a related claim, the Petitioner argues that trial counsels’ lack of adequate preparation is also evidenced by the failure to impeach Turner with a number of inconsistencies between his statement to the police and his testimony at trial. For instance, Turner’s statement to the police does not indicate that the Petitioner told Turner details of what transpired inside the convenience store; however, Turner testified during trial that the Petitioner had described in detail what took place when he killed Lisa Chapman. (Resp’t Ex. 6 at 260-61.) The Petitioner argues that Turner testified, in accordance with the prosecution’s theory that the Petitioner was not drunk, that the Petitioner poured out nearly an entire bottle of liquor at the hotel following the murders but that he failed to mention any alcohol use at the hotel in his statement to the police. The Petitioner contends that trial counsel were ineffective for failing to point out this inconsistency. The Petitioner argues that trial counsel also failed to challenge the fact that despite his inability to do so in his statement to police, Turner was able to provide a clear description of the bag in which the Petitioner allegedly disposed of the gun and to recount the exact amount of money the Petitioner claimed they could get by robbing the convenience store. In addition, the Petitioner contends that trial counsel should have challenged Turner’s testimony regarding what occurred at the convenience store. 39 Specifically, in his statement to police, Turner described hearing five gun shots, the last two as “one more shot and another quick one right after that.” (Resp’t Ex. 17, Plaintiffs Ex. 20 at 179.) At trial, Turner testified that there were “two quick shots, pretty much close together” and then a few seconds later there was a “hollow sounding shot.” (Resp’t Ex. 6 at 243.)
The decision to cross-examine a witness and the manner in which it is conducted are tactical decisions “well within the discretion of a defense attorney.”
Fugate v. Head,
5. Failure to Conduct Tests of Physical Evidence or Identify Lack of Physical Evidence
During trial, Turner testified that he remained in the car while the Petitioner gained access to the convenience store and the victims by shooting through a glass door. Although glass samples were recovered from the Petitioner’s shoes, the fragments were not sufficiently similar to the glass in the store “to conclude that they could have had a common origin.” (Resp’t Ex. 17, Plaintiffs Ex. 22 at 199.) Further G.B.I. testing on the car floor mat and the Petitioner’s jacket failed to reveal the presence of blood. (Id.) The Petitioner contends that trial counsel were ineffective for failing to present these results. However, the Petitioner testified that he never entered the convenience store and trial counsel showed throughout the trial that there was no physical evidence linking the Petitioner with the crime scene. In addition, trial counsel established on cross examination of the G.B.I. investigator that there were no visible signs of blood or other evidence on the Petitioner. (Resp’t Ex. 6 at 505.) Finally, the fact that similar glass fragments were not recovered from the Petitioner’s shoes could have been contradicted by Turner who testified during trial that the Petitioner washed out his shoes after they left the store. (Id. at 259.) Therefore, even assuming that trial counsel were deficient for failing to introduce the forensics report, the Petitioner has not shown a reasonable probability that had the report been introduced the outcome would have been different.
The main defense strategy during trial was to discredit Turner and claim that he entered the store and committed the murders while the Petitioner was passed out in the car. The Petitioner alleges that trial counsel were therefore deficient in failing to obtain testing to determine whether there were glass fragments or blood on Turner’s clothes and shoes. Trial counsels’ performance, however, was not deficient. Rather, trial counsel attempted to secure independent examinations by requesting funds to hire investigators and experts to examine the physical evidence. (Resp’t Ex. 2 at 70-72; Resp’t Ex. 17 at 254-55.) The trial court denied the request. Thus, independent testing on Turner’s shoes and clothing was not possible under the circumstances and certainly not due to a failure on the part of *1354 trial counsel. Furthermore, as the state habeas court found, the Petitioner has not shown prejudice stemming from the failure to conduct tests on Turner’s clothing. (Resp’t Ex. 16 at 19 n. 4.) There was no evidence placing Turner inside the store and the Petitioner does nothing more than assert that independent testing might have revealed inaccuracies in his testimony. This is not sufficient to establish a reasonable probability that the outcome would have been different. Accordingly, the state habeas court reasonably concluded that trial counsel were not ineffective for failing to conduct independent testing on the physical evidence. The Petitioner’s claim therefore fails under Strickland.
6. Failure to Conduct Adequate Voir Dire and Exclude Biased Venire Persons
The Petitioner asserts a number of claims of ineffective assistance of counsel which relate to trial counsels’ performance during voir dire. First, the Petitioner argues that trial counsel failed to question adequately and move to excuse for cause a number of allegedly biased prospective jurors. In particular, the Petitioner alleges that trial counsel were deficient for failing to move to excuse the following venire members: (1) Nancy Hood, who stated that she felt as if the Petitioner was guilty since he had been arrested but acknowledged that the court did not view him as guilty prior to trial, (Resp’t Ex. 6 at 56-57); (2) Jane Crowell, who lived next door to a family named Chapman, id. at 53; (3) Mrs. William Coady, who knew a prosecution witness, id. at 71-72; (4) Jean Jenkins, the sister-in-law of a prosecution witness, id. at 136-37; and (5) William Osborne, Bradley Rutledge, Carol McCanless, Vivian Baker, and Billy Lindsey, all of whom indicated that they had heard something about the case from the media, id. at 59, 66, 77, 93, 109. 40 The state habeas court denied the Petitioner’s claim. The court noted that “the selection of jurors involves strategic and tactical decisions made by counsel after consultation with the client” and held that the Petitioner “made no showing that attempting to remove the jurors he has identified would have resulted in a jury that would have benefitted him and resulted in a reasonable possibility of changing the outcome of the trial.” (Resp’t Ex. 16 at 4.)
