Eighty-four years ago, Judge Learned Hand observed that “[o]ur procedure has
*92
been always haunted by the ghost of the innocent man convicted,” but posited, optimistically, that “[i]t is an unreal dream.”
United States v. Garsson,
The case sub judice arises at this intersection of scientific advance and enduring constitutional values. In it, we are asked to determine whether there exists a right, grounded in the Due Process Clause of the Fifth and Fourteenth Amendments to the federal Constitution, to post-conviction DNA testing. And, in addition to implicating fundamental questions of constitutional principle, the matter has extraordinary practical significance not only to those who claim they were falsely accused and wrongfully convicted, but also to state and local governments on whom the burdens of any such right to be tested would principally fall.
Not surprisingly, the issue of post-conviction DNA testing has in recent years captured the attention of the Congress and the legislatures of nearly every state in the nation.
4
See, e.g.,
Innocence Protection Act of 2004, 18 U.S.C. § 3600(a) (providing, in certain defined circumstances, for post-conviction DNA testing of prisoners convicted under federal and some state laws); National Conference of State Legislatures, Posl^Conviction DNA Motions, at http://www.ncsl.org/programs/cj/postconv iction.htm (Jan.2006) (collecting state legislation providing for post-conviction DNA testing). As a result, our court must approach the question with utmost care and discreetness, not only because of the constitutional and practical significance of the issue, but also because of “[t]he imperative of according respect to the Congress,”
Ashcroft v. American Civil Liberties Union,
Defendant-Appellant Richard Brown (“Brown”) contends that we should not, in this case, address the question at all. First, Brown argues that the district court below, pursuant to the
Rooker-Feldman
doctrine, properly dismissed the suit for lack of subject matter jurisdiction.
See Exxon Mobil Corp. v. Saudi Basic Indus. Corp.,
Brown’s first and second arguments are unconvincing. And this leads us to remand the case to the district court for its consideration, in the first instance, of the merits of McKithen’s claim. In particular, the district court on remand should address in the first instance (1) whether there exists a post-conviction constitutional right of access to evidence for purposes of potentially exonerative DNA testing, and (2) whether that right was infringed in McKithen’s case.
With respect to Brown’s third argument, we hold (1) that Brown waived his claim preclusion defense, and that, on the facts of this case, it would be inappropriate for us to raise the defense nostra sponte, and (2) that, on remand, the district court should consider — if it concludes that a constitutional right exists- — -whether the contours of that right are sufficiently similar to the state standards previously adjudicated so that issue preclusion would apply.
BACKGROUND
McKithen was convicted in 1993 of attempted murder and related charges, in New York Supreme Court, Queens County (“Queens County Court”). At trial, the prosecution argued that, on the night of August 21, 1992, McKithen unexpectedly appeared at the apartment he had once shared with his estranged wife; dashed to the kitchen and grabbed a knife; stabbed his wife in the lower back as she was escaping out of a bedroom window; and then immediately fled the apartment. A *94 distinctive knife, which McKithen’s wife positively identified as the weapon used against her, was admitted into evidence at trial but was never subjected to DNA or fingerprint testing.
The jury found McKithen guilty of attempted murder in the second degree and related charges. On appeal, the Appellate Division affirmed his conviction. The court modified McKithen’s sentence so that the terms imposed on the various charges would run concurrently.
People v. McKithen,
In 2001, seven years after he had been convicted, McKithen moved in Queens County Court, pursuant to N.Y.Crim. Proo. Law § 440.30(l-a)(a), to compel, inter alia, DNA testing of the knife admitted into evidence at trial. Subsection l-a(a) of § 440.30 provides:
Where the defendant’s motion requests the performance of a forensic DNA test on specified evidence, and upon the court’s determination that any evidence containing [DNA] was secured in connection with the trial resulting in the judgment, the court shall grant the application for forensic DNA testing of such evidence upon its determination that if a DNA test had been conducted on such evidence, and if the results had been admitted in the trial resulting in the judgment, there exists a reasonable probability that the verdict would have been more favorable to the defendant.