As discussed with regard to Claim C, a prospective juror must be excused for cause only if he is unable to “lay aside his impression or opinion and render a verdict based on the evidence presented in court.”
Irvin v. Dowd,
The Petitioner also contends that trial counsel were ineffective during voir dire by failing to investigate the backgrounds of and probe factual misrepresentations made by two prospective jurors. The Petitioner alleges that prospective juror Woodrow Wilson falsely answered that he did not know the Petitioner despite the fact that the Petitioner had previously worked with Wilson. In order to establish unfairness based on a juror’s responses during voir dire, a party must show that the juror falsely answered a material question and that the correct response would have provided a valid basis for a challenge for cause.
McDonough Power Equip., Inc. v. Greenwood,
According to the Petitioner, another prospective juror, Arthur Thrasher, reported different information during voir dire than he provided on his juror questionnaire. Specifically, on the questionnaire, Thrasher reported that he was employed as a custodian with the Newton County Board of Education and that his wife was retired. During voir dire, however, Thrasher stated that his wife worked for the Georgia Board of Education and that he was retired. The state habeas court found that Thrasher provided the correct information during voir dire. The state habeas court also found no evidence that the discrepancy was an intentional misrepresentation and held that even if intentional and material, the discrepancy did not provide a basis for challenging for cause. This decision was neither an unreasonable determination of the facts nor an unreasonable application of federal law. Accordingly, the Petitioner cannot establish that trial counsels’ performance was deficient or that his performance resulted in prejudice to the defense.
The Petitioner also argues that he was denied effective assistance of counsel because the prospective jurors were not questioned as to whether they would automatically vote to impose the death penalty upon conviction. First, the Petitioner claims that trial counsel were ineffective in failing to object to the trial court’s limitation of voir dire and restriction of “re verse-’Witherspoon,” or “life-qualifying,” questions. As discussed above with regard to Claim D, the trial court did not expressly exclude any of the Petitioner’s proposed voir dire questions nor did the *1356 court prohibit trial counsel from asking questions designed to reveal a bias in favor of imposition of the death penalty. As such, there was no ruling to which trial counsel could or should have objected. In addition, at the time of the Petitioner’s trial, the right to life-qualify prospective jurors had not been established. For either of these reasons, the Petitioner’s ineffective assistance claim based on a failure to object is without merit.
The Petitioner also argues that trial counsel rendered ineffective assistance by failing to ask prospective jurors
“reverse-Witherspoon
” questions. Not only had the right to ask such questions not yet been established, but when the Supreme Court did establish the right in
Morgan,
it required only that a defendant be given the right to life-qualify prospective jurors upon request.
Morgan v. Illinois,
Moreover, the Petitioner has not satisfied the prejudice prong of Strickland. In order to establish prejudice, the Petitioner must show that but for trial counsels’ failure to ask life-qualifying questions, there is a reasonable probability that the result of the trial would have been different. The Petitioner claims that if trial counsel had asked these questions, a group of pro-death penalty jurors would have been removed for cause. However, he fails to identify any potential jurors who were biased in favor of the death penalty. Rather, the only support the Petitioner offers is the fact that Newton County was a conservative, rural county where 70% of the population supported the death penalty. (PosNHr’g Br. in Support of Petition at *1357 122.) Evidence that a majority of the county supported the death penalty as a means of punishment does not establish that any of the prospective jurors would automatically sentence a capital defendant to death. In addition, the record does not indicate, nor does the Petitioner present any evidence, that he was tried by a biased jury. As such, the state habeas court reasonably concluded that the Petitioner failed to show prejudice as a result of trial counsels’ failure to ask “reverse-Wither-spoon” questions and that the claim of ineffective assistance fails.
7. Failure to Impeach Witnesses
The Petitioner contends that trial counsel were ineffective for failing to cross-examine the interrogating officers regarding a discrepancy between an earlier report and trial testimony. In a March 13, 1986 report, G.B.I. Agent Nicholson described the circumstances of the Petitioner’s transport to the G.B.I. office on the morning after the murders. He wrote, in pertinent part:
Agent Zon advised Agent Nicholson that he had transported Mr. Ford to the Region 10 office from Cobb County and that Ford had been advised of his Miranda rights at the time he was picked up and ivas told that he was not under arrest at that time.
(Resp’t Ex. 17, Plaintiffs Ex. 21 at 48) (emphasis added). During trial, Agent Zon testified that the Petitioner had been arrested and handcuffed before he was placed in the officer’s vehicle and transported to the G.B.I. office. (Resp’t Ex. 6 at 379-80.) Agent Nicholson similarly testified that the Petitioner had been arrested and read his rights by Agent Zon prior to arriving at the G.B.I. office. (Id. at 470-71.) The Petitioner argues that trial counsel were deficient for failing to cross-examine Agent Nicholson about the discrepancy regarding when the Petitioner was placed under arrest. According to the Petitioner, by not raising the issue, trial counsel sacrificed an opportunity to challenge the credibility of the officer whose testimony was largely responsible for the admission of the Petitioner’s incriminating custodial statements.
The Petitioner does not contend that whether he was arrested prior to or after arriving at the G.B.I. office was a fact material to his defense. Thus, trial counsel did not ignore or neglect a glaring or material inconsistency.
Compare Nixon v. Newsome,
8. Representation by Appointed Counsel
The Petitioner was indigent and lacked the funds to obtain an attorney on his own. Had the court not appointed Howell and Hendricks to represent him, the Petitioner would have been left without counsel at all. Nevertheless, the Petitioner claims that he was denied effective assistance of counsel because “he was forced to use appointed counsel.” (Am. Petition ¶¶ 247-48.) According to the Petitioner, the performance of counsel appointed to represent unpopular criminal defendants in a small community is compromised by the fact that the success of the attorney’s law practice, beyond the appointed case, depends on the good will of the community. The state habeas court found that the “Petitioner has failed to demonstrate that defense counsel violated their professional obligation to zealously defend their client.” (Resp’t Ex. 16 at 25.) Indeed, the Petitioner does not allege any specific way in which trial counsels’ performance was compromised, or deficient, as a result of community pressure. Nor is there any evidence that trial counsel were concerned about community pressure or the financial implications of representing the Petitioner. To the contrary, when questioned about those issues during the state habeas hearing, Howell testified as follows:
Q: And, along those lines there’s an allegation that you somehow felt pressured because you practice in a small community in your representation of Mr. Ford. Would you comment on that.
A: I didn’t feel pressured — I never have felt pressured in a sense that any adverse consequences that were going to befall me or my practice as a result of representing appointed criminal defendants, no matter what the charge was. To the contrary, I think people in the community — -and I’ve had it expressed to me — I think they have an appreciation for those of us that, in essence, contribute a lot of our time to make the process work ...
Q: Did you feel any pressure that if you somehow succeeded in getting Mr. Ford acquitted it would harm your financial interests?
A: No. To the contrary, I think it — I would have been delighted had he been acquitted. It’s good publicity. I’m not one of these people that gets TV advertisement and puts ads in the telephone directory and newspaper and that sort of thing, and my practice has been built solely on word of mouth, and that’s — I would have been delighted if Mr. Ford had been acquitted. I tried, best I was able, to get him acquitted.
(Resp’t Ex. 17 at 268-69.) Thus, the state habeas court’s determination that trial counsel did not provide ineffective assistance under Strickland as a result of community pressure was neither an unreasonable determination of fact nor an unreasonable application of federal law.
Alternatively, although not specified as such, the Petitioner might be alleging a claim of per se ineffectiveness, as set forth in
United States v. Cronic,
The Petitioner raises another ineffective assistance claim related to the appointed status of trial counsel. During opening statement and closing argument, Howell alerted the jury to the fact that he and Hendricks had been appointed to represent the Petitioner. (Resp’t Ex. 6 at 206; Resp’t Ex. 6A at 839.) The Petitioner alleges that trial counsel rendered ineffective assistance because this “caused the jury to believe that Petitioner’s case was so heinous that no attorney would take the case voluntarily.” (Am. Petition ¶247.) The Eleventh Circuit has stated that “reminding a jury that the undertaking is not by choice, but in service to the public, effectively stacks the odds against the accused.”
Goodwin v. Balkcom,
9. Failure to Investigate Properly and Present Evidence in Support of Change of Venue Motion
The Petitioner alleges that trial counsel failed to support adequately a motion for change of venue. Specifically, he *1360 contends that trial counsel did not present available evidence of pretrial publicity or appropriately emphasize the prejudicial nature of the publicity. As discussed above with regard to Claim E, even if trial counsel had submitted the evidence of pretrial publicity cited by the Petitioner, the change of venue motion would not have been successful as there was no evidence of actual or presumed prejudice. As such, the Petitioner cannot establish any prejudice resulting from trial counsels’ preparation or presentation of the change of venue motion. As part of this claim, the Petitioner also maintains that trial counsel failed to voir dire adequately prospective jurors regarding their exposure to pretrial publicity and their ability to weigh the evidence presented during trial impartially. The record is clear, however, that the trial court specifically inquired whether any of the prospective jurors had been exposed to any form of pretrial publicity or heard anything about the case prior to voir dire. Those that answered in the affirmative were individually questioned in chambers regarding what they recalled reading, seeing, or hearing. (Resp’t Ex. 6 at 48-116.) The Petitioner has failed to establish that trial counsels’ performance in this respect was deficient or that any prejudice resulted. The state habeas court’s determination that the Petitioner was not denied effective assistance of counsel in his attempt to change venue was not an unreasonable application of clearly established federal law. Thus, relief based upon this claim is not warranted.
10. Failure to Preserve the Record of or Object to the State’s Use of Peremptory Challenges
The Petitioner alleges that trial counsel rendered ineffective assistance by failing to preserve the record concerning the striking of jurors and by failing to challenge the prosecutor’s use of peremptory challenges. The Court addressed the prosecutor’s alleged racially discriminatory use of peremptory strikes in Claim L. Specifically, the Court noted, as did the state habeas court, that in order to challenge legitimately the State’s use of peremptory strikes, at the time of the Petitioner’s trial, there had to be racial identity between the defendant and the venire members allegedly discriminated against.
See Batson v. Kentucky,
11. Failure to Make Adequate Motion In Limine Regarding Prior Convictions and Other Crimes
The Petitioner alleges that trial counsel were ineffective in moving to exclude evidence of his prior convictions and unrelated wrongful acts. In moving to exclude the evidence, trial counsel set out factual arguments, argued the motion at a hearing, and offered to brief the matter more fully. The trial court denied the motion. Under Georgia law, evidence of other crimes may be admissible to show such things as malice, intent, and motive.
State v. Johnson,
12.Insufficient Access to Counsel
According to the Petitioner, he was precluded from receiving effective assistance of counsel because trial counsel did not make themselves available to Petitioner and did not accept collect calls from the Petitioner. The state habeas court rejected the claim as follows:
Defense Attorney Howell indicated at the habeas hearing ... that he did talk to Petitioner by phone on occasion, but that this was not the preferred method of communicating with his client because confidentiality could not be assured while using the jail phone. Although communication with his attorneys may have been more restricted because of Petitioner’s incarceration, Petitioner nevertheless communicated with his attorneys, and the record does not reflect that Petitioner was prejudiced by the inability to have freer access. The Court finds that defense counsel had contact with Petitioner himself and numerous other contacts with family members. Counsel was available to Petitioner and was not ineffective in this regard as alleged by Petitioner.