See N.Y.Crim. Proo. Law § 440.30(l-a)(a) (emphases added). In his motion, McKi-then asserted that DNA testing “might have exonerated [him] of the crime for which he was convicted.” The Queens County Court concluded that “there is no reasonable probability that the results of such testing would have resulted in a verdict more favorable to [McKithen],” and denied MeKithen’s motion. Decision and Order of the Honorable John Latella, New York State Supreme Court, dated Nov. 8, 2001.
In March 2002, McKithen, incarcerated and proceeding pro se, brought this § 1983 suit in the United States District Court for the Eastern District of New York (Glee-son, J.). He claimed that Brown, Queens County District Attorney, violated his constitutional right of post-conviction access to evidence for DNA testing, and sought injunctive relief “[d]irecting ... DNA testing of the knife.” McKithen asserted that DNA testing would “conclusively determine whether he is guilty of [attempted [m]urder ..., and related charges for which he was convicted in state court
Brown moved, pursuant to Federal Rules of Civil Procedure 12(b)(1) and 12(b)(6), to dismiss McKithen’s claim on four grounds: (1) the district court lacked subject matter jurisdiction under the
Rooker-Feldman
doctrine; (2) McKithen failed to state a claim upon which relief may be granted because a claim seeking post-conviction access to evidence for DNA testing is not cognizable under § 1983; (3) the claim was barred by issue preclusion; and (4) McKithen failed to state a claim under
Brady v. Maryland,
The district court referred the motion to United States Magistrate Judge Lois Bloom. In her Report and Recommenda *95 tion, dated March 27, 2003, the magistrate judge observed that the circuits have split over whether actions seeking post-conviction access to DNA evidence are barred by Heck v. Humphrey, so that they may be brought only in a habeas corpus proceeding. The magistrate judge also noted that courts have disagreed as to “whether there exists any substantive or procedural right to post-conviction DNA testing.” Although our circuit had not taken a position on either issue, the magistrate judge that the district court “need not weigh in on this debate,” because suit could be dismissed, pursuant to the Rooker-Feldman doctrine, for lack of subject matter jurisdiction. The judge acknowledged that McKithen’s “claim to DNA testing [wa]s being raised as a constitutional claim for the first time in the instant § 1988 action,” and that his § 440.30 motion involved a statutory right to testing under state law. Nevertheless, the magistrate judge concluded that suit was barred by the doctrine because the § 1983 claim is identical to the “underlying issues” raised by the state-court motion, and therefore “succeeds only to the extent that the state court wrongly decided the issues before it.”
The magistrate judge emphasized “limited nature” of the report and
There has been no attempt to define the parameters of any constitutional right to post-conviction DNA testing as on these facts, the Court need not decide whether such a right exists. The Court finds only that the purported constitutional right as claimed by plaintiff would this Court to revisit the same sues previously decided by the state court and therefore, this Court lacks jurisdiction pursuant to the RookerFeldman doctrine.
By order dated April 15, 2003, the district court adopted the report and recommendation of the magistrate judge in its entirety and dismissed MeKithen’s § 1983 suit for lack of subject matter jurisdiction. 5 This timely appeal followed.
DISCUSSION
On appeal, McKithen argues (1) that his § 1983 suit is not prohibited by the Rooker-Feldman doctrine; (2) that his claim is cognizable under § 1983; (3) that litigation of his claim is not precluded by res judicata or collateral estoppel; and (4) that, on the merits, he has a post-conviction constitutional right of access to evidence in order to conduct potentially exonerative DNA testing. We consider each of these arguments in turn.
I
Relying on our court’s decision in
Moccio v. New York State Office of Court Administration,
A
“The
Rooker-Feldman
doctrine merely recognizes that 28 U.S.C. § 1331[, which provides that federal “district courts shall have original jurisdiction of all civil actions arising under the Constitution, laws, or treaties of the United States,”] is a grant of original jurisdiction, and does not authorize district courts to exercise appellate jurisdiction over state-court judgments, which Congress has reserved to [the Supreme] Court, see [28 U.S.C.] § 1257(a).”