(Resp’t Ex. 16 at 14) (internal record citations omitted). The factual findings of the state court are presumed correct and are supported by the record. The Petitioner has not presented any evidence to rebut the findings. As such, the state habeas court’s denial of the Petitioner’s claim of ineffective assistance of counsel was not an unreasonable application of federal law.
13.Failure to Object to the Prosecutor’s Opening Statement and Closing Arguments
As discussed in Claims G, I, and N, the Petitioner alleges that the prosecutor made numerous inflammatory and improper statements during his opening statement and closing arguments of both the guilt-innocence and sentencing phases. The Petitioner takes issue not only with the statements themselves but argues that trial counsel were deficient for failing to object to the improper remarks. Having concluded that the prosecutor’s remarks were either proper or did not render the trial fundamentally unfair, the Petitioner was not prejudiced by his trial counsels’ failure to object.
See Devier v. Zant,
14.Failure to Object to Specific Questioning by Prosecutor
Prior to trial, the parties agreed not to bring up the Petitioner’s prior association with the G.B.I. as a potential drug informant. Nevertheless, during cross-examination of the Petitioner, the prosecutor bordered on questioning the Petitioner as to that relationship. (Resp’t Ex. 6A at 774.) The Petitioner claims that trial counsel were deficient in failing to object at that point. However, the trial judge stopped the line of questioning before any specific questions were asked. (Id. at 774-76.) Consequently, it was unnecessary for trial counsel to object, and the Petitioner’s *1362 claim of ineffective assistance is wholly without merit.
15.Failure to Argue for a Jury Instruction on Manslaughter
The Petitioner alleges that trial counsel were ineffective in failing to argue that the trial judge should charge the jury on manslaughter. In his proposed jury instructions, the Petitioner requested charges on both voluntary and involuntary manslaughter. (Resp’t Ex. 2 at 99-102, 105, 110-11.) The trial court declined to give the instructions, finding that the evidence presented during trial did not support charging the jury on manslaughter. As discussed above with regard to Claim J, it was not error for the trial judge to refuse to give the manslaughter charges. Accordingly, the state habeas court’s determination that trial counsel were not ineffective for failing to insist upon the charges was a reasonable application of federal law.
16.Failure to Object to Curative Instruction Following Jury’s View of Petitioner in Handcuffs
As detailed in the Court’s discussion of Claim F, the jury briefly witnessed the Petitioner in handcuffs while being escorted to lunch. Afterwards, the trial court instructed the jury that they were not to make any inferences from the fact that the Petitioner was in handcuffs and, in particular, were not to infer that he was guilty or dangerous. (Resp’t Ex. 6 at 314-15.) The Petitioner argues that the court’s curative instruction was prejudicial because it used the word “dangerous” three times and that trial counsel were deficient for failing to object to the instruction. The state habeas court found that trial counsels’ handling of the handcuff incident was a strategic choice and that the cautionary charge did not render the trial fundamentally unfair. The Petitioner has not overcome the presumption that trial counsels’ actions were strategic.
See Strickland,
17.Failure to Object to Trial Judge as Biased
Prior to the commencement of the sentencing phase, the trial judge cautioned the State about submitting new evidence concerning ownership of the convenience store to assure that there was adequate proof of armed robbery and burglary, two statutory aggravating circumstances. Specifically, the trial judge stated:
I have reviewed the indictment and allegations in the indictment regarding the robbery and burglary and I suggest that you reconsider the advisability about offering that testimony and I will tell you why: In the first place it is a very serious case and we know that the record will receive all kind of scrutiny if there is a death penalty imposed and I see no need in creating questions without good reason....
... [I]f it should be hereafter decided that evidence which you present during the sentencing phase was not properly admitted, in my opinion the penalty would be set aside and it would be a retrial of the sentencing phase and without a doubt you have a lot to lose and nothing to gain by presenting this testimony.
We are all concerned here with a fair trial. It is not like a typical case. We are all concerned that all rights are *1363 properly protected and I see no need in taking unnecessary risks and creating problems without necessity. What you do is entirely up to you, it is not the Court’s wish to tell you how to present your case, but I do make this observation, whatever benefit it might be worth.
(Resp’t Ex. 6A at 987-89.) According to the Petitioner, the trial judge’s comments indicated a bias toward the prosecution. Thus, he argues that trial counsel were ineffective for failing to object to the trial judge’s actions or insisting that the judge recuse himself. As the state habeas court found, the trial judge did not make his comments in front of the jury and did not insist that any course of action be followed. Rather, the judge emphasized the need to protect the Petitioner’s rights and merely reminded the State to avoid the introduction of harmful error. (Resp’t Ex. 16 at 22-23.) Cautioning the State against potentially violating the Petitioner’s constitutional rights, particularly outside the earshot of the jury, does not evidence a bias in favor of the prosecution. As such, the Petitioner has not shown that trial counsels’ lack of objection to the trial judge’s comments was outside the range of reasonable professional assistance. Furthermore, the state habeas court found that even if the judge acted improperly by cautioning the State about offering evidence of ownership, no prejudice resulted because any such evidence would have been cumulative. (Id. at 23-24.) Because the state habeas court’s holding was neither an unreasonable determination of the facts nor an unreasonable application of clearly established federal law, the Petitioner’s claim for relief is properly denied.
18.Unprofessional Conduct
The Petitioner alleges that trial counsels’ unprofessional conduct in having the record reflect that the Petitioner had agreed with certain trial strategies deprived him of effective assistance of counsel. In particular, the Petitioner contends that he was placed in a position of remaining silent and waiving his right to raise the issues later or revealing disagreements with his counsel to the prosecution. Contrary to the Petitioner’s contentions, the state habeas court found that trial counsels’ actions were proper in that they allowed for the opportunity to resolve disagreements before strategy was implemented and prevented ambiguity in the record. The Petitioner has not shown that he was prejudiced by trial counsels’ actions. Thus, the state habeas court’s determination that trial counsel did not provide ineffective assistance was not an unreasonable application of established federal law. Relief based on this claim is not warranted.
19.Failure to Object to Improper Jury Instructions
The Petitioner claims that trial counsel rendered ineffective assistance of counsel by failing to object to improper charges given to the jury during the guilt-innocence and sentencing phases. The propriety of the jury instructions has been addressed in Claims J and O. Because the instructions were not erroneous, trial counsel were not ineffective for failing to object.
20.Deficient Direct Appeal
In addressing the Petitioner’s direct appeal, the Supreme Court of Georgia noted that:
Although Ford has filed 31 enumerations of error, his brief contains seven areas of argument. The subheadings for each of these seven arguments contain references to several enumerations of error, so that all 31 ostensibly are argued, but it is apparent that many are unsupported by argument or citation of authority. We address in this opinion all argued issues, and such additional ones as merit a response. Any enumer *1364 ation not specifically addressed has been reviewed and found to have no arguable merit.
Ford v. State,
Even if trial counsels’ performance was deficient, the Petitioner cannot show that the poor performance resulted in prejudice. In order to establish prejudice, the Petitioner must show that the neglected claims had a reasonable probability of success on appeal.
Heath v. Jones,
In a related claim, the Petitioner asserts that trial counsel failed to provide to the Georgia Supreme Court examples of cases similar to the Petitioner’s in which life, rather than death, sentences were imposed. He alleges that as a result of trial counsels’ failure to challenge the Georgia Supreme Court’s proportionality review, conducted pursuant to O.C.G.A. § 17-10-35(c)(1), he was denied effective assistance of counsel on direct appeal. The United States Supreme Court has held that there is no Eighth Amendment right to a proportionality review such as that required by the Georgia statute.
Pulley v. Harris,
21. Failure to Object to Lack of Proof of Venue
The Petitioner alleges that the State failed to prove venue and that trial counsel were ineffective in failing to object. The state habeas court found that venue was adequately proven, and the record supports this conclusion. (See Resp’t Ex. 6A at 554.) As such, the Petitioner cannot satisfy either prong of the Strickland analysis. The Petitioner’s claim for relief is denied.
22. Failure to Object to Degree of Courtroom Security
The Petitioner claims that trial counsel were deficient for not objecting to *1365 the high degree of security in the courtroom during the Petitioner’s trial. At the habeas proceeding, Howell testified that there were approximately three to five deputies present in the courtroom, rather than the typical two or three security personnel. (Resp’t Ex. 17 at 187.) Although the Petitioner claims that trial counsel failed to raise an objection to the level of security, Howell testified that he did in fact express concern to the court about the extra security. As a result, the trial judge instructed the deputies to maintain a low profile. (Id. at 188.) Furthermore, as discussed above with regard to Claim M, this level of security was neither actually nor inherently prejudicial. As there is no merit to the underlying due process claim, the Petitioner’s claim of ineffective assistance of counsel is properly denied.
28. Failure to Ensure That all Proceedings Were Adequately and Accurately Recorded
The Petitioner alleges that trial counsel were deficient in failing to ensure that all proceedings were adequately and accurately recorded by the court reporter. Although he does not specify any proceedings in the present claim, it appears from the discussion by the state habeas court that the Petitioner challenges the omission of the following three portions of the trial: (1) the actual striking of the jurors; (2) an in-chambers conference concerning a note sent from the jury requesting further information and the trial court’s response; and (3) the reprimand given by the trial court to witnesses who were allegedly violating the rule of sequestration. (Resp’t Ex. 16 at 26-27.) The state habeas court denied the Petitioner’s claim, holding that the Petitioner failed to establish either deficient performance or prejudice. First, the record indicates that trial counsel requested and the trial court ordered all pretrial and trial proceedings to be recorded. (Resp’t Ex. 3 at 7; Resp’t Ex. 4 at 29; Resp’t Ex. 17 at 189.) As such, the state habeas court found that trial counsel were not deficient for failing to supervise the work of the court reporter. Second, although the Petitioner maintains that the lack of a full record prevented him from raising and arguing issues on appeal, he fails to demonstrate even one meritorious claim that he was unable to assert. Thus, he has not shown any prejudice that resulted from the failure to record the select portions of the trial. The Petitioner’s claim for ineffective assistance of counsel on this ground fails.
24. Failure to Object to Trial Court’s Interpretation of the Felony Murder Verdict
According to the Petitioner, the trial judge misinterpreted the jury’s verdicts as to the felony murders of Lisa Chapman and Martha Matich. The Petitioner was convicted of two counts of malice murder, two counts of felony murder, as well as armed robbery and burglary. The trial court merged felony murder into malice murder but did not merge armed robbery and burglary into felony murder. CSee Resp’t Ex. 6A at 1082.) The Petitioner alleges that trial counsels’ failure to object to the trial court’s interpretation of the felony murder verdict amounted to ineffective assistance. However, the state habeas court, interpreting state law, held that the trial court properly merged felony and malice murder without first merging the underlying felonies because “[w]hile the malice and felony murders are based on the same occurrence, the deaths of the two victims, the underlying felonies of armed robbery and burglary were independent criminal acts that would not merge into malice murder.” (Resp’t Ex. 16 at 40-41.) Consequently, the Petitioner cannot establish deficient performance *1366 based on trial counsels’ failure to object. Nevertheless, even if the merger was not done properly, the record is clear that trial counsel did in fact object to the court’s merger methodology. (Resp’t Ex. 6A at 815-18.) Habeas relief based on this claim is therefore not warranted.