6
Verizon Md., Inc. v. Pub. Serv. Comm’n of Md.,
Nevertheless, the
Rooker-Feldman
doctrine “has sometimes been construed [by lower courts] to extend far beyond the contours of the
Rooker
and
Feldman
cases, overriding Congress’ conferral of federal-court jurisdiction concurrent with jurisdiction exercised by state courts, and superseding the ordinary application of preclusion law pursuant to 28 U.S.C. § 1738.”
Exxon Mobil,
*97
In
Hoblock,
our court observed that “[t]he Supreme Court has now told us that
Moccio ...
was incorrect ....
Exxon
teaches that
Rooker-Feldman
and are entirely separate doctrines.”
From [the opinion in Exxon Mobil], we can see that there are four requirements for the application of Rooker-Feldman. First, the federal-court plaintiff must have lost in state court. Second, the plaintiff must “eomplain[] of injuries caused by [a] state-court judgment[.]” Third, the plaintiff must “invit[e] district court review and rejection of [that] judgment ].” Fourth, the state-court must have been “rendered before the district court proceedings Rooker-Feldman has no application to federal-court suits in parallel with ongoing litigation. The first and fourth of these requirements may be loosely termed procedural; the second and third may be termed substantive.
Hoblock,
"When the “procedural” are met&emdash;as they are in McKithen’s case because he lost in state court (the first requirement) and the state court’s judgment was rendered before he brought his § 1983 suit (the fourth requirement)&emdash; the application of the Rooker-Feldman doctrine turns on whether the second and third “substantive” requirements are met. And those substantive requirements, the Hoblock panel explained, can be reduced to the following statement: “federal plaintiffs are not subject to the Rooker-Feldman bar unless they complain of an injury caused by a state judgment.” Id. at 87 (emphasis in original). 7
This, however, raises a further question: what constitutes “an injury caused by a state judgment”? To clarify this phrase&emdash;the full meaning of which is far from obvious&emdash;the Hoblock panel stated that “[t]he following formula guides our inquiry: a federal suit complains of injury from a state-court judgment, even if it appears to complain only of a third party’s actions, when the third party’s actions are produced by a state-court judgment and not simply ratified, acquiesced in, or left unpunished by it.” Id. at 88. Yet the meaning and scope of the phrase “produced by a state-court judgment” is not&emdash; at least in all its applications&emdash;obvious either.
B
We need not fully disentangle these complexities to decide the case before us. What
Exxon Mobil
and
Hoblock
do make clear is that the applicability of the Rooker-Feldman doctrine turns not on the similarity between a party’s state-court and federal-court claims (which is, generally
*98
speaking, the focus of ordinary preclusion law), but rather on the
causal relationship
between the state-court judgment and the injury of which the party complains in federal court.
See Hoblock,
That is precisely the case here. In seeking post-conviction access to, and DNA testing of, evidence, McKithen could have chosen to bring either his state § 440.30 motion or his federal § 1983 suit first. As he chose to litigate in state court first, principles of preclusion might apply. But, given that McKithen in federal court seeks redress for an injury that existed in its exact form prior to the state-court judgment, he cannot be complaining of an injury “caused by” the state court.
8
Rather, the preexisting injury in this case is properly understood to have been “simply ratified, acquiesced in, or left unpunished by [the state court].”
Hoblock,
*99 We therefore hold that, under current Supreme Court and circuit law, the district court erred when it followed the then Moccio case and applied the doctrine to bar McKithen’s suit.
II
McKithen brings his suit under the Civil Rights Act of 1871, Rev. Stat. § 1979, as amended, 42 U.S.C. § 1983, which gives a cause of action for anyone subjected “to the deprivation of any rights, privileges, or immunities secured by the Constitution and laws” by a person acting under color of state law. While his claim undoubtedly comes “within the literal terms of § 1983,”
Heck,
The question has been an open one in this circuit. We today join the Seventh, Ninth, and Eleventh Circuits, and district courts in the First and Third Circuits, agreeing with them that a claim seeking post-conviction access to evidence for DNA testing may properly be brought as a § 1983 suit.