25. Failure to Assure Petitioner’s Presence at all Stages of Trial
The Petitioner contends that trial counsel were ineffective by failing to assure his presence at all stages of the trial. In Georgia, a criminal defendant has the constitutional right to be present “at any stage of a criminal proceeding that is critical to its outcome if the defendant’s presence would contribute to the fairness of the procedure.”
41
Huff v. State,
The Petitioner challenges his absence at joint witness interviews. Although part of the pretrial process, witness interviews are merely fact-finding endeavors. Neither the trial court nor the jury was involved. Such meetings do not implicate a defendant’s rights, defenses, privileges, or substantially affect the outcome of the case. Consequently, trial counsel were not deficient in failing to demand the Petitioner’s presence. The Petitioner also alleges that trial counsel were deficient in failing to demand his presence at an August 19, 1986 hearing during which the appointment of a psychiatrist was discussed. Curiously, however, the transcript of that hearing indicates quite clearly that the Petitioner was indeed present. (Resp’t Ex. 4 at 33.) Nevertheless, the Petitioner’s presence was not required as a review of the record indicates that the pretrial hearing was not a critical stage in the proceedings. The Petitioner points to the fact that the trial judge discussed the appointment of a psychiatrist. 42 However, at that point, the *1367 court had already authorized the defense to employ a psychiatrist at the state’s expense. The discussion at the hearing concerned only when the psychiatrist would examine the Petitioner and what the total charge would be to the state. {Id. at 2-6.) Furthermore, even if he had a constitutional right to be present at the conference, the state habeas court found that the Petitioner could not demonstrate harm from his absence because the trial court granted the request for an independent evaluation. The decision of the state habe-as court was not inconsistent with clearly established federal law and, thus, relief based on this claim is not warranted.
26. Failure to Request Competency Hearing
The Petitioner argues that a competency hearing was required after he remarked to the trial judge that he understood only about half of what had taken place during a pretrial hearing. 43 As discussed in regard to Claim R, the trial court was not required to conduct a competency hearing sua sponte because neither the Petitioner’s conduct nor his comment created a bona fide doubt as to his competency or his ability to assist in his defense. Here, the Petitioner contends that trial counsel were deficient for failing to move for a competency hearing. Trial counsels’ failure to pursue the comment was not deficient for the same reasons that the trial court was not obligated to hold a competency hearing. Furthermore, the Petitioner cannot show any prejudice stemming from trial counsels’ failure to request a competency hearing at that time because approximately one month after the hearing at issue, the Petitioner was evaluated by his appointed psychiatrist who found him to be competent to stand trial. (Resp’t Ex. 5 at 2-3.) This opinion was consistent with that of a psychologist who had previously evaluated the Petitioner. As a result of these opinions, the Petitioner withdrew his plea of mental incompetency and did not contest the issue at trial. {Id. at 4; Resp’t Ex. 6 at 13-17.) Having failed to establish either deficient performance or prejudice, the Petitioner’s ineffective assistance claim based on trial counsels’ failure to request a competency hearing fails.
27. Trial Court’s Denial of Funds to Employ Experts and Conduct Investigations
The Petitioner filed a pretrial motion with the trial court requesting funds to employ: (1) an expert to assist in challenging venue and conducting voir dire; and (2) investigators to interview witnesses and examine physical evidence. (Resp’t Ex. 2 at 70-72.) The Petitioner claims that he was denied effective assistance of counsel because the trial court denied his motion for funds. As with his claim regarding the use of appointed counsel, this claim does not appear to fall within the
Strickland
variety of ineffective assistance of counsel claims. The Court will again presume that the Petitioner intended to allege per se ineffectiveness under
Cronic.
44
To reiterate, per se ineffectiveness may be found: (1) where there has
*1368
been a “complete denial of counsel”; (2) where the accused is denied the presence of counsel at “a critical stage” such as arraignment; (3) when “counsel entirely fails to subject the prosecution’s case to meaningful adversarial testing”; and (4) where circumstances are so prejudiced against the defendant that competent counsel could not render effective assistance.
Cronic,
Finally, the Petitioner has not shown that the trial court’s denial of funds placed him in a situation where no competent counsel could render effective assistance. As set forth in more detail in the Court’s discussion of Claim E, the Supreme Court has never held that due process requires the state to provide fees to defendants to hire nonpsychiatric experts.
Conklin,
The state habeas court denied the Petitioner’s overall claim of ineffective assistance of counsel. As discussed above, the state habeas court’s holdings relied neither on unreasonable application of federal law nor unreasonable determinations of fact. Consequently, habeas relief based upon the Petitioner’s claim of ineffective assistance of counsel is improper and thereby denied.
U. Claim U — Cumulative Errors
Lastly, the Petitioner claims that his conviction and sentence are invalid due to cumulative substantive and procedural errors during the g-uilt-innocence and sentencing stages of his trial. There is no clearly established Supreme Court precedent requiring states to consider the cumulative effect of alleged constitutional errors in order to determine whether a criminal defendant has received due process of law.
Jenkins v. Byrd,
TV. CONCLUSION
For the reasons set forth above, the Amended Petition for Writ of Habeas Corpus by a Person in State Custody [Doc. 10] is DENIED.
Notes
. Ott served as District Attorney of the Alcovy Circuit, which includes Newton County from 1984 until August of 1990, when he became a superior court judge. (Apr. 13, 2004 Hr’g Tr. at 32-33.)
. The Petitioner alleges that the interrogating officers refused to allow him to use the telephone in the interrogation room and refused to place a call to his attorney. (Am. Petition ¶¶ 28-29.) However, neither the trial court nor the Georgia Supreme Court found this to be fact, crediting instead the testimony of Agent Nicholson that the Petitioner was told that he could call an attorney.