See Savory v. Lyons,
A
While both § 1983 and the federal habeas statute, 28 U.S.C. § 2254 “provide access to a federal forum for claims of unconstitutional treatment at the hands of state officials,” the provisions “differ in their scope and operation.”
Heck,
Consequently, in
Preiser v. Rodriguez,
Over time, this implicit exception has been carefully circumscribed.
See Dotson,
Twenty years later, in
Heck v. Humphrey,
the Court reaffirmed that the exception recognized in
Preiser
applies only when “establishing the basis for [a prisoner’s § 1983] claim
necessarily demonstrates
the invalidity of the conviction.”
Heck,
In an important footnote, the Court in Heck reaffirmed the narrowness of Preiser’s exception, by providing an instructive example of a § 1983 lawsuit which, under the standard articulated in Heck, would not be barred:
*102 For example, a suit for damages attributable to an allegedly unreasonable search may lie even if the challenged search produced evidence that was introduced in a state criminal trial resulting in the § 1983 plaintiffs still-outstanding conviction. Because of doctrines like independent source and inevitable discovery, and especially harmless error, such a § 1983 action, even if successful, would not necessarily imply that the plaintiffs conviction was unlawful.
Id.
at 487,
The High Court recently reiterated this point in
Dotson,
We conclude that the governing standard for application of the Preiser-Heck exception, then, is whether a prisoner’s victory in a § 1983 suit would necessarily demonstrate the invalidity of his conviction or sentence; that a prisoner’s success might be merely helpful or potentially demonstrative of illegal confinement is, under this standard, irrelevant.
Moreover, given that the test is whether success in the § 1983 suit
sub judice
will necessarily demonstrate the invalidity of a conviction or sentence — and not whether a plaintiff
intends
to bring subsequent challenges — a prisoner’s motives for bringing a § 1983 suit are, as
Dotson
observes, also plainly beside the point.
Dotson,
B
Were McKithen to prevail on the merits, he would obtain only an injunction requiring that the knife be made available for DNA testing. Such testing, of course,
“necessarily
implies nothing at all about
*103
the plaintiffs conviction.”
Harvey II,
It follows that&emdash;even if success for the plaintiff might well make it
more likely
that the plaintiff, in a subsequent proceeding, may eventually be able to make a showing that his conviction was unlawful,
see Dotson,
Ill
As the Supreme Court made clear in
Exxon Mobil,
“a federal court may be bound to recognize the claim- and issue-preclusive effects of a state-court judgment” even if there is jurisdiction to hear the merits of the claim, and the claim is otherwise properly presented.
Exxon Mobil,
A
The doctrine of claim preclusion, also referred to as res judicata, prevents a plaintiff from raising a claim that was or could have been raised in a prior suit. New York law has adopted a “transactional approach” to claim preclusion.
See, e.g., Gargiul v. Tompkins,
Under Rule 8 of the Federal Rules of Civil Procedure, which governs general pleading rules in federal court, “[preclusion ... is not a jurisdictional matter.”
Exxon Mobil,
On appeal, Brown concedes that “claim preclusion ... was not specifically raised below,” but insists that we should apply the defense nostra sponte “for the sake of judicial economy.” As support, Brown asserts that “appellant’s due process claim in this action is precisely the same claim he raised in his state [§ ] 440.30 claim, now couched in due process terminology, and could have been raised in the state action.” He remarks that McKi-then&emdash;who has remained incarcerated throughout, and proceeded pro se in the state and district court post-conviction proceedings&emdash;“should not now be rewarded for his failure” to raise the same claim in this action.
Brown’s arguments are without merit. As McKithen rightly rejoins, Brown has offered us no support for the “naked assertion” that McKithen could have brought a federal constitutional claim as part of his § 440.30 motion. Indeed this may be an open question of state law. 16 Even if it *105 were not, however, and assuming further that its answer would cut in Brown’s favor, we conclude that it would still be inappropriate, in this case, to invoke claim preclusion nostra sponte given, as McKithen notes, “the seriousness of the crime [of which he was convicted], the length of the sentence, the fact that the claim goes to innocence, and that McKithen proceeded pro se in state court.”
Brown has waived the defense of claim preclusion, and, given the circumstances of this case, we decline to invoke the defense nostra sponte.
B
Brown did raise the defense of issue preclusion, i.e., collateral estoppel, in the district court, and we therefore must decide whether the defense applies. Our inquiry is governed by New York state law.
See
28 U.S.C. § 1738;
Hoblock,
Under New York law, collateral estoppel will preclude a federal court from deciding an issue if “ ‘(1) the issue in question was actually and necessarily decided in a prior proceeding, and (2) the party against whom the doctrine is asserted had a full and fair opportunity to litigate the issue in the first proceeding.’ ”
Vargas v. City of New York,
Brown argues that “[o]nly by overturning the ruling of the state court could the federal court grant appellant’s relief.” The state court, in denying McKithen’s § 440.30 motion to have the knife tested, reached the conclusion that McKithen did not meet the state-law standards for DNA testing. And Brown insists that McKithen could prevail on his federal claim only if the federal district court were to disregard the state court’s holding on this point. But that is only so if the federal constitutional right to DNA testing is the same as or lesser than (and included in) the state statutory right. In other words, it “ain’t necessarily so.”
Under N.Y.CRiM. PROC. Law § 440.30(1-a)(a), the state court was required to decide whether McKithen met the state-law “reasonable probability” and “more favorable” standards. See supra. At this stage of the proceedings, we are unable to rule on whether, assuming that a federal constitutional right to post-conviction DNA testing exists, the standards for proving a violation of that right are more, or less, stringent than those of the state statute.
It is not at all inevitable that the federal constitutional right, if it exists, will look *106 precisely like the state statutory right. Even apart from the possibility that the federal constitutional right might be, in some applications, more readily available than the state statutory right, McKithen rightly notes that DNA may have a variety of uses that are not captured in the state statute’s trial-focused standard. For example, it might aid in clemency proceedings; evidence might be probative enough to warrant executive intervention even if it did not meet the state law “reasonable probability” threshold. Alternatively, the DNA evidence might be useful to a prisoner with an indeterminate sentence, such as McKithen, in obtaining parole — even if the evidence is insufficient to create a “reasonable probability” of a different verdict.
For these reasons, we cannot find, at this juncture, that issue preclusion applies. Instead, we leave the defense for the district court to consider on remand when the stage is properly set for it. If the district court concludes that there exists a constitutional right on the basis of which McKi-then might obtain his requested relief (a question which, as we explain below, is best left for the district court to consider in the first instance), it should then consider whether the contours of that right are sufficiently similar to — or narrower than and incorporated in — -the previously adjudicated state statutory standard as to collaterally estopp McKithen’s claim.
IV
The district court, viewing itself bound to dismiss the suit for lack of subject matter jurisdiction pursuant to the Rooker-Feldman doctrine, did not address the merits of McKithen’s § 1983 action. Because we vacate the district court’s judgment on that point — and instead hold (1) that the district court did have jurisdiction, (2) that McKithen’s suit is cognizable under § 1983, (3) that the defense of claim preclusion was waived, and (4) that we cannot determine whether issue preclusion applies before determining whether the federal constitutional right exists and what its contours are — the extraordinarily important, and delicate, constitutional issue which McKithen has sought to litigate is squarely before us.
But we decline to rule on it now. Instead, because of the fact-intensive nature of the inquiry — and, as noted earlier, in light of the need to approach the issue cautiously — we remand the question to the district court for its examination in the first instance. The same considerations that lead us to remand, however, counsel in favor of our providing the district court some guidance as to how its inquiry might proceed.
sj; }¡: s¡5 jjí
The Supreme Court has made clear that prisoners lawfully deprived of their freedom retain substantive liberty interests under the Fourteenth Amendment.