Ford v. State,
. In
Bonner v. City of Prichard,
. The Supreme Court continued to leave open the question of the appropriate standard until 1994, when the Court decided
Davis v. United States,
. A federal court conducting a habeas review is not bound by a state court's prior determination of voluntariness. However, the state court’s findings regarding historical facts and assessments of witness credibility are entitled to the presumption of correctness accorded findings of fact under 28 U.S.C. § 2254(e)(1). Furthermore, a federal habeas court must accord "great weight to the considered conclusions of a coequal state judiciary."
Devier v. Zant,
. Without distinguishing between the two claims, the Respondent maintains that the Petitioner's Alee claims are procedurally defaulted. In an earlier motion, the Respondent argued that the claim regarding the competency of the psychiatric expert was procedurally defaulted because it was raised at the state habeas level only in the context of an ineffective assistance of counsel claim. This Court held that the issue of ineffective assistance of the psychiatrist was clearly presented by the Petitioner and ruled upon by the state habeas court and, thus, was exhausted and properly before the Court. (Order, Mar. 31, 2003.) The Respondent has not previously alleged that the claim arising out of the requirement that the expert's report be provided to the prosecution is also procedurally defaulted. To the extent that the Respondent makes that argument now, it fails as the claim was clearly asserted in Claim W of the Petitioner’s Amended Petition and addressed by the state habeas court. (See Resp't Ex. 15 at 317-22.)
. In concluding that it was not error for the defense to be required to turn over Dr. New-kirk's report to the prosecution, the state ha-beas court also relied on
Rower v. State,
. Dr. Newkirk received her medical degree from the University of North Carolina at Chapel Hill and completed her psychiatry training at Grady Memorial Hospital and the Emory University Law School, both in Atlanta, Georgia. At the time of the Petitioner’s trial, Dr. Newkirk had been practicing forensic and adult psychiatry for over four years and was a faculty member at the Emory School of Medicine and the Morehouse School of Medicine. In addition, she had examined approximately 150 to 200 criminal defendants and testified in about ten capital cases. (Resp't Ex. 6A at 992-94.)
. A state prisoner’s conviction becomes “final” when the United States Supreme Court denies certiorari or the time for filing a petition for writ of certiorari from the judgment affirming the conviction has expired.
Graham v. Collins,
. At the time the Petitioner filed this federal habeas corpus petition in 2001, the Supreme Court had not yet decided Ring v. Arizona.
. The Petitioner’s convictions became final on April 25, 1988, when the United States Supreme Court denied certiorari.
Ford v. Georgia,
. The Petitioner's direct appeal set forth the following enumerated errors regarding voir dire:
10. The trial court erred in denying to Appellant, as requested, an individual voir dire, examination and sequestration of the prospective jurors prior to the selection thereof.
18. The trial court erred in unnecessarily restricting and confining the scope of the voir dire examination as to the effect of pre-trial publicity upon prospective jurors.
20. The trial court erred in denying Appellant the opportunity to propound voir dire questions to prospective jurors....
(Resp’t Ex. 8.)
. "Reverse-Witherspoon " questions are also referred to as "life-qualifying” questions.
. Although the Petitioner raised this claim in his first state habeas petition, the state habeas court found that the claim had been addressed on the merits on direct appeal and could not be relitigated. (Resp't Ex. 16 at 21-22.)
. The Petitioner did not raise these claims in combination on direct appeal or in his state habeas petition. This Court has previously held, however, that both claims were "fairly presented" to the state court and may be considered together to determine whether there was prejudice. (Order, Mar. 31, 2003.)
. The Petitioner makes reference to the fact that the Supreme Court of Georgia based its holding on only one Georgia case and did not cite any federal law. It is unclear whether the Petitioner highlights this fact as part of the basis for habeas relief. Assuming that this was the Petitioner's intention, the fact that the Georgia Supreme Court did not explicitly reference or rely upon federal law is inconsequential. As previously noted, a state court is not required to cite to, or even be aware of, controlling Supreme Court precedent provided that its decision does not contradict the precedent.
Early v. Packer,
. The Eleventh Circuit, however, has declined to address whether biblical references are per se improper.
Romine,
. The Petitioner also relies upon
Jones v. Kemp,
. "General deterrence” is the "the deterrent effect of a sentence in one case on others who might otherwise commit the crime,” whereas "specific deterrence” refers to "deterring the criminal who is sentenced from committing more offenses in the future.”
Collins v. Francis,
. The Petitioner's trial testimony regarding Lisa Chapman’s presence at the convenience store was as follows:
Q: He [Agent Gary Nicholson] also said you indicated you didn't know where in the store the child had come from because you didn’t see her when you came up to the store and that she shouldn't have been there, it was a school night.
A: I said that she shouldn't have been there, it was a school night. If you will let me turn to that, that’s a fact. If you are not standing out in the street you won't get hit by a truck.
(Resp't Ex. 6A at 796-97.)
. John Howell represented the Petitioner during trial.
. Jane Crowell, Nancy Hood, Carol S. McCanless, Mrs. William E. Coady, Woodrow Wilson Jr., Jean Y. Jenkins, Vivian Sue Baker, and Billy A. Lindsey
. William D. Osborne
.Mr. Howell, the Petitioner's trial counsel, testified that peremptory strikes were indicated by placing a "D# ” beside the name of the juror. An "S# ” signified a peremptory strike by the State. A "J# " was placed next to *1318 individuals that were chosen to sit on the jury. (See Resp’t Ex. 17 at 101-03; Resp't Ex. 17, Ex. 16 at 116-18.) For instance, the “SI” next to William D. Osborne indicated that Mr. Osborne was the state's first strike. Similarly, the "D3” next to Nancy Hood meant that she was the defense’s third peremptory strike. (Resp't Ex. 17 at 101-02.)