See, e.g., Youngberg v. Romeo,
If the district court concludes that this post-conviction liberty interest exists, then procedural due process applies to its deprivation. On this point, the district court’s inquiry should begin with the framework established in
Mathews v. Eldridge,
Under the Mathews framework,
identification of the specific dictates of due process generally requires consideration of three distinct factors; First, the private interest that will be affected by the official action; second, the risk of an erroneous deprivation of such interest through the procedures used, and the probable value, if any, of additional or substitute procedural safeguards; and finally, the Government’s interest, including the function involved and the fiscal and administrative burdens that the additional or substitute procedural requirement would entail.
Mathews,
Under
Mathews
the cases inevitably turn on their particular facts — which in the instant case include the availability of statutory avenues of relief, such as state or federal legislation providing for DNA testing,
18
and the seriousness of the crime and
*108
sentence involved.
19
See Greenholtz v. Inmates of Neb. Penal & Corr. Complex,
It is also worth noting that the right asserted by McKithen in this case, while implicating questions of tremendous importance, is narrow in its reach. McKi-then does not, for example, at all challenge the state’s procedures for the collection and storage of biological evidence — procedures for which cost is clearly a significant concern. Rather, McKitheris seeks only access to, and perhaps testing of, biological evidence already in the state’s possession. Moreover, at oral argument, McKithen indicated that he would be able to cover the costs of DNA testing himself, and, therefore, would not need to argue that the defendant should be compelled to conduct the testing for him.
We deem it appropriate to leave factual questions, such as the cost to the state— and the interaction between such facts and the constitutional right asserted — for the district court to consider in the first instance.
CONCLUSION
For the foregoing reasons, the district court’s judgment is VACATED, and the case is REMANDED to the district court, for it to consider whether there exists a constitutional right on the basis of which Plaintiff-Appellant might be able to obtain the relief he requests, and if there is such a right, whether, once the district court defines the contours of that right, Plaintiff-Appellant’s claim is collaterally-es-topped by the earlier state court decisions.
Notes
.
See generally Harvey v. Horan,
. As of March 12, 2007, by one count, as many as 197 factually innocent, incarcerated individuals have been exonerated by post-conviction DNA testing. See The Innocence Project, http://www.innocenceproject.com (last visited Mar. 12, 2007). And "DNA exonera-tions have disclosed deliberate (and in some cases criminal) police and prosecutorial misconduct in obtaining the tainted convictions.” Seth F. Kreimer & David Rudovsky, Double Helix, Double Bind: Factual Innocence and Postconviction DNA Testing, 151 U. Pa. L.Rev. 547, 563 (2002).
.
See, e.g., In re Winship,
. It has also received significant attention from the President. See President’s DNA Initiative, at http://www.dna.gov/uses/postconvi ction/ (last visited on Feb. 16, 2007).
The district court also noted that it had, on March 6, 2003, dismissed as time-barred under the Antiterrorism and Effective Death Penalty Act of 1996 ("AEDPA”), Pub.L. No. 104-132, 110 Stat. 1214 (1996), a habeas petition brought by McKithen which presented similar allegations. See McKithen v. Walsh, 03-CV-334 (E.D.N.Y. Mar. 6, 2003).
. 28 U.S.C. § 1257(a) provides:
Final judgments or decrees rendered by the highest court of a State in which a decision could be had, may be reviewed by the Supreme Court by writ of certiorari where the validity of a treaty or statute of the United States is drawn in question or where the validity of a statute of any State is drawn in question on the ground of its being repugnant to the Constitution, treaties, or laws of the United States, or where any title, right, privilege, or immunity is specially set up or claimed under the Constitution or the treaties or statutes of, or any commission held or authority exercised under, the United States.
. In reaching this conclusion, the panel that the phrases “inextricably and "independent claim”&emdash;both of which the Supreme Court has employed, see
Feldman,
. Our conclusion is bolstered by reference to
Hoblock’s
fourth, “procedural,” prong. That prong renders the
Rooker-Feldman
doctrine categorically inapplicable unless the relevant "state-court judgment [was] rendered before the district court proceeding commenced.”
Hoblock,
. By no means does this suggest that, in order to avoid the
Rooker-Feldman
doctrine, a party’s injury
must
have arisen prior to any state-court judgments. Obviously, an injury that arises at the same time or even after a state-court judgment might also arise independently of — that is, might arise without being "caused by” — that state-court judgment. The Supreme Court recognized as much in
Exxon Mobil
when it announced that the
Rooker-Feldman
doctrine does not "stop a district court from exercising subject-matter jurisdiction simply because a party attempts to litigate in federal court a matter
previously
litigated in state court.”
Exxon Mobil,
. Subsequent developments appear to have made it impossible for the Fourth Circuit to reconsider the
Harvey I
panel’s decision. Following the issuance of the opinion in
Harvey I,
the case was mooted by a state-court order which granted to the plaintiff-appellee the relief he had been seeking in federal court. Against this backdrop, the plaintiff-appellee’s petitions for rehearing and rehearing en banc were denied.
See Harvey II,
. One notable exception to the general rule that exhaustion of state remedies is not a prerequisite to a prisoner's § 1983 suit is the Prison Litigation Reform Act of 1995, 110 Stat. 1321, 1321-71, as amended, 42 U.S.C. § 1997e
et seq.
The PLRA provides that a prisoner seeking to bring a § 1983 suit “with respect to prison conditions” must first exhaust "such administrative remedies as are available.” 42 U.S.C. § 1997e(a);
see generally Woodford,
. Whereas AEDPA ordinarily requires a prisoner to file her habeas petition within a one-year filing period,
see
28 U.S.C. § 2244(d), "the statute of limitations applicable to claims brought under ... § 1983 in New York is three years,”
Patterson v. County of Oneida, N.Y.,
. Because the standard enunciated in
Heck
generally bars a § 1983 suit that "necessarily demonstrates” the invalidity of a conviction or sentence
"unless
the plaintiff can demonstrate that the conviction or sentence has ál-ready been invalidated,”
Heck,
. In such a subsequent habeas proceeding, the state would not, of course, be collaterally estopped from arguing (1) that the results of the DNA testing do not, in fact, exculpate McKithen; or (2) that, even if the results are to some degree exculpatory, they are insufficient to show that McKithen's imprisonment is unconstitutional.
. Defendant Brown relies on the Fourth Circuit’s decision in
Harvey I
for the proposition that
Heck
bars any § 1983 suit that is brought "for one reason and one reason only&emdash;as the first step in undermining [a plaintiff’s] conviction.” And “it may not be denied,” Brown continues, "that, at bottom, [McKithen] seeks further DNA testing for the sole purpose of attempting to demonstrate his innocence of the crime for which he was convicted.” But this approach, which focuses not on whether success for the § 1983 plaintiff necessarily implies the invalidity of his conviction or sentence,
but
rather on the question of the plaintiff’s motives in bringing the suit, was laid to rest by the Supreme Court in
Dotson. See Dotson,
On this point, we note that the Fourth Circuit (whose reasoning the Fifth Circuit&emdash;and, arguably, the Sixth Circuit&emdash;adopted shortly after
Harvey I
was decided) relied heavily on the assumed beliefs and motivations of the § 1983 plaintiff.
See, e.g., Harvey I,
. The only case that Brown cites in support of this assertion is
People v. De Oliveira,
223
*105
A.D.2d 766, 767,
. Its inquiry should not
end
there. Another possible source of a constitutional right of access is substantive due process.
See Harvey II,
. Because the
Mathews
framework takes into account "the probable value, if any, of additional or substitute procedural safe
*108
guards” — which value will depend, in large part, upon the availability of adequate statutory avenues of relief — there is, we believe, no basis to the view that recognizing longstanding principles of procedural due process "in the face of [considerable] legislative activity and variation is to evince nothing less than a loss of faith in democracy.”
Harvey II,
. There can be no doubt, for example, that a prisoner facing capital punishment would have a considerably more compelling claim under
Mathews
— as well as under substantive due process — than one, like McKithen, who seeks to avoid the remainder of a prison sentence.
See Herrera v. Collins,