. Three of the five articles appeared in the Atlanta Journal and Constitution, and the remaining articles appeared in two local papers, The Covington News and the Rockdale County Citizen.
. The trial court viewed tapes of the news broadcasts prior to ruling on the change of venue motion. However, there is nothing in either the trial or state habeas record to indicate the content of these broadcasts nor has the Petitioner presented any such evidence to this Court.
. As part of his claim that the closing argument undermined the presumption of innocence and his Fifth Amendment right, the Petitioner points to the fact that the prosecutor commented on defense counsel's decision not to call certain witnesses. (Am. Petition ¶ 90.) Although the state habeas court did not explicitly address the claim in this context, it later rejected the argument as merit-less. (Resp’t Ex. 16 at 51.) This Court agrees. "A comment on the failure of the
defense,
as opposed to that of the
defendant,
to counter or explain the testimony
presented
or evidence introduced is not an infringement of the defendant’s fifth amendment privilege.”
Duncan v. Stynchcombe,
. During the charge conference, the judge paraphrased his charge as to the custodial *1331 statement and invocation of the right to counsel. Defense counsel made no objection to or commented on the validity of the charge. (Resp't Ex. 6A at 819-20.)
. Additionally, as correctly decided by the state habeas court, even if the instruction violated
Sandstrom,
it was harmless error.
See Rose v. Clark,
. G.B.I. Investigators Gary Nicholson and David Bartlett and Newton County Sheriff's Investigators Wardell Reed and Ezell Brown.
. Furthermore, the jury had already found the Petitioner guilty on both counts.
. Prior to the hearing at issue, the trial court granted the Petitioner's motion for appointment of an independent psychiatrist, Dr. Newkirk. In her report, issued in October of 1986, Dr. Newkirk also found the Petitioner competent to stand trial. Based upon this report and that of Dr. Smith, the Petitioner waived his right to a jury trial on the issue of competency and chose not to contest the issue. (Resp’t Ex. 5 at 3-4; Resp’t Ex. 6 at 16-17.) This information, however, cannot be considered in the analysis because it was not something known to the trial judge at the time of the hearing.
See Williams v. Woodford,
.
Wiggins
and
Williams v. Taylor,
. Although the Petitioner claims that evidence of alcohol and drug abuse should have been presented in mitigation, such evidence is often considered to be more harmful that mitigating.
Stewart v. Secretary,
. Prior to the commencement of the sentencing phase, the following colloquy took place:
MR. HOWELL: Is there any witness or any type of documentation or other tangible evidence that we have not covered that you wanted us to have at the sentencing phase we have not discussed here?
THE DEFENDANT: No, there is no other.
THE COURT: Are you completely satisfied with the decision you and your defense counsel have made in this regard, Mr. Ford?
THE DEFENDANT: In this regard, sentencing phase?
THE COURT: Yes, sir.
THE DEFENDANT: Yes, sir, I am satisfied.
THE COURT: Do you have any objection to the proposal regarding the sentencing phase that's just been outlined by your counsel?
*1346 THE DEFENDANT: No, sir.
(Resp’t Ex. 6A at 986.)
. The Petitioner takes issue with the fact that on cross-examination, Dr. Newkirk testified that she was unaware of a number of facts that indicated that the Petitioner had planned his actions. However, she explained that making plans does not negate impulsive behavior or the fact that someone with impulse control problems can act in a blind rage. (Resp’t Ex. 17 at 1016-17.)
. The Petitioner's claims regarding testimony trial counsel could have elicited from Bole-man during the sentencing phase were addressed in relation to the failure to present mitigating evidence claim.
. Howell testified during the state habeas hearing that either he or Hendricks interviewed or took statements from all the witnesses that were made known to them and that they had access to. (Resp't Ex. 17 at 145, 234.)
. During the trial, Turner testified that the two windows on the side of the convenience store were closed. The Petitioner argues that this testimony contradicts Turner’s statement to tire police in which he said that he "heard [Petitioner] kind of like arguing with [one of the victims] through the two windows on the side of the building." (Post-Hr'g Br. in Support of Petition at 109.) This statement, however, does not appear in Turner’s statement to the police. (Resp’t Ex. 17, Plaintiff's Ex. 20 at 178.)
. The Petitioner also cited Mrs. Clarence Henderson because she revealed during voir dire that her husband had been on the grand jury that indicted the Petitioner. (Am. Petition V 192.) The Petitioner’s claim with respect to Mrs. Henderson is entirely without merit as the record shows that trial counsel did in fact move for and the trial court excluded Mrs. Henderson for cause. (Resp’t Ex. 6 at 90-91.)
. This right is derived from Art. I, Sec. I, Par. XII of the Georgia Constitution which provides that: “No person shall be deprived of the right to prosecute or defend, either in person or by an attorney, that person's own cause in any of the courts of this state.”
See Huff v. State, 274
Ga. 110, 111,
. A number of motions were brought up during this hearing, however, most were not specifically addressed or ruled on. Defense counsel did argue a motion to sever and a motion to bar imposition of the death penalty, both of which were denied. (Resp't Ex. 4 at 9-17.) The discussions involved purely issues of law and, thus, the Petitioner's presence
*1367
was not mandated.
See Ferrell,
. The Petitioner’s comment was made at the conclusion of the August 19, 1986 hearing, the same hearing at which the Petitioner now contends, in the immediately preceding claim, that he was not present.
. The Petitioner asserts this claim in his Amended Petition, however, he chose not to brief the issue. As a result, the Court is left to address the merits of the claim based solely on the one sentence conclusory allegation set forth in the petition.
